Petitioner Alvie James Hale was tried and convicted by jury in the District Court of Pottawatomie County, Oklahoma on one count of Murder in the First Degree and one count of Kidnapping for Extortion. The jury recommended death for the crime of Murder in the First Degree and life imprisonment for the crime of Kidnap *1307 ping for Extortion. After unsuccessful direct and post-conviction appeals in state court, Mr. Hale filed a petition for writ of habeas corpus pursuant to 28 U.S.C. § 2254. The district court denied the writ. Mr. Hale appeals, and we AFFIRM.
BACKGROUND
Hale was charged with the murder and kidnapping of William Jeffrey Perry (“Perry”) of Tecumseh, Oklahoma. Perry’s parents owned and managed a local bank. When Perry failed to arrive for work Tuesday morning, October 11, 1983, his sister, Veronica, went to his home to locate him. She found his automobile in the driveway, the front door to his home open, his clothes laid out for work, and Perry missing. The only sign of a struggle was an upset alarm clock. At 10:30 a.m. that day, Perry’s mother received the first of a series of telephone calls concerning her son from an unidentified man. The second call came at 1:30 p.m. and was received by Perry’s sister who was asked “Where is the money, where is $350,000?” During each call, the family asked to speak with Perry and were told that Perry was at a lake cabin and could not be brought to a phone, but that he would be released after the caller received $350,000 from the family. The family could not arrange to have the money until the following day.
Meanwhile, at approximately 7:00 a.m. on the morning of October 11, 1983, a man identified as Hale came to the bathroom window of the house where Janet Miller lived. He asked her if he could use a telephone and she told him she did not have a phone. As the man went back to his white station wagon in her driveway, a second man dressed only in undershorts yelled for help from an adjacent field. Hale hurried to the spot where the second man was located, who was bent over with pain, and pulled him over the fence into the automobile.
The next day, Mrs. Perry received a phone call directing her to go to the pay phone at a 7-11 store where she would receive further instructions. When Mrs. Perry reached the 7-11 she received a phone call on the pay phone at the store that directed her to another 7-11. During this phone call, Mrs. Perry spotted Hale sitting in a red and white pickup across the street. Mrs. Perry then proceeded to the second location, where she again received a phone call which told her where to drop off the ransom money. Mrs. Perry followed the caller’s instructions and deposited the money at the designated location. While Mrs. Perry was dropping off the money, she observed Hale’s truck approaching her location and was able to identify Hale as the driver of the vehicle. After Hale retrieved the money, F.B.I. agents pursued Hale in a high speed chase through Oklahoma City. The pursuit ended when Hale’s vehicle finally came to a stop after he hit a drainage ditch, went airborne, and collided head on with an F.B.I. agent’s vehicle. All the money Mrs. Perry had delivered was found in the truck and Hale was taken into custody at that time.
Hale’s father gave law enforcement officers consent to search his home and property. During the search, officers found the victim’s body wrapped in a dark colored trampoline tarp within a metal storage shed, one which fit a trampoline frame found at Hale’s own home. Perry' had been shot a number of times. Also located at the house was a cream-colored station wagon Hale had used the morning of October 11th. A blood-stained towel containing a hair identified as Hale’s was found in the vehicle. In addition, blood was found on the shoulder harness in the car which was consistent with Perry’s blood. A .38 caliber revolver was also found in a kitchen cabinet. Two bullets found in Perry’s head were determined by a ballistics expert to have come from that revolver to the exclusion of all other weapons.
Hale was found guilty of Murder in the First Degree and Kidnapping for Extortion. 1 During the second stage of Hale’s *1308 trial, the prosecutor sought the death penalty on the kidnapping as well as the first degree murder charge. The prosecutor argued three aggravating circumstances for the kidnapping charge 2 and four aggravating circumstances for the murder charge. 3 The jury found two aggravating circumstances for kidnapping-that it was done for remuneration and was heinous, atrocious, or cruel-and sentenced Hale to life imprisonment. The jury found the existence of two aggrava-tors on the murder charge-the murder was heinous, atrocious, or cruel and the murder was committed to avoid lawful arrest-and sentenced Hale to death. On March 22, 1984, the trial judge sentenced Hale in accordance with the jury’s recommendation.
Hale appealed, raising twenty-two propositions of error. The Oklahoma Court of Criminal Appeals (“OCCA”) affirmed Petitioner’s convictions and sentences.
