*1 Before HOLMES , BACHARACH , and MORITZ , Circuit Judges. [**]
HOLMES , Circuit Judge.
Petitioner Donald Anthony Grant, an Oklahoma state prisoner on death row, appeals from the district court’s denial of his 28 U.S.C. § 2254 habeas petition. Additionally, Mr. Grant filed a motion to expand the certificate of appealability (“COA”). Exercising jurisdiction under 28 U.S.C. § 1291, we affirm the district court’s denial of Mr. Grant’s § 2254 petition and deny Mr. Grant’s motion to expand the COA.
I. BACKGROUND
A.
Facts
“The OCCA outlined the facts of Mr. [Grant’s] crimes, and ‘[w]e presume
that the factual findings of the state court are correct’ unless Mr. [Grant] presents
clear and convincing evidence otherwise.”
Clayton Lockett v. Trammel
, 711 F.3d
1218, 1222 (10th Cir. 2013) (quoting
Fairchild v. Workman
,
The OCCA provided the following factual summary: The essential facts of the crimes are not disputed. On July 18, 2001, [Mr. Grant] entered a LaQuinta Inn in Del City, ostensibly to fill out an employment application. In reality, *3 [Mr. Grant] had planned to rob the hotel in order to obtain money to post bond for a girlfriend, Shlonda Gatewood (who was in the Oklahoma County Jail at the time), and was prepared to kill any witnesses to the crime. [Mr. Grant] may have been motivated to strike this particular business because another girlfriend of his, Cheryl Tubbs, had been fired from employment there a few months before; in any event, [Mr. Grant] was familiar with the layout of the property and the location of video surveillance equipment.
When [Mr. Grant] saw the hotel manager, Brenda McElyea, he approached her with a pistol in his hand and ordered her to walk to a storage room, where he fatally shot her once in the head, and slashed her neck and back with a box knife to make sure the knife was sharp enough to use on his next victim. [Mr. Grant] then left the storage room and approached another employee, Suzette Smith, in the break room. [Mr. Grant] ordered Smith at gunpoint to give him the money from the hotel register, which she did. [Mr. Grant] then ordered Smith to walk back to the manager’s office, where he shot her three times in the face. Smith continued to struggle to escape, so [Mr. Grant] brutally beat her and cut her numerous times with his knife. He hit Smith in the head with his pistol, attempted to break her neck, and threw a computer monitor on her head in an effort to stop her struggling. Eventually, Smith succumbed to her wounds and died in the office. Before leaving the office, [Mr. Grant] took personal property from Smith’s purse.
[Mr. Grant] then left the hotel and walked to a nearby
discount store, where he abandoned his pistol and some traveler’s
checks he had taken in the robbery. He then called a cab to take
him to the home of Cheryl Tubbs. Later that day, [Mr. Grant]
used money from the robbery to pay Shlonda Gatewood’s bond,
which was about $200. [Mr. Grant] and Gatewood then used a
stolen car to drive from Oklahoma City to New York City, where
[Mr. Grant] had family. About a month after the murders,
[Mr. Grant] was arrested in New York and returned to Oklahoma.
Grant v. State
,
B. Procedural History
In August 2001, Mr. Grant was charged with two counts of first degree murder and two counts of robbery with a firearm for the murders of Brenda McElyea and Suzette Smith during the robbery of the La Quinta Inn in Del City, Oklahoma. With respect to the murder counts, the State sought the death penalty. It charged several aggravating circumstances to support such a sanction:
(1) that the defendant knowingly created a great risk of death to more than one person; (2) that the murders were committed for the purpose of avoiding arrest or prosecution; (3) that the murders were committed by a person serving a sentence of imprisonment on conviction of a felony; and (4) that a probability existed that the defendant would pose a continuing threat to society. As to one of the murder counts (Count 2) [relating to Ms. Smith], the State also alleged that the murder was heinous, atrocious, or cruel.
Grant
,
In November 2001, Mr. Grant’s counsel moved for a determination of his competency to stand trial. The parties litigated Mr. Grant’s competency for the next four years, culminating in a February 2005 trial, at which a jury found Mr. Grant competent to stand trial.
Mr. Grant’s eight-day jury trial began on November 14, 2005. The jury found Mr. Grant guilty on all counts. “As to each of the murder counts, the jury found the existence of all aggravating circumstances alleged, and recommended punishment of death on each count.” Id. at 6–7. Mr. Grant filed a direct appeal and an application for an evidentiary hearing with the Oklahoma Court of *5 Criminal Appeals (“OCCA”). The OCCA affirmed Mr. Grant’s conviction and death sentence and denied his request for an evidentiary hearing. In 2008 Mr. Grant filed an application for post-conviction relief with the OCCA. The OCCA again denied relief.
In October 2012, Mr. Grant filed the instant 28 U.S.C. § 2254 petition with the United States District Court for the Western District of Oklahoma. Mr. Grant raised numerous propositions of error, five of which are relevant to the present appeal. First, he argued that he was denied procedural due process because the trial court failed to hold a second competency hearing in response to Mr. Grant’s alleged manifestations of incompetence leading up to and during trial. Second, he raised several ineffective-assistance-of-counsel claims relating to trial counsel’s failures to investigate and present evidence regarding his competence and other mitigating circumstances. Third, Mr. Grant challenged the constitutionality of a jury instruction and related prosecutorial statements concerning mitigation evidence. Fourth, Mr. Grant raised a constitutional challenge to the peremptory strike of a potential juror on the basis of race. Finally, Mr. Grant argued that he was prejudiced by cumulative error. The district court denied Mr. Grant’s petition and granted a COA on the single issue of procedural competency.
Mr. Grant filed a timely appeal. In our December 12, 2014 Case Management Order, we granted a COA on Mr. Grant’s additional claims concerning (1) ineffective assistance of trial counsel, (2) the challenged jury *6 instruction and related prosecutorial statements, (3) the peremptory strike of a minority (i.e., African-American) juror, and (4) cumulative error. On December 29, 2014, Mr. Grant filed a motion to expand the COA to include one additional issue. This motion is still pending before us.
II. STANDARD OF REVIEW
The Antiterrorism and Effective Death Penalty Act of 1996 (“AEDPA”)
“circumscribes our review of federal habeas claims that were adjudicated on the
merits in state-court proceedings.”
Hooks v. Workman
(“
Victor Hooks II
”), 689
F.3d 1148, 1163 (10th Cir. 2012)
. “
Under AEDPA, a petitioner is entitled to
federal habeas relief on a claim only if he can establish that the state court’s
adjudication of the claim on the merits (1) ‘resulted in a decision that was
contrary to, or involved an unreasonable application of, clearly established
Federal law’; or (2) ‘resulted in a decision that was based on an unreasonable
determination of the facts in light of the evidence presented in the State court
proceeding.’”
Littlejohn v. Trammell
(“
Littlejohn I
”),
The AEDPA standard is “highly deferential [to] state-court rulings [and]
demands that state-court decisions be given the benefit of the doubt.”
Woodford
v. Visciotti
,
“In applying the legal inquiry under § 2254(d)(1), we ask at the threshold
‘whether there exists clearly established federal law, an inquiry that focuses
exclusively on holdings of the Supreme Court.’”
Littlejohn I
,
If clearly established federal law exists, a state-court decision is contrary to
it only if the court “applies a rule different from the governing law set forth in
[Supreme Court] cases, or if it decides a case differently than [the Supreme Court
has] done on a set of materially indistinguishable facts.”
Id.
(alteration in
original) (quoting
Bell v. Cone
,
Finally, “[h]abeas relief is also warranted if the state court’s adjudication
of a claim on the merits ‘resulted in a decision that was based on an unreasonable
determination of the facts in light of the evidence presented in the State court
proceeding.’”
Victor Hooks II
,
“[W]e review the district court’s legal analysis of the state court decision
de novo
,”
Byrd
,
“Our standard of review changes if there has been no state-court
adjudication on the merits of the petitioner’s claim.”
Byrd
,
“Finally, we may not consider claims that have been ‘defaulted in state
court on adequate and independent state procedural grounds’” absent the
petitioner’s demonstration of “cause for the default and actual prejudice as a
result of the alleged violation of federal law, or [that] failure to consider the
claims will result in a fundamental miscarriage of justice.’”
Byrd
,
We now turn to assessing Mr. Grant’s claims.
III. MERITS
A. Procedural Due Process Competency Claim
Mr. Grant argues that the trial court violated his procedural due process rights by allowing his trial to proceed while he was incompetent. The district court deemed this claim to be procedurally barred, finding that Mr. Grant failed to exhaust the claim in state court. Because we agree with the district court that Mr. Grant failed to exhaust his procedural due process competency argument *11 before the OCCA, we uphold this aspect of the district court’s ruling.
1. Legal Framework
“A state prisoner generally must exhaust available state-court remedies
before a federal court can consider a habeas corpus petition.”
Bland
,
“[T]he crucial inquiry is whether the ‘substance’ of the petitioner’s claim
has been presented to the state courts in a manner sufficient to put the courts on
notice of the federal constitutional claim.”
Prendergast v. Clements
, 699 F.3d
1182, 1184 (10th Cir. 2012) (citing
Picard
,
Nor is citing the relevant legal principles, absent the relevant facts,
sufficient to fairly present a claim.
See Picard
,
Furthermore, a “petitioner cannot assert entirely different arguments [in his
or her request for habeas relief] from those raised before the state court.”
Bland
,
Indeed, in order to be fairly presented, the state-court claim must be the
“substantial equivalent” of its federal habeas counterpart.
Picard
,
There are consequences for failing to properly present a claim. “Generally,
a federal court should dismiss unexhausted claims without prejudice so that the
petitioner can pursue available state-court remedies.”
Bland
,
2. Analysis
We conclude after thorough review that Mr. Grant presented only a
substantive due process competency argument to the OCCA on direct appeal. In
short, he failed to present the substance of his procedural due process competency
argument to the state court. Mr. Grant’s argument to the contrary depends on the
inherent similarities between the two types of competency challenges. We
conclude, however, that Mr. Grant’s presentation of a “somewhat similar” claim,
Duncan
,
a
We begin the analysis by delineating the differences between claims of procedural due process competency and claims of substantive due process competency.
“[C]ompetency claims can raise issues of both substantive and procedural
due process.”
Walker v. Attorney Gen.
,
“The distinction between substantive and procedural claims is significant
because courts have evaluated these claims under differing evidentiary
standards.”
Walker
,
“A substantive competency claim, on the other hand, requires the higher
standard of
proof of incompetency
by a preponderance of the evidence.”
Allen
,
Moreover, the two claims rest on different evidentiary bases. In evaluating
a procedural competency claim, “[o]ur review is limited to the evidence that was
made available to the state trial court.”
Lay v. Royal
,
Further, because procedural competency and substantive competency guard
against distinct harms, it should come as no surprise that their corresponding
remedies are also different. Since the error asserted in a procedural claim is the
court’s failure to provide adequate procedures—i.e., the failure to conduct a
competency hearing—a defendant who prevails on a procedural competency claim
is entitled to the procedures (i.e., a competency hearing) that he should have
received in the first instance.
See McGregor
,
Thus, the issuance of the habeas writ is not mandated in situations where
the procedural competency claimant is successful; it is resorted to only where a
retrospective competency hearing would not be feasible.
Compare McGregor
,
As noted, the right at issue in a substantive competency claim is the right
not to be tried while incompetent; therefore, in the habeas context, the remedy
must involve the issuance of the writ because the conviction cannot
constitutionally stand.
See, e.g.
,
id.
at 952 (noting that “a substantive competency
claim is founded on the allegation that an individual was tried and convicted
while, in fact, incompetent”);
see also Godinez v. Moran
,
It falls upon us to determine whether Mr. Grant actually presented a
procedural competency claim to the OCCA on direct appeal, in addition to a
substantive competency claim; we have undertaken analogous inquiries.
See, e.g.
,
Walker
,
b
Mr. Grant argues that he presented a procedural competency claim on direct appeal: more specifically, he says that he cited the relevant caselaw, set forth the relevant facts, and “correctly argued . . . that the trial judge independently had a duty, based on all the information available to him prior to and during trial, to halt the trial for additional competency proceedings.” Aplt.’s Opening Br. at 30. We are not persuaded.
Our contrary view is supported by an independent examination of Mr. Grant’s direct-appeal briefing: this review makes clear that the unwavering focus of Mr. Grant’s arguments was on establishing his actual incompetence at the time of trial—that is, on mounting a substantive competency claim, and not a procedural one. We also find validation for our conclusion by juxtaposing Mr. Grant’s state-court claim with the one filed for habeas relief; this side-by-side view reveals that Mr. Grant’s original competency claim bears little resemblance to the one he now advances.
We are thus left with a firm conviction that Mr. Grant’s direct-appeal
competency claim was “based . . . on different reasons,” and grounded on
different legal “bases [than those] upon which his current . . . claim[] rely.”
Smallwood
,
i
Several aspects of Mr. Grant’s direct-appeal brief contradict his argument that he fairly presented a procedural competency claim to the OCCA. Indeed, we discern that the focus of Mr. Grant’s direct-appeal briefing—and therefore, the substance of the claim before the OCCA—was on whether Mr. Grant was in fact incompetent at the time of his November 2005 trial.
At the outset, we note that the heading to Proposition I—the section under
which Mr. Grant contends he raised his procedural competency claim—did
nothing to put the OCCA on notice of any such claim. In fact, the heading neatly
set out the standard—not for a procedural claim—but for proving a violation of
substantive
due process.
Compare
Aplt.’s Direct Appeal Opening Br. at 3
(“Mr. Grant Was Incompetent When He Stood Trial, In Violation of Due
Process”),
with Allen
,
Nor would the body of the direct-appeal brief have put the OCCA on notice that the competency claim was anything other than substantive in nature. Proposition I was devoted to establishing Mr. Grant’s actual incompetency: the unalloyed thrust of the facts presented there was that Mr. Grant was incompetent in November 2005, when he stood trial. The argument opened by asserting that the reason for the four-year delay in Mr. Grant’s trial was due to his incompetence. It proceeded to lay out the lengthy chronology of Mr. Grant’s *24 history with his lawyers, the court, and the psychological experts they appointed to assess his competency to stand trial, who had found him to be incompetent. It is evident from the brief that Mr. Grant’s quarrel was with the fact of his conviction while incompetent.
Consistent with the requirements of a substantive claim, the brief alleged
facts showing that Mr. Grant “lack[ed] the capacity to understand the nature and
object of the proceedings against him, to consult with counsel, and to assist in
preparing his defense.”
Drope
,
Conversely, Mr. Grant’s direct-appeal briefing does
not
similarly bear the
trappings of a procedural competency claim, which would have alleged that a
“reasonable judge should have had a bona fide doubt as to [petitioner’s]
competence at the time of trial.”
McGregor
,
Quite significant, moreover, is the stark lack of fit between the remedy
requested from the OCCA on direct appeal and the procedural competency claim
Mr. Grant purports to have raised. Nowhere in Mr. Grant’s direct-appeal brief did
he mention the possible relief of a retrospective competency hearing—though
ordinarily, if feasible, this would be the relief available to him if he had
prevailed.
See McGregor
,
Indeed, Mr. Grant demonstrated in his direct-appeal brief that he knew how
to ask for a hearing when he believed one was necessary to vindicate his rights.
Specifically, he alleged such an entitlement just a mere moment after his
competency arguments, in the context of Proposition II, which set out his Sixth
Amendment self-representation claim.
See
Aplt.’s Direct Appeal Opening Br. at
12–13 (“It was thus incumbent upon the trial court to hold a hearing on the issue
[of Mr. Grant’s desire to dismiss his attorneys], at which the trial court should
have evaluated [Mr. Grant’s] competency to waive [representation by counsel]
and warned him of the dangers of self-representation.”). The fact that Mr. Grant
did not ask for a hearing in Proposition I—which he
now
identifies as the source
of his procedural due process competency claim—strongly indicates that he did
not believe
at that time
that this remedy was material to the claim he was
pursuing there. And that belief would have been correct—if, as we
conclude—Mr. Grant was presenting there a substantive competency claim. Put
another way, given Mr. Grant’s demonstrated ability to challenge the court’s
failure to hold a hearing in the self-representation context, his silence regarding a
hearing in the competency context is deafening and strongly suggests that the
kind
of competency claim that he actually was pursuing was not one that would have
been satisfied by a hearing.
See Duncan
,
Instead of requesting an additional hearing, Mr. Grant
solely
sought
reversal; as discussed, this remedy is clearly appropriate in the context of a claim
for substantive competency, but not a remedy at least of first resort in the setting
of a procedural competency claim.
See, e.g.
,
McGregor
,
To be sure, throughout Proposition I, there are references to facts that
could
have been
relevant to a procedural due process competency claim. But given the
“blurred . . . distinctions” between substantive and procedural competency claims,
Walker
,
Similarly, in Proposition I, Mr. Grant also cited to legal principles that
could have been
relevant to a procedural due process competency claim. For
instance, he cited
Drope
,
However, recitations of caselaw—tethered neither to factual allegations nor
directed argumentation—also fall short of fairly presenting a legal claim.
See
Gray
,
ii
Finally, our conclusion is further bolstered by a brief comparison of the
argument that Mr. Grant presented on direct appeal with the argument that he has
presented in his habeas petition. The claim on direct appeal is not the
“substantial equivalent” of the one asserted before us.
Picard
,
Whereas the direct-appeal briefing made only fleeting references to the trial court’s obligation to inquire into Mr. Grant’s competency, the habeas petition is replete with assertions that the trial judge knew, was aware of, or otherwise ignored signs that ought to have instilled in him a “bona fide doubt regarding Mr. Grant’s competency to stand trial.” Aplt.’s Habeas Pet . at 11 (dated Jan. 25, *31 2011). Moreover, the petition explicitly identifies the procedural defect as the trial judge’s “neglect [of] duty . . . to have a hearing on Mr. Grant’s competency.” Id. at 23. This specific allegation of error—the trial court’s “failure to adopt a procedure to ensure Mr. Grant was competent,” id. at 12–13—is nowhere to be seen in Mr. Grant’s direct-appeal brief before the OCCA. The juxtaposition between that brief and Mr. Grant’s habeas petition strongly underscores the deficiencies of the former as an ostensible presentation of a procedural due process competency claim. The direct-appeal brief did not offer a fair presentation of such a claim.
c
In sum, in light of the foregoing, we cannot say that Mr. Grant “provide[d] the state court with a ‘fair opportunity’ to apply controlling legal principles to the facts bearing upon his” procedural due process competency claim. Anderson , 459 U.S. at 6. [6]
Mr. Grant asks us to reach a contrary conclusion based in part on the
contents of the State’s direct-appeal response brief. Specifically, Mr. Grant
contends that, though the State argues now for a lack-of-exhaustion
determination, on direct appeal it sounded a different “tune” in that its response
*32
brief “acknowledged the procedural due process element of the claim” and
responded to that element in its briefing. Aplt.’s Reply Br. at 3. Mr. Grant
contends that the State’s argument against a procedural due process claim is
tantamount to a “concession” that Mr. Grant actually presented such a claim to
the OCCA.
Id.
However, the State made no such concession, and certainly not
the kind of explicit one that would be necessary under the law to remove the
exhaustion-fair-presentation “issue from consideration.”
Fairchild
,
Therefore, our focus properly remains fixed on whether Mr. Grant satisfied
his
burden to fairly present the argument to the OCCA.
See Picard
,
Nor does Mr. Grant’s reliance on
Sanders v. United States
,
Even assuming
arguendo
that the fair-presentation issue was close,
Mr. Grant’s reliance on
Sanders
would be unavailing.
Sanders
arises in a distinct
procedural context; it is not a fair-presentation case. The language Mr. Grant
relies on appears in the Court’s discussion of the principles that should determine
whether prior and successive habeas petitions, or such motions under 28 U.S.C.
§ 2255, present the same ground for federal relief.
See Sanders
,
Indeed,
Picard
—which
is
a fair-presentation case—sheds useful light on
Sanders
.
Picard
describes
Sanders
as a “ready example” of one of those
*35
“instances in which ‘the ultimate question for disposition’ will be the same
despite variations in the legal theory or factual allegations urged in its support.”
Id.
at 277 (quoting
United States ex rel. Kemp v. Pate
,
Thus, we reject Mr. Grant’s arguments opposing our conclusion that he failed to present a procedural due process competency claim to the OCCA.
d
All that said, we deem Mr. Grant’s procedural due process competency
claim unexhausted and—with an eye toward Oklahoma law—this claim is
seemingly subject to an anticipatory procedural bar. Specifically, if Mr. Grant
attempted to pursue this procedural competency claim in state court, that court
would deem the claim procedurally barred under Oklahoma law because
Mr. Grant could have raised it on direct appeal. Under Oklahoma’s Uniform
Post-Conviction Procedure Act, “only claims which ‘[w]ere not and could not
*36
have been raised’ on direct appeal will be considered [in post-conviction
proceedings].’”
