*1 Before BRISCOE , Chief Judge, GORSUCH and HOLMES , Circuit Judges.
GORSUCH , Circuit Judge.
Whilе serving a long sentence in state prison for a series of armed robberies, John Grant won a job as a kitchen worker. The job brought him under the supervision of Gay Carter, a civilian prison employee, but it wasn’t one that lasted very long. Mr. Grant was soon fired after he was caught fighting with another inmate — and Mr. Grant didn’t take getting fired very well. He came to bear a grudge against Ms. Carter, a woman he used to get along with and even considered a friend.
Seeing Ms. Carter one day during a morning breakfast service, he told her, “I’ll get you, bitch.” The next morning he followed up, “You’re mine.” Mr. Grant then proceeded to make good on his threats. After breakfast, he lingered in the dining hall with no obvious purpose, but not altogether out of place either because he used to work there. After about ten or fifteen minutes, Ms. Carter passed near him and he grabbed her, put a hand over her mouth, and dragged her into a small closet. With a shank he had secreted into the dining hall, Mr. Grant stabbed Ms. Carter, sixteen times in all.
The State of Oklahoma charged Mr. Grant with first degree murder and sought the death penalty. At trial, the government had little trouble proving that it was Mr. Grant who stabbed Ms. Carter to death. In his defense, Mr. Grant testified that he had no recollection of killing or wanting to kill Ms. Carter. A defense expert also testified that Mr. Grant suffered from borderline personality *3 disorder, though the expert added that Mr. Grant was of average intelligence and didn’t show any signs of an organic brain disorder. The expert also refused to offer any view on whether Mr. Grant did or didn’t understand the consequences of his acts at the time of the murder. In the end, the jury found Mr. Grant guilty as charged.
At the penalty phase, the government argued that Mr. Grant deserved the death penalty on the basis of three aggravating factors surrounding the murder: (1) he had been convicted previously of violent felony offenses, (2) he murdered Ms. Carter while serving a felony prison sentence, and (3) he posed a threat of future violent criminal acts. By this point in the proceedings, the first two factors weren’t in much dispute. For its case on the third, the government pointed to other prison fights Mr. Grant had been involved in, including a fight with a prison guard; pointed to the faсt that Mr. Grant killed a civilian kitchen worker while in prison; and argued that the evidence suggested he might well strike at prison workers or inmates again.
The defense responded that any threat Mr. Grant posed could be mitigated with adequate care. A psychiatrist explained that Mr. Grant had not received mental health counseling or anti-psychotic medications in prison, though he then refused to speculate whether and to what extent Mr. Grant would benefit from either. Mr. Grant also briefly recounted for the jury his troubled childhood.
In the end, the jury found in the government’s favor on all the aggravating
factors, found no mitigating factors outweighing those aggravating factors, and
voted to impose the death penalty. The Oklahoma Court of Criminal Appeals
(OCCA) denied relief on appeal.
See Grant v. State
(
Grant I
),
Mr. Grant then filed a habeas petition in federal court but the district court
denied relief, too.
See Grant v. Workman
(
Grant III
), No. 4:05-cv-0167-TCK-
TLW,
I
We begin with the question whether the guilt phase jury instructions satisfy
the demands of federal due process doctrine. In
Beck v. Alabama
, the Supreme
Court held that the Due Process Clause of the Fourteenth Amendment sometimes
requires a state charging a defendant with a capital offense to permit the jury to
*5
consider alternative, lesser included offenses that do not carry with them the
prospect of a death sentence.
The first is that Mr. Grant never asked for a lesser included jury instruction
at trial. This is a problem because in
Hooks v. Ward
,
Mr. Grant replies that the portion of Hooks claiming to hold this much — section III.C of the opinion — doesn’t really contain a holding at all. He points out that two judges concurred separately, indicating they joined all but section III.C of the main opinion in Hooks . Id. at 1241 (Anderson, J., concurring). For its part, Oklahoma rejoins that the separate concurrence took issue with other aspects of section III.C, not this one — and that, properly viewed, the panel was unanimous on the need for a defendant to request a lesser included offense instruction to trigger Beck .
At the end of the day, who’s right about the optimal reading of
Hooks
doesn’t much matter. It doesn’t because since
Hooks
issued this court has
expressly and repeatedly held that “a state prisoner seeking federal habeas relief
may not prevail on a
Beck
claim as to a lesser included instruction that he or she
failed to request at trial.”
Thornburg v. Mullin
,
Mr. Grant replies by directing us to the OCCA’s decision in
Shrum v. State
,
This suggestion, however, fails on its own terms. One premise on which
Mr. Grant’s argument depends raises some interesting questions. His argument
surely rests on the (if entirely implicit and unexplored) premise that
state law
can
relieve a party of its duty under
federal law
to invoke a federal right. Whether
this premise is sound undoubtedly warrants investigation. But there’s no need to
tangle with that project in this case. No need because
another
premise on which
Mr. Grant’s argument rests has problems of its own.
Shrum
relieves defendants
of their obligation to request lesser included offense instructions only as a matter
and for purposes of
state law.
Oklahoma still requires defendants who wish to
assert
federal
constitutional complaints about proposed jury instructions to raise
them in a timely fashion with the trial court.
See, e.g.
,
Barnard v. State,
290 P.3d
*8
759, 769 (Okla. Crim. App. 2012);
Warner v. State
,
A second and entirely independent problem confronts Mr. Grant’s Beck argument. Even overlooking his failure to object before the state trial court, the argument fails on its merits. As Beck explained, federal due process doctrine does not require a lesser included offense instruction to be given unless “the evidence would . . . support[] . . . a verdict” on that lesser included offense. 447 U.S. at 627. In this case, the OCCA didn’t assess Beck directly but it did reject *9 Mr. Grant’s claim that he was automatically entitled to lesser included offense instructions as a matter of state law under Shrum , and it did so on precisely these grounds, holding that no lesser included instructions were required under Shrum because the evidence adduced at trial could not rationally support a verdict for either first degree manslaughter or second degree murder. Because Beck , like Shrum , does not require lеsser included offense instructions when the evidence is insufficient to support a verdict on them, the OCCA’s state law conclusion under Shrum — if correct — would also spell the end to any effort to secure federal relief under Beck .
The OCCA’s conclusion turns out to be correct. In so holding, we are
mindful of the limits of our authority as a federal court reviewing the work of a
state court. When it comes to the question what is required as a matter of law to
establish a manslaughter or second degree murder charge, we may not second
guess Oklahoma authorities. Matters of state law are theirs, not ours, to answer.
See
28 U.S.C. § 2254(a);
Boyd v. Ward
,
With these points in mind we turn first to the question of manslaughter. As
a matter of state law, the OCCA explained that a conviction for first degree
manslaughter under Oklahoma state law “requires that a person act with a ‘heat of
passion’ caused by ‘adequate provocation.’”
Grant I
,
It is likewise evident that a second degree murder charge was not warranted
by the evidence. Under Oklahoma law, a second degree murder conviction is
permissible only when the defendant acts “without
any
premeditated design to
effect the death of any particular individual.”
Williams v. State
,
Mr. Grant challenges these findings. He says his testimony showed “he was in a dazed state of mind” at the time of the incident and couldn’t remember committing the murder. He reminds us that there was a video taken shortly after the murder that showed him highly agitated. And he points out that his expert believed he suffered from borderline personality disorder.