Hale v. State,
On appeal, Hale makes the following thirteen claims of constitutional error: (1) he was (a) denied effective assistance of counsel through a conflict of interest and (b) denied due process when his counsel’s motion to withdraw from representation was denied outside of Hale’s presence, (2) he was denied effective assistance of counsel during the punishment stage of his trial, (3) he was denied effective assistance of counsel during voir dire, (4) he was denied effective assistance of counsel when counsel failed to object to the admission of other crimes evidence, (5) he was denied effective assistance of counsel during counsel’s second stage closing remarks, (6) he was denied effective assistance of counsel during counsel’s first stage closing remarks, (7) he was denied a fair trial due to an improper instruction to the jury that kidnapping was a death-eligible offense and denied effective assistance of counsel for his counsel’s failure to object to the
*1309
improper jury instruction, (8) he was denied due process because of the late filing of the Bill of Particulars and denied effective assistance of counsel when his attorney failed to object to the late filing, (9) his convictions for murder and kidnapping violated double jeopardy principles, (10) the government committed a violation of
Brady v. Maryland,
DISCUSSION
A. Standard of Review
When reviewing the denial of a ha-beas corpus petition, we are generally subject to two different frameworks of review, depending upon whether the state courts addressed the merits of the claim for relief. If the state courts have not heard the claim on its merits, we review the district court’s legal conclusions de novo and its factual findings, if any, for clear error. If the state courts have addressed the claim on its merits, we review the state court ruling under the standard enunciated under 28 U.S.C. § 2254.
Smallwood v. Gibson,
Under AEDPA’s provisions, a federal court is precluded from granting habeas relief on any claim adjudicated on the merits by the state court, unless the state proceeding “resulted in a decision that was contrary to, or involved an unreasonable application of, clearly established Federal law, as determined by the Supreme Court,” 28 U.S.C. § 2254(d)(1), or “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,” 28 U.S.C. § 2254(d)(2). “In addition, we presume the factual findings of the state court are correct unless petitioner can rebut this presumption by clear and convincing evidence.”
Smallwood,
The Supreme Court recently construed the review standard set forth in 28 U.S.C. § 2254(d)(1).
See Williams v. Taylor,
The Court determined that a state court decision is “contrary to” clearly established federal law “if the state court arrives at a conclusion opposite to that reached by this Court on a question of law or if the state court decides a case differently than this Court has on a set of materially indistinguishable facts.” Id. A state court decision is an unreasonable application of federal law “if the state court identifies the correct governing legal principle from this Court’s decision but unreasonably applies that principle to the facts of the prisoner’s case.” Id. When a federal habeas court is making an “unreasonable application” inquiry, the Court stated that it “should ask whether the state court’s application of clearly established federal law was objectively unreasonable.” Id. at 1521. The Court stopped short of defining the term “unreasonable” as it is used in AEDPA, but did note that while it *1310 is “difficult to define,” it is “a common term in the legal world and, accordingly, federal judges are familiar with its meaning.” Id. at 1522. The Court was careful to point out, however, that “an unreasonable application of federal law is different from an incorrect application of federal law.” Id.
We now turn to our review of Mr. Hale’s claims in light of Williams.
I. Ineffective Assistance of Counsel and Related Claims
A. Motion to Withdraw
Hale first argues that he was denied the effective assistance of counsel because of a conflict of interest. Hale contends that his trial counsel suffered under a conflict of interest based on trial counsel’s assertions to the court in a motion to withdraw. Hale’s trial counsel, Mr. Van Wagner, was appointed by the trial court to represent Hale on November 30, 1983. Van Wagner testified at the post-conviction hearing that the first thing he did after being appointed was to file an Application to Withdraw with the trial judge. The written application stated in pertinent part:
He [Van Wagner] knows said Defendant whose office was across the hall from this applicant’s law office in 1982 and portions of 1983, and this applicant believes that the Defendant attempted to burglarize his law office in early 1983 along with other offices in the building, although there was not sufficient evidence to press charges. Because of this, this applicant has a personal dislike, distrust and animosity toward the Defendant which will prevent the desirable communication and trust that is necessary to an attorney-client relationship.
After Van Wagner filed this application he had a meeting with the trial judge. There is no transcript of the meeting between Mr. Van Wagner and the judge; however, following the meeting, the judge denied the application to withdraw and the following “court minute” was handwritten at the bottom of the application: “Above application denied after consideration by the Court. The Court is of the opinion that the attorney will not permit personalities to effect [sic] his relationship or representation of defendant.” Hale argues on appeal that the asserted animosity of Van Wagner towards Hale was a conflict of interest which the judge failed to inquire into adequately and resolve properly. In addition, Hale argues that his due process rights were violated because he was not present while his attorney discussed the application to withdraw with the trial judge.