Conover v. State
,
Therefore, we have no reason to question the rule’s application to him.
See
id.
at 1252 (“[B]ecause Powell does not address his alleged procedural default, let
alone challenge the adequacy of Oklahoma’s procedural rules, we conclude that
Oklahoma’s procedural bar is adequate to preclude our habeas review of these
particular ineffective-trial-representation claims.”). And so we hold that
Mr. Grant’s claim is subject to an anticipatory procedural bar.
Cf. Thacker
, 678
F.3d at 841 (“Were Thacker to now return to state court to attempt to exhaust a
claim that trial counsel was ineffective in advising him to enter a blind plea and
in failing to file a motion to withdraw the guilty plea, by filing a fourth
application for post-conviction relief, it would be procedurally barred under
Oklahoma law because Thacker failed to assert it in any of his applications for
post-conviction relief.”);
Cummings v. Sirmons
,
Furthermore, Mr. Grant makes no effort to overcome this bar by arguing
cause and prejudice, or a fundamental miscarriage of justice. Consequently, we
hold that we are precluded from considering Mr. Grant’s procedural due process
competency claim.
See Coleman
,
B. Ineffective Assistance of Counsel Claims
Mr. Grant argues that his trial counsel rendered ineffective assistance resulting in an “unfair trial and an unreliable death sentence in violation of the *39 Sixth, Eighth, and Fourteenth Amendments.” Aplt.’s Opening Br. at 50 (capitalization altered). We granted COAs regarding the following issues: whether trial counsel rendered ineffective assistance by failing to (1) monitor Mr. Grant’s competency, (2) investigate and present evidence of the effects of Mr. Grant’s frontal-lobe damage (i.e., organic brain damage), and (3) investigate and present evidence of (a) Mr. Grant’s purported delusional belief system and (b) pertinent aspects of Mr. Grant’s childhood. Because Mr. Grant has not shown that the OCCA’s resolution of his ineffective-assistance claims is contrary to or an unreasonable application of clearly established federal law, or premised on an unreasonable determination of fact, we affirm the district court’s denial of habeas relief regarding Mr. Grant’s ineffective-assistance claims.
1. Legal Framework
We review claims of “ineffective assistance of counsel under the familiar
framework laid out in
Strickland
[
v. Washington
,
“[O]ur review of counsel’s performance under the first prong of
Strickland
is a ‘highly deferential’ one.”
Byrd
,
“A state prisoner in the § 2254 context faces an even greater challenge.”
Victor Hooks II
,
“Federal habeas courts must guard against the danger of equating
unreasonableness under
Strickland
with unreasonableness under § 2254(d). When
§ 2254(d) applies, the question is not whether counsel’s actions were reasonable.
The question is whether there is
any
reasonable argument that counsel satisfied
Strickland
’s deferential standard.”
Harrington
,
Despite our strong presumption that counsel rendered constitutionally
reasonable assistance, “we have recognized a need to apply . . . closer scrutiny
when reviewing attorney performance during the sentencing phase of a capital
case.”
Cooks
,
“Counsel has a duty to conduct a ‘thorough investigation—in particular, of
mental health evidence—in preparation for the sentencing phase of a capital
trial.’”
Victor Hooks II
,
First, the question is not whether counsel did
something
; counsel
must conduct a full investigation and pursue reasonable leads
when they become evident. Second, to determine what is
reasonable investigation, courts must look first to the ABA
guidelines, which serve as reference points for what is acceptable
preparation for the mitigation phase of a capital case. Finally,
because of the crucial mitigating role that evidence of a poor
upbringing or mental health problems can have in the sentencing
phase, defense counsel must pursue this avenue of investigation
with due diligence. Our own Circuit has emphasized this guiding
principle. In
Smith v. Mullin
, 379 F.3d 919, 942 (10th Cir.
2004), we held that it was “patently unreasonable” for trial
counsel to fail to present evidence of Smith’s borderline mental
retardation, brain damage, and troubled childhood, and stated that
this type of mitigating evidence “is exactly the sort of evidence
that garners the most sympathy from jurors.”
Michael Wilson I
,
“Under the prejudice prong [of
Strickland
], a petitioner must demonstrate
‘a reasonable probability that, but for counsel’s unprofessional errors, the result
of the proceeding would have been different.’”
Littlejohn II
,
More specifically, “we ‘reweigh the evidence in aggravation against the
totality of available mitigating evidence,’ considering ‘the strength of the State’s
case and the number of aggravating factors the jury found to exist, as well as the
mitigating evidence the defense did offer and any additional mitigating evidence
it could have offered[.’]”
Littlejohn II
,
“If there is a reasonable probability that at least one juror would have
struck a different balance, . . . prejudice is shown.”
Littlejohn I
,
2. Misstatement of Strickland Standard
We first address Mr. Grant’s overarching claim that the OCCA’s rejection of his ineffective-assistance claims is contrary to clearly established federal law because the OCCA applied the incorrect legal framework—that is, the OCCA failed to apply Strickland ’s well-established rubric. When setting forth “the legal framework for evaluating [Mr. Grant’s] ineffective-assistance claims,” the OCCA stated that “[Mr. Grant] must demonstrate that trial counsel’s performance was so deficient as to have rendered [him], in essence, without counsel.” Grant , 205 P.3d at 22. This statement of law, in Mr. Grant’s view, “placed an extra burden on him which was contrary to law.” Aplt.’s Opening Br. at 83. Mr. Grant thus argues that we must apply de novo review to his ineffective-assistance claims. We disagree.
On habeas review, we properly eschew the role of strict English teacher,
finely dissecting every sentence of a state court’s ruling to ensure all is in good
order.
Cf. Renico v. Lett
,
Consequently, our inquiry relates to the overall substance of the state
court’s analysis and the conclusion it thereafter makes. The Supreme Court has
emphasized § 2254’s focus on the
decision
of the state court: “Avoiding [§
2254’s] pitfalls does not require [a state court’s] citation of [Supreme Court]
cases—indeed, it does not even require [a state court’s]
awareness
of [Supreme
Court] cases, so long as neither the
reasoning
nor the
result
of the state-court
decision contradicts them.”
Early v. Packer
,
Viewed through this proper prism, there is no occasion here for us to apply
de novo review based on the OCCA’s language in a single sentence. Admittedly,
that language—especially, the “rendered without counsel” phrase—deviates from
the proper formulation of the
Strickland
standard.
Cf. United States v. Cronic
,
Virtually in the same breath—indeed, in the same paragraph on the same
page as the language that Mr. Grant identified—the OCCA articulated the proper
rubric of
Strickland
: it stated with respect to the performance prong—“We assess
counsel’s performance for reasonableness in light of prevailing professional
norms”—and regarding the prejudice prong—“Appellant must also demonstrate
that the allegedly deficient performance caused prejudice.”
Grant
,
3. Failure to Monitor Competency
Mr. Grant argues that he is entitled to habeas relief based on the OCCA’s rejection of his ineffective-assistance claim asserting that trial counsel’s alleged unreasonable failure to monitor his competency—or, more precisely, his purported decline into incompetency—prejudiced him. The OCCA summarized *48 the nature of Mr. Grant’s argument:
[Mr. Grant] submits that in the months between the
competency trial and the trial on guilt and punishment, his
competency may well have deteriorated. He points to his
statements at various pretrial and
in camera
hearings,
pro se
writings, and his testimony in the punishment stage of the trial in
an attempt to support this claim.
He also submits extra-record
evidence to support a related claim, based on the Sixth
Amendment right to counsel, that trial counsel was deficient for
not challenging his competency at the time of trial
. Specifically,
he presents (1) an expert’s retrospective opinion, based on
evaluation of various materials, that [Mr. Grant] was not
competent to stand trial in November 2005; and (2) documentary
evidence suggesting that in mid–2005, Mr. Grant was not diligent
about taking medications prescribed to treat his mental illness.
Grant
,
Regarding his pretrial statements, Mr. Grant highlights certain comments that he made during a hearing in May 2005, when he waived a possible conflict of interest involving one of his attorneys. After telling the court that he “underst[ood] conflict of interest” and was prepared to “fire all staff and represent myself once I feel that honestly [sic] matters are being taken out of proportion meaning I’m being plotted against with the DA,” Mr. Grant offered his “theory” in response to the court’s assurances that no such plotting was taking place: “My theory plays my whole background. That’s for one. My way of life is I’m going to leave this planet earth. That’s my theory. My theory I stand on it and it don’t have nothing to do with this. My theory is my theory, you see what I’m saying.” Mot. Hr’g Tr. at 7–8 (dated May 2, 2005). However, in response to follow-up *49 questioning, Mr. Grant indicated that he was not accusing the potentially conflicted attorney of plotting with the District Attorney, and his other attorney advised the court—without objection by Mr. Grant—that when Mr. Grant was speaking about such plotting, he was simply “expressing concern that lawyers sometimes do that.” Id. at 9.
Mr. Grant also draws our attention to two letters that he wrote in September 2005 to the judge and prosecutor, respectively. The first letter—which Mr. Grant calls the “Eye” letter—refers to “electrons,” “eye,” “God,” and “Allah,” among other things, R., Vol. I, at 782–84, and the author of Mr. Grant’s retrospective competency hearing—Dr. Antoinette McGarrahan, PhD—subsequently suggested that it “revealed incoherent ramblings and religious and grandiose delusions,” id. at 771. The second letter (directed to the prosecutor) amounted to a confession to the charged crimes which Mr. Grant wrote with the apparent hope of securing the release of another inmate whom Mr. Grant described as “a good man from the heart.” Id. at 786.
The OCCA’s ineffective-assistance analysis implicated
Strickland
’s first
prong—
viz.
, the performance prong. Considering the extra-record materials that
Mr. Grant specifically marshaled with respect to this claim, the court held that the
materials were “insufficient to overcome the presumption that trial counsel had a
sound basis for believing [Mr. Grant] was competent at the time of trial.”
Grant
,
[W]e find no reason to second-guess the judgment of those parties most familiar with [Mr. Grant’s] history of mental problems before and during the trial—defense counsel, the trial court, and the defense experts retained at that time. The record supports a conclusion that [Mr. Grant] was competent at the time of his trial.
Id.
In resolving this claim, we first address below Mr. Grant’s contentions that certain specific legal and factual errors are embedded in the OCCA’s analysis. Concluding that these contentions are without merit, we then turn to the substantive Strickland question. We determine that Mr. Grant’s ineffective- assistance claim based on trial counsel’s alleged failure to monitor his purported decline into incompetency fails under Strickland ’s second prong—that is, on the issue of prejudice. Accordingly, we affirm the district court’s denial of habeas relief as to this claim.
a
First, Mr. Grant argues that the OCCA’s rejection of his failure-to-monitor claim was contrary to clearly established federal law because it rested on a determination of competence that was legally flawed. The OCCA rejected Mr. Grant’s failure-to-monitor claim in significant part because it determined that Mr. Grant was in fact competent when tried. Mr. Grant argues that the OCCA’s competency determination was legally flawed because it addressed only one *51 prong of the two-pronged test for competency. We disagree.
“The [two-pronged] test for incompetence is . . . well settled. A defendant
may not be put to trial unless he ‘has [(1)] sufficient present ability to consult
with his lawyer with a reasonable degree of rational understanding . . . [and (2)] a
rational as well as factual understanding of the proceedings against him.’”
Cooper v. Oklahoma
,
Mr. Grant argues that the OCCA’s competence determination is legally flawed because it addressed only the second prong of the competency standard—i.e., whether Mr. Grant understood the proceedings—and, therefore, the OCCA’s resultant rejection of his failure-to-monitor claim is contrary to clearly established federal law. Our review of the OCCA’s direct-appeal opinion, however, reveals that the OCCA understood and also sufficiently considered the first prong of the competence standard—i.e., whether Mr. Grant was able to assist counsel in preparing his defense.
The OCCA clearly recognized that the competence standard had two
components and explicitly set them out.
See Grant
,
Furthermore, the OCCA’s reasoning also reflects its awareness of the first prong of the standard and application of it. For example, the court reasoned that Mr. Grant was able to make decisions regarding his defense; during the pre-trial phase, for instance, the trial court “had several discussions with [Mr. Grant] about various matters” and “these exchanges show[ed that Mr. Grant] had a rather keen understanding of the legal process, and . . . was able to make important decisions.” Id. at 9.
In short, we are confident that all fairminded jurists would not agree that the OCCA misunderstood the appropriate federal standard for competency or misapplied it. Its decision in this regard was not contrary to or an unreasonable application of clearly established federal law.
b
Mr. Grant next argues that the OCCA’s rejection of his failure-to-monitor
claim and its related rejection of Mr. Grant’s request for an evidentiary hearing
were premised on an unreasonable determination of several facts. Specifically, he
claims that the OCCA unreasonably determined that (1) Mr. Grant “had a rather
*53
keen understanding of the legal process . . . [and] was able to make important
decisions,”
Grant
,
We conclude that Mr. Grant has not preserved these three arguments for
appellate review because he failed to raise them in his habeas petition.
See
Owens v. Trammell
,
The third alleged unreasonable factual determination warrants a brief
discussion.
[11]
Mr. Grant argues that the OCCA unreasonably determined that the
*54
“‘delusions’ found by experts in their diagnoses of schizophrenia were not
delusions, but ‘related to an unconventional philosophy, or religion of sort.’”
Aplt.’s Opening Br. at 92 (quoting
Grant
,
The State contends that Mr. Grant waived this argument. In the State’s
view, Mr. Grant “never argued that the OCCA’s findings were unreasonable
because
it made inconsistent findings.” Aplee.’s Br. at 51 n.9 (emphasis added).
We conclude that Mr. Grant has failed to preserve this argument for appellate
review. To be sure, Mr. Grant did contend that the OCCA made an unreasonable
*55
determination of facts bearing on his delusions: “The OCCA also made an
unreasonable determination of the facts in concluding comments Mr. Grant made
in writings, colloquies with the court, and in his trial testimony are not ‘delusions
that sprang [from Mr. Grant’s] own mind [because] they related to an
unconventional philosophy, or religion of sorts.’” R., Vol. I, at 561 (quoting
Grant
,
However, at no point did Mr. Grant contend that the OCCA’s findings were unreasonable because they were at odds with themselves —i.e., internally inconsistent. More specifically, in seeking to establish their unreasonableness, Mr. Grant did not compare one set of OCCA findings with another. But this logically is what Mr. Grant would have done if he were attempting to demonstrate that the unreasonableness of the OCCA’s findings was based on their internal inconsistency. And, not surprisingly, this is precisely the line of argument that Mr. Grant pursues on appeal.
We do not understand the State—as Mr. Grant does—to be “essentially assert[ing] that by not using the word ‘inconsistent’ . . . Mr. Grant waived the argument.” Aplt.’s Reply Br. at 18. That is because both the totality of the relevant language and structure of Mr. Grant’s arguments in his habeas petition make patent to us that he did not advance this internal-inconsistency ground for declaring the OCCA’s factual findings unreasonable in his habeas petition. Accordingly, he has failed to preserve this contention for appellate review.
c
Having rejected Mr. Grant’s specific contentions of legal and factual error, we turn to the merits of his ineffective-assistance claim based on trial counsel’s alleged failure to monitor his competency. We conclude that Mr. Grant cannot prevail on this ineffective-assistance claim under Strickland ’s (second) prejudice prong. That is, Mr. Grant cannot demonstrate that there is a reasonable probability that the result of the proceeding would have been different but for counsel’s failure to monitor Mr. Grant’s competency—or, as Mr. Grant views it, his “slide into incompetency.” R., Vol. I, at 582.
It is undisputed—as the district court found—that the OCCA did not
“expressly address [
Strickland
’s] second prong.”
[12]
Id.
at 1584. The parties joust
*57
about whether we should apply AEDPA deference or de novo review in our
consideration of the prejudice prong. Advocating for de novo review, Mr. Grant
has the better of this argument—but only up to a point. Because the OCCA did
not—by the plain terms of its ruling—reach the prejudice question, we resolve
this overarching question de novo.
See, e.g.
,
Wiggins
,
However, in resolving the merits of Strickland ’s first prong (i.e., performance), the OCCA made a related, but distinct and independent, merits determination regarding Mr. Grant’s substantive competency. See Grant , 205 P.3d at 10. We are obliged to take this ruling into account in our analysis of Strickland ’s prejudice prong. And it seemingly can be determinative regarding whether Mr. Grant can prevail under that prong. For instance, commenting on what constitutionally effective counsel would have done for him, Mr. Grant states:
Reasonably effective counsel, with a client whose competency was as mercurial as Grant’s, would have investigated, checked medication records, interviewed the mental health professionals at [the Oklahoma County Detention Center] who were treating him daily, challenged Grant’s mental capacity to make a written confession, and heeded the signs of decompensation noted by their own expert.
Aplt.’s Opening Br. at 64. But, even assuming arguendo the performance of Mr. Grant’s trial counsel was constitutionally deficient for failing to take such steps—and, significantly, for failing to seek a second competency trial—if Mr. Grant was actually competent , their unconstitutional performance would not have prejudiced him. More specifically, any motion that Mr. Grant’s purportedly effective counsel would have filed for a second competency proceeding would have been properly denied.
AEDPA’s deferential standards are appropriately applied to our review of
the OCCA’s distinct and independent merits determination of Mr. Grant’s
competency. And this is true even though—as Mr. Grant urges—we conduct a de
novo review of the overarching and
related
question of whether Mr. Grant was
prejudiced by trial counsel’s assumed unconstitutional performance.
Compare
Spears
,
The question then becomes what AEDPA standards govern this question:
viz.
, AEDPA’s standards pertaining to issues of fact (notably, § 2254(e)(1))
[13]
or
*60
those relating to law-dependent mixed questions of fact and law (i.e.,
§ 2254(d)(1)). Precedent from the Supreme Court and our court at least strongly
suggests that, in determining that Mr. Grant was substantively competent, the
OCCA resolved “a factual issue” that “shall be presumed to be correct”;
Mr. Grant would thus bear the burden of rebutting that presumption “by clear and
convincing evidence.” 28 U.S.C. § 2254(e)(1);
see Thompson v. Keohane
, 516
U.S. 99, 113 (1995) (noting that certain “practical considerations . . . prompted
the Court to type questions like . . . competency” as “factual issues”);
Demosthenes v. Baal
,
The Supreme Court “typed” the competency issue as a factual one, even
though it is not comprised solely of “simple historical fact[s],”
Miller v. Fenton
,
While these issues encompass more than “basic, primary, or
historical facts,” their resolution depends heavily on the trial
court’s appraisal of witness credibility and demeanor. This Court
has reasoned that a trial court is better positioned to make
decisions of this genre, and has therefore accorded the judgment
of the jurist-observer “presumptive weight.”
Id.
at 100 (citation omitted) (citing
Wainwright v. Witt
,
We recognize that the key cases cited
supra
—
Thompson
,
Demosthenes
, and
its seminal Tenth Circuit progeny,
Spitzweiser-Wittgenstein
—were decided under
a pre-AEDPA version of § 2254 that contained the presumption-of-correctness
language that subsequently found a home in subsection (e)(1) of § 2254, with
AEDPA’s 1996 enactment. However, the presumption-of-correctness language
before
and
after AEDPA is intended to effectuate federalism principles by
“giv[ing] great weight to the considered conclusions of a coequal state judiciary,”
Miller
,
As it turns out, however, we need not definitively determine whether
subsection (e)(1)’s standard applies here. That is because whether this standard
applies or, alternatively, AEDPA’s standard pertaining to law-dependent mixed
questions—specifically, the standard of subsection (d)(1),
see Michael Williams
,
Relevant to both scenarios, specifically, the OCCA considered the totality
of the evidence, including the supplemental materials that Mr. Grant submitted
with respect to his purported incompetency, and found “no reason to second-guess
the judgment of those parties most familiar with [Mr. Grant’s] history of mental
problems before and during the trial—defense counsel, the trial court, and the
defense experts retained at that time.”
Grant
,
Notably, the OCCA stated:
[Mr. Grant’s] two-lawyer defense team was experienced and zealous, considering that the overwhelming evidence against their client limited their options. At no time did either of them express doubts about their client’s competency during the trial. Their chief mental-health expert, Dr. Grundy, who spent many hours interviewing [Mr. Grant] over the lengthy course of the prosecution, attended at least part of the trial and testified for the defense. Yet, there is no indication that Dr. Grundy had doubts about [Mr. Grant’s] competency, either at that time or on reflection afterward.
Id.