None of these facts, however, clearly and convincingly unseats the OCCA’s finding that all of the evidence surrounding the killing suggested a degree of premeditation. Neither do they undermine its finding that the record lacked evidence suggesting Mr. Grant suffered mental infirmities that rendered him incapable of forming an intent to kill, especially given that his own expert refused to say Mr. Grant couldn’t understand right from wrong. Indeed, were we to consider the factual questions ourselves, without the layer of deference due under § 2254(e), we would reach the same view about them as the OCCA did. We simply cannot say that, given the facts in this record, a rational jury could have found that Mr. Grant acted “without any premeditated design” to kill Ms. Carter. [3]
II
Mr. Grant contends the state trial court violated his Sixth Amendment Confrontation Clause rights. During the guilt phase, the government called Dr. Frederick Smith, a psychologist. Dr. Smith testified that he examined Mr. Grant a few days after the murder and found no serious mental health problems at that time. During cross examination, the defense responded with an aggressive attempt to discredit Dr. Smith — and in doing so got Dr. Smith to admit that he spent at most twenty minutes with Mr. Grant, and that he did not know whether Mr. Grant was of sound mind at the moment he killed Ms. Carter. Defense counsel wanted to ask Dr. Smith, too, about an out-of-court report prepared by another psychologist, Dr. Elliot Mason, relating yet another out-of court- statement by Mr. Grant a few days after the murder. Before counsel could get there, however, the trial court held that any questioning about Dr. Mason’s report *14 was outside the scope of Dr. Smith’s direct examination. This, Mr. Grant says, wasn’t true and the trial court’s failure to permit the inquiry violated his Sixth Amendment right to confront his accusers.
The OCCA agreed with Mr. Grant that the trial court erred. But it
proceeded to deny relief on the ground that the error was harmless beyond a
reasonable doubt. “The failure to allow cross-examination on this single, self-
serving statement made three days after Grant murdered the kitchen worker and
contained in a second-hand report,” it held, “had no impact on the jury’s
determination of guilt or the sentence in this case.”
Grant I
,
As a federal court sitting in collateral review of a state court’s work, we
may not reverse the OCCA’s determination that a constitutional error was
harmless beyond a reasonable doubt unless we can be sure for ourselves that the
error had a “‘substantial and injurious effect’ on the jury’s decision.”
Banks v.
Workman
,
That much we cannot say. Dr. Mason’s report was hearsay. Mr. Grant’s
putative statement contained within it (being offered by Mr. Grant himself) was
hearsay within hearsay. As Mr. Grant’s present counsel conceded at oral
argument before us, the defense could have lawfully used such hearsay materials
*15
only
tо impeach Dr. Smith, not as substantive evidence with respect to any aspect
of the case.
See Mackey v. State
,
III
During the penalty phase, the government introduced two “victim impact” statements. Ms. Carter’s daughter wrote that she had hoped to follow in her mother’s footsteps by pursuing a career in the corrections field, but that her *16 mother’s death caused her to doubt herself. Ms. Carter’s brother wrote that his sister had been kind and loving; he added that he missed his sister and had trouble sleeping at night. Both statements concluded by asking the jury to impose the death penalty.
While victim impact statements may be admissible for other purposes, this
court has understood the Supreme Court to have banned their use to the extent the
statements expressly request a death sentence.
See, e.g.
,
Lockett v. Trammel
, 711
F.3d 1218, 1236 (10th Cir. 2013);
see also Payne v. Tennessee
,
At the same time, we cannot say the error in this case was sufficient to warrant reversal. To reverse we must be able to say (once again) that the error had a “substantial and injurious effect,” one leaving us with a “‘grave doubt’ about the effect of the error on the jury’s verdict.” Selsor v. Workman , 644 F.3d 984, 1027 (10th Cir. 2011). Here, two things, taken together, persuade us that standard isn’t met.
First is the nature of the evidence at the penalty phase against Mr. Grant.
The government’s presentation on two aggravating circumstances was all but
indisputable and its evidence on the third and perhaps most important aggravating
*17
circumstance — Mr. Grant’s potential for continued dangerousness even if
incarcerated — was potent. The government showed that Mr. Grant had a history
of violent felonies well before the murder; it showed that he was fired from his
position on the prison dining staff for fighting with another inmate; it showed that
he had engaged in still other fights while in prison, including with a prison guard;
and it showed, of course, that he killed a prison employee who was previously his
friend. All of this suggested that Mr. Grant would continue to pose a danger to
others, including civilian prison workers, even while he remained imprisoned. To
be sure, Mr. Grant did respond with evidence of his amenability to treatment and
evidence about his troubled childhood. But even viewed in its totality the case
against him remained considerable.
See Welch v. Workman
,
Second is the nature of the particular statements before us. They conclude
with the line, “I believe [John Grant] should be given [or should receive] the
death penalty.” No other embellishment is made on the subject. This court has
held far more extensive pleas to lack the required “substantial and injurious”
effect on a jury’s verdict when the evidence against the defendant at sentencing
was strong.
See, e.g.
,
DeRosa v. Workman
,
IV
Mr. Grant charges his trial lawyer with doing a poor job of investigating
and presenting evidence about his background at the penalty рhase. To prevail on
a Sixth Amendment claim of ineffective assistance of counsel under
Strickland v.
Washington
, a defendant must show both that (1) counsel “committed serious
errors in light of ‘prevailing professional norms’ such that his legal representation
fell below an objective standard of reasonableness,” and (2) there is “a reasonable
probability that, but for counsel’s unprofessional errors, the result of the
proceeding would have been different.”
Wackerly v. Workman
,
The OCCA held that Mr. Grant’s claim failed at both steps. On the question of deficient performance, the OCCA held that defense counsel’s alleged *19 failure to investigate and present more evidence about Mr. Grant’s background was actually Mr. Grant’s fault, not his counsel’s, because Mr. Grant prohibited counsel from contacting his family members. On the question of prejudice, the OCCA held that none of the evidence Mr. Grant says his counsel should have uncovered was sufficiently powerful that it would have made a difference.
The federal district court agreed in part and disagreed in part. It held that the OCCA’s deficient performance analysis was based on a clear error of fact. As the district court saw it, Mr. Grant never prevented his lawyer from contacting his family and the OCCA’s factual findings otherwise could not stand even under the lenient standard of review dictated by § 2254(e)(1). Correctly understood, the district court said, the facts suggested deficient performance. Even so, the district court agreed with the OCCA that the facts did not suggest prejudice because the evidence Mr. Grant’s lawyer could have found and presented about his client’s background was not reasonably likely to have made a difference to the outcome.
Before us, the State doesn’t dispute the district court’s assessment in any way but one. The district court assessed the question of prejudice de novo . In the State’s view, however, we must review the prejudice question through the deferential prism of § 2254(d). Meanwhile, Mr. Grant insists just the opposite. He suggests that the State’s failure to contest the district court’s finding of factual error on the deficient performance question requires us to review the prejudice question de novo .
The State is correct. This court has already held that when a state court’s
deficient performance “analysis [is] ‘based on an unreasonable determination of
the facts in light of the evidence presented in the State court proceeding,’ we [are]
still . . . bound to defer to [its] prejudice analysis under
Strickland
’s second
prong.”
Lott v. Trammell
,
We can thus say this about the standard of review binding us in this case.
Under
Strickland
’s second element, the only element contested before us, Mr.
Grant “must show that this deficient performance mattered — namely, that there
is ‘a reasonable probability that, but for counsel’s unprofessional errors, the result
of the proceeding would have been different.’”