In Hale’s state direct appeal, he raised only the conflict of interest issue, and he failed to raise the procedural due process claim. With regard to the conflict of interest claim, the OCCA stated:
Trial counsel asked to withdraw from representing Hale because he suspected appellant of attempting to burglarize his offices and thought that his personal animosity might hinder communications with Hale. The trial court held a hearing out of Hale’s presence and declined the application. We find no abuse of the court’s discretion in requiring counsel to overcome his personal feelings and to represent Hale. There is no constitutional right to an attorney client relationship free of animosity. Morris v. Slappy,461 U.S. 1 ,103 S.Ct. 1610 ,75 L.Ed.2d 610 (1983).
Hale I,
1. Procedural Due Process Claim
Hale first argues that his constitutional rights were violated when he was not notified of or permitted to attend the hearing or meeting at which his court-appointed counsel discussed his motion to withdraw with the trial judge. Because the OCCA did not address this claim on the merits, we apply pre-AEDPA standards to this portion of Hale’s claim.
See Hooks,
The Supreme Court has held that a defendant “has a due process right to be present in his own person whenever his presence has a relation, reasonably substantial, to the fullness of his opportunity to defend against the charge.”
Kentucky v. Stincer,
This court considered a similar legal issue as the one presented here in
United States v. Oles,
Similarly, in
Green v. Johnson,
Like the defendants in Stincer, Oles, and Green, Hale’s absence from the conference between the trial judge and his counsel did not affect his ability to defend against the charges he was facing nor did it thwart the fairness of that conference or his overall representation. There is no allegation that the trial judge and counsel, Mr. Van Wagner, discussed the substantive charges against Hale. The conference discussed whether Van Wagner’s asserted subjective feelings toward Hale would affect his representation. There is no suggestion that the conference addressed, or attempted to resolve, the truth of the underlying suspicions that gave rise to Van Wagner’s ill will nor was there an allegation of a breakdown in communications. As in Green, Hale does not indicate what he could have done had he been present that would have had an effect on the ruling by the trial judge or affected the fairness of his trial or the presentation of his defense. This court finds that Hale’s exclusion from the proceeding did not result in an unfair proceeding or trial. Rather, the trial judge, after being presented with Van Wagner’s petition, specifically found that trial counsel’s relationship and representation of the defendant would not be affected. Similarly, Van Wagner testified at the post-conviction hearing that his “vague suspicion” that Hale had attempted to burglarize his office did not affect his representation of Hale at all. Hale has presented no evidence to refute the above findings and testimony. We conclude that the meeting on the motion to withdraw did not impinge on Hale’s opportunity to defend against the charges against him or affect the fairness of the entire trial; thus we find no constitutional violation.
2. Conflict of Interest
The second part of Hale’s claim urges this court to find that an actual conflict of interest existed between Hale and Mr. Van Wagner because Mr. Van Wagner had a vague suspicion that Hale might have burglarized his offices. Because the OCCA addressed this claim on the merits, we review under AEDPA standards.
The Sixth Amendment guarantees the effective assistance of counsel to a defendant in a criminal trial.
See Selsor v. Kaiser,
[tjypical conflict of interest case[ ] giving rise to [a] claim[] of ineffective assistance of counsel involve[s] multiple representation of co-defendants at a single trial. However, a defendant’s right to counsel free from conflicts of interest is not limited to cases involving joint representation of co-defendants but extends to any situation in which a defendant’s counsel owes conflicting duties to that defendant and some other third person.
United States v. Cook,
In the present case, there is no evidence that Van Wagner had any interest in the outcome of the current case that would conflict with Hale’s interest. The fact that Van Wagner had a suspicion that ■ Hale may have burglarized his office at an earlier time is unrelated to the case for which he was currently representing Hale. Although Van Wagner would have a conflict of interest if he were representing Hale for the robbery of his law office because their interests in that case would be adverse, representation of Hale in a wholly unrelated case does not give rise to a conflict of interest.
Cf. Church v. Sullivan,
Although there is no conflict of interest, we have recognized that “a complete breakdown in communication between an attorney and client may give rise to a presumption of ineffectiveness.”