The OCCA moreover called into question the adequacy of Mr. Grant’s supplemental medical records that supposedly “suggest[ed] that in mid–2005, [Mr. Grant] was not diligent about taking medications prescribed to treat his mental illness.” Id. at 8. Mr. Grant contends that these “psychiatric medications . . . . [were] required to keep him competent.” Aplt.’s Opening Br. at 65. And Dr. McGarrahan’s report underscored the point: “Most all of the mental health professionals who evaluated Mr. Grant, including court-ordered experts and State’s experts agreed that Mr. Grant’s competency was basically dependent upon . . . his use of psychotropic medications.” R., Vol. I, at 774.
Regarding the medication records, however, the OCCA stated: The jail records regarding [Mr. Grant’s] medication history do not warrant a different result. [Mr. Grant] claims these logs *66 show that he was, at times, non-compliant in taking his prescribed medication. However, the affidavit accompanying these logs indicates that complete records for crucial time periods—particularly, most of September 2005, all of October 2005, and most of November 2005, when the trial was held—are missing or incomplete.
Grant
,
Similarly, Mr. Grant also attacks vigorously the OCCA’s reasoning regarding the competency implications of his decision to testify and to send his two September 2005 letters. But we discern nothing in these arguments that would undermine the presumption of correctness that would attach to any OCCA factual finding that Mr. Grant was competent, and at the very least, “it is possible fairminded jurists could disagree” about whether the OCCA’s reasoning here regarding competency conflicts with Supreme Court precedent. Harrington , 562 *67 U.S. at 102.
In this regard, the OCCA rejected Mr. Grant’s argument that his decision to
testify, despite trial counsel’s contrary advice, militates in favor of a conclusion
that he was not competent.
See Grant
,
The OCCA also did not shy away from addressing whether Mr. Grant’s September 2005 letters evinced that he was incompetent. Relevant to the so- called EYE letter, the OCCA reasoned:
[Mr. Grant] points to several cryptic comments in his writings , in his colloquies with the court, and in his trial testimony, as evidence that he did not understand the nature of the proceedings. But these comments were not delusions that sprang from [Mr. Grant’s] own mind. They related to an unconventional philosophy, or religion of sorts, that [Mr. Grant] adhered to, similar in some respects to the Black Muslim or Nation of Islam movements, and known variously as “The Nation of Gods and Earths” or “The Five Percenters.” This set of beliefs is not uncommon among inmates in the Northeastern United States, where [Mr. Grant] had grown up and been incarcerated.
Id. at 9 n.6. Moreover, in the same vein as its comments regarding Mr. Grant’s decision to testify in the sentencing proceeding, the OCCA offered the following remarks regarding Mr. Grant’s letter to the prosecutor:
The letter [Mr. Grant] addressed to the prosecutor shortly before trial, wherein he detailed his commission of the crimes, may not have been the most prudent course of action, but it does not show that he was unable to grasp the ramifications of such an admission. To the contrary, the letter indicates that [Mr. Grant] was fully aware of what he was doing.
Id. at 9. Notably, in the letter, Mr. Grant acknowledges that he may pay a “price” for confessing, insists that he is not “crazy” and explains that he is making the statement because he is “tired” and “want[s] to help someone.” R., Vol. I, at 786–87.
Based on the foregoing, we conclude that Mr. Grant has not rebutted the presumption of correctness that attaches to the OCCA’s arguably factual competency finding; or , alternatively, has not demonstrated that the OCCA’s competency determination was contrary to or an unreasonable application of *69 clearly established federal law regarding substantive competency. Consequently, we must accept this competency determination in our de novo consideration of whether Mr. Grant can prevail under Strickland ’s prejudice prong. [15] And we *70 conclude that this competency determination sounds the death knell for Mr. Grant’s ineffective-assistance claim because it undercuts his ability to satisfy this prong.
Specifically, Mr. Grant cannot establish that, but for his trial counsel’s failure to monitor his alleged descent into incompetency, the result of his proceeding would have been different. For example, even if counsel had responded to Mr. Grant’s seemingly strange behavior and requested a second competency trial, they would not have been successful because Mr. Grant was in fact competent. In other words, given Mr. Grant’s competency, there is no reasonable probability that the court would have ruled favorably on such a motion. In sum, we conclude that Mr. Grant’s ineffective-assistance claim based on the failure to monitor fails under Strickland ’s prejudice prong. The district court reached a similar alternative holding. See R., Vol. I, 1584–85 (“[G]iven the OCCA’s conclusion that petitioner was competent at the time of his trial, even assuming that his counsel’s performance in allegedly failing to monitor petitioner’s competence was deficient, petitioner cannot show that he was prejudiced by his counsel’s failure or that fairminded jurists could not disagree *71 that petitioner was prejudiced.”). We uphold the district court’s denial of habeas relief on this claim.
4. Failure to Investigate and Present Evidence of Organic Brain Damage Mr. Grant’s habeas petition asserts that his trial counsel was constitutionally ineffective for failing to investigate and present evidence of his frontal-lobe damage at the sentencing phase of his trial. Trial counsel’s mitigation case focused on evidence of Mr. Grant’s schizophrenia, and his dysfunctional family background. Trial counsel presented “red flags” suggestive of organic brain damage, but never offered definitive evidence that Mr. Grant suffered from organic brain damage.
To support his ineffective-assistance claim on direct appeal, Mr. Grant presented a neuropsychological evaluation, performed by clinical psychologist Dr. Michael M. Gelbort, PhD, in which Dr. Gelbort diagnosed Mr. Grant with organic brain damage—specifically, damage to the frontal lobes. Based on Dr. Gelbort’s evaluation, Mr. Grant argued on direct appeal that trial counsel’s failure to investigate and present evidence of organic brain damage deprived him of his constitutional right to effective assistance of counsel. The OCCA rejected this argument, concluding that trial counsel’s performance was not constitutionally deficient and that Mr. Grant was not prejudiced by trial counsel’s failure to investigate and present evidence of his organic brain damage.
Mr. Grant raised this claim in his habeas petition in the district court and, *72 applying AEDPA deference, the district court found no error in the OCCA’s denial of Mr. Grant’s claim. Mr. Grant argues before us that the OCCA’s rejection of his claim is contrary to and an unreasonable application of clearly established federal law and is premised on unreasonable factual determinations. To aid our analysis, we first pause to explicate the OCCA’s adjudication of this particular claim. We then address Mr. Grant’s arguments and ultimately conclude that he has not shown that the OCCA’s denial of his claim was unreasonable or otherwise erroneous under AEDPA’s standards.
a
In analyzing Mr. Grant’s claim, the OCCA considered both the additional
evidence that Mr. Grant argued trial counsel should have discovered and
presented at the penalty phase of his trial—that is, as relevant here, Dr. Gelbort’s
report—as well as the mitigation evidence that was in fact presented to the jury.
The OCCA characterized Dr. Gelbort’s report as “linking some of [Mr. Grant’s]
mental deficits to an organic brain disorder, and concluding that these deficits
appeared very early in [Mr. Grant’s] life.”
Grant
,
Based on the mitigation evidence before the jury, the OCCA reasoned that “the fact that [Mr. Grant] had some sort of mental illness was never in serious dispute” and, as a result, even though evidence of “organic brain disorder might have shed light on one potential cause of [Mr. Grant’s] mental illness,” there was not a reasonable probability that Dr. Gelbort’s report “would have affected the jury’s sentencing decision.” Id. In particular, the OCCA opined that “the affidavits [Mr. Grant] submit[ted] on appeal do not present anything qualitatively different from what was presented at trial on these issues.” Id. The OCCA further found that Mr. Grant failed to “overcome the strong presumption that his trial counsel performed competently,” and denied his claim. Id.
b
Mr. Grant first argues that “the OCCA mischaracterized [his] claim as a
failure of trial counsel to call several witnesses who could have testified to
[Mr.] Grant’s mental illness generically.” Aplt.’s Opening Br. at 91
(emphasis omitted) (citing
Grant
,
As a threshold matter, it appears that Mr. Grant neglected to raise this
argument in his habeas petition. Consequently, we could decline to consider it.
See, e.g.
,
Parker
,
Reading the statement at issue in context, it appears to be merely a
shorthand reference to Mr. Grant’s claim, rather than a mischaracterization. The
OCCA’s opinion explicitly introduced the claim as one involving “trial counsel’s
failure to
investigate
aspects of [Mr. Grant’s] mental health.”
Grant
,
Furthermore, as previously noted, our focus under AEDPA’s deferential standard is on the reasonableness of a state court’s decision — viz. , whether that decision is contrary to or an unreasonable application of clearly established federal law or based on an unreasonable determination of the facts—not on the unalloyed rectitude of each line of text of a state court’s opinion. And Mr. Grant has not explained how this isolated line resulted in the OCCA performing an unreasonable analysis in contravention of AEDPA’s standards. Consequently, on this basis alone, we would reject Mr. Grant’s argument.
c
Mr. Grant argues that the OCCA’s finding that he suffered no prejudice
from trial counsel’s failure to investigate and present evidence of his organic
brain damage constitutes an unreasonable application of clearly established
federal law.
[16]
He asserts that “[p]rejudice has been specifically found by the
*76
Supreme Court from trial counsel’s deficient performance in not investigating a
client’s cognitive deficits.” Aplt.’s Opening Br. at 92 (citing
Michael Williams
,
In line with Mr. Grant’s arguments, we elect to focus our deferential review
under AEDPA on the OCCA’s prejudice ruling—
viz.
, its determination that there
is
not
a reasonable probability that, but for trial counsel’s failure to investigate
and present organic-brain-damage evidence, the jury’s sentencing verdict would
have been different.
See, e.g.
,
Strickland
,
i
“Evidence of organic brain damage is something that we and other courts,
including the Supreme Court, have found to have a powerful mitigating effect.”
Victor Hooks II
,
In
Littlejohn II
, we had occasion to elaborate on this “proposition”—and,
thereby, clarify the mitigating role that organic-brain-damage evidence plays in
the capital-sentencing context.
See Littlejohn II
,
[T]his proposition only has explanatory power with respect to our caselaw when appropriately qualified in two salient respects. First , it does not mean that all evidence of organic brain damage has the same potency in the Strickland prejudice analysis and will ineluctably result in a determination of prejudice. Our caselaw requires us to examine the precise nature of the alleged organic brain damage. In this regard, in several instances, we *79 have concluded that evidence alleged to show organic brain damage, or related mental-health evidence, would have had little, if any, impact on the jury’s decision-making process. . . . . . . .
Second , we have concluded, in some instances, that organic-brain-damage evidence would have been just as likely—if not more likely—to have had an aggravating effect rather than a mitigating effect on a sentencing jury.
Id. at 559–60 (citations omitted).
Put more simply, with respect to the first point, we must carefully consider
in our analysis the “precise nature” of the organic-brain-damage evidence at issue
and recognize that, though this category of evidence generally packs a powerful
mitigating punch, particular versions of it may be “qualitatively weak in their
mitigating effects on jurors.”
Id.
at 559, 566. And, regarding the second point,
because omitted mitigation evidence may have the effect of a “double-edged
sword”—cutting both in favor of mitigation and in favor of aggravation—we must
remain cognizant of the possibility that the evidence actually would have hurt
more than helped the petitioner’s mitigation case.
[18]
See Davis v. Exec. Dir. of
Dep’t of Corr.
,
ii (1) On direct appeal, Mr. Grant submitted the neuropsychological evaluation performed by clinical psychologist Dr. Gelbort. In summary, Dr. Gelbort’s report indicated that Mr. Grant has a “frontal lobe syndrome,” causing him to suffer from certain cognitive impairments. Aplt.’s Direct Appeal Appl. for Evidentiary Hr’g, Ex. G-2. He found that Mr. Grant’s “impairments . . . predate the [offense conduct],” “are omnipresent[,] and continuously affect his behavior in a negative *81 way.” Id. at Ex. G-3. More specifically, Dr. Gelbort found that Mr. Grant is “never as able as a normal individual to think logically, adaptively, and coherently,” and that “[h]is capacity for normal reasoning” is impaired. Id. As a result, “his behavior [was] less likely to conform to normal standards at the time of the crime.” Id.
Mr. Grant argues that this evidence could have explained to the jury that his frontal lobe damage “caused [the] neuro-cognitive deficiencies that are linked to his lifetime of impulsive, aggressive, and irrational behaviors.” Aplt.’s Opening Br. at 87. Moreover, he argues that Dr. Gelbort’s evidence could have “proved the brain damage to which trial counsel alluded, [and] also explained . . . . in mitigating terms the self-destructive impulsive behaviors that carried over into his devastating confession letter and testimony, and explained how his impulse to sabotage his case was impossible for him to control.” Id. at 61–62.
We conclude that the OCCA could have reasonably concluded that the
organic-brain-damage evidence from Dr. Gelbort “would have been qualitatively
weak in [its] mitigating effects on jurors.”
Littlejohn II
,
Indeed, evidence of impulse-control impairments would have been of modest explanatory power in this particular case, where the overwhelming evidence in the record indicates that Mr. Grant’s commission of the offenses at issue was not the result of impulse; on the contrary, Mr. Grant’s criminal episode was a planned, organized, and methodical one designed to secure money for his girlfriend’s bail. See, e.g. , R., Vol. IV, Trial Tr. VI, at 194 (“Q: So was it part of your plan, before you went there, that you were going to get the videotape [from the security camera]? [Mr. Grant:] Most definitely.”); id. at 194–95 (“Q: And so before you ever entered the La Quinta Inn that day you had a knife and a gun and you knew that you were going to kill whoever was there; is that correct?
[Mr. Grant:] Most definitely.”).]
As a result, in this case, any evidence of Mr. Grant’s inability to control his
impulses would have done little to connect the dots between his brain damage and
the offense conduct.
Cf. Hooks
,
Moreover, the OCCA also could have reasonably concluded that the
potency of Dr. Gelbort’s organic-brain-damage evidence would have been
significantly weakened by the fact that he never indicated that the negative
manifestations of Mr. Grant’s organic brain damage—for instance, his inability to
conform to societal norms—were treatable with medication or other such means.
See id.
at 565 (“[T]he mitigating effect of Mr. Littlejohn’s evidence of organic
brain damage would likely have been diminished by the lack of reliable treatment
options for Mr. Littlejohn’s attention deficit and impulse-control disorders.”);
cf.
Littlejohn I
,
In sum, we conclude that the OCCA could have reasonably concluded that
the “mitigating effects on the jurors” of the
particular
organic-brain-damage
evidence identified by Mr. Grant “would have been qualitatively weak.”
Littlejohn II
,
(2)
Furthermore, this qualitatively-weak evidence would not have been considered by the sentencing jury in a vacuum; Strickland and its progeny lead us to examine the role that the evidence would have played in Mr. Grant’s overall mitigation case. As the Supreme Court put it,
In making this determination, a court hearing an ineffectiveness claim must consider the totality of the evidence before the judge or jury. Some of the factual findings will have been unaffected by the errors, and factual findings that were affected will have been affected in different ways. Some errors will have had a pervasive effect on the inferences to be drawn from the evidence, altering the entire evidentiary picture, and some will have had an isolated, trivial effect.
Strickland
,
The OCCA observed that trial counsel “spent considerable time presenting
[mitigation] evidence to the jury.”
Grant
,
Dr. Grundy testified that he diagnosed Mr. Grant with schizophrenia and that this illness “significantly impaired his competency,” but that medication and a structured environment “helped his symptoms go into partial remission . . . to a great extent.” R., Vol. IV, Trial Tr. VI, at 231. He also noted that Mr. Grant was subject to certain “stressors” including that he grew up in “a high crime neighborhood” with “poor parental supervision,” and possibly “parental neglect.” Id. , Trial Tr. VII, at 19. Dr. Grundy explained that when these “stressors are present . . . mental illness worsens.” Id. at 20.
Dr. Grundy did not testify as to organic brain damage because he was not qualified to “examine . . . and assess” the “potential for organic brain damage.” Id. at 16, 18. However, he testified to certain “red flag” indicators of organic brain damage including that Mr. Grant was deprived of oxygen at birth. Id . at 16, 28. Moreover, Mr. Grant’s mother testified that she drank alcohol heavily during her pregnancy with Mr. Grant and that he was born “blue” and without a pulse. Id. , Vol. IV, Trial Tr. VI, at 133–34. And the jury was given the following mitigation instruction further reinforcing the potentiality for organic brain *86 damage: “There are indications of brain damage existing at or before Donald Grant’s birth[, including] his mother’s heavy consumption of alcohol during her pregnancy with Donald Grant and the loss of oxygen to him during delivery.” Id. , Trial Tr. VIII, at 34–35.
Dr. Williams testified regarding Mr. Grant’s “[v]ery pathological” childhood. Id. , Trial Tr. VII, at 181. Dr. Williams explained that Mr. Grant’s father was an alcoholic and his mother was addicted to crack cocaine, and that, as a result, “[h]e didn’t get any of the core values . . . the discipline accountability [values] in terms of a family system and support system. . . . [H]e didn’t get any positive rol[e] models early in life in relationship of support.” Id. at 181–82.
In light of the foregoing, we may certainly conclude that this is patently
not
a situation where Mr. Grant’s trial counsel just “did
something
” in the mitigation
case.
Michael Wilson I
,
Significantly, the omitted evidence of organic brain damage in this case would have merely supplemented the same mitigation theory as was already presented in the record. The jury heard evidence, inter alia , of Mr. Grant’s *87 schizophrenia diagnosis, and red flags of organic brain damage, as part of trial counsel’s strategy to show that Mr. Grant was relatively less morally culpable for his crimes. The omitted evidence of Dr. Gelbort’s evaluation and related testimony would have followed this same theme: Mr. Grant is less morally culpable for his crimes because of a mental impairment beyond his control. More specifically, trial counsel’s mitigation case was targeted specifically to explain and lessen Mr. Grant’s culpability for his offense conduct by underscoring a clinically-diagnosable mental-health condition afflicting Mr. Grant, that is, schizophrenia. And to this end, counsel put substantial evidence before the sentencing jury regarding Mr. Grant’s mental illness.
Thus, evidence of organic brain damage would have only supplemented,
rather than introduced, this mitigation theory to the sentencing jury. Indeed, the
further evidence of organic brain damage could have been in tension with the
mitigation case and had a doubled-edged effect. Whereas Dr. Grundy testified, as
to schizophrenia, that—though it “significantly impaired his competency”—
medication and a structured environment “helped his symptoms go into partial
remission . . . to a great extent,” R., Vol. IV, Trial Tr. VI, at 231, there was not
similar testimony from Dr. Gelborn regarding the possibility of successful
treatment options for Mr. Grant’s organic brain damage.
See, e.g.
,
Littlejohn II
,
Mr. Grant points to a number of cases in which the Supreme Court and this
one have found prejudice stemming from counsel’s failure to investigate and
present evidence of organic brain damage. In several of these cases—unlike the
circumstances here—trial counsel’s only mitigation theory was far afield from
that supported by (omitted) evidence of organic brain damage. For instance, in
Sears v. Upton
,
And, in
Wiggins
, the Court found prejudice where counsel argued only that
the defendant had a “clean record,” with no prior convictions, despite the fact that
“[t]he mitigating evidence that counsel failed to discover and present in this case
[was] powerful,” including evidence of petitioner’s “diminished mental
capacities.”
In each of these cases, the good-guy and beloved-family-member mitigating evidence presented by counsel was significantly different from the omitted—and potentially more powerful—evidence of organic brain damage, which could have served to explain and lessen the defendants’ moral culpability for their offense conduct. Not so here. Evidence of organic brain damage would have only supplemented, rather than introduced, the mitigation theory of Mr. Grant’s counsel to the sentencing jury.
Furthermore, a proper
Strickland
prejudice analysis would also necessarily
take into account the State’s potential case in aggravation.
See, e.g.
,
Michael
Wilson II
,
***
In sum, we are not persuaded that the OCCA was unreasonable in
concluding that this additional mental-health explanation for Mr. Grant’s offense
conduct—offered in the form of organic-brain-damage evidence from
Dr. Gelbort—would have created a reasonable probability that a juror would have
voted differently at Mr. Grant’s sentencing.
See Grant
,
5.
Failure to Investigate and Present Evidence of Delusional Belief System
Mr. Grant argues that he was denied effective assistance of counsel because
trial counsel “fail[ed] to investigate and present evidence that [Mr. Grant’s]
delusions were,” in fact, delusions and “not related to any recognized religion.”
Aplt.’s Opening Br. at 77 (capitalization altered). The district court found that
this claim was unexhausted. As we have noted, exhaustion in the state courts is a
prerequisite for habeas review in federal court.
See, e.g.