Wackerly
,
In seeking to prove prejudice to the OCCA, Mr. Grant produced evidence from family members suggesting they had been prepared to testify during the penalty phase that Mr. Grant grew up poor, one of nine kids raised by a single mother who depended on social assistance. In his early years, Mr. Grant had been a quiet, sweet young boy with a fondness for dogs, football, and cars. But as Mr. Grant got older, things took a turn for the worse. He started hanging around with the wrong crowd and frequently found himself in trouble with the law, mostly for stealing (sometimes, his siblings insisted, for their benefit). He spent time incarcerated at juvenile facilities, an experience that intensified his relationships with friends who were up to no good. None of his other family members spent *23 significant time in prison and most couldn’t comment on what Mr. Grant’s adult personality was like because they moved away to Oregon when Mr. Grant was a teenager. To be sure, Mr. Grant did send and receive the occasional letter — and make and receive an occasional phone call, too — but never very often in the twenty years Mr. Grant had spent in prison by the time of the murder. His siblings reported visiting only rarely, and less often the longer Mr. Grant was in prison. Only his mother and uncle together made an annual visit, and then only for about an hour each time.
The OCCA concluded that none of this would have made a difference to the
outcome of Mr. Grant’s penalty phase proceedings.
See Grant II
,
In seeking to persuade us otherwise, Mr. Grant relies primarily on the
Supreme Court’s decision in
Wiggins
and similar cases. In
Wiggins
, the Supreme
Court faced a
Strickland
claim predicatеd on a lawyer’s failure to conduct a
reasonable investigation into the background of his capital defendant client.
See
The Supreme Court and this one have found prejudice arising from an
attorney’s failure to investigate his client’s background circumstances in other
materially similar circumstances. For example, in
Williams v. Taylor
, 529 U.S.
362 (2000), the Supreme Court relied on many of the same “nightmarish”
circumstances that would later move it to find prejudice in
Wiggins
: privation,
neglect, and abuse, all to an astounding degree and all in addition to borderline
mental retardation.
See id.
at 395 & n.19. In
Anderson v. Sirmons
,
Of course we can only fault the OCCA for failing to abide Suрreme Court
precedent, not our own.
See
28 U.S.C. § 2254(d)(1). AEDPA permits reversal
only if a state court’s decision is contrary to a Supreme Court decision, and
“circuit precedent may [not] be used to refine or sharpen a general principle of
Supreme Court jurisprudence into a specific legal rule.”
Marshall v. Rodgers
,
For one, while juries may be moved by “[d]iagnoses of specific mental
illnesses . . . , which are associated with abnormalities of the brain and can be
treated with appropriate medication,” this court has held that evidence suggesting
a defendant suffers from “generalized personality orders” may be less powerful.
Wilson v. Sirmons
,
For another, evidence of childhood abuse or neglect isn’t always severe
enough to earn a jury’s sympathies. In
Pinholster
, the Supreme Court didn’t
think it was “significant” that the defendant there “always got the worst of it”
when he and his siblings were disciplined and that he “didn’t get much love” from
his “mother and stepfather.”
Even the presence of evidence about mental health problems and abusive
family environments doesn’t necessarily run only one way: we have said this
kind of evidence often possesses a “double-edged nature.”
Wackerly
,
Even if a family member’s proffered testimony doesn’t stand to harm a
defendant, it might still invite an opening for harmful questioning from the
prosecution.
See, e.g.
,
Pinholster
,
Many of our cases have also refused to find prejudice when the evidence
the defendant says counsel should have presented would have been cumulative of
the evidence the jury actually heard.
See, e.g.
,
DeRosa
,
In light of these precedents, we cannot agree with Mr. Grant that the OCCA was unreasonable in any respect when it concluded that he was unable to show prejudice. Mr. Grant’s proffered evidence in this case isn’t of the kind or quality of that in Wiggins and related cases — but seems a good deal more like what’s found in those cases where the Supreme Court and this court have refused to find prejudice. True, Mr. Grant’s family could have testified that Mr. Grant grew up poor and disadvantaged. But there is no evidence before us suggesting organic brain injuries or mental retardation, no evidence of physical abuse before he started down the path of illegal activity, and no evidence his other family members felt the need due to the difficulties of their fаmily life to travel down a similar path. Noteworthy, too, is that Mr. Grant murdered Ms. Carter when he was 36, well into adulthood.
Mr. Grant’s case also tends to run into pitfalls this court has already
recognized and we can hardly fault the OCCA’s decision as unreasonable for
failing to find prejudice in such circumstances. For one, Mr. Grant’s proffered
evidence has a clear double edge to it. While the jury would have learned Mr.
Grant grew up poor and suffered abuse after he committed crimes and found
himself in juvenile detention, the prosecution could have used that fact to
emphasize Mr. Grant was already a criminal by the time he was a teenager and
*31
that none of his many years behind bars had dissuaded him from acts of violence
against other prisoners, prison guards, or even prison kitchen staff.
See Grant II
,
Another pitfall would have been the damaging information the prosecution could have elicited from Mr. Grant’s family members on cross-examination. The prosecution could have asked about the fact that Mr. Grant appeared not to maintain any meaningful relationship with his family. It could have asked why, of all Mr. Grant’s many siblings, only he wound up in serious trouble with the law. And it could have pressed questions that revealed Mr. Grant’s family didn’t know much of anything about what kind of man twenty years in prison had turned Mr. Grant into, or bother to stay in close enough touch to find out.
Finally, the family’s evidence would have been at least partially cumulative of the evidence counsel did present at trial. Mr. Grant and his guilt stage expert both talked about his difficult childhood. That expert, for instance, revealed to *32 the jury that Mr. Grant “functionally nеver knew his father at all,” that Mr. Grant “had problems in school” but was “never seen by any kind of school psychologist or clinician,” and spent time in a juvenile facility “which has since been closed down for abuse.”
Thus far, we have addressed Mr. Grant’s challenge to the legal reasoning the OCCA employed in analyzing Strickland ’s prejudice prong — that is, his attempt at proving the OCCA decision rested on an unreasonable application of federal law. See 28 U.S.C. § 2254(d)(1). But Mr. Grant also challenges two factual determinations the OCCA made in connection with its Strickland prejudice analysis. See id. § 2254(d)(2). Of course, as we’ve seen, Mr. Grant challenges still other factual findings bearing only on the question of deficient performance. See supra pp. 18-21. But when it comes to prejudice, he says the OCCA erred factually in two ways — when it said his turn to crime as an adolescent was a “matter of choice” and when it said his family “would have repeated [his] account of his childhood” if they had testified. In addition to these two factual errors asserted by Mr. Grant, the dissent claims to have spotted a third: a statement by the OCCA that Mr. Grant had no meaningful contact with his family while in prison.
At the outset we note that it’s not at all clear that the OCCA’s decision on
the question of prejudice was actually “based on” any of these findings, as
§ 2254(d)(2) requires. At least some of these findings arguably concerned only
*33
subsidiary issues that the OCCA mentioned in passing. But even assuming the
OCCA’s prejudice decision was “based on” all of these findings, another problem
quickly arises: none is “unreasonable” within the meaning of § 2254(d)(2). That
standard is a “restrictive” one,
Williams
,
Take the OCCA’s finding that Mr. Grant “had no meaningful contact with
the family members who would have testified.”
Grant I
,
Consider next the OCCA’s determination that Mr. “Grant’s childhood . . .
was a matter of choice.”
Grant II
,
Finally, we aren’t persuaded that the OCCA made an unreasonable
determination of the facts when it said that Mr. Grant’s family would have
“repeated” what Mr. Grant had said during the penalty phase of his trial.
See
Grant I
,
In the end, we do not question that the evidence Mr. Grant says his lawyer
should have presented bears
some
mitigating effect. But in light of the Supreme
Court’s holdings and our own, we can’t say it was unreasonable for the OCCA to
hold that Mr. Grant’s case falls on the side of the line where the potential
mitigating impact of the unproduced evidence might have been “conceivable” but
not “substantial” enough to think it would have altered the outcome.