Romero v. Furlong,
There being no conflict of interest and no evidence of a total breakdown in communication, we can vacate Hale’s conviction on Sixth Amendment grounds only if he can show ineffective assistance of counsel within the meaning of
Strickland v. Washington,
B. Mitigation Evidence
Hale argues his trial counsel, Mr. Van Wagner, was ineffective during the penalty phase of the trial. Specifically, Hale contends that his attorney failed adequately to investigate, prepare, and present a second stage defense. Hale focuses on the lack of any mitigation evidence during the sentencing phase, which he asserts was readily available had Van Wagner done any amount of investigation or preparation. According to Hale, there exists a reasonable probability that had the jury heard the undiscovered mitigation evidence, it would not have voted for death.
On direct criminal appeal, the OCCA rejected this claim, stating that counsel’s decision with regard to witness testimony is a matter of trial tactics which the court would not second guess.
See Hale I,
Claims of ineffective assistance of counsel are mixed questions of law and fact.
See Wallace v. Ward,
*1315 Hale’s trial counsel did not give an opening statement at the beginning of the penalty phase and presented no mitigating evidence. Counsel addressed the jury during the second stage only in his closing argument in which he urged the jurors to bestow mercy on Hale and give him life in prison. Hale argues on habeas that his counsel should have introduced the testimony of persons in the community who knew him both as a youth and as an adult, in his capacity as a father, businessman, and friend.
“[T]he failure to present available mitigating evidence is not per se ineffective assistance of counsel.”
Brecheen,
The duty to investigate derives from counsel’s basic function, which is to make the adversarial testing process work in the particular case. Because that testing process generally will not function properly unless defense counsel has done some investigation into the prosecution’s case and into various defense strategies, the Supreme Court has noted that counsel has a duty to make reasonable investigations or to make a reasonable decision that makes particular investigations unnecessary.
Stouffer v. Reynolds,
To determine whether Van Wagner’s performance was below the prevailing standards, we review the evidence presented at the state habeas evidentiary hearing. During the hearing, Van Wagner testified that he spent a considerable amount of time reviewing the law and the charges, conferencing with Hale, examining the FBI reports from the federal prosecution, talking with Hale’s father and wife, and talking with other witnesses. Although Van Wagner testified that he spoke with various potential witnesses, he could not recall any person with whom he actually spoke other than Mr. Hale’s father and wife. Moreover, Hale testified that he gave Van Wagner a list of friends that Van Wagner could contact about possibly testifying on Hale’s behalf. Several people Hale named on this list testified at the hearing that they were never contacted before or during the trial, though they would have been willing to testify at trial on Hale’s behalf. Although Van Wagner testified that Hale was adamant that his wife and daughter not testify during the mitigation stage, this did not preclude him from investigating other potential witnesses or mitigating evidence. In addition, Van Wagner admitted that he did not hire an investigator to track down any potential mitigation witnesses. A defense investigator hired by Hale’s state habeas counsel testified at the hearing that finding mitigation witnesses in this case was in fact easier than most death penalty cases because Hale had been a long-time resident of the area where the crime and trial took place. Thus, there were reasonable lines of investigation open to Van Wagner which would have revealed readily available mitigation witnesses; however, Van Wagner failed to pursue any of them.
Given this lack of investigation, Van Wagner’s decision not to put forth any mitigation evidence at the sen
*1316
tencing phase cannot be justified as strategic. As this court stated in
Breechen,
before an attorney can insulate his behavior from review by claiming that a decision to forego mitigation evidence was strategic, “an attorney must have chosen not to present mitigating evidence after having investigated the defendant’s background, and that choice must have been reasonable under the circumstances.”
Brecheen,
We must, however, still determine whether Hale has met his burden under AEDPA of showing that Van Wagner’s deficient performance prejudiced him. In assessing prejudice in the penalty phase, “we must keep in mind the strength of the government’s case and the aggravating factors the jury found as well as the mitigating factors that might have been presented” if Van Wagner’s performance had not been deficient.
Stafford v. Saffle,
During the state post-conviction evidentiary hearing, Hale presented the testimony of four family members and nine friends who all stated they would have testified at the sentencing phase if asked. Two of these witnesses, however, included Hale’s wife and daughter. Hale had insisted at trial that his wife and daughter not be allowed to testify on his behalf, and affirmed this demand when he testified at the post-conviction hearing. As the client, Hale had the right to preclude this testimony.