,
Davila
,
Mr. Grant argues that the district court erred because he presented this claim to the OCCA on direct appeal and in his application for post-conviction relief by presenting certain affidavits to the OCCA at each of these phases. Specifically, he contends that, on direct appeal, he presented this claim through the affidavits of Anna Wright and Natasha Briggs, both of whom worked in the medical unit at the prison where Mr. Grant was incarcerated. Additionally, he contends that he presented this argument on post-conviction through the affidavit of Stacey Hemphill, Mr. Grant’s cellmate.
We have comprehensively explicated in Part III.A.1,
supra
, the relevant
*93
principles governing exhaustion and, more specifically, the fair presentation of
federal claims in state court. We will not repeat that discussion here. Suffice it
to say that presenting the relevant facts to the state court is not enough to
constitute the fair presentation of a claim.
See Bland
,
Nor could we find any on our independent review of Mr. Grant’s briefing before the OCCA. His direct-appeal briefing makes no such argument. And his post-conviction brief likewise offers no argument on these matters. Mr. Grant does refer to Mr. Hemphill’s affidavit in his post-conviction brief, but Mr. Grant does so only in relation to his argument that he was tried while purportedly incompetent. Mr. Grant does not link Mr. Hemphill’s statement to an argument that trial counsel failed to investigate and present evidence that his seemingly delusional statements reflected actual delusions, rather than religious beliefs.
Accordingly, Mr. Grant failed to exhaust this claim in state court. This
argument would appear to be subject to an anticipatory procedural bar because the
Oklahoma courts would not entertain it if Mr. Grant were to return to those courts
either because they would find that Mr. Grant could have raised the claim on
*94
direct-appeal or subsequently in his post-conviction proceeding.
See, e.g.
,
Thacker
,
6. Failure to Investigate and Present Evidence of Pertinent Aspects of
Mr. Grant’s Childhood
Mr. Grant received a COA to challenge trial counsel’s failure to investigate and present evidence of pertinent aspects of his childhood. Mr. Grant argues that trial counsel failed to “uncover family historians who observed unusual behaviors in Donald as a child.” Aplt.’s Opening Br. at 78. Specifically, Mr. Grant points to affidavits submitted with his post-conviction application that as a child he “acted crazy,” and was “unpredictable[,] impulsive,” and “mentally ill.” Id. (quoting Aplt.’s App. to Post-Conviction Appl., Ex. 7, 8). He asserts that his “case in mitigation would have been significantly stronger if counsel had thoroughly interviewed [his] mother and siblings, and interviewed other family members [that] post-conviction counsel easily found.” Id. For the reasons set forth below, we uphold this aspect of the district court’s denial of Mr. Grant’s petition.
a
To make sense of Mr. Grant’s request for relief, we pause briefly to review the procedural history of this particular claim.
On direct appeal, Mr. Grant argued that trial counsel rendered ineffective
assistance,
inter alia
, by omitting certain evidence of his dysfunctional childhood
from its mitigation case. For support, he submitted “three affidavits from friends
or family which discuss his disadvantaged childhood, and offer occasional
examples of his strange behavior in the years preceding the instant crimes.”
Grant
,
In his post-conviction application, Mr. Grant argued that trial and direct- appeal counsel rendered ineffective assistance by “failing to investigate and present to the jury [additional] compelling mitigation evidence.” Aplt.’s Post- Conviction Appl. at 35 (capitalization altered). Specifically, Mr. Grant identified *96 several of his family members who could have testified to pertinent aspects of his childhood. He submitted affidavits of his mother, Mary Williams, his sister, Juzzell Robinson, and his younger brother, Lennox Grant. These three family members each testified at sentencing, but Mr. Grant argued that they had additional information that went undiscovered by trial and direct-appeal counsel. He also submitted affidavits from two uncles, John Robinson and Isaiah Robinson, and his cousin, Louis Robinson. Mr. Grant explained that these family members would have been willing to testify but were never asked to do so. In its denial of Mr. Grant’s post-conviction application, the OCCA found that Mr. Grant’s claim “reformulate[d] an argument presented and addressed on direct appeal,” and was therefore “barred [from post-conviction review] under the doctrine of res judicata .” Grant II , No. PCD-2006-615, slip op. at 7.
b
Mr. Grant argues that our merits review of this claim should include the
materials that he submitted in post-conviction proceedings.
See
Aplt.’s Opening
Br. at 93 (“The post-conviction material should be considered as part of the
merits review of Grant’s claim.”). Mr. Grant asserts that, under
Cone v. Bell
, a
state court’s refusal to “review the merits of a petitioner’s claim on the ground
that it has done so already”—that is,
res judicata
—“creates no bar to federal
habeas review.”
Id.
(quoting
Cone v. Bell
,
In
Cone
, the state post-conviction court refused to consider a petitioner’s
claim based on its
erroneous
finding that the claim had been previously
adjudicated in state court.
Cone
,
But Mr. Grant is mistaken. Assuming
arguendo
that
Cone
is instructive
here at all, it leads in a different direction. It is true that, under
Cone
, the
OCCA’s refusal to consider his claim in the post-conviction context based on
res
judicata
created no bar to habeas review of the claim in the federal courts.
However, unlike in
Cone
, the OCCA has already adjudicated this claim on the
merits on direct appeal. In other words, the OCCA was not mistaken in
concluding that it had previously considered the claim. Indeed, Mr. Grant does
*98
not dispute this; more specifically, he does not contest the OCCA’s finding that
his post-conviction claim was merely a reformulation of his direct-appeal claim
and thus barred by
res judicata
. Consequently, as applied here,
Cone
would
simply instruct that the OCCA’s refusal to consider the claim post-conviction on
res judicata
grounds creates no barrier to our review of its resolution of this claim
on direct appeal
. And because the OCCA reached the merits on direct appeal,
unlike in
Cone
, we are bound by AEDPA and, notably, its prohibition against the
consideration of materials that were not part of the state-court record when the
state court ruled.
See, e.g.
,
Cullen
,
Stripped of those materials and the possibility of de novo review, Mr. Grant offers little to advance his cause. Specifically, Mr. Grant has not shown—or, for that matter, even argued here—that, under AEDPA, the OCCA’s rejection of this particular ineffective-assistance claim is contrary to or an unreasonable application of clearly established federal law, or premised on an unreasonable determination of the facts. Rather, he asserts only that his “case in mitigation would have been significantly stronger if counsel had thoroughly interviewed [his] mother and siblings, and interviewed other family members [that] post- conviction counsel easily found.” Aplt.’s Opening Br. at 78. Mr. Grant may be *99 correct, but this argument falls patently short of satisfying the AEDPA standard.
To satisfy AEDPA, Mr. Grant needed to go further—for example, arguing
that the OCCA’s rejection of his ineffective-assistance claim is contrary to or an
unreasonable application of clearly established federal law in light of the
“significantly stronger” mitigation case that trial counsel could have—but did
not—present.
See, e.g.
,
Littlejohn I
,
***
In sum, Mr. Grant has not persuaded us that the OCCA’s rejection of his ineffective-assistance claim here— viz. , that trial counsel was constitutionally ineffective in failing to investigate and present further evidence of his troubled and dysfunctional childhood—was contrary to or an unreasonable application of clearly established federal law, or an unreasonable determination of the facts. Accordingly, we uphold the district court’s resolution of this portion of Mr. Grant’s petition. [19]
C. Jury Instruction and Closing Statements
on Mitigation Evidence
Mr. Grant argues that one of the sentencing-phase jury instructions, Instruction 12, standing alone and in conjunction with the State’s closing arguments, unconstitutionally limited the jury’s consideration of evidence presented in mitigation of his death sentence. Instruction 12 provides in pertinent part: “Mitigating circumstances are those which, in fairness, sympathy, and mercy, may extenuate or reduce the degree of moral culpability or blame.” O.R. 2349 (Instr. 12). In Mr. Grant’s view, this text of Instruction 12 (i.e., the “moral- culpability text”) caused the jury to ignore otherwise proper mitigating evidence, and the prosecution exploited this allegedly infirm instruction in its closing arguments.
On direct appeal, the OCCA reviewed and rejected on the merits Mr. Grant’s dual challenge to the moral-culpability text of Instruction 12 and the related prosecutorial statements. Mr. Grant argued that “the prosecutor focused on only part of the definition of mitigating evidence, and thus unfairly limited the jurors’ consideration of the evidence [he] had offered as mitigating.” Grant , 205 P.3d at 20. And he relatedly contended that “the prosecutor misstated the law by telling the jurors that the evidence he had presented as ‘mitigating’ did nothing to justify a sentence less than death.” Id. However, the OCCA ruled that “[t]he jurors in this case were properly instructed that anything could be considered *102 mitigating.” Id. at 21. It further reasoned that
[Mr. Grant] confuses what kind of information may be offered as mitigating evidence, with whether that information successfully serves its intended purpose. While there is no restriction whatsoever on what information might be considered mitigating, no juror is bound to accept it as such, and the State is free to try to persuade the jury to that end. The prosecutor’s arguments did not misstate the law on this point.
Id.
Accordingly, the OCCA denied Mr. Grant’s dual challenge. Because it did so
on the merits, we must accord AEDPA deference to the OCCA’s decision.
[20]
See,
*103
e.g.
,
Victor Hooks II
,
1. Legal Framework
“[T]he Eighth and the Fourteenth Amendments require that the sentencer,
in all but the rarest kind of capital case, not be precluded from considering,
as a
mitigating factor
, any aspect of a defendant’s character or record and any of the
circumstances of the offense that the defendant proffers as a basis for a sentence
less than death.”
Lockett v. Ohio
,
[A]rguments of counsel generally carry less weight with a jury than do instructions from the court. The former are usually billed in advance to the jury as matters of argument, not evidence, and are likely viewed as the statements of advocates; the latter, we have often recognized, are viewed as definitive and binding statements of the law. Arguments of counsel which misstate the law are subject to objection and to correction by the court. This is not to say that prosecutorial misrepresentations may never have a decisive effect on the jury, but only that they are not to be judged as having the same force as an instruction from the court. And the arguments of counsel, like the instructions of the court, must be judged in the context in which they are made.
Id. (citations omitted).
Regarding the importance of context, “we accept at the outset the well
established proposition that a single instruction to a jury may not be judged in
artificial isolation, but must be viewed in the context of the overall charge.”
Cupp v. Naughten
,
There is, of course, a strong policy in favor of accurate determination of the appropriate sentence in a capital case, but there is an equally strong policy against retrials years after the first trial where the claimed error amounts to no more than speculation. Jurors do not sit in solitary isolation booths parsing instructions for subtle shades of meaning in the same way that lawyers might. Differences among them in interpretation of instructions may be thrashed out in the deliberative process, with commonsense understanding of the instructions in the light of all that has taken place at the trial likely to prevail over technical hairsplitting.
Id. at 380–81 (footnote omitted).
2. Analysis
a
We first address Mr. Grant’s argument that the moral-culpability text of
Instruction 12 violated his constitutional rights and that the OCCA’s approval of
the instruction was thus contrary to or an unreasonable application of clearly
established federal law. For support, Mr. Grant relies on an Oklahoma state case
decided after his trial called
Harris v. State
—which was on the books at the time
of his direct appeal—in which the OCCA expressed concern that prosecutors
“consistent[ly] misus[e] . . . the language in this instruction [i.e., the moral-
culpability text identical to that found in Instruction 12]” to argue that mitigating
evidence cannot be considered when it does not bear on moral culpability or
blame,
Mr. Grant argues, based on the OCCA’s criticism in
Harris
of the moral-
culpability text of the instruction before it, that the OCCA acted contrary to (as
well as unreasonably applied) clearly established federal law here when it held
that the identical moral-culpability text—which is contained in Instruction
12—was
not
unconstitutional. He asserts that the “OCCA’s actions [—i.e.,
endorsing reformation of the instruction in
Harris
—] speak far louder than its
internally inconsistent and thus unreasonable endorsement of the instruction as
constitutionally sound.” Aplt.’s Opening Br. at 103. In this regard, Mr. Grant
contends that in
Mills v. Maryland
,
We rejected this very argument, however, under similar circumstances in
Hanson
. In particular, we rebuffed the notion that
Mills
was “germane,” in light
of our examination of the “OCCA’s explanation as to why it amended the
instruction” in
Harris
.
Significantly, in repudiating the petitioner’s Eighth Amendment challenge to the instruction’s moral-culpability text, we also observed that “some of the other instructions from [the petitioner’s] trial concerning mitigating evidence *109 broadened the scope of evidence the jury could consider.” Id. at 851. First of all, within the instruction itself containing the moral-culpability text, there was language that informed the jury that it was its responsibility to determine what circumstances are mitigating under the facts before it. See id. We said that “[t]his statement broadened any potential limitations imposed by the first sentence of the instruction [i.e., the moral-culpability text].” Id. Further, we observed that there was another instruction given to the jury that “listed 11 specific mitigating circumstances for the jury to consider, some of which had nothing to do with [the petitioner’s] moral culpability”; it listed circumstances such as his family and emotional history, his fatherhood of a young son, and his trait of being “a follower.” Id. (quoting the instruction from the record). And that instruction concluded by counseling the jury as follows: “In addition, you may decide that other mitigating circumstances exist , and if so, you should consider those circumstances as well.” Id. (emphasis added) (quoting the instruction from the record). In light of these additional instructions, our resolution of the petitioner’s Eighth Amendment attack on the moral-culpability text of the instruction at issue was clear: “Viewing the challenged instruction in the context of all the instructions, we do not think the jury would have felt precluded from considering any mitigating evidence . . . .” Id. (emphasis added).
Hanson controls our resolution of Mr. Grant’s challenge to the moral- culpability text of Instruction 12 here. For the reasons stated in Hanson , *110 Mr. Grant’s Mills -based argument is without merit. Furthermore, as explicated infra in connection with our resolution of Mr. Grant’s prosecution-exploitation claim, the additional instructions relating to mitigating evidence that we concluded in Hanson “broadened the scope of evidence the jury could consider” also were present—in all material respects—in Mr. Grant’s case. Id. Therefore, Hanson ’s conclusion—through the broader lens of all of the instructions—that “the jury would [not] have felt precluded [by the moral-culpability text of the instruction] from considering any mitigating evidence,” id. , governs here as well regarding Instruction 12’s identical moral-culpability text. Indeed, Mr. Grant does not meaningfully dispute this conclusion. See Aplt.’s Opening Br. at 101 (“This Court recently held [in Hanson ] that, given other Oklahoma jury instructions, the instruction itself does not violate the Constitution.”). But he has “respectfully persist[ed] in presenting his concerns about the instruction to, at minimum, preserve them for potential further review.” Id. However, applying AEDPA deference to the OCCA’s determination upholding the constitutionality of the moral-culpability text of Instruction 12, and adhering to Hanson ’s reasoning and holding, we must reject Mr. Grant’s contention here.
b
We turn now to the contention that Mr. Grant pursues with greater vigor: specifically, that the prosecution’s arguments to the jury impermissibly exploited Instruction 12’s moral-culpability text in a way that makes it reasonably likely *111 that the jury believed that it was limited to only considering evidence in mitigation that extenuated or reduced Mr. Grant’s moral culpability or blame. See Aplt.’s Opening Br. at 103 (noting that “the prosecutor’s exploitation” of the moral-culpability text effected an Eighth Amendment violation). According to Mr. Grant, the prosecution improperly argued that certain “evidence did not qualify as ‘mitigating’ because it did not reduce his moral culpability or blame for the crime.” Id. (citing R., Vol. IV, Trial Tr. VIII, at 73–75, 79–80). [21] Mr. Grant contends that the prosecution’s arguments violated his Eighth Amendment rights safeguarded by Lockett and its progeny by preventing the sentencing jury from “consider[ing] all mitigating evidence.” Aplt.’s Opening Br. at 107. [22] We *112 disagree.
We begin our analysis by explicating the prosecution’s arguments upon *113 which Mr. Grant grounds his Eighth Amendment challenge. Then, putting those arguments in the broader context of the instructions before the jury and other arguments to the jury by the prosecution and the defense, we conclude that the OCCA did not act unreasonably when it concluded that there was no reasonable likelihood that the jury believed—based on the prosecution’s arguments—that it was limited to only considering evidence in mitigation that had the effect of extenuating or reducing Mr. Grant’s moral culpability or blame.
i
Mr. Grant’s central concerns relate to the arguments made by one of the two prosecutors representing the State at trial—Sandra Elliott—during the prosecution’s rebuttal closing. This closing followed the defense’s closing argument, which repeatedly informed the jury that the defense’s intention was not to “excuse what happened in this case,” but rather to offer “an explanation” for it. R., Vol. IV, Trial Tr. VIII, at 44. As material here, the prosecution responded:
You know, what I noted about the argument of defense counsel is they spent a long time trying to describe to you how what they have offered in mitigation is not an excuse, how what they’re trying to tell you about the life and times of Donald Grant is not an excuse for the behavior that he committed at the La Quinta Inn in July of 2001. And that is exactly what the law says. Because one thing that I noticed that they did not talk about in their closing argument is what the definition of a mitigating circumstance is. Because the law tells you what that means . It tells you that in order -- first of all, you have two choices: Do you believe that the mitigating circumstance has been proven *114 because you don’t have to believe everything that you have heard from the witnesses who testified. You can choose what parts you want to believe and disregard those parts that you believe perhaps people were exaggerating about or somehow trying to make things sound a whole lot worse than they actually were. But let’s assume for the sake of argument that everything that you were told was correct, that not any person made up or fudged a little bit in what they were telling you about. What does it say mitigating circumstances are? What does that mean when we say that something may mitigate the murder of these two women, the lives that he took? It says that mitigating circumstances are those which reduce the moral culpability or blame of the defendant. That those things, in order to be mitigating, must reduce his moral culpability or blame .
Id. (emphases added). After the defense unsuccessfully challenged this argument on the ground that it “would tend to mislead the jury into believing” that the defense’s evidence did not qualify as “proper mitigation circumstances to consider,” the prosecution continued:
It’s not Sandra Elliott telling you that this will make something mitigating, that’s what the law says . And we all talked about during voir dire that we would be discussing the law that the Court’s going to be giving you. And the law says, not Sandra Elliott, not what the defense attorneys say, but what the Court tells you and what the law says is that before something can be mitigating it must reduce the moral culpability or blame of the defendant .
Id. at 75 (emphases added). Lastly, in one instance, the prosecution specifically employed the moral-culpability text of Instruction 12 to argue against one element of Mr. Grant’s mitigation case, relating to his alleged schizophrenia. In this regard, Ms. Elliott stated:
Does it reduce his moral culpability, his moral blame for what he *115 did? And I would submit to you that it does not in any way. So while they may say to you that I’m not offering this as an excuse for Mr. Grant’s behavior, you have to look at whether or not it reduces his moral culpability or blame. That is what the law says that you must do .
Id. at 79 (emphasis added).
Mr. Grant contends that the prosecution’s rebuttal closing arguments had the unconstitutional effect of precluding the jury from considering that portion of his proferred mitigation evidence that did not extenuate or reduce his moral culpability or blame; as he reasons, the jury would have been operating under the mistaken belief—instilled by the prosecution—that this evidence was not legally proper mitigating evidence and thus should not be considered. However, applying AEDPA’s deferential standards, we ultimately conclude that the OCCA was not unreasonable in reaching a contrary conclusion.
To be sure, we acknowledge that a plausible argument could be made here
that the prosecutor’s rebuttal arguments were “improper”—that is, one could
plausibly contend that those remarks resemble the kind of “misuse” of the moral-
culpability text that concerned the OCCA in
Harris
.
Put another way, even if we were to accept that the prosecution’s rebuttal arguments here were improper, that would not necessarily mean that the OCCA was unreasonable in concluding that there was no Lockett error because there was no reasonable likelihood that the jury was precluded by those arguments from considering all of Mr. Grant’s mitigating evidence—including the evidence that did not extenuate or reduce his moral culpability or blame. Indeed, considering the record as a whole—notably, the jury instructions and other unchallenged aspects of the prosecution’s closing arguments, as well as the defense’s closing arguments—we conclude that the OCCA was not unreasonable in ruling (in substance) that the prosecution’s closing arguments did not violate Mr. Grant’s Eighth Amendment rights established by Lockett and its progeny.
Significantly, based on the totality of the record, it would not have been
unreasonable for the OCCA to conclude that, even if some of the prosecution’s
comments were improper, that it was
not
reasonably likely that the jury read the
comments as doing anything more than vigorously—but permissibly—attacking
the veracity, credibility, and weight of Mr. Grant’s mitigating evidence, rather
than barring or “cut[ting] off in an absolute manner,”
Johnson
,
Before turning to the specifics, we underscore that the question before us is not whether the OCCA’s determination of this issue is wrong. Rather it is whether “it is possible fairminded jurists could disagree” about whether the *118 OCCA’s decision conflicts with Supreme Court precedent. Harrington , 562 U.S. at 102. And we conclude that such a disagreement is indeed possible.
ii
Our
Hanson
decision is also helpful in our resolution of Mr. Grant’s
prosecution-exploitation claim because there we rejected essentially the same
challenge to an Oklahoma prosecutor’s alleged exploitation of the moral-
culpability text of the pattern mitigating-evidence jury instruction to preclude the
jury’s consideration the defense’s proferred mitigating evidence.