Harrington
,
V
That leavеs us with Mr. Grant’s complaint that, even if the errors he has
identified do not warrant reversal individually, they do when considered
cumulatively. Mr. Grant’s only argument on this score, however, is that “this
Court should consider the synergistic effect of all the errors and grant Mr. Grant
relief.” Aplt.’s Opening Br. 96. Such a perfunctory assertion falls well short of
*36
what’s needed to overturn a judgment, let alone one as long-settled and repeatedly
reviewed as this one. Even a capital defendant can waive an argument by
inadequately briefing an issue,
see Romano v. Gibson
,
Even if we were to overlook the deficiency of the argument made to us and
try to develop a cumulative error theory for Mr. Grant, we would still fail to find
enough here to reverse. At first glance, the cumulative error doctrine looks
simple enough. This court has said that the task “merely” consists of
“aggregat[ing] all the errors that have been found to be harmless” and
“analyz[ing] whether their cumulative effect on the outcome of the trial is such
that collectively they can no longer be determined to be harmless.”
United States
v. Rivera
,
But as easy as the standard may be to state in principle, it admits of few
easy answers in application. After all, “it is the rare trial that will be an ideal
specimen in all respects, given that even the most well-intentioned trial
participants may commit the occasional error.”
United States v. Runyon
, 707 F.3d
475, 520 (4th Cir. 2013). Where and how, then, should a court draw the line
between what’s ordinary (and ordinarily harmless) and what’s rare (and
*37
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. Indeed, our
search turns up only two published cases in the last many years in which this
circuit has found cumulative error.
See Cargle v. Mullin
,
Confusing, too, is what it means to accumulate error. The task is
undoubtedly more subtle than simply counting up the number of errors
discovered. In one case, for example, we thought that the accumulation of as
many as six errors insufficient to reverse.
See Darks
,
To be sure, we don’t understand the difference between Darks on the one hand and Cargle on the other to imply a need for some “synergistic effect” to prevail on a claim of cumulative error. The reason why becomes clear if we understand prejudice in terms of probabilities. One might “accumulate” probabilities by adding them together, taking into account the disjunctive probabilities of each error. One might also “accumulate” probabilities by multiplying them and finding reversible error only in the space where all errors are conjunctively appearing all at once. If the cumulative error doctrine means anything, it must be that prejudice can be accumulated disjunctively — that all a defendant needs to show is a strong likelihood that the several errors in his case, when considered additively, prejudiced him. If it were otherwise, the cumulative error doctrine would be a nullity. A finding that one error wasn’t prejudicial would necessarily preclude a finding that all of the errors were prejudicial. See generally Amos Tversky & Daniel Kahneman, Extensional Versus Intuitive Reasoning: The Conjunction Fallacy in Probability Judgment , 90 Psychol. Rev. *39 293 (1983) (describing the intuition that a conjunction is more probable than its constituents as the “conjunction fallacy”). So while one error may make another error in the same direction more egregious, a defendant can still show cumulative error by accumulating unrelated errors if their probabilistic sum sufficiently undermines confidence in the outcome of the trial.
Even bearing all this in mind, and even approaching the question
de novo
,
we could not say the accumulation of the three errors we’ve identified or assumed
(concerning the cross-examination of Dr. Smith, the victim impact statements,
and the background mitigation evidence) warrants reversal. As we have seen,
none of the three errors was anything more than modest on its own terms. Adding
them together undoubtedly leads to a somewhat less modest sum. But even still
they do not collectively call into question the compelling case the government put
on and they did not rob Mr. Grant of the ability to present anything more than a
modest case for mitigation. Neither was there a synergistic effect that somehow,
say, undermined a particular key question in the government’s case. For example,
even if Mr. Grant’s family had testified at the penalty phase and even if they
didn’t have to compete with victim impact statements for the jury’s sympathies,
taken synergistically the jury still would have been left with an at best mixed
impression of Mr. Grant’s family support structure and social connections. The
further (cumulative) impeachment of Dr. Smith would not have touched on those
questions at all, being unusable for any substantive purpose. In these
*40
circumstances, and given the guidance we have from our precedent, we simply do
not see any basis on which we might reverse.
See Bland v. Sirmons
, 459 F.3d
999, 1029 (10th Cir. 2006) (no cumulative error where “evidence supporting . . .
aggravating factors was overwhelming and the mitigating evidence weak”);
Willingham v. Mullin
,
Affirmed. *41 No. 11-5001, Grant v. Trammell
BRISCOE, Chief Judge, concurring in part and dissenting in part
I agree with the majority that there is no merit to the two guilt-phase issues
raised by Grant, i.e., the lesser-included instruction issue that is discussed in
Section I of the majority opinion and the Confrontation Clause issue that is
discussed in Section II of the majority opinion. As regards the lesser-included
instruction issue discussed in Section I of the majority opinion, I rely on the
OCCA’s findings and conclusions that no lesser-included instructions were
required under Shrum v. State,
I must respectfully part ways with the majority when it comes to Grant’s
claim that his trial counsel was ineffective for failing to investigate and present
available mitigating evidence during the sentencing phase of his trial. As I will
outline below, the Oklahoma Court of Criminal Appeals (OCCA) erred in
analyzing both prongs of the two-prong test for ineffective assistance outlined in
Strickland v. Washington,
Finally, because I would remand for a new sentencing hearing, it is unnecessary for me to express any views regarding the impact of the trial court’s erroneous admission of two “victim impact” statements.
I
Before addressing the merits of Grant’s ineffective assistance claim, it is useful to first review (a) precisely what occurred during the sentencing phase of Grant’s trial, and (b) the procedural history of Grant’s ineffective assistance claim on direct appeal.
A. The sentencing phase of Grant’s trial
During the sentencing phase of Grant’s trial, the prosecution presented evidence to support three aggravating circumstances that it had alleged in its bill of particulars: (1) that Grant was previously convicted of three felony offenses involving the use or threat of violence to the person (specifically three prior robbery with firearms convictions, all occurring when he was nineteen years old), (2) that the murder of Gay Carter was committed by Grant while he was serving a sentence of imprisonment with the Oklahoma Department of Corrections (ODOC) on conviction of a felony, and (3) the existence of a probability that Grant would commit future criminal acts of violence that would constitute a continuing threat to society. To begin with, the prosecution expressly incorporated all of the guilt- phase evidence. In turn, the prosecution presented testimony from an ODOC employee who, based on Grant’s official ODOC records, confirmed the existence *44 of Grant’s prior criminal judgments and sentences. Lastly, the prosecution presented victim impact testimony from June Prater and Larry Young. Prater, the sister of victim Gay Carter, read into the record a written victim impact statement prepared by the victim’s daughter, Pam Carter. Young, a longtime friend of the victim and her family, read into the record a written victim impact statement prepared by the victim’s brother, Roy Westbrook.
Grant’s lead trial counsel, James Bowen, argued in his opening statement that “Grant suffer[ed] from a severe mental illness which cloud[ed] his reasoning and his ability to control himself and his ability to be in tоuch with reality,” Trial Tr., Vol VI, at 1563, and thus “should not be given the death penalty,” id. at 1564. The defense team, comprised of Bowen and attorney Amy McTeer, then proceeded to incorporate by reference all of Grant’s guilt-phase evidence, and in addition presented the testimony of two witnesses: Grant and Daryl Shriner, a prison psychiatrist. None of Grant’s family members were present or testified on Grant’s behalf; indeed, none of them were aware of Grant’s trial because they were not contacted by Grant’s counsel. Grant testified in summary fashion regarding his childhood, noting that he had five brothers and three sisters and was “somewhere in between in terms of age.” Id. at 1565. Grant also noted that he got in trouble with the law as a juvenile and had to go to three different juvenile facilities. Id. at 1566. Grant testified that, in 1980 shortly after he became an adult, he committed three robberies within days of each other, was charged and *45 pled guilty to those robberies, and was sentenced to a total sentence of 130 years. Id. at 1566-67. Grant apologized to Carter’s family, and then testified, as he did during the guilt phase of trial, that he did not have any memory of the murder and did not know why he committed it. Id. at 1568-69. On cross-examination, the prosecution explored in somewhat greater detail Grant’s juvenile and adult criminal history. Grant testified that he was twelve years old the first time he was sent to a juvenile facility, but he testified he did not have a recollection of his juvenile crimes. Id. at 1570-71. Grant testified that he was first committed to the custody of the ODOC in 1979 for accessory to burglary and accessory to robbery, and was paroled from ODOC custody in 1980. Id. at 1571. Grant testified that he had been on parole for approximately three months when he committed the three armed robberies that later resulted in his 130-year sentence. Id. at 1572. Grant admitted that he had been in trouble since he had been in the custody of the ODOC, including being in “[u]nauthorized areas and stuff, small stuff,” id., and had also been involved in fights in prison, including one altercation with a correctional officer shortly after he was imprisoned in 1980, id. at 1573. Lastly, Grant testified that he had no recollection where the murder weapon came from. Id.
Shriner, a psyсhiatrist employed at the facility where the murder occurred, testified that he had never talked to Grant, id. at 1582, but instead had reviewed ODOC’s mental health files pertaining to Grant. Id. at 1580. Shriner testified *46 that one of the records in the file recommended that Grant be given certain anti- psychotic drugs, but that there was no indication in any of the other records that Grant had actually been prescribed such medication. Id. at 1583, 1586. Shriner testified that, because he had never evaluated Grant, he did not have a personal opinion regarding whether such drugs would be beneficial to Grant. Id. Shriner also testified that a prison psychiatrist who had seen Grant recommended that Grant take medication for anxiety, but that Grant had refused it. Id. at 1590. During sentencing-phase closing arguments, the attorneys sparred primarily over the existence of the third alleged aggravating circumstance, i.e., the existence of a probability that Grant represented a continuing threat. The prosecution argued that “[w]ith [Grant’s] history from the time he was 15 years old his conduct shows anyone who looks at it that he is capable in the future and quite probably may commit additional violent crimes against people.” Id. at 1608. McTeer argued in response that “there exist[ed] at least a question as to . . . Grant’s mental stability,” and that “[a]n evaluation and/or treatment and medication could in fact render him less dangerous to society.” Id. at 1609. After deliberating, the jury found the existence of all three alleged aggravating factors, including the continuing threat aggravator. The jury in turn fixed Grant’s punishment at death for the murder.
B. Grant’s direct appeal *47 The procedural history of Grant’s ineffective assistance claim is very unusual in certain key respects and thus worth mentioning. Grant, who was appointed new counsel to represent him on direct appeal, alleged in his direct appeal that his defense attorneys were ineffective for failing to investigate and present mitigating evidence from his family members. The OCCA granted Grant’s motion for an evidentiary hearing on the claim and remanded the matter to the state trial court. The state trial court conducted an evidentiary hearing, during which Grant’s attorneys presented testimony from ten witnesses: attorney Bowen and nine members of Grant’s family, including his mother, father, siblings, and a maternal uncle. The hearing was continued to a later date so that the parties could present testimony from three Oklahoma Indigent Defense System (OIDS) investigators that worked on the case: two that worked with Grant’s trial counsel prior to trial, and one that worked with Grant’s appellate attorneys on the direct appeal. The trial court subsequently allowed the parties to submit that testimony by stipulation. The trial court then issued written findings of fact and conclusions of law responding to specific points outlined by the OCCA in its remand order. Although the trial court found that Grant did not waive the presentation of mitigating evidence from his family members, and that Grant’s trial counsel, James Bowen, did little to develop the mitigating evidence, it concluded that Grant was not prejudiced by Bowen’s failure to present mitigating testimony from Grant’s family members.
On November 18, 2002, the OCCA issued a published opinion affirming
Grant’s conviction and death sentence. Grant v. State ,
Following the OCCA’s denial of his direct appeal, Grant filed a petition for
writ of certiorari with the United States Supreme Court. On October 6, 2003, the
Supreme Court granted certiorari, vacated the OCCA’s judgment, and remanded
the case to the OCCA “for further consideration in light of [its then recent
decision in] Wiggins v. Smith,
In Wiggins, the Supreme Court granted federal habeas relief to a Maryland
state capital defendant on the grounds “that his attorneys’ performance at
sentencing,” specifically the attorneys’ failure to investigate potential mitigating
evidence, “violated his Sixth Amendment right to effective assistance of counsel.”
On remand from the Supreme Court, the OCCA reaffirmed its prior
decision and rejected Grant’s claim of ineffective assistance of counsel. Grant v.
State,
Some people just can’t take a hint. On October 6, 2003, the Supreme Court of the United States responded to John Marion Grant’s petition for a writ of certiorari, arising from this Court’s rejection of his direct appeal from his capital conviction, by granting the petition, summarily vacating the judgment of this Court, and remanding the case to this Court, “for further consideration in light of Wiggins v. Smith,539 U.S. 510 ,123 S.Ct. 2527 ,156 L.Ed.2d 471 (2003).” In a capital case like Grant’s—with further extensive review through the federal habeas corpus process inevitably following the direct appeal decision in this Court, and with a subsequent opportunity for the United States Supreme Court to intervene, through certiorari review of the decision of the United States Court of Appeals for the Tenth Circuit—intervention by the Supreme Court at this stage of the appellate process is rare and remarkable. One would think that this Court would issue a careful, thoughtful response. That has not happened.
The Supreme Court has sent this Court a message, and its reference to the Wiggins decision would seem to make interpretation of this message a rather simple task. Yet today’s Court majority chooses to ignore the message, through a pinched and shallow interpretation of Wiggins and a determination to maintain its earlier ruling. I believe that the Court’s current actions will merely serve to delay, rather than to prevent, an eventual re-trial of the punishment stage of Grant’s trial, thereby causing a pointless waste of monetary *50 and human resources and an unnecessary extension of the stress and anxiety that accompanies all capital cases, for all of the persons affected by them.
Id. at 184 (internal paragraph numbers and footnotes omitted). As in his dissent from the OCCA’s original opinion, Judge Chapel concluded that the proper remedy was “to provide Grant with a new capital sentencing, before a jury that is fully informed about the circumstances of the life whose fate they must determine.” Id. at 190.
II
Turning now to the merits of Grant’s ineffective assistance claim, I believe, for the reasons I shall outline below, that the OCCA erred in its analysis of both prongs of the Strickland test. In turn, reviewing both of these prongs de novo, I conclude that Grant’s claim has merit and entitles him to federal habeas relief in the form of a new sentencing proceeding. [2]
A. The deficient performance prong of the Strickland test The majority spends virtually no time discussing the deficient performance prong of the Strickland test, and instead summarily concludes, based upon the *51 State’s failure to dispute the district court’s analysis on this point, that Grant’s trial attorneys performed deficiently in failing to contact and interview the members of Grant’s family to determine what mitigating evidence they could provide at the sentencing phase of Grant’s trial. Although I fully agree that Grant’s trial attorneys performed deficiently, I believe it is necessary to review the OCCA’s analysis on this point because that analysis informed (or, more appropriately, misinformed) the OCCA’s subsequent analysis of the prejudice prong of the Strickland test.