See Hanson
,
The petitioner in
Hanson
argued that the prosecutor unconstitutionally
exploited the moral-culpability text when “the prosecutor told the jury to consider
whether any of the mitigating circumstances ‘really extenuate or reduce [the
petitioner’s] degree of culpability or blame in this case.’”
(1)
The Hanson panel made only a shorthand reference to the jury instructions in the context of determining the prosecution-exploitation claim. Id. (saying “[i]n light of all of the instructions”). But the panel’s extensive analysis of those instructions in disposing of the petitioner’s challenge to the constitutionality of the instruction’s moral-culpability text makes sufficiently clear to us the import of this reference. As noted supra , the Hanson panel concluded that “some of the other instructions from [the petitioner’s] trial concerning mitigating evidence broadened the scope of evidence the jury could consider.” Id. at 851. These instructions supported the panel’s conclusion that the OCCA could have reasonably determined that the jury instruction containing the moral-culpability text was not itself unconstitutional. Id. The logical implications of the panel’s analysis for its resolution of the prosecution-exploitation claim are patent. First, because the moral-culpability text itself was not unconstitutional—at least in the context of other, broadening instructions—the prosecutor’s isolated references to *120 that text, without more, did not effect a constitutional violation. And, second, by “broaden[ing] the scope of evidence the jury could consider,” id. , the jury instructions militated against and served to counteract any allegedly impermissible efforts of the prosecution to limit the jury’s consideration of mitigating evidence to only that evidence that extenuated or reduced moral culpability and blame. We are confident that the Hanson panel discerned these obvious implications and took them into account in rejecting the petitioner’s prosecution-exploitation claim.
This mode of analysis based on jury instructions is significant here as well
and contributes to our decision to reject Mr. Grant’s claim. In this regard, we
underscore at the outset that a jury is presumed to follow the trial court’s
instructions.
See, e.g.
,
Weeks v. Angelone
,
Further, akin to
Hanson
,
id.
at 151, there was another instruction that
informed the jury that “[e]vidence ha[d] been introduced as to [specified] . . .
mitigating circumstances
” O.R. 2350 (Instr. 13) (emphasis added), and then listed
ten items, “some of which had nothing to do with [the petitioner’s] moral
culpability,”
Hanson
,
For instance, Instruction 13 listed the following: “A substantial portion of Donald Grant’s childhood was ! spent in a violent and drug-infested neighborhood.” “For extended periods of time, Donald Grant’s mother was ! unable or unwilling to take care of him to the extent that he sometimes was deprived of food and nurturing.” “Donald Grant’s life will be of value to other persons ! besides himself.” “Donald Grant’s family and cultural history indicate that
! he did not receive what most families consider important for their children to have success in the world.” *122 “Donald Grant periodically became a ward of the ! government at a young age.”
O.R. 2350–51.
Significantly, as evident from the foregoing quotation, many of the
identified mitigating circumstances that did not extenuate or reduce moral
culpability or blame—
viz.
, that fell outside of the scope of the moral-culpability
text—related to Mr. Grant’s difficult and turbulent upbringing. These factors
closely reflected a major thrust of Mr. Grant’s mitigation evidentiary presentation
and related closing arguments. As his defense counsel observed in closing
argument, the “horrible circumstances in [Mr. Grant’s] upbringing” constituted
one of “two categories” of circumstances it had stressed in its evidentiary
presentation and would discuss in his oral argument (the other being that
Mr. Grant “suffered from a very serious mental illness”). R., Vol. IV, Trial Tr.
VIII, at 47–48. One could reasonably conclude that the jury might be inclined to
view evidence that played such a marquee role in the defense’s mitigation
evidentiary presentation and oral argument as actually being legally permissible
mitigation evidence, absent a clear court instruction to the contrary. After all, the
court did not stop the defense from putting the evidence before the jury.
See
Boyde
,
And it would have been reasonable to conclude that Instruction 13’s list
would have tended to militate against and counteract any belief that the
prosecution’s rebuttal argument might have planted in the jury’s mind that it was
precluded from considering evidence in mitigation that did not extenuate or
reduce moral culpability or blame. This is especially so because—as in
Hanson
,
In sum, the Hanson panel relied in significant part on other unchallenged jury instructions in the record in concluding that the OCCA would not have been unreasonable in determining that the prosecution’s closing argument did not have the unconstitutional effect of precluding the jury from considering the petitioner’s proferred mitigating evidence that did not extenuate or reduce moral culpability or blame. The materially similar instructions in Mr. Grant’s record lead us in the same direction.
In addition, the trial court here specifically admonished the jury that its
instructions “contain all the law and rules you must follow,” O.R. 2357 (Instr.
17), and during the course of the prosecution’s arguments reminded the jury on
two occasions that the prosecution’s statements were “argument only” and “for
purposes of persuasion.” R., Vol. IV, Trial Tr. Vol. VIII, at 37;
see id.
at 34.
One could reasonably conclude that these instructions also would have tended to
make it less reasonably likely that the jurors would have “applied Instruction [12]
in a way that precluded them from considering mitigating evidence,”
Hanson
, 797
F.3d at 852, despite any prosecution arguments that may have had the effect
*125
(whether inadvertently or not) of militating to an appreciable extent in favor of
such preclusion.
See Boyd
,
(2)
The
Hanson
panel’s rejection of the petitioner’s claim also took account of
other unchallenged prosecution arguments that it deemed to have a corrective
effect. Specifically, the panel noted that “the prosecutor made a number of other
comments to the jury that encouraged them to consider any and all mitigating
evidence they thought relevant.”
Hanson
,
Following
Hanson
’s analytical methodology, we also have inquired into the
other unchallenged prosecution comments to assess whether they would have
made it less likely that a jury would have interpreted the arguably improper
prosecution rebuttal arguments here as precluding them from considering
mitigating evidence that did not extenuate or reduce moral culpability or blame.
We believe that those other unchallenged prosecution comments would have made
such an impermissible jury interpretation
less
likely. The prosecutor handling the
opening closing argument (who commenced the round of oral arguments)—i.e.,
Suzanne Lister—spent the lion’s share of her time casting doubt on the veracity,
credibility, and weight of the evidence supporting the mitigating circumstances
that the court identified in Instruction 13. Yet, as discussed
supra
, many of these
circumstances cannot be deemed ones that extenuate or reduce moral culpability
or blame. Nevertheless, as in
Hanson
(
These [factors of Instruction 13] are for you to consider . You don’t have to accept them. You can talk about them, you can talk amongst yourselves, you can talk about the testimony. . . . . . . .
The defendant has alleged the following mitigating *127 circumstances [in Instruction 13]: And I want to talk about them individually. And it’s up to you to determine whether or not these mitigators – whether or not these circumstances somehow mitigate what Donald Anthony Grant did . . . .
R., Vol. IV, Trial Tr. VIII, at 31–32 (emphases added).
At no point during her opening closing remarks did Ms. Lister assert that
the jury was not free under the law to consider
all
of the mitigating factors that
the court identified in Instruction 13 on the ground that some of them did not
extenuate or reduce moral culpability or blame. In other words, the first voice
that the jury heard during closing arguments identified several
circumstances—which the court had characterized as mitigating—that did not
have the effect of extenuating or reducing moral culpability or blame and, yet,
this voice never questioned whether those circumstances qualified under the law
as mitigating evidence. The jury might logically infer from this presentation that
the evidence actually
did
legally qualify as mitigating evidence, and that the
question before them was the one that Ms. Lister hammered on: whether there was
sufficiently accurate, credible, and weighty evidence to support a jury finding as
to these alleged mitigating circumstances.
Cf. Ayers v. Belmontes
,
To be sure, unlike
Hanson
, there were no further statements from the
prosecution—i.e., Ms. Elliott—in rebuttal closing that could reasonably suggest
that “the prosecutor encouraged the jury to consider all sorts of mitigating
evidence.”
Hanson
,
Therefore, we acknowledge that a plausible argument could be made under Hanson ’s analytical methodology— due to the comparatively greater strength of the permissible prosecution mitigation-related statements in Hanson —that Hanson is a stronger case than this one for concluding that it was not reasonably likely that the jury was precluded from considering mitigating evidence. In this vein, Mr. Grant argues that, unlike the prosecutor in Hanson who “extensive[ly] *129 ‘encourage[d]’” the jurors to consider the mitigating circumstances, the prosecutors in his case made more “generic” comments that never made up for the combined unconstitutional effect of the jury instruction and the prosecutors’ limiting statements regarding mitigation in rebuttal closing. Aplt.’s Opening Br. at 106. And Mr. Grant further suggests that any ameliorative statements the prosecutors made in his case were less effective than those in Hanson because they were made before the allegedly improper statements; according to Mr. Grant, in his case, the prosecutors’ “principal cabining [i.e., limiting] of mitigation evidence [took place] in their second closing [and] . . . was among the last things the jury heard before their deliberations.” Id. [23]
However, whether Hanson actually is a stronger case is immaterial. As explicated further infra , Hanson is not the measuring stick under AEDPA for *130 assessing whether the OCCA acted unreasonably in resolving this prosecution- exploitation claim; Supreme Court law is. [24] And Hanson certainly does not purport to establish the floor or an essential set of circumstances necessary for the State to prevail on such a claim. Hanson simply provides a useful analytical framework for resolving this case under its own unique facts because in Hanson we rejected essentially the same prosecution-exploitation challenge that Mr. Grant raises here.
In any event, even if we accept for purposes of argument that the legally
permissible prosecution statements in this case were more “generic” than those in
Hanson
, that does not mean that, coupled with the jury instructions, those
statements did not adequately highlight for the jury its singular responsibility to
consider
all
evidence proferred in mitigation—including evidence that did not
extenuate or reduce moral culpability or blame. And the OCCA could reasonably
conclude that they did so. Furthermore, any fair comparison of the strengths of
*131
the two cases would have to take into account on the other side of the ledger the
fact that there were instructions present here that were not mentioned in
Hanson
that expressly informed the jury that it should
not
treat the lawyers’ arguments as
expressing the governing law of the case.
See, e.g.
, O.R. 2357 (court
admonishing the jury that its instructions “contain all the law and rules you must
follow”); R., Vol. IV, Trial Tr. Vol. VIII, at 37 (court reminding the jury that the
prosecution’s closing-argument statements were “argument only” and “for
purposes of persuasion”). Presuming that jurors follow the court’s instructions,
see Weeks
,
Moreover, Mr. Grant’s argument regarding the timing of the allegedly harmful statements— viz. , they should be deemed more prejudicial than those in Hanson because they were delivered closer to the time the jury began its deliberations—relies on nothing more than speculation and conjecture about the impact of the timing of the statements on the jurors’ decision-making. One could just as well argue that the ameliorative statements of the prosecution (i.e., Ms. Lister) in the opening closing arguments—which were the first thing that the jury heard in that phase of the trial—would have had a more powerful impact on the jury than the statements in rebuttal closing. Compare Richard B. Klein, *132 T RIAL C OMMUNICATION S KILLS 15:4 (2d ed.) Westlaw (database updated Nov. 2017) (“[I]t is not possible to establish a fixed rule saying that the best tactic will always be to apply the primacy or the recency theory . . . .”), and Spencer H. Silvergate, Closing Argument , 25 T RIAL A DVOCATE QUARTERLY 28, 29 (2005) (“The laws of primacy and recency tell us that people best remember what they hear first and last. Therefore, the strongest points should be made at the beginning and end of the closing.”), with Bill Kanasky, Jr., The Primacy and Recency: The Secret Weapons of Opening Statements , 33 T RIAL A DVOCATE Q UARTERLY 26, 29 (2014) (“The recency effect is far less powerful [than certain primacy effects], as it is a simple enhancement of short-term memory due to recent exposure to information. In other words, it is easy to remember information that is presented an hour ago compared to information from a week ago.”). Mr. Grant cites no legal authority to support his position that the later comments in rebuttal closing in his case prejudiced him more than the ones in Hanson . For the foregoing reasons, we reject both of these arguments based on the comparative strength of Hanson .
At bottom, we must determine whether the OCCA would have been
unreasonable
in concluding that there was no reasonable likelihood that the jury
was precluded by the prosecution’s closing arguments from considering
all
of
Mr. Grant’s mitigation evidence—including the evidence that did
not
extenuate or
reduce his moral culpability or blame. Considering the record as a
*133
whole—notably, the jury instructions, other unchallenged aspects of the
prosecution’s closing arguments and the closing arguments of the defense—we
conclude that OCCA would not have been unreasonable. In this regard, we hold
that the OCCA’s decision was not contrary to or an unreasonable application of
Lockett
and its progeny. At the very least, “it is possible fairminded jurists could
disagree” about whether the OCCA’s decision conflicts with Supreme Court
precedent.
Harrington
,
iii
Regarding Supreme Court precedent, we do not lose sight of the fact that the focus of our deferential review under AEDPA is the clearly established law of the Supreme Court. In that regard, we are hard-pressed to conclude that the OCCA’s determination of Mr. Grant’s prosecution-exploitation claim was contrary to or an unreasonable application of Lockett and its progeny because Mr. Grant cannot point to even one case where the Supreme Court has approved of a grant of habeas relief under circumstances like those here. Put another way, we are reluctant to conclude that the OCCA’s approach was unreasonable when there is no relevant guidance from the Supreme Court.
In arguing for a contrary result, Mr. Grant highlights three Supreme Court cases in which the Court examined a jury instruction and related prosecution statements under Lockett , and ultimately remanded for resentencing. However, we discern nothing in these cases to alter our conclusion.
First, he cites
Penry v. Lynaugh
,
Moreover, even accepting that some of the prosecutors’ comments here
urged the jury to follow the law, as they did in
Penry
, if the jury had done so, it
not only would have followed the moral-culpability text of Instruction 12, but
*135
notably also Instruction 13, which “set[] out the mitigators that the defendant
allege[d the jury] should consider with regards to determining whether or not this
is mitigation,” R., Vol. IV, Trial Tr. VIII, at 31. And, as previously noted, many
of those mitigating circumstances listed in Instruction 13 did
not
involve matters
that properly could be viewed as extenuating or reducing moral culpability or
blame. Therefore, the OCCA could have reasonably viewed the jury here—unlike
in
Penry
—as having had a “vehicle for expressing the view that [Mr. Grant] did
not deserve to be sentenced to death based upon his mitigating evidence,”
Penry
,
Our exposition of our reasoning with respect to
Penry
permits us to
demonstrate in short order the flaw in Mr. Grant’s reliance on the second case,
LaRoyce Smith v. Texas
,
Lastly, Mr. Grant comes up the shortest in his reliance on the third
case—
Caldwell v. Mississippi
,
In sum, we are not convinced—with our focus properly set on Supreme Court caselaw, and viewing the record as a whole—that the OCCA’s conclusion *137 that it was not reasonably likely that the prosecution’s comments in closing argument unconstitutionally restricted the evidence the jurors could consider in mitigation was contrary to or an unreasonable application of Lockett and its progeny.
c
Finally, Mr. Grant argues that the OCCA’s “unreasonable assessment . . . is likely traceable to factual error and confusion revealed in the OCCA opinion.” [25] Aplt.’s Opening Br. at 109. Specifically, Mr. Grant points to footnote 34, in which the OCCA purported to refer to the jury instruction at issue—Instruction 12—but, by mistake , described the post- Harris reformed version of this standard *138 mitigation instruction, which was never given in Mr. Grant’s case. This misstatement, however, is merely a scrivener’s error. In footnote 33, the OCCA explicitly stated that the Grant trial court applied the pre- Harri s (i.e., pre- reformation) mitigation jury instruction—which contained the moral-culpability text—thus indicating an understanding of the pre- and post- Harris instruction distinction. As such, in our view, footnote 34’s reference to this reformed instruction is a mere mistake, lacking in decisional or legal significance. It certainly does not suggest that the OCCA’s ruling rested on “an unreasonable determination of the facts in light of the evidence.” 28 U.S.C. § 2254(d)(2). Mr. Grant’s argument is without merit.
***
In sum, Mr. Grant has not demonstrated that the OCCA’s rejection of his challenge to Instruction 12—and, more specifically, that instruction’s moral- culpability text—and the prosecution’s statements relating to the instruction is contrary to or an unreasonable application of clearly established federal law, or premised on an unreasonable determination of the facts. Therefore, we uphold the district court’s denial of habeas relief on this claim.
D. Batson Claim
Mr. Grant argues that he is entitled to habeas relief because the trial court
permitted a prosecutor to use a peremptory strike to exclude a potential juror on
the basis of race. Mr. Grant raised this claim before the OCCA on direct appeal,
*139
and the OCCA rejected the claim on the merits. Therefore, we ordinarily would
accord AEDPA deference to the OCCA’s resolution of this claim. Mr. Grant
contends, however, the OCCA’s decision was contrary to the controlling
Supreme Court case—
Batson v. Kentucky
,
We determine that the OCCA’s decision—and, more specifically, its treatment of comparative-juror analysis—is not contrary to, or an unreasonable application of Batson and its progeny. Therefore, AEDPA supplies the appropriate standard of review. And, given Mr. Grant’s failure to make an explicit Batson argument under AEDPA, we could very well end our analysis there. But, even were we to reach the merits of the Batson claim under AEDPA, Mr. Grant could not prevail. We would conclude that the OCCA’s Batson determination neither contravenes the legal nor the factual standards of AEDPA.
1. Legal Framework
In
Batson
, the Supreme Court held that “the Fourteenth Amendment’s
Equal Protection Clause prohibits the prosecution’s use of peremptory challenges
to exclude potential jurors on the basis of their race.”
House
,
First, a defendant must make a prima facie showing that a peremptory challenge has been exercised on the basis of race [. S]econd, if that showing has been made, the prosecution must offer a race-neutral basis for striking the juror in question [. T]hird, in light of the parties’ submissions, the trial court must determine whether the defendant has shown purposeful discrimination.
Miller-El II
,
“[I]f, at step three, the court finds the proffered ground to be pretextual, it
*141
may determine that the strike was purposeful discrimination.”
Black v. Workman
,
More specifically, in the AEDPA context, the deferential analytical rubric
of § 2254(d)(2) comes into play and, to grant relief, “a federal habeas court must
find the state-court conclusion ‘an unreasonable determination of the facts in light
of the evidence presented in the State court proceeding.’”
Rice v. Collins
, 546
U.S. 333, 338 (2006);
accord Black
,
2. Background and Adjudication on Direct Appeal
Mr. Grant’s
Batson
claim concerns potential juror Valerie Jamerson, an
African-American woman. When asked to give a race-neutral explanation for
removing Ms. Jamerson, the prosecution stated that Ms. Jamerson “was one of the
jurors who said she could not look at photographs and did not want to look at
*143
photographs that might be graphic.” R., Vol. IV, Trial Tr. III, at 113. Mr. Grant
challenged the prosecution’s justification on direct appeal, “pointing out that
several non-minority panelists who were not challenged by the State had
expressed similar discomfort at having to consider photographs that were assured
to be gruesome.”
Grant
,
[R]acially-motivated discrimination is not
established
simply
because panelists of different races provide similar responses,
and one is excused while the other is not. Rather,
all the
attendant circumstances are relevant
to whether the strike was
racially motivated. [
Miller-El II
,
3. Analysis
a
Mr. Grant argues that the OCCA’s rejection of his
Batson
claim is contrary
to clearly established federal law. Specifically, he argues that the OCCA
“rejected, or at the very least devalued, the use of comparative juror analysis,”
and that this “approach was contrary to [the] clearly established law of
Miller-
*144
El[II]
.” Aplt.’s Opening Br. at 116. More specifically, he challenges the
OCCA’s statement that “racially-motivated discrimination is not established
simply because panelists of different races provide similar responses, and one is
excused while the other is not.”
Id.
at 114–15 (quoting
Grant
,
At the outset, it is important to clarify what Batson and its progeny do not expressly hold. This line of cases does not explicitly state that comparative juror evidence, standing alone, must be accorded determinative effect with regard to the question of racially-motivated discrimination—i.e., Batson ’s third step. In other words, these cases do not explicitly provide that, if a racial minority juror and a non-minority juror voice a similar response during voir dire and the prosecutor excludes only the minority juror, that this is conclusive proof of the prosecutor’s discriminatory motive.