When it first decided Grant’s direct appeal, the OCCA offered the following explanation in support of its conclusion that Grant’s lead trial counsel, Bowen, did not perform deficiently:
During the evidentiary hearing, [lead] trial counsel [Bowen] was asked why he did not call family members as mitigation witnesses. He testified that there were two main reasons. First, Grant told him that he basically had no contact with his family since he left home at the age of fifteen and was incarcerated since the age of nineteen. Grant indicated that he did not know where his family was located other than somewhere in Oregon. Grant told him that he didn’t want his family involved in the proceedings. Regardless, Bowen did ask his investigators to try and contact Grant’s family. One investigator testified that he was unable to locate Grant’s family before trial. Appellant, John Grant, did not testify at this hearing.
Secondly, Bowen testified that because the family members had no close contact with Grant in some twenty years, their testimony would be of little help. He felt like if they testified about their relationship, they would be vulnerable on cross-examination because they hadn’t had any contact with him since he had been incarcerated. *52 The trial court found, and we concur, that the family members could have been contacted with the use of information located in Grant’s prison records and they would have been willing to testify at trial. The trial court also found that the witnesses’ testimony would have been cumulative to each other and would not have had a positive impact on the jury. We agree.
. . . .
We find that counsel’s performance was not deficient. The reasonableness of counsel’s actions may be determined or substantially influenced by the defendant’s own statements or actions. Strickland ,466 U.S. at 691 ,104 S.Ct. at 2066 ; Romano v. Gibson,239 F.3d 1156 , 1181 (10th Cir.2001), cert. denied, 534 U.S. 1046,122 S.Ct. 628 ,151 L.Ed.2d 548 (2001). . . . Grant’s wish to exclude his family from the proceedings controlled trial counsel’s actions in this case.
Trial counsel did present some mitigating evidence including Grant’s own testimony and a prison psychiatrist. The prison psychiatrist testified that Grant had never been treated for any mental illness or syndromes.
Grant testified about his childhood, that he had eight brothers and sisters and that he left home, for the first time, at the age of twelve. He testified that he had been in and out of institutions since his teen years. He testified that when he reached the age of seventeen he was sentenced to adult prison and served one year. He testified that once he got out he committed the robberies for which he was incarcerated when this crime took place. He apologized to the family of the victim. The mitigating evidence Grant now claims his attorney was ineffective for not presenting would have repeated Grant’s own account of his childhood.
Considering all of the evidence presented at trial and at the
evidentiary hearing, we do not believe that trial counsel’s conduct
was “outside the wide range of professionally competent assistance.”
Strickland,
Grant has made no showing that the failure to find his family members and present their testimony at trial was the result of deficient performance, or that the failure rendered his sentence unreliable. See Burger v. Kemp,483 U.S. 776 , 795-96, 107 S.Ct. 3114, 3126,97 L.Ed.2d 638 (1987). Even if he had shown deficient performance, Grant could not show that he was prejudiced by the failure to present this evidence.
Grant I ,
After the Supreme Court granted Grant’s petition for writ of certiorari and remanded the case to the OCCA with directions to reconsider Grant’s ineffective assistance claim in light of Wiggins, the OCCA reaffirmed its conclusion that Bowen did not perform deficiently:
In our original opinion, we found that counsel’s failure to contact family members did not fall “outside the wide range of professionally competent assistance.” Grant,2002 OK CR 36 , ¶ 87,58 P.3d at 800 . Furthermore, we held that Grant could not show that the failure to present the testimony of family members rendered his sentence unreliable. Grant,2002 OK CR 36 , ¶ 88,58 P.3d at 800 . Grant could not show that he was prejudiced by counsel’s conduct. Id. While counsel could have contacted family members through Grant’s prison records, and did ask an investigator to attempt to contact the family, no contact was ever made.
The Wiggins case does not change our decision. Counsel’s
decision in this case was driven by Grant’s own request to not have
his family contacted. See Strickland,
There are probably only few death penalty cases where counsel would not be ineffective for a failure to undertake an independent investigation of a defendant’s early life by contacting family members. This is one of them. The factors that make counsel’s independent investigation unnecessary was Grant’s own desire to not have his family contacted and his twenty years of incarceration prior to this crime.
Grant II,
The OCCA’s analysis of the deficient performance prong thus rests on a
number of factual findings. To begin with, the OCCA concurred with the state
trial court’s finding “that [Grant’s] family members could have been contacted
with the use of information located in Grant’s prison records and they would have
been willing to testify at trial.” Grant I,
As I shall outline below, all but the first of these factual findings are clearly contrary to, and rebutted by, the record developed during the trial court’s evidentiary hearing. [3]
1) The OCCA’s first factual error
To begin with, the OCCA’s characterization of Grant’s childhood as a “matter of choice” is clearly erroneous and indeed offensive when viewed in light of Grant’s life history, and is also contrary to well-established Supreme Court precedent. According to the testimony of Ruth Grant, Grant’s biological mother, Grant was one of nine children, four of whom, including Grant, were fathered by a man named Walter Grant. Shortly after Grant’s birth, Ruth testified, Walter Grant left Oklahoma with the two oldest children (Kenneth Grant and Ronnie Grant) and moved to Los Angeles. Ruth was left to raise her remaining children by herself with only part-time work and public assistance as their means of support. When Grant was approximately five years old, Ruth moved herself and her remaining children from Ada, Oklahoma, to Oklahoma City in search of a better job and better living conditions. But as all of Grant’s family members agreed, Ruth’s quest for better living conditions for her family was not successful. After living for a short time near her brother, Clayton Black, Ruth and her children moved into an apartment in a housing project located in a crime-ridden neighborhood of Oklahoma City. Because of Ruth’s work schedule, and because his father had left the family years earlier, Grant and his siblings lacked adult supervision during most of their waking hours. Although it was undisputed that Grant thereafter began associating with a group of juvenile delinquents and in turn got into trouble for stealing, his younger sister Andrea Jean Grant explained that Grant’s purpose in stealing was to obtain clothes and shoes for his younger *57 siblings to wear. Hr’g Tr. at 81. And Grant’s juvenile offenses resulted in his spending a significant amount of time in several state juvenile facilities, all of which purportedly were in deplorable condition. Thus, in sum, the essentially uncontroverted factual record firmly establishes that Grant, through no fault of his own, was subjected during his entire childhood to poverty and parental neglect.
Perhaps the OCCA’s “matter of choice” statement was aimed more
narrowly at Grant’s juvenile criminal activities, rather than his entire childhood.
But, even assuming that to be the case, the statement is clearly inconsistent with
the more sympathetic views expressed by the Supreme Court regarding juvenile
offendеrs. In Roper v. Simmons,
The second factual error made by the OCCA was its finding that Grant, as
an adult, “had no meaningful contact with the family members who would have
testified” on his behalf. Grant I,
3) The OCCA’s third factual error
The third factual error committed by the OCCA was its finding that the
testimony of Grant’s family members “would have repeated Grant’s own account
of his childhood.” Grant I,
4) The OCCA’s fourth factual error
The OCCA’s fourth factual error was its finding that the testimony of Grant’s family members “would have been cumulative to each other.” Grant I, 58 P.3d at 799. To be sure, there was some overlap in the testimony provided by Grant’s family members at the state evidentiary hearing. But a careful review of that testimony indicates that each of Grant’s family members provided specific details not testified to by anyone else. For example, LaRonda Joy Hovis, the oldest of Grant’s female siblings, was the only witness who specifically described the living conditions her family faced prior to their move to Oklahoma City. According to Hovis, her family (including at that time Grant’s father and two oldest brothers) lived in a three-room house in Ada, Oklahoma, that lacked *61 plumbing. Another significant example came from the testimony of Grant’s younger sister, Andrea Jean Grant. She testified that, as a child, Grant stole in order to provide clothing and shoes for his younger siblings.
5) The OCCA’s fifth factual error
The fifth factual error committed by the OCCA was its finding that trial
counsel’s “knowledge of Grant’s early life, through conversations with Grant,
would not have been enhanced by interviewing [Grant’s] family members.” Grant
II,
6) The OCCA’s sixth factual error
The sixth factual error committed by the OCCA was its finding that Bowen
“followed the directions of his client” and did not contact Grant’s family
members. Grant II ,
7) The OCCA’s resulting legal error
As I have noted, the OCCA ultimately concluded that Grant could not
satisfy the first prong of the Strickland test because Bowen “made a reasonable
decision that investigation into Grant’s family history by contacting family
members was unnecessary.” Grant II,
8) De novo review of the first prong of Strickland
Reviewing de novo the first prong of the Strickland test, it is clear, and the
State effectively concedes, that Bowen’s performance was deficient. As the
Supreme Court stated in Strickland and reemphasized in Wiggins, “strategic
choices made after less than complete investigation are reasonable precisely to the
extent that reasonable professional judgments support the limitations on
investigation.” Wiggins,
B. The prejudice prong of the Strickland test
That leaves the key question of whether Grant was prejudiced by the failure
of his trial attorneys to investigate and present mitigating evidence from his
family members. The OCCA purported to address this question on the merits in
both Grant I and Grant II. In Grant I, the OCCA summarily concluded that
“[e]ven if [Grant] had shown deficient performance, [he] could not show that he
was prejudiced by the failure to present this evidence.”
There is no indication that had the jury been confronted with the testimony of family members the result of this proceeding would have been different. The jury found the existence of three *66 aggravating circumstances. Grant was incarcerated for committing violent crimes. He violently and repeatedly stabbed a civilian kitchen worker while he was serving a sentence for a violent crime. The testimony of Grant’s family members would not have swayed the jury from imposing the death penalty.
Like its analysis of Strickland’s first prong, however, the OCCA’s analysis
of Strickland’s second prong was unquestionably impacted by its erroneous
factual findings. Because the OCCA erroneously found that the testimony of
Grant’s family members “would [simply] have repeated Grant’s own account of
his childhood,” Grant I,
In examining the constitutionality of capital sentencing proceedings, the
Supreme Court has stated that “the fundamental resрect for humanity underlying
the Eighth Amendment . . . requires consideration of the character and record of
the individual offender and the circumstances of the particular offense as a
constitutionally indispensable part of the process of inflicting the penalty of
death.” Woodson v. North Carolina ,
*68 In conducting the mandated reweighing in this case, I agree with the following statement from Judge Chapel’s dissent in Grant II : The question is not whether Grant’s background, family history, and some of his positive traits could excuse his cruel murder of Gay Carter. They certainly could not. The question is whether there is a “reasonable probability” that at least one juror—and it would only take one—could be sufficiently moved by the circumstances of Grant’s life to choose to spare that life from execution.
Notably, Judge Chapel, in his dissent in Grant I , accurately described the mitigating testimony that Grant’s family members could have offered at the sentencing-phase proceedings:
The family members painted a rather depressing picture of the circumstances into which Grant was born and in which he grew up. John Marion Grant was the sixth of nine children and the last fathered by his mother’s former husband, Walter Grant. FN23 Walter left the family home in Ada, Oklahoma approximately one month before John was born, leaving Ruth with six children to raise on her own. Walter moved to Los Angeles and never provided any financial support to Ruth or the children. Although the two oldest brothers eventually went to live with Walter in Los Angeles, Grant was left in Oklahoma and had very little contact with his father while he was growing up.
FN23 . The children born to Ruth and Walter Grant, in the order of their birth, were Kenneth, Ronnie, LaRonda, Ruth Ann, Norman, and John.
During the three years following Walter’s departure and Grant’s birth, Ruth had three more children (Andrea, Gregory, and O.C.), the last of which was named after their father, O.C. Frazier. O.C. Frazier never lived in Ruth’s home with the children, and John never experienced having a male role model in the family home. Instead, the two oldest sisters in the family were expected to play very *69 substantial roles in running the home and raising and disciplining the younger children, including Grant, even while they were still children themselves.
Ruth’s only sources of income to support her large family were Aid to Dependent Children and some part-time work cleaning people’s homes. LaRonda described their family as “dirt poor, extremely poor.” The first family home in Ada had only three rooms and no indoor plumbing, and the family did not own a car. When Grant was approximately five years old, the family moved to Oklahoma City, where they lived next door to Ruth’s brother, Clayton Black. Black lived across the street from some apartment buildings that were known as “the projects,” and Ruth and the children eventually moved into these apartments. Family members testified that things got even worse in the new neighborhood, which was poor, tough, crime-ridden, run down, and dangerous, particularly in the projects. In 1979, Ruth and the children who were still in the home moved to Portland, Oregon to escape the neighborhood. Grant was unable to go with the family, however, because he was confined to a juvenile facility at the time.
The family members described Grant as being “sweet,” “loving,” “quiet,” “sensitive,” and “gentle” when he was a child. He loved animals and pets, especially dogs. Some of Grant’s sisters testified that he did not get much attention from their mother and that he needed more love than he got. Many of the family members remembered Grant crying a lot as a child. Ruth noted that Grant first started having problems and getting into trouble when the city started busing the children to schools outside the neighborhood. Some of Grant’s siblings testified that when Grant first started stealing as an adolescent, he was stealing things like clothing and shoes for the younger children in the family.
Grant’s younger siblings testified that he was very protective of them and that he would come to the aid of his younger brothers when older boys in the neighborhood threatened them or tried to fight them. Gregory testified that Grant gave him “quite a bit of advice growing up” and that Grant attempted to steer him away from some of the “badder guys” in the neighborhood. He stated that even though Grant did not follow his own good advice, “he pretty much wanted to make sure that the people who were younger or his beloved brothers didn’t get into the type of lifestyle he got into.” *70 Andrea testified that Grant was her “favorite brother” and that they were very close as children. O.C. likewise described Grant as a “cool brother” who was always there for him and who helped him out a lot.
LaRonda testified that Grant once helped her escape from an abusive boyfriend and that she was very touched by the concern he showed for her and her children at that time. Gregory testified that Grant always loved small children, particularly his nieces and nephews. And all of the family members testified that Grant was never violent or verbally abusive within the family, even as an adolescent.
The family members also testified that they stilled loved Grant
and that they would like the opportunity to maintain or renew their
relationships with him. Some expressed regret about their failure to
provide Grant with more support. All of the family members
testified that if they had been given the opportunity to testify at
Grant’s trial, they would have asked the jury to spare his life.
Grant I,
To be sure, none of this evidence would have squarely rebutted the three
aggravating factors alleged by the prosecution and found by the jury. But a death
sentence is not imposed simply by assessing the presence or absence of
aggravating circumstances. The question of a defendant’s moral culpability, for
example, is a factor that has been repeatedly emphasized by the Supreme Court as
one that can “provide [a] jury with an entirely different reason for not imposing a
death sentence.” Abdul-Kabir,
*71 In Grant’s case, his jury, due to the decisions of his trial counsel, was given very little information about Grant’s background and character. The jury did not hear from, nor even see, Grant’s family members. The jury was truly left with the impression that no one cared whether Grant lived or died. Although Grant’s counsel urged the jury during sentencing-phase closing arguments to “look at . . . Grant as something other than a monster,” Trial. Tr., Vol. VI at 1612, the jury in fact had no information that would have allowed it to do so. And the prosecution seized upon this lack of evidence during its sentencing-phase closing arguments, implying falsely that there was really no explanation for Grant’s criminal history other than his own conscious and knowing choices. Id. at 1608 (“He simply has chosen not to abide by the rules that we all abide by.”), 1613 (“He’s chosen consciously to break the law and his history shows that pattern of decision after decision after decision. . . . He’s made bad choices. Some people just do that.”). As a result, Grant’s jury was in no position to adequately assess his moral culpability, nor in turn fully engage in what the Supreme Court has described as “the process of inflicting the penalty of death.” Eddings v. Oklahoma, 455 U.S. 104, 112 (1982) (internal quotation marks omitted).