Notably,
Miller-El II
—the case that Mr. Grant principally relies on—does
not articulate this proposition. Rather, it is reasonably read as standing for the
patently logical view that such evidence is probative of discriminatory intent and,
indeed, may be persuasive evidence thereof. In this regard, the Court in
Miller-El
II
stated, “If a prosecutor’s proffered reason for striking a black panelist applies
*145
just as well to an otherwise-similar nonblack who is permitted to serve, that is
evidence
tending to prove
purposeful discrimination to be considered at
Batson
’s
third step.”
Miller-El II
,
Indeed,
Miller-El II
and subsequent cases of the Court underscore that “in
considering a
Batson
objection, or in reviewing a ruling claimed to be
Batson
error,
all
of the circumstances that bear upon the issue of racial animosity
must be
consulted
.”
Snyder
,
That is not to say that, under certain circumstances, the Court has not
expressly found that comparative juror evidence was “compelling.”
Foster
, 136
S. Ct. at 1754. However, even in
Foster
—a case where the evidence fit this
description—the Court recognized that, in conducting its third-step,
discriminatory-intent analysis, “that is not all.”
Id.
In addition to comparative
juror evidence, the Court noted the prosecutor’s “shifting explanations” for
*146
dismissing the minority jurors and the “persistent focus on race in [notes relating
to voir dire that the Court attributed to the prosecution team].”
Id.
Concluding
its analysis, the
Foster
Court stated, “Considering all of the circumstantial
evidence that ‘bear[s] upon the issue of racial animosity,’ we are left with the
firm conviction that the strikes of [the minority jurors] were ‘motivated in
substantial part by discriminatory intent.’”
Id.
(quoting
Snyder
,
In light of the foregoing, we cannot conclude that the OCCA’s ruling is
contrary to the clearly established federal law of
Batson
and its progeny. There is
at least a “possibility fairminded jurists could disagree,”
Harrington
,
Because the OCCA’s Batson ruling, as it pertains to comparative juror evidence, is not contrary to Batson and its progeny, we must reject Mr. Grant’s call for us to apply de novo review on this basis to his Batson claim. Significantly, Mr. Grant does not explicitly contend that the OCCA’s Batson ruling is also infirm under AEDPA deference— viz. , he does not argue that we should conclude under AEDPA that the OCCA committed Batson error. Therefore, we could end our analysis here. However, even were we to reach the merits of the Batson claim under AEDPA, Mr. Grant could not prevail. Specifically, as we have previously discussed, the OCCA’s Batson determination regarding Ms. Jamerson was neither contrary to nor an unreasonable application of Batson . And, most relevant here, it also was not a decision “based on an unreasonable determination of the facts in light of the evidence.” 28 U.S.C. § 2254(d)(2), and there is no evidence that would clearly and convincingly rebut the presumption of correctness that attaches to the OCCA’s factual findings regarding whether the prosecutor acted with purposeful discrimination in excluding Ms. Jamerson from the jury.
b
Like Mr. Grant’s briefing, we focus on the third step of Batson —that is, whether the prosecutor engaged in purposeful discrimination in striking Ms. Jamerson. Significantly, Mr. Grant’s discussion of his Batson claim centers *148 solely on comparative juror evidence. In other words, he does not identify other circumstances from which the OCCA could have found a Batson violation at step three. Therefore, we similarly focus on this evidence.
The comparative juror evidence in the record clearly indicates that the
OCCA was not unreasonable in finding that there was no showing of purposeful
discrimination in violation of
Batson
. The OCCA could have reasonably
determined on the record that Ms. Jamerson and the two identified non-minority
jurors were
not
similarly situated. Therefore, the prosecutor’s differential
treatment of them would not be “evidence
tending to prove
purposeful
discrimination to be considered at
Batson
’s third step.”
Miller-El II
,
More specifically, as noted, the prosecution indicated that it peremptorily dismissed Ms. Jamerson because she expressed hesitancy about viewing graphic photos. Mr. Grant argues that “[n]on-minority jurors Abrams and Dinwiddie expressed the same concerns about the gruesome photographs [as Ms. Jamerson], but were not stricken.” Aplt.’s Opening Br. at 114. In our view, the OCCA would not have been unreasonable in reaching a contrary conclusion.
The OCCA could have reasonably concluded that Ms. Jamerson expressed more concern about viewing graphic photographs than Jurors Abrams and Dinwiddie. Upon questioning regarding her ability to look at graphic photographs, Ms. Jamerson said “I think it would be difficult. Even if it’s not *149 real, it’s on TV, I have problems looking at it. . . . [I]t’s [too hard] sometimes to stop your emotions.” R., Vol. IV, Trial Tr. I, at 226. She later stated, “I think I would have a hard time. Even on TV when it is not real I can’t watch it. I don’t want to see it.” Id. at 227. Finally, the prosecutor asked, “[T]he key is do you have the stomach to do it, if you are called upon to serve the community?” and Ms. Jamerson responded, “If I was called on.” Id. at 228. Ms. Jamerson thus expressed clear reluctance three times before she agreed that she could look at the graphic photographs and, notably, indicated that even when she knows the graphic images are not real (i.e., on TV), she has trouble watching them.
By contrast, Juror Abrams could reasonably be viewed as expressing a lesser degree of concern. Juror Abrams agreed that she could look at graphic photographs the first time that she was asked about the matter in voir dire. Specifically, the prosecutor told her that “you may see some things that are pretty graphic,” and asked Ms. Abrams “how [she would] feel about that.” Id. at 248. Juror Abrams responded, “I think it would be upsetting, but I think I can handle it.” Id. The prosecutor said, “12 people have to listen to the facts of this case, have to look at the photographs and have to make a determination. Are you okay with that if you are called upon?” Id. Juror Abrams responded, “Yes.” Id.
Juror Dinwiddie likewise could reasonably be viewed as expressing less concern about the gruesome photographs than Ms. Jamerson. When Juror Dinwiddie was seated, the prosecutor asked “do you understand that there may be *150 some very graphic testimony, there may be some very graphic photographs that as a juror you have to look at.” Id. , Trial Tr. III, at 31. And Juror Dinwiddie responded, “Yes, I understand.” Id. The prosecutor added, “And is that something that you can do?” Id. And Juror Dinwiddie responded “Well, just like everyone else, it’s not something anyone wants to do, but if that is what I’m being asked to do I believe I have the courage and the strength to do it.” Id. (emphasis added).
In our view, this comparative juror evidence clearly indicates that the
OCCA would not have been unreasonable in finding that Ms. Jamerson was not
similarly situated to the non-minority jurors who expressed some concern about
gruesome photographs—
viz.
, Ms. Jamerson expressed more concern about
viewing graphic photographs than Jurors Abrams and Dinwiddie. Consequently,
under
Batson
, the prosecutor’s exclusion of Ms. Jamerson and retention of the
other two would not be “evidence
tending to prove
purposeful discrimination to
be considered at
Batson
’s third step.”
Miller-El II
,
Thus, the record strongly indicates that the OCCA was not unreasonable in
finding that there was no showing of purposeful discrimination in violation of
Batson
—that is, for finding that “[t]he prosecutor’s explanation for striking
*151
[Ms. Jamerson] was sufficiently race-neutral.”
[26]
Grant
,
E. Cumulative Error
Mr. Grant’s final claim is that, even if we decline to grant habeas relief on
any one of his aforementioned individual claims, we should nonetheless reverse
the district court’s denial of his petition under the cumulative-error doctrine.
[27]
*152
“The cumulative effect of two or more individually harmless errors has the
potential to prejudice a defendant to the same extent as a single reversible error.
The purpose of a cumulative-error analysis is to address that possibility.”
United
States v. Rivera
,
“It is not lost on us, however, that ‘as easy as the standard may be to state in
*153
principle, it admits of few easy answers in application.’”
Littlejohn II
,
Where and how, then, should a court draw the line between what’s ordinary (and ordinarily harmless) and what’s rare (and fundamentally unfair)? Especially when the errors we are called on to accumulate may be very different in kind (incommensurate) and involve separate aspects of the case (guilt versus penalty)? Our precedent doesn’t say except to suggest that wherever the cumulative error line may fall, it is not crossed often.
The OCCA rejected Mr. Grant’s cumulative-error arguments on direct
appeal and on post-conviction review, finding no errors to cumulate. However, in
resolving under the prejudice prong of
Strickland
Mr. Grant’s ineffective-
assistance claims based on counsel’s alleged failure (1) to monitor his
competency, and (2) to investigate and present mitigating evidence of organic
brain damage, we have effectively assumed that counsel’s performance was
constitutionally deficient.
See Cargle
,
Because the OCCA did not conduct a cumulative-error analysis (much less
one involving these precise errors), we must perform our own de novo, employing
the well-established standard found in
Brecht v. Abrahamson
,
We have no such grave doubt here. We turn first to counsel’s assumed error
in failing to investigate and present mitigating evidence of organic brain damage.
Based especially on our analysis in Part II.B.4.c,
supra
, “we do not believe the
Strickland
prejudice question [as to this individual error] is a close one.”
Littlejohn II
,
As for the other assumed error—i.e., involving the failure to monitor Mr. Grant’s purported decline into incompetency—we can hardly do more. After all, as we explicated in Part II.B.3.c, supra , we must accept the OCCA’s related—but distinct and independent—determination that Mr. Grant was in fact substantively competent. Therefore, any prejudice stemming from the unreasonable failure of Mr. Grant’s counsel to monitor his descent into incompetency cannot rise above the modest level, when Mr. Grant was in fact competent .
In Littlejohn II , in facing a similar showing of purported cumulative error, we reasoned:
From a purely additive or sum-of-the parts perspective, the three dashes of modest prejudice that we have assumed here . . . hardly constitute, in the aggregate, a recipe for the kind of prejudice that would render Mr. Littlejohn’s resentencing proceeding fundamentally unfair or cause us to have grave doubts about whether the errors affected the jurors’ verdict, especially when viewed in the context of the State’s substantial case in aggravation.
To be sure, cumulative-error analysis is not confined solely to this
perspective. As we recognized in
Cargle
, harmless individual errors may possess
“an inherent synergistic effect,”
In sum, we cannot conclude that, viewed collectively, the two ineffective- assistance errors that we have assumed here—relating to counsel’s failure (1) to monitor Mr. Grant’s competency, and (2) to investigate and present mitigating *158 evidence of organic brain damage—had a substantial and injurious effect on the jury’s consideration of Mr. Grant’s case and, more specifically, we are not in grave doubt about the likely effect of these errors (in the aggregate) on the jury’s verdict either in the guilt or penalty phase. Accordingly, we affirm the district court’s denial of this final aspect of Mr. Grant’s petition.
IV. MOTION TO EXPAND COA
Mr. Grant has filed a motion to expand the COA to add a sixth claim that the “jury was prevented from considering mitigation evidence in violation of the Sixth, Eighth, and Fourteenth Amendments by mechanistic application of state evidentiary rules.” Aplt.’s Mot. for COA at 3. Specifically, Mr. Grant’s claim addresses two groups of expert reports: (1) eight reports authored by Dr. Curtis Grundy (“Grundy Reports”), who testified for Mr. Grant during the penalty stage of his trial, and (2) ten psychological reports on Mr. Grant authored by other doctors that Dr. Grundy relied on in forming his opinions (“other expert reports”). The sentencing court excluded both sets of reports and the OCCA found the exclusion to be within the sentencing court’s discretion.
Specifically, the OCCA found that (1) the Grundy Reports were cumulative of Dr. Grundy’s testimony, and (2) the other expert reports were properly excluded absent the live testimony of their authors. The OCCA offered a detailed explanation as to the latter ruling:
By excluding the [other expert reports], the trial court avoided placing undue emphasis on writings by authors who were never asked to come to court and testify about them. Many of these reports contain information and terminology which might be confusing to someone outside the world of psychology and psychiatry. Liberal admission of such documents could turn trials into paper wars, and undermine the fundamental preference for live testimony subject to cross-examination. Further, admitting a stack of evaluations by non-testifying experts runs a serious risk of confusing the jury.
Grant
,
In his § 2254 petition, Mr. Grant argued to the district court that the OCCA’s affirmance of the sentencing court’s exclusion of both sets of reports was contrary to clearly established federal law. The district court rejected this argument. Mr. Grant now seeks a COA on this additional issue. We deny relief.
A. Legal Standard
“[A] prisoner who was denied habeas relief in the district court must first
seek and obtain a COA” before he may secure a merits review on appeal.
Miller-
*160
El I
,
To make this showing, a petitioner must demonstrate that “reasonable jurists
could debate whether (or, for that matter, agree that) the petition should have been
resolved in a different manner or that the issues presented were ‘adequate to
deserve encouragement to proceed further.’”
Id.
at 475 (quoting
Barefoot v.
Estelle
,
With this legal framework in mind, we address Mr. Grant’s arguments to expand the COA. We ultimately conclude that Mr. Grant has not made a sufficient showing to warrant issuance of a COA.
B. Excluded Evidence 1. Grundy Reports
Mr. Grant argues that the OCCA’s exclusion of the Grundy Reports was
contrary to
Skipper v. South Carolina
,
The Court concluded that the additional evidence was not cumulative and that its exclusion constituted reversible error. See id. at 8. The Court explained:
The evidence petitioner was allowed to present on the issue of his conduct in jail was the sort of evidence that a jury naturally would tend to discount as self-serving. The testimony of more disinterested witnesses—and, in particular, of jailers who would have had no particular reason to be favorably predisposed toward *162 one of their charges—would quite naturally be given much greater weight by the jury.
Id. (emphasis added). In light of the prosecutor’s contention that the defendant posed a continuing threat even if incarcerated, the Court concluded that “it appears reasonably likely that the exclusion of evidence bearing upon petitioner’s behavior in jail (and hence, upon his likely future behavior in prison) may have affected the jury’s decision to impose the death sentence.” Id. Therefore, the Court declared the exclusion of the evidence “reversible error.” Id.
Here, Mr. Grant argues that the exclusion of the Grundy Reports as cumulative was contrary to Skipper . He acknowledges, however, that Dr. Grundy’s testimony—which the jury heard—and the Grundy Reports both reflect Dr. Grundy’s medical opinions of Mr. Grant’s mental illness. But he argues that the reports are not cumulative of Dr. Grundy’s testimony because they contain different examples of Mr. Grant’s behavior, and therefore their exclusion is contrary to Skipper .
We conclude, however, that no reasonable jurists could debate that the
OCCA’s decision to exclude the Grundy Reports was
not
contrary to or an
unreasonable application of
Skipper
. The OCCA could have reasonably concluded
that the facts of
Skipper
are distinguishable. More specifically, it could have
reasonably concluded that no circumstances in this case—including with respect to
the contents of the Grundy reports themselves—would have naturally led
*163
Mr. Grant’s jury to accord “much greater weight” to the Grundy Reports than the
live testimony from Dr. Grundy.
See Skipper
,
2. Other Expert Reports
With regard to the other expert reports, Mr. Grant asserts that they contain
“critical mitigating evidence . . . that Dr. Grundy’s testimony did not, and could
not fully address.” Aplt.’s Mot. for COA at 12. Accordingly, Mr. Grant argues
that the exclusion of the other expert reports for lack of authentication violates
Lockett
and its progeny. As we noted in Part II.C.1,
supra
, the
Lockett
Court held
that the Constitution “require[s] that the sentencer, in all but the rarest kind of
capital case, not be precluded from considering, as a mitigating factor, any aspect
of a defendant’s character or record and any circumstances of the offense that the
defendant proffers as a basis for a sentence less than death.”
However, we conclude that no reasonable jurists could debate that the OCCA’s decision to exclude the other expert reports was not contrary to or an unreasonable application of Lockett . More specifically, the OCCA could have reasonably determined that the evil that Lockett addressed was not present here. The other expert reports concern Mr. Grant’s mental illness and Mr. Grant was never prevented from presenting evidence of his mental illness as a mitigating *164 factor. The record is replete with evidence of Mr. Grant’s mental illness, including Dr. Grundy’s testimony that Mr. Grant had schizophrenia. Rather, by excluding the other expert reports, the court prevented Mr. Grant from submitting evidence of additional examples and proof of Mr. Grant’s mental illness. The OCCA could have reasonably determined that such an exclusion is not a concern of Lockett — viz. , the OCCA could have reasonably concluded that Lockett does not stand for the proposition that every scrap or scintilla of evidence bearing on a defendant’s mitigation issue—here, mental illness—must be admitted without consideration of the rules of evidence. In sum, no reasonable jurists could debate the conclusion that Mr. Grant has not made a substantial showing that the OCCA’s decision is contrary to or an unreasonable application of Lockett .
Mr. Grant also relies on
Crane v. Kentucky
,
***
In sum, we conclude that no reasonable jurist could debate the correctness of the district court’s decision to deny Mr. Grant a COA regarding the exclusion of the Grundy Reports and the other expert reports, or deem the matter one that was worthy of encouragement to proceed further. Accordingly, we deny Mr. Grant’s motion to expand the COA.
V. CONCLUSION
In sum, for the reasons explicated above, we AFFIRM the district court’s decision denying Mr. Grant’s § 2254 petition for a writ of habeas corpus. We also DENY Mr. Grant’s motion to expand the COA.
No. 14-6131, Grant v. Royal
MORITZ, J. , dissenting.
During the rebuttal portion of her closing argument, the prosecutor told Grant’s jury, “[T]he law says . . . that before something can be mitigating it must reduce the moral culpability or blame of the defendant.” R. Vol. 4, Trial Tr. 8, at 75 (emphasis added). And to ensure that no reasonable juror would have cause to doubt her, the prosecutor reinforced that this wasn’t just what she was saying or what the court was saying, but what “ the law sa[id].” Id. (emphasis added). I would find that no reasonable juror would have doubted her. Nor would a reasonable juror have doubted the prosecutor on the three other separate occasions when she told the jurors that the law prohibited them from considering evidence as mitigating unless it reduced Grant’s culpability or blame.
The majority doesn’t dispute that the prosecutor misstated the law on mitigating evidence. Nor does it dispute that she did so repeatedly. Instead the majority questions whether the jury believed those repeated misstatements. Yet I see no reason to think it wouldn’t have. The prosecutor’s numerous misstatements found explicit support in the jury instructions. [1] Further, the trial court implicitly endorsed the prosecutor’s misstatements by overruling the defense’s objection to them. It’s therefore clear that the jury felt legally precluded from considering all of Grant’s mitigation evidence. Grant’s *167 death sentence therefore violates the Eighth and Fourteenth amendments, and I would reverse the district court’s order denying Grant’s habeas petition.
Analysis
The majority all but concedes that the prosecutor’s comments impermissibly
narrowed the scope of evidence that the jury could treat as mitigating. But it nevertheless
affirms Grant’s death sentence because it opines that the OCCA reasonably concluded
that the prosecutor’s improper comments didn’t actually mislead the jury. In doing so, the
majority errs in two respects. First, the majority overlooks the fact that the OCCA
misunderstood Grant’s argument on direct appeal and therefore didn’t actually adjudicate
this claim on the merits. Thus, AEDPA’s deferential standard of review doesn’t apply.
See Chadwick v. Janecka
,
The majority “acknowledge[s] that a plausible argument could be made here that
the prosecutor’s rebuttal arguments were ‘improper.’” Maj. Op. 115 (quoting
Harris v.
State
,
2
those statements actually were,
id.
(quoting
Harris
,
I. Flaws in Grant’s Sentencing Proceeding
“[I]n capital cases the fundamental respect for humanity underlying the Eighth
Amendment requires consideration of the character and record of the individual offender
. . . as a constitutionally indispensable part of the process of inflicting the penalty of
death.”
Woodson v. North Carolina
,
3
not give it no weight by excluding such evidence from [its] consideration” (emphasis added)).
Clearly established Supreme Court precedent therefore requires that Grant’s jury
felt free to at least consider all the mitigating evidence that Grant presented. Of course the
jury could have properly decided to give that evidence little weight.
See Eddings
, 455
U.S. at 114–15. But Grant’s death sentence cannot stand if there’s a “reasonable
likelihood that the jury would have found itself foreclosed from [even] considering” his
mitigating evidence.
Johnson v. Texas
,
Finally, in determining whether the jury felt free to consider all of Grant’s
mitigating evidence, we review the totality of the jury instructions and closing arguments.
See id.
at 383–86 (considering challenged instruction in context of closing arguments and
other jury instructions);
Penry v. Lynaugh (Penry I)
,
4
A. Instruction 12
Like the majority, I start with the instruction that defined mitigating circumstances for the jury. Instruction 12 stated, in relevant part, “Mitigating circumstances are those which, in fairness, sympathy, and mercy, may extenuate or reduce the degree of moral culpability or blame. The determination of what circumstances are mitigating is for you to resolve under the facts and circumstances of this case.” O.R. 2349.
Instruction 12 is ambiguous at best. The word “may” might arguably broaden the
instruction.
Id.
But at least some jurors very likely read Instruction 12 to prevent the jury
from “consider[ing],
as a matter of law
,”
Eddings
,
Indeed, even the OCCA has recognized that Instruction 12 can be problematic
when the prosecution takes certain liberties in its closing arguments.
See Harris v. State
,
5
14. But the OCCA refrained from declaring that Instruction 12 was unconstitutional in the absence of such improper arguments. [2] See id. at 1113.
B. The Prosecution’s Improper Assertions
Our starting point is thus an instruction that—at minimum—flirts with the
impermissible. But as
Penry I
,
Boyde
, and
Hanson
instruct us, we must consider the
totality of the jury instructions and closing arguments. Doing so here only reinforces the
*172
unavoidable conclusion that the jury likely believed it couldn’t consider Grant’s evidence
as mitigating. That’s because, during closing arguments, the prosecution here did exactly
what “troubled” the OCCA in
Harris
: the prosecution used Instruction 12 to “argue that
evidence of [Grant’s] history, characteristics [and] propensities should not be considered
as mitigating simply because” that evidence didn’t “go to his moral culpability or
extenuate his guilt.”
Grant produced two categories of mitigating evidence during the sentencing phase. First, he proffered significant evidence showing that he was schizophrenic. Second, he offered testimony from family members establishing that he experienced an abhorrent childhood that was riddled with parental drug abuse, extreme poverty, and violence. In its closing argument-in-chief during Grant’s penalty phase, the prosecution focused on attacking the sufficiency of the evidence that Grant offered. In other words, the prosecution tried to convince the jury that Grant wasn’t actually schizophrenic and that his childhood wasn’t that bad. Grant doesn’t dispute that this was appropriate; nor do I. The jury isn’t required to believe all the testimony it hears, and the prosecution is free to implore it not to.
Then, during Grant’s closing arguments, his attorneys asked for the jury’s sympathy. They were frank about the fact that none of the mitigating evidence Grant presented would actually reduce his moral culpability or guilt. As one of Grant’s attorneys told the jury, “I want to be clear that none of the mitigating evidence that we . . . will ask you to consider excuses . . . what happened in this case. And we understand that and we don’t ask you to excuse what happened in this case. It’s an
7
explanation.” R., vol. 4, Trial Tr. 8, at 44. Both of Grant’s attorneys repeated this theme throughout their closing arguments. For example, one attorney explained, “We didn’t get up in [the guilt] stage and try to tell you . . . Grant is not guilty because he is schizophrenic, but it is an explanation. It’s a reason that he ended up where he ended up.” Id. at 53. Then, after reviewing the evidence of Grant’s terrible upbringing, Grant’s attorney again explained, “I’m not t[r]ying to say that it’s okay that [Grant] committed a crime because he had tough environments, I’m just trying to explain to you how . . . Grant got to this point in his life.” Id. at 58.
Then Grant’s other attorney took over. She began discussing Grant’s life and then told the jury,
I’m going to stop in the story here and talk about that idea of fault for a minute because what we’re talking about doesn’t have to do with fault . . . . So don’t let [the prosecution] tell you or don’t presume on your own that we’re telling you that . . . Grant’s life is an excuse for what he did. It is not an excuse for what he did. We’re not saying that. It never will be an excuse. What it is is appropriate information to consider in determining punishment.
Id. at 64–65 (emphasis added). The defense’s theme is clear and reasonable. Grant’s attorneys recognized that he committed a horrible crime. And they recognized that neither his mental illness nor his childhood reduced his culpability or his blame. But these are undisputedly relevant mitigating factors, so the defense urged the jury to consider them and show Grant mercy.
Given the defense’s theme, I question whether the jury would have read
Instruction 12—even in isolation—as “provid[ing] a vehicle for the jury to give
mitigating effect to” Grant’s evidence.
Penry I
,
8
Instruction 12 defined mitigating circumstances as “those which, in fairness, sympathy, and mercy, may extenuate or reduce the degree of moral culpability or blame.” O.R. 2349. And in light of the defense’s repeated concessions that Grant’s mental illness and childhood did neither, it’s difficult to see how the jury could have read Instruction 12 as allowing it to consider this evidence as mitigating.
But even if some jurors might have read Instruction 12 in isolation to allow the jury to consider evidence that didn’t reduce Grant’s culpability or blame, the prosecution’s rebuttal arguments made it nearly certain that the jurors would conclude they couldn’t do so.
For instance, shortly into her rebuttal, the prosecutor picked up where Grant’s attorneys left off and told the jury the following:
You know, what I noted about the argument of defense counsel is they spent a long time trying to describe to you how what they have offered in mitigation is not an excuse, how what they’re trying to tell you about the life and times of . . . Grant is not an excuse for the behavior that he committed at the La Quinta Inn in July of 2001. And that is exactly what the law says . Because one thing that I noticed that they did not talk about in their closing argument is what the definition of a mitigating circumstance is. Because the law tells you what that means . It tells you that in order— first of all, you have two choices: Do you believe that the mitigating circumstance has been proven because you don’t have to believe everything that you have heard from the witnesses who testified. You can choose what parts you want to believe and disregard those parts that you believe perhaps people were exaggerating about or somehow t[r]ying to make things sound a whole lot worse than they actually were. But let’s assume for the sake of argument that everything that you were told was correct, that not any person made up or fudged a little bit in what they were telling you about. What does it say mitigating circumstances are? What does that mean when we say that something may mitigate the murder of these two women, the lives that he took? It says that mitigating circumstances are those which reduce the moral culpability or blame of the defendant . That those things , in order to be mitigating, must reduce his moral culpability or blame.
9
R. Vol. 4, Trial Tr. 8, at 73–74 (emphases added).
At this point, the defense objected, the parties conferred at the bench, and the trial court overruled the objection. Then the prosecutor continued:
It’s not Sandra Elliott [the prosecutor] telling you that this will make something mitigating, that’s what the law says . And we all talked about during voir dire that we would be discussing the law that the [c]ourt’s going to be giving you. And the law says, not Sandra Elliott, not what the defense attorneys say, but what the [c]ourt tells you and what the law says is that before something can be mitigating it must reduce the moral culpability or blame of the defendant.
Id. at 75 (emphases added).
Finally, after discussing the specifics of the evidence Grant presented, the prosecutor repeated, “So while [the defense] may say to you that [they are] not offering this as an excuse for . . . Grant’s behavior, you have to look at whether or not it reduces his moral culpability or blame. That is what the law says that you must do .” Id. at 79 (emphasis added).
The prosecutor thus made clear that the jurors could fully exercise their discretion to decide whether, as a factual matter, Grant’s evidence proved the circumstances he asserted as mitigating. But she told them that they couldn’t stop there. Instead, they then had to decide whether the factors that Grant proved reduced his culpability or blame. If not, the prosecutor explained, the law prohibited the jurors from considering those factors as mitigating.
Using mandatory language like “must,” the prosecutor’s comments improperly conveyed to the jury that each factor Grant asserted as mitigating had to impact moral culpability or blame to be a mitigating factor. Id. at 75; accord id. at 79. And even more
10
problematically, she added clear qualifying language indicating that this was a prerequisite to ultimately considering a factor as mitigating at all. See id. (“[ B ] efore something can be mitigating it must reduce the moral culpability or blame of the defendant.” (emphasis added)). With these comments, the prosecutor explicitly tethered the legal definition of “mitigating circumstance” to a circumstance that reduced Grant’s moral culpability or blame. And she repeatedly and explicitly made clear that this wasn’t just her own guidance to the jury; it was what “the law” compelled. Id. at 75; accord id. at 73; id. at 79.
Put differently, my objection is that the prosecution used an ambiguous jury
instruction to inject an additional, unconstitutional step into the mitigation analysis.
Normally, the jury should undertake a two-step process. First, it should consider whether
the evidence actually supports the defendant’s asserted mitigating factor.
Cf. Eddings
,
11
The result is the precise scheme that the Court rejected in
Eddings
. In that case,
the sentencing judge concluded that “‘in following the law,’ he could not ‘consider the
fact of [the defendant]’s violent background.’”
Eddings
,
The majority disagrees. In doing so, it relies heavily on comparisons to
Hanson
,
We’ve explained that the prosecution may “comment[] on the weight that should
be accorded to the mitigating factors” but may not “suggest that the jury [is] not
permitted to consider the factors.”
Fox v. Ward
,
12
them].”
Id.
at 852 (alteration in original) (citation omitted). But it doesn’t appear that the
prosecution in
Hanson
suggested—as the prosecutor did here—that, “
as a matter of law
,”
the jury couldn’t conclude the evidence was mitigating if it didn’t reduce the defendant’s
culpability or blame.
Eddings
,
II. Grounds for Habeas Relief
It’s thus abundantly clear that the prosecutor’s comments here were “an egregious
misstatement of the law on mitigating evidence.”
Harris
,
The majority errs in two respects. First, the OCCA didn’t address this argument “on the merits,” 28 U.S.C. § 2254(d), so AEDPA’s deferential standard of review doesn’t apply. And second, it beggars belief to conclude that there’s no reasonable likelihood the
13
jury followed the prosecution’s commands. So even if the OCCA reached this conclusion, it did so unreasonably.
A. Proper Standard of Review
1. Grant’s Failure to Argue for De Novo Review
Preliminarily, the majority concludes that we must defer to the OCCA because
Grant doesn’t argue for de novo review. But “the correct standard of review under
AEDPA is not waivable.”
Gardner v. Galetka
,
Despite Gardner ’s broad language, the majority suggests it doesn’t apply to the specific facts before us here. According to the majority, congressional interests in federalism, comity, and finality require us to defer to the state court regardless of whether
14
the state argues we should. But those same concerns, the majority indicates, forbid us from reviewing the state court de novo unless the petitioner argues we should.
For several reasons, I find the majority’s attempts to distinguish
Gardner
unavailing. First,
Gardner
simply applies to the habeas context the more general rule
“that ‘the court, not the parties, must determine the standard of review, and therefore, it
cannot be waived.’”
United States v. Fonseca
,
Second, the majority doesn’t explain how we would offend principles of
federalism or comity by reviewing de novo an argument that the OCCA didn’t address on
the merits, even if the petitioner hasn’t asked us to apply that less deferential standard of
review. Federalism and comity require us—within reason—to respect how a state court
chooses to resolve an issue.
See
§ 2254(d);
Woodford v. Garceau
,
Third, as much as AEDPA seeks to protect federalism and comity, it also seeks to
ensure that defendants aren’t convicted or sentenced in violation of federal law.
See
Murdoch v. Castro
,
15
(explaining that deferring to state-court decision that doesn’t resolve particular federal
claim “upsets the ‘delicate balance’ struck by AEDPA between vindicating the rights of
criminal defendants and upholding the authority of state courts as the primary forum for
adjudicating these rights” (quoting
Williams v. Taylor
,
Finally, the case that the majority relies on—
Eizember v. Trammell
,
16
waive the appropriate standard of review.
See id.
at 1140–41 (majority opinion). Nor
would we have had any reason to do so.
Gardner
explicitly left open the path the
majority followed in
Eizember
: it distinguished between “lines of [substantive]
argument” (which are subject to traditional principles of waiver and forfeiture) and
AEDPA’s standard of review (which is not).
Gardner
,
2.
The OCCA’s Misunderstanding of Grant’s Argument
In arguing to the OCCA on direct appeal that the state improperly precluded the
jury from considering his mitigating evidence, Grant framed his argument more or less as
I do above. The state’s key error, he explained, was that it “argued to the jury not to even
consider his proffered evidence as mitigating
under the law
given to them.” Aplt. Br. at
79,
Grant v. State
,
The OCCA misunderstood this argument as merely “claim[ing] the prosecutor
misstated the law by telling the jurors that the evidence [Grant] had presented as
‘mitigating’
did nothing to justify
a sentence less than death.”
Grant
,
17
information might be considered mitigating, no juror is bound to accept it as such, and the State is free to try to persuade the jury to that end.” Id.
The majority accepts this faulty characterization of Grant’s argument. See Maj. Op. 101–02. But a look to Grant’s briefing on direct appeal reveals that Grant never asserted that the state erred by arguing the mitigating evidence did nothing to justify a sentence less than death. Instead, Grant quite clearly argued the state improperly told the jury that unless his evidence reduced his culpability or blame, then the evidence, as a matter of law, wasn’t mitigating even if the jury thought it might justify a sentence less than death. [3]
I won’t build on this strawman. And I certainly won’t defer to it. “[I]f an
examination of the opinions of the state courts shows that they misunderstood the nature
of a properly exhausted claim and thus failed to adjudicate that claim on the merits, the
deferential standards of review in AEDPA do not apply.”
Chadwick
,
Our inquiry should thus begin and end by asking “whether there is a reasonable
likelihood that the jury . . . applied [Instruction 12] in a way that prevent[ed] the
consideration of constitutionally relevant evidence.”
Boyde
,
19
answer to this question is an easy “yes.” Thus, applying de novo review, I would reverse the district court’s order denying Grant’s habeas petition.
B. The Other Instructions and Comments
Alternatively, I would reverse under § 2254(d)’s deferential standard of review because the OCCA would have been unreasonable to reject this claim on the merits, had it hypothetically done so. The majority says that portions of the other jury instructions and the prosecution’s closing argument-in-chief could have reasonably led the OCCA to “conclude[e] that there was no reasonable likelihood that the jury was precluded by the prosecution’s closing arguments from considering all of . . . Grant’s mitigation evidence—including the evidence that did not extenuate or reduce his moral culpability or blame.” Maj. Op. 132. I agree that the other jury instructions and the remainder of the prosecution’s closing argument are relevant considerations. See Hanson , 797 F.3d at 851–52. But I can’t agree that either has ameliorative power here.
Before I address the majority’s specific arguments, I pause to clarify the standard that the majority applies when it defers to the OCCA. Following § 2254(d)(1), the majority asks whether the OCCA unreasonably applied clearly established Supreme Court law—i.e., Lockett and its progeny. And recall that the Boyde inquiry is “whether there is a reasonable likelihood that the jury . . . applied the challenged instruction in a way that prevent[ed] the consideration of constitutionally relevant evidence.” 494 U.S. at 380. Combining these standards, we ask whether the OCCA reasonably concluded that there is no “reasonable likelihood that the jury . . . applied the challenged instruction in a way that prevents the consideration of constitutionally relevant evidence.” Id.
20
It’s important not to lose sight of what this inquiry involves. We don’t ask whether the OCCA could have reasonably concluded that the jury might have known it could consider all of Grant’s mitigating evidence. I agree that the OCCA could have reasonably reached such a conclusion. But I cannot agree that the OCCA could have reasonably concluded that it’s unlikely that even a single juror felt precluded from considering Grant’s evidence. And this is the applicable standard. See id.
1. Suggestions that the Jury Could Decide Whether the Evidence was Mitigating
The majority makes much of the fact that both the jury instructions and the prosecution emphasized that the jury could ultimately decide if Grant’s evidence was actually mitigating. But this wouldn’t have corrected a juror’s misunderstanding of what “mitigating” means. That’s because the jury received an erroneous definition of “mitigating.” Thus, simply reminding the jury that it could decide whether the evidence met that definition didn’t cure the error.
Accordingly, the portion of Instruction 12 telling the jury that “[t]he determination of what circumstances [were] mitigating [was] for [the jury] to resolve under the facts and circumstances in this case,” gave Grant no relief from the prosecution’s erroneous definition of “mitigating.” Nor did the portion of Instruction 13 that told the jury that it could “decide that other mitigating circumstances exist[ed].” O.R. 2351. And this is also true for the prosecution’s comments that whether a fact is mitigating was “for [the jury] to consider,” R. vol. 4, Trial Tr. 8, at 31, and that it was “up to [the jury] to determine
21
whether or not these mitigators—whether or not these circumstances somehow mitigate[d] what . . . Grant did,” id. at 32.
The majority is quick to point out that in
Hanson
we concluded that the same
instructions and similar statements during closing argument alleviated the asserted error.
But as I explain above, this case isn’t
Hanson
. The prosecution in
Hanson
didn’t give the
jury an erroneous definition of “mitigating.”
See
2. Instruction 13’s List of Mitigating Evidence I do recognize that other parts of Instruction 13 may have led some jurors to correctly infer that they could consider all of Grant’s mitigating evidence. For instance, Instruction 13 stated, “Evidence has been introduced as to the following mitigating circumstances,” and then provided a summary of the various evidence that Grant
22
introduced. O.R. 2350. Certainly a juror might have inferred from this list that the jury could legally consider these factors as mitigating even if it concluded that the factors didn’t reduce Grant’s moral culpability or blame. But Boyde doesn’t require us to be certain that the jury felt it couldn’t consider a relevant mitigating factor. See 494 U.S. at 380. Indeed, it doesn’t even require the defendant to “establish that the jury was more likely than not to have been impermissibly inhibited.” Id. It merely requires a “reasonable likelihood.” Id.
Even considering Instruction 13, Grant easily meets this burden. Instruction 13 might have led some jurors to disregard Instruction 12 and the prosecutor’s statements and apply the proper law. But other jurors might have simply (1) read Instruction 13 as summarizing the evidence that Grant presented and (2) concluded that the jury nevertheless had to decide whether these factors reduced Grant’s culpability or blame. At most, Instruction 13 gives skeptical jurors grounds to infer that the prosecutor misstated the law. But nothing about Instruction 13 makes it unlikely that at least one juror would have believed the prosecutor’s misstatements.
Further, to the extent that a juror could read Instruction 13 to say that the jury could consider all of Grant’s mitigating evidence, regardless of whether it reduced his moral culpability or blame, Instruction 13 conflicts with Instruction 12, which suggests the opposite. And this conflict “inserted ‘an element of capriciousness’ into the sentencing decision, ‘making the jurors’ power to avoid the death penalty dependent on their willingness’ to elevate [Instruction 13] over [Instruction 12].” Penry v. Johnson
23
(Penry II)
,
3. The Lack of Objection to Grant’s Evidence Finally, the majority speculates that the jury might have attached some significance to the fact that Grant was allowed to present his mitigating evidence at all. Essentially, the majority surmises, the jury might have expected the prosecution to object to Grant’s evidence if the evidence was indeed legally irrelevant to the jury’s inquiry— and for the trial court to sustain that objection. Ergo, these perceptive jurors would have concluded that the evidence was not legally irrelevant.
I simply can’t subscribe to the speculation that all 12 members of a layperson jury
engaged in such spontaneous consideration of the rules regarding the admissibility of
irrelevant evidence. Frankly, I’m not even sure that 12 lawyers would make this
inference. But even if the jury contemplated such an approach, it doesn’t necessarily
follow that just because the evidence was admissible, the jury would consider it as
mitigating regardless of whether it thought the evidence reduced Grant’s culpability or
blame. Some jurors might have believed that they had leeway to determine that Grant’s
evidence
did
reduce his moral culpability or blame (for example, if they concluded that
Grant committed the crimes during a schizophrenic delusion). But then, if these jurors
decided that the evidence didn’t reduce Grant’s moral culpability or blame, they wouldn’t
have considered whether that evidence nevertheless justified sentencing Grant to a
sentence less than death, as
Lockett
and its progeny demand they be allowed to do.
See
24
thought as long as there’s a reasonable likelihood a juror could have been misled. There undoubtedly is here.
C. The Jury’s Natural Impression
The dispute here can be boiled down to one question: Is it reasonably likely that at
least one juror believed the prosecutor when she purported to tell the jury what “the law
sa[id]?” R. vol. 4, Trial Tr. 8, at 75. The only reasonable answer is “yes.” We’ve warned
in the past that we must be “especially aware of the imprimatur of legitimacy that a
prosecutor’s comments may have in the eyes of the jury.”
Le v. Mullin
,
And we cannot ignore that the trial court overruled Grant’s objection when the
prosecutor said that Grant’s evidence, “in order to be mitigating,” had to “reduce his
moral culpability or blame.”
Id.
at 74. Far from it, we’ve explained that when a trial court
overrules defense counsel’s objections in a case like this, “[t]he official imprimatur
thereby placed upon the prosecution’s misstatements of law obviously amplifie[s] their
potential prejudicial effect on the jury.”
Mahorney v. Wallman
,
25
In sum, the jury had no reason to doubt the prosecutor when she said, “[T]he law tells you . . . that mitigating circumstances are those which reduce the moral culpability or blame of the defendant.” R. vol. 4, Trial Tr. 8, at 73–74. It had no reason to doubt her when she said, “[Grant’s evidence] in order to be mitigating, must reduce his moral culpability or blame.” Id. at 74. It had no reason to doubt her when she said, “[What] the law says, not Sandra Elliott [the prosecutor], not what the defense attorneys say, but what the [c]ourt tells you and what the law says is that before something can be mitigating it must reduce the moral culpability or blame of the defendant.” Id. at 75. And it had no reason to doubt her when she said, “[Y]ou have to look at whether or not it reduces his moral culpability or blame. That is what the law says that you must do.” Id. at 79.