Even if we assume, as the majority suggests, that the mitigating evidence
that Grant’s family members would have provided is less persuasive than the
“powerful” mitigating evidence at issue in Wiggins (which included “severe
privation and abuse in the first six years of [Wiggins’s] life while in the custody
*72
of his alcoholic, absentee mother,” and “physical torment, sexual molestation, and
repeated rape during his subsequent years,” Wiggins ,
Had Grant actually received the individualized consideration that the
Constitution entitles him to, I believe that the testimony of Grant’s family
members would have placed not only the murder, but Grant’s entire criminal
history, into a different, and more sympathetic context for the jury. Specifically,
the testimony of Grant’s family members suggests that Grant’s first forays into
crime were a product of the difficult environment in which he and his siblings
were living, which included a lack of even the most basic of life’s necessities.
Indeed, the evidence suggests that Grant, who effectively acted as a caretaker for
his younger siblings, began stealing to provide them with clothing and shoes. In
turn, the testimony of Grant’s family members suggests that Grant’s experiences
in juvenile facilities hardened him and likely lead to his committing crimes as a
young adult. And, tragically, those crimes lead to him being sentenced at the age
*73
of nineteen to a life in prison. Of course, none of this evidence explains precisely
why Grant killed Carter, nor does it excuse the murder. But, “[h]ad the jury been
able to place [Grant’s] . . . life history on the mitigating side of the scale,” I
believe “there is a reasonable probability that at least one juror would have struck
a different balance” and decided that life imprisonment was a sufficient penalty
for the murder. Wiggins ,
Notes
[*] Pursuant to Fed. R. App. 43(c)(2), Anita Trammell, who was appointed Warden of the Oklahoma State Penitentiary on February 28, 2013, is automatically substituted for Randall G. Workman as Respondent in this case.
[1] Of course, what due process doesn’t compel the Sixth Amendment still
might. A defendant’s failure to seek a lesser included offense instruction may not
trigger
Beck
, but if the failure was the product of dеfense counsel’s deficient
performance and if that failure turns out to be prejudicial to the defendant, that
could form the basis for a Sixth Amendment ineffective assistance of counsel
claim under
Strickland v. Washington
,
[2] Since this case was argued the Supreme Court has instructed us to apply a
rebuttable presumption that a “federal claim was adjudicated on the merits” even
when “a state court rejects a federal claim without expressly addressing that
claim.”
Johnson v. Williams
,
[3] Mr. Grant points out that the trial court granted his request for an insanity instruction. But that legal instruction doesn’t answer the Beck question whether the facts in the record supported anything other than a first degree murder conviction. Indeed, if the trial court’s decision to provide that legal instruction suggests anything, it is that the trial court was generous to Mr. Grant given that even his own expert declined to testify that he was legally insane (unable to tell right from wrong) at the time of the killing. Mr. Grant also argues that the OCCA violated Beck by focusing on the wrong question, asking whether the government’s evidence was sufficient to (continued...)
[3] (...continued)
support a conviction for first degree murder rather than whether it permitted a
conviction for second degree murder. But here again Mr. Grant simply misreads
the OCCA’s opinion. As we’ve seen, the OCCA wasn’t purporting to apply
Beck
at all but state law (
Shrum
). Besides, while the OCCA
did
comment on the
sufficiency of the government’s case to sustain a first degree conviction,
see
Grant
,
[4] We are confident the error could have had little impact on the outcome for still other reasons. As we have already seen, the State’s evidence of Mr. Grant’s premeditation at the guilt stage was strong, quite independent of anything Dr. Smith had to say: the evidence showed advance planning and threats, and even Mr. Grant’s own expert at the guilt phase couldn’t say he failed to understand the consequences of his actions. By the time of the penalty phase, the defense abandoned altogether any contention that the murder was the result of psychotic delusions and focused instead on Mr. Grant’s personal history and amenability to treatment, making the error all the more immaterial to the proceedings.
[5] In connection with his
Strickland
claim, Mr. Grant asks us to consider
new evidence he has offered for the first time only in these federal court
proceedings. The evidence consists of affidavits from a family member, a friend,
a psychiatrist, and a self-described “mitigation specialist” who researched Mr.
Grant’s childhood. But our review under § 2254(d) is limited to the same “record
that was before the state court.”
Black
,
[6] Of course, state court factual findings are entitled to deference nоt just
under § 2254(d)(2) but also under § 2254(e)(1). Just how these two provisions
interact when it comes to the review of a state court’s factual findings we need
not decide. Because we conclude that the OCCA made no unreasonable
determination of fact under (d)(2) and because (e)(1) is “arguably more
deferential” than (d)(2),
Wood
,
[1] I would reject this proposition in any event because it fails to take into account the fact that Oklahoma state law imposes a duty on a trial court to (continued...)
[1] (...continued)
instruct on any lesser-included offense supported by the evidence, regardless of
whether the defendant requests such an instruction or not. Indeed, the OCCA
acknowledged that very rule of state law in its decision denying Grant’s direct
appeal. Grant v. State,
[2] In reviewing the OCCA’s Strickland analysis, I have followed the
guidance afforded us in Cullen v. Pinholster,
[3] I recognize there is a circuit split regarding the precise interplay of 28
U.S.C. § 2254(d)(2), which provides that federal habeas relief can be granted in
favor of a state prisoner on the basis of a claim that was adjudicated on the merits
in state court proceedings if the state courts’ adjudication of the claim “resulted in
a decision that wаs based on an unreasonable determination of the facts in light of
the evidence presented in the State court proceedings,” and 28 U.S.C. §
2254(e)(1), which provides that in federal habeas proceedings brought under §
2254, “a determination of a factual issue made by a State court shall be presumed
to be correct” and “[t]he applicant shall have the burden of rebutting the
presumption of correctness by clear and convincing evidence.” See Wood v.
Allen,
[4] The majority also references Montgomery, albeit not by name but rather by the term “guilt stage expert,” and suggests that Montgomery “talked about [Grant’s] difficult childhood.” Maj. Op. at 31. A careful examination of Montgomery’s testimony, however, indicates that he provided only minimal details about Grant’s childhood (e.g., the fact that Grant was the sixth of nine children and never really knew his father).
[5] Somewhat relatedly, Bowen’s testimony at the state evidentiary hearing also established that he had a significant misunderstanding of how frequently Grant’s family members had contact with Grant in prison. For example, it was (continued...)
[5] (...continued) Bowen’s understanding that Grant’s mother “had come to see him just a few times while he was incarcerated.” Tr. of Evid. Hr’g, at 55. But the record firmly establishes that Ruth Grant visited Grant on an annual basis (with the exception of one year when he was confined in a facility in Texas).
[6] The state trial court expressly found, after hearing this testimony, that
Grant did not waive the presentation of mitigating evidence from his family
members. And, as Judge Chapel aptly noted in his dissent, “[t]he record suggests
that rather than deciding not to pursue mitigating evidence about Grant’s early
life from members of his family, Grant’s counsel recognized that such
information was relevant and potentially helpful, he just never accomplished the
task of actually obtaining it.” Grant II ,