On the contrary, all three sources that the jury would have looked to for an
accurate statement of the law—Instruction 12, the prosecution, and the trial court itself—
gave the jury good reason to believe that it couldn’t consider Grant’s mitigating evidence
if that evidence didn’t reduce Grant’s culpability or blame, as the defense conceded it
didn’t. The only thing that would have led the jurors to believe otherwise is an inference
that they
could
have made from Instruction 13. It’s thus clear that “[i]n light of the
prosecutor’s argument, and in the absence of appropriate jury instructions, a reasonable
juror could well have believed that there was no vehicle for expressing the view that
[Grant] did not deserve to be sentenced to death based upon his mitigating evidence.”
Penry I
,
26
III. Harmless Error
Because the majority doesn’t believe that AEDPA allows us to reach the trial court’s error, it has no opportunity to consider whether this error was harmless. I would find that it plainly is not.
An error is only reversible on habeas review if it “had substantial and injurious
effect or influence in determining the jury’s verdict.”
Brecht v. Abrahamson
, 507 U.S.
619, 637 (1993) (quoting
Kotteakos v. United States
,
I find myself in grave doubt here, especially considering the theme of the defense’s closing argument. Essentially, the defense (1) admitted to the jury that the factors it asserted as mitigating didn’t reduce Grant’s culpability or blame but (2) argued those factors nevertheless warranted the jury’s sympathy. For the prosecution to rebut this by telling the jury it couldn’t actually consider the evidence as mitigating unless it reduced Grant’s culpability or blame gutted the defense’s argument and left the jury with no room to decide whether the factors that Grant identified as mitigating—and the powerful evidence he offered to prove those factors—warranted a sentence other than death. Because wholly denying Grant his opportunity to present his case in mitigation had
27
a substantial and injurious effect on the jury’s determination that the death penalty was warranted in this case, the error wasn’t harmless under Brecht .
* * *
Grant’s crimes were abhorrent. But even the worst offenders have an absolute right to ask for mercy. It is disturbingly clear to me that Grant never had that opportunity. I would not allow Grant’s execution to proceed without giving Grant an opportunity to explain to a jury why he doesn’t deserve to die. I would thus reverse the district court’s order denying Grant’s habeas petition.
28
Notes
[*] In 2016 Mr. Terry Royal became the Warden of the Oklahoma State Penitentiary. Accordingly he has been substituted per Fed. R. App. P. 43(c)(2).
[**] The Honorable Neil M. Gorsuch heard oral argument in this appeal, but has since been confirmed as an Associate Justice of the United States Supreme Court; he did not participate in the consideration or preparation of this opinion. The Honorable Nancy L. Moritz replaced him on the panel.
[1] We confine our fair-presentation analysis to Mr. Grant’s direct appeal briefing because he identifies no alternative places where he might have established exhaustion.
[2] In several instances in this opinion, we rely on unpublished cases,
recognizing that we are not bound by them as controlling authorities. We do so
because we deem their analyses persuasive regarding material matters before us
here.
See, e.g.
,
United States v. Kurtz
,
[3] Though it is certainly not dispositive, we consider it germane and
significant to our inquiry that the word “procedural” is absent from Mr. Grant’s
direct-appeal briefing on the competency issue; nor is there any other indication
in this briefing that Mr. Grant objected to the court’s failure to implement the
proper
procedures
to ensure his competency.
See, e.g.
,
Glossip v. Trammell
, 530
F. App’x 708, 718 n.1 (10th Cir. 2013) (unpublished) (holding that there was no
fair presentation where the relevant federal claim was not mentioned “in either
the heading or text of [petitioner’s] brief”). Moreover, to echo an earlier decision
by a panel of our court, although we do not require Mr. Grant to recite the words
“procedural due process competency” “as some kind of talismanic incantation,”
we do require that a claim of procedural competency “not be camouflaged within
a welter of other claims.”
Burnett v. Hargett
,
[4] Mr. Grant submitted an OCCA Rule 3.11(B) Application, along with his direct-appeal brief, to the OCCA. Mr. Grant refers to the Rule 3.11 Application in his discussion in Proposition I, asking the court to supplement the record with a number of affidavits relating to Mr. Grant’s competency during trial. Aplt.’s Direct Appeal Opening Br. at 11.
[5] The medical records were appended to Mr. Grant’s Rule 3.11 Application to supplement the record. Mr. Grant himself referred to his Rule 3.11 Application as “an Application for Evidentiary Hearing on Sixth Amendment Claims supported by matters outside the trial record .” Aplt.’s Direct Appeal Opening Br. at 11 (emphasis added). In addition to his medical records, the Rule 3.11 Application sought to introduce into the record, inter alia , a retrospective competency analysis performed by a psychologist retained by defense counsel, the affidavit of Cheryl Tubbs (Mr. Grant’s ex girlfriend), and the affidavit of Anna Wright (a nurse who interacted with Mr. Grant while he was incarcerated). Like the medical records, these documents are not relevant to a procedural competency claim because they were neither on the record, nor before the trial judge, at the time of Mr. Grant’s trial.
[6] Indeed, it comes as no surprise that the OCCA ruled only on the
single claim it perceived was before it—the substantive due process claim.
See
Grant
,
[7] Notably, Mr. Grant did not even respond in his direct-appeal reply brief to the State’s supposed procedural due process argument.
[8] It should also be noted that Mr. Grant’s claim is doubly subject to the
anticipatory procedural bar, as he would be raising his procedural competency
claim for the first time in a
successive
petition for post-conviction relief.
See
Thacker
,
[9] Mr. Grant is apparently silent for good reason.
See, e.g.
,
Sherrill v.
Hargett
,
[10] We arrive at this determination of procedural bar in full recognition
of the heightened sensitivity associated with capital cases.
See Cooks v. Ward
,
[11] The other two involve more straightforward instances of lack of (continued...)
[11] (...continued) preservation: Mr. Grant’s habeas materials are clearly silent regarding the arguments. We do note regarding the first contention (understanding the legal process), Mr. Grant essentially acknowledged in his habeas petition that he had such an understanding prior to and during trial: “Mr. Grant’s understanding of the legal process and his ability to understand the nature of the proceedings is only one part of the competency standard— the part that was never seriously disputed .” R., Vol. I, at 559 (emphasis added). He goes on to state that “[t]he evaluators were nearly unanimous in concluding that Mr. Grant could understand the nature of the legal proceedings.” Id. And, regarding the second (the confession letter), though Mr. Grant discussed the confession letter in his petition, see, e.g. , id. at 542, 549, he never contended that the OCCA’s findings regarding the letter were an unreasonable determination of the facts.
[12] Mr. Grant complains about the OCCA’s “brief and conclusive prejudice analysis without a totality of the evidence review.” Aplt.’s Opening Br. at 92; see also R., Vol. I, at 605 (noting “the OCCA’s brief and conclusive (continued...)
[12] (...continued) prejudice analysis”). However, though appearing in the portion of his brief generally discussing trial counsel’s alleged failings in addressing Mr. Grant’s mental-health issues, this comment does not appear to refer to the OCCA’s specific ruling on the ineffective-assistance failure-to-monitor claim. Indeed, Mr. Grant later agrees with the State, in his reply brief, that “the OCCA did not adjudicate the prejudice prong of this sub-claim [i.e., failure-to-monitor ineffective assistance].” Aplt.’s Reply Br. at 19.
[13] To be sure, AEDPA’s deferential standards with respect to state court (continued...)
[13] (...continued) factual findings are also embodied in 28 U.S.C. § 2254(d)(2). However, insofar as competency may be deemed a factual issue, the caselaw that we have unearthed—which is discussed infra —primarily has focused on whether state court determinations of competency are entitled to a “presumption of correctness”—that is, on whether the standard that AEDPA ultimately incorporated into 28 U.S.C. § 2254(e)(1) should apply. Therefore, that is our focus as well. However, we recognize that Mr. Grant has alleged factual errors related to the OCCA’s competency determination—which implicate § 2254(d)(2)’s rubric—but we have determined in Part II.B.3.b, supra , that Mr. Grant has not preserved any of those contentions for appellate review.
[14] The Supreme Court recently employed a similar typing
methodology—involving the application of “practical considerations” (
Thompson
,
[14] (...continued)
the standard generally applicable to factual issues—i.e., clear error—and not de
novo review.
See U.S. Bank Nat. Ass’n ex rel. CW Capital Asset Mgmt. LLC v.
Vill. at Lakeridge
, --- U.S. ----,
[15] We pause to more clearly define the scope of that prejudice analysis.
As noted, while concluding that Mr. Grant was competent, the OCCA also opined
that the performance of Mr. Grant’s counsel in monitoring his competency was
not
constitutionally deficient (i.e.,
Strickland
’s first prong). Notably, its ultimate
determination regarding Mr. Grant’s competency relied in part on certain
subsidiary factual findings that reflected this positive view of the performance of
Mr. Grant’s counsel. For example, the OCCA bolstered its determination that
Mr. Grant was competent with a finding that Mr. Grant’s counsel was zealous; it
reasoned from this finding that, if Mr. Grant was actually incompetent, his
counsel could reasonably have been expected—due to their zealous nature—to
have voiced doubts about his competency with the trial court, but counsel did not
do so.
See Grant
,
[15] (...continued) regarding Mr. Grant’s competency and the inadequacy of Mr. Grant’s supplemental medical records to demonstrate that he was rendered incompetent by the lack of proper medication), and it is sufficient quite apart from those findings to warrant our deference.
[16] In this context, Mr. Grant challenges a stray statement in the OCCA’s discussion; we summarily address and reject the challenge at this time. Specifically, Mr. Grant argues that the OCCA unreasonably “[c]haracteriz[ed] organic brain damage as potentially causing Mr. Grant’s probable schizophrenia.” Aplt.’s Opening Br. at 87. Mr. Grant argues that this explanation “oversimplifies (continued...)
[16] (...continued)
the connection, if any, between the damage to Grant’s brain and his schizophrenia
[and] ignores the cumulative effect from these separate disease processes.”
Id.
As we see it, Mr. Grant’s argument amounts to no more than a complaint that the
OCCA’s language was inartful. He has not shown that this particular statement
constituted an unreasonable determination of fact, much less that such an error
would warrant habeas relief.
See Byrd
,
[17] In his brief, Mr. Grant argues that the OCCA’s determination that
evidence of organic brain damage was not qualitatively different
in mitigating
effect
from the evidence of schizophrenia was an unreasonable determination of
fact. However, as we have recently highlighted, such a prejudice-related question
is actually “a mixed question of law and fact with a significant legal component.”
Littlejohn II
,
[17] (...continued)
there was ‘really . . . n[o] . . . dispute’ that available mitigation evidence was not
presented at trial. As to the prejudice determination comprising the ‘legal part’ of
its analysis, it correctly emphasized the strength of the prosecution evidence
supporting the future dangerousness aggravating circumstance.” (citations
omitted) (quoting
Williams v. Warden of the Mecklenburg Corr. Ctr.
, 487 S.E.2d
194, 198–99 (Va. 1997))). Consequently, the OCCA’s comment on this matter
implicates the legal component of AEDPA, § 2254(d)(1).
See Acosta
,
[18] In his reply brief, Mr. Grant asserts that “the Supreme Court . . .
rejected the ‘double-edged’ characterization of [organic-brain-damage] evidence,”
in
Sears v. Upton
,
[19] Under the rubric of ineffective assistance of counsel, Mr. Grant has additionally advanced arguments regarding “two investigative failures”: He contends that these failures “should not be considered separately from the general failure of counsel to throughly and adequately investigate Mr. Grant’s constellation of mental illnesses” and that they are “intertwined with counsel’s deficient performance in failing to investigate relevant aspects of Mr. Grant’s childhood.” Aplt.’s Reply Br. at 9 (emphasis added). Generally, these purported failures relate to “counsel’s failure to discover that Mr. Grant showed signs of mental illness throughout his childhood” and “counsel’s failure to discover (continued...)
[19] (...continued) Mr. Grant was at genetic risk to develop schizophrenia because he had a biological parent who suffered from the same disease.” Id. at 8. The State insists that we did not grant a COA to Mr. Grant with respect to these particular “sub- claims” of ineffective assistance. Aplee.’s Br. at 22 n.5. Indeed, our Case Management Order does not explicitly address these matters. Moreover, in responding to the State’s objection, to support his contention that these matters are properly before us, Mr. Grant directs us to only one conclusory sentence of his filing seeking a COA from this Court regarding ineffective-assistance claims. See Aplt.’s Reply Br. at 10. Under the general heading “Other Mitigation Investigative Failures,” this sentence simply averred in conclusory fashion that counsel should have “investigated Mr. Grant’s genetic history of psychopathy” and “his bizarre behaviors throughout his life and prior to the crime” and, if counsel had done so, counsel “could have countered the prosecution’s arguments that there was no evidence Mr. Grant was schizophrenic prior to the crime and that he only had religious beliefs, not religious delusions.” Case Management Statement of Issues and Request for Expansion of Certificate of Appealable Issues at 33 (dated Oct. 15, 2014). This single sentence was not supported by authority or discussions of record evidence, and Mr. Grant did not elaborate on the relevance of these investigative failings for his specific ineffective-assistance claims; he simply noted, as he does on appeal, that they are “intertwined and connected” with the other specific attorney failures that he presents. Id. This stands in sharp contrast to Mr. Grant’s treatment of these two issues in his opening brief, where he devotes at least four pages to them, including significant references to, and discussions of, record evidence. See Aplt.’s Opening Br. at 72–76. Thus, the State’s position is not without persuasive force, insofar as it underscores that Mr. Grant did very little—and arguably not enough—to put our court on notice that these two matters should be included within the scope of its grant of COAs with respect to certain specific claims of ineffective assistance and, more specifically, to explain the relevance of these matters to such claims. However, even if we accept for the sake of resolving this case, that the terms of our Case Management Order (construed liberally) do encompass these two additional matters, it is patent that COAs were not issued separately as to them and they are not to be analyzed as stand-alone claims—points that Mr. Grant seems to acknowledge. Accordingly, we have considered them as part and parcel of our ineffective-assistance analyses of his specific ineffective-assistance claims. But ultimately this consideration has not materially altered the substance of our reasoning or the outcomes we have reached regarding these claims.
[20] The Dissent argues that the OCCA “misunderstood” Mr. Grant’s
argument related to the prosecution’s alleged exploitation of the moral-culpability
text and, therefore, its ruling on that issue is not entitled to AEDPA
deference—
viz.
, the OCCA’s ruling supposedly did not amount to an adjudication
on the merits. Dissenting Op. at 2, 17. We must respectfully disagree. As
explicated
infra
in note 22, the OCCA’s explicit substantive reasoning belies this
argument. However, at the outset, we deem it sufficient to reject the Dissent’s
argument on more basic grounds—specifically, because Mr. Grant has “never
made” this argument in this federal proceeding, either in his habeas petition or in
his briefing on appeal.
Eizember v. Trammell
,
[20] (...continued)
The Dissent rejects this possible outcome, however, by arguing that we
must consider this new argument for de novo review anyway because “the correct
standard of review under AEDPA is not waivable.” Dissenting Op. at 14 (quoting
Gardner
,
[21] Mr. Grant further argues that “the trial court doubly endorsed the prosecutor’s limiting framework as the law,” but this assertion is belied by the record. See Aplt.’s Opening Br. at 104. According to Mr. Grant, when trial counsel objected to the prosecutor’s statement, the trial court compounded the alleged error by stating, “[the prosecutor] is reading directly from . . . the OUJI jury instructions.” Aplt.’s Opening Br. at 102 (quoting R., Vol. IV, Trial Tr. VIII, at 74). However, these statements were “had at the bench out of the hearing of the jury.” R., Vol. IV, Trial Tr. VIII, at 74. Therefore, the trial court did not “endorse” the prosecutor’s argument to the jury. We thus proceed to analyze Mr. Grant’s claim putting aside this argument; it is without merit.
[22] As we have previously discussed, see supra note 20, the Dissent argues that the OCCA “misunderstood” Mr. Grant’s prosecution-exploitation challenge and, therefore, its ruling regarding that challenge does not qualify as a merits adjudication entitled to AEDPA’s deferential standard of review. Dissenting Op. at 2, 17. In addition to this argument failing at the outset because Mr. Grant has never made it in this habeas proceeding, see supra note 20, we respectfully submit that the Dissent is simply mistaken on the substance of the matter. It points to the following statement from the OCCA as proof that it misunderstood Mr. Grant’s claim: “Appellant claims the prosecutor misstated the (continued...)
[22] (...continued)
law by telling the jurors that the evidence he had presented as ‘mitigating’ did
nothing to justify a sentence less than death.”
Grant
,
[23] The Dissent further attempts to distinguish
Hanson
on the grounds
that “[t]he prosecution in
Hanson
didn’t give the jury an erroneous definition of
‘mitigating.’” Dissenting Op. at 22. However, Mr. Hanson did not see things that
way: he “argue[d] that the prosecutors ‘
manipulated
the [challenged jury]
instruction to ensure the jurors were pressured into
discarding
the otherwise
constitutional [mitigating] evidence.”
Hanson
,
[24] We are of course bound in habeas cases, like any other, by our
controlling precedent’s prior interpretation of Supreme Court caselaw until such
an interpretation is overruled by an en banc proceeding of our court or subsequent
Supreme Court precedent.
See Barnes v. United States
,
[25] Mr. Grant’s briefing may be read as intertwining this contention of factual error with an inapposite assertion of legal error. In this regard, Mr. Grant seemingly argues under AEDPA’s rubric of reasonableness that the OCCA erred (i.e., acted unreasonably) in concluding that the prosecutor’s arguments were not improper because this holding is inconsistent with its previous ruling in Harris (where the court found that some of the prosecution’s arguments were improper but did not find reversible error). More specifically, Mr. Grant argues that the OCCA’s ruling in this case “flies in the face of Harris .” Aplt.’s Opening Br. at 109; see also id. at 110 ((“The OCCA pointed in opposite directions in this case and in Harris , which is unreasonable.”). However, we are at a loss to understand how any purported inconsistency in the OCCA’s own (state law) precedent produced by the OCCA’s ruling in Mr. Grant’s case is germane to our inquiry under AEDPA—where the unalloyed legal concern is clearly established federal law. See, e.g. , 28 U.S.C. § 2254(d)(1) (obliging federal courts to defer to a state court adjudication “unless the adjudication of the claim . . . resulted in a decision that was contrary to, or involved an unreasonable application of, clearly established Federal law , as determined by the Supreme Court of the United States” (emphasis added)). Therefore, insofar as Mr. Grant makes a legal argument predicated on the purported inconsistency between the OCCA’s ruling in this case and Harris , we reject it as inapposite.
[26] The notion that the prosecution had a discriminatory motive for striking Ms. Jamerson is also undermined by the fact that the State attempted to waive its remaining peremptory strikes before using one on Ms. Jamerson. But, in response to the State’s waiver request, the court indicated that the prosecution must use all of its peremptory strikes, and the State thereafter struck Ms. Jamerson.
[27] In denying Mr. Grant’s cumulative-error argument, the district court
stated,
inter alia
, that “[t]here is no authority from the United States Supreme
Court recognizing ‘cumulative error’ as a separate violation of the federal
constitution or as a separate ground for federal habeas relief.” R., Vol. I, at 1610.
And, the State echoed this position on appeal, noting that “this Court has
repeatedly stated that, although it has long conducted cumulative-error analysis in
its review of federal habeas claims, it has never expressly held that cumulative-
error analysis is clearly established federal law.” Aplee.’s Br. at 90 (citing
Littlejohn I
,
[27] (...continued) Court law, and we are bound by this reading of the Court’s precedent. We thus consider the merits of Mr. Grant’s cumulative-error claim for habeas relief, but ultimately reject it.
[1] Instruction 12 stated, “Mitigating circumstances are those which, in fairness, sympathy, and mercy, may extenuate or reduce the degree of moral culpability or blame.” O.R. 2349.
[2] Relying on
Mills v. Maryland
,
[3] The majority’s framing of the OCCA’s reasoning certainly better aligns with the
claim that Grant actually asserted. The majority says the OCCA concluded that “it was
not
reasonably likely that the jury read the [prosecution’s] comments as doing anything
more than vigorously—but permissibly—attacking the veracity, credibility, and weight of
. . . Grant’s mitigating evidence . . . . Indeed, in essence, this is precisely what the OCCA
held.” Maj. Op. 116-17 (internal citations omitted). But the OCCA—in the two
paragraphs it devoted to this issue on direct appeal—said nothing whatsoever about how
the jury might have interpreted the prosecutor’s comments.
See Grant