See Stafford,
Against these testimonials from friends and family members, some of which were *1317 equivocal, is the State’s strong case against Hale. The jury found two aggrava-tors: the murder was “heinous, atrocious, or cruel” and the murder was committed to avoid lawful arrest. There was ample evidence to prove both of these aggrava-tors. 6 In addition, there was strong evidence connecting Hale to the crime. The victim was wrapped in Hale’s trampoline tarp. The body was found at Hale’s father’s home and the gun used to kill the victim was a gun Hale had borrowed from his father. Furthermore, there was hair, blood, and fingerprint evidence connecting Hale to the murder. There was also evidence presented at trial that Hale had attempted to kidnap a woman just one day prior to the kidnapping of the victim, and a former cellmate of Hale’s testified that Hale had told him he knew how to get rid of witnesses. The cellmate further stated that when Hale learned that the inmate was going to testify against him, the inmate was beaten up by Hale and others.
Given the strength of the case against Hale, the aggravating factors found by the jury, and the nature of the crime itself, we do not believe that the later-identified testimony from family and friends, some of which was equivocal and none of which was compelling, would have created a reasonable probability that the jury would have sentenced Hale to life in prison.
See Boyd v. Ward,
C. Voir Dire
Hale next argues that his trial counsel rendered ineffective assistance of counsel during voir dire. Specifically, Hale argues that his trial attorney, Mr. Van Wagner, was ineffective when he: (1) failed generally to question jurors about a possible defense strategy; (2) failed to attempt to rehabilitate jurors challenged for cause by the state based upon their views on the death penalty; and (3) failed to challenge for cause or use peremptory challenges to exclude several jurors with preconceived notions of Hale’s guilt.
Hale raised this claim on direct appeal, and the OCCA summarily dismissed it, finding that defense counsel’s conduct during voir dire was not deficient.
Hale I,
1. General Questioning During Voir Dire
Hale argues that Mr. Van Wagner was ineffective because he failed to educate the jury on any aspect of his second stage strategy. However, Hale has failed to demonstrate how Mr. Van Wagner’s questioning during voir dire fell below constitutional standards.
In
Nguyen v. Reynolds,
The Supreme Court has held that in a capital trial, due process requires a voir dire examination of a potential juror’s views on the death penalty,
see Morgan v. Illinois,
2. Rehabilitation of Jurors Challenged for Cause
Hale next argues that trial counsel was ineffective because he failed to attempt to rehabilitate four jurors after the state challenged them for cause and the court dismissed them based upon their views regarding the death penalty.
The trial court asked the following question of all the jurors: “If selected as a juror in a case where the law and the evidence warrant could you without doing violence to your conscious [sic] recommend the déath penalty?” The trial judge then went on to question individually those jurors who responded negatively about their views on the death penalty. These jurors included Jurors Fischer, Zinn, Abel, and Myer. In individual questioning, three of these jurors, Fischer, Zinn, and Meyer, stated unequivocally that they could not inflict the death penalty in any case. The fourth juror, Abel, stated that she could not apply the death penalty in this case regardless of the evidence because she knew Hale, his daughter, and his wife. These responses were repeated upon questioning by the state.
The Supreme Court in
Wainwright v. Witt,
determinations of juror bias cannot be reduced to question-and-answer sessions which obtain results in the manner of a catechism.... Despite this lack of clarity in the printed record, however, there will be situations where the trial judge is left with the definite impression that a prospective juror would be unable to faithfully and impartially apply the law.... [T]his is why deference must be paid to the trial judge who sees and hears the juror.
Id.
at 424-26,
Thus, the state trial judge’s determination is statutorily accorded a presumption of correctness which can only be rebutted by clear and convincing evidence.
See
28 U.S.C. 2254(e)(1);
see also Williams v. Collins,
3. Failure to Challenge Jurors With Preconceived Notions of Guilt
Hale’s next argument is that his trial counsel was ineffective when he did not challenge for cause or excuse by peremptory challenge six jurors who bad preconceived notions of Hale’s guilt. As support for this claim, Hale presents the testimony of Judge Frank McCarthy who testified as an expert witness during the post-conviction evidentiary hearing. Judge McCarthy opined that
in a case where the defense knows going in that they’re not going to offer any substantive testimony, and they know that they’ve got a good venue issue, to allow six jurors to sit on your jury, who say they’ve already got their minds made up or have opinions about your client’s guilt, is just inappropriate and it’s ineffectively representing your client. There’s no reason for you to do that.
As noted above, in order to show counsel was ineffective for failing to object to the presence of certain persons on the jury, Hale must prove “counsel’s representation fell below an
objective
standard of reasonableness.”
Kimmelman v. Morrison,
It is not required ... that the jurors be totally ignorant of the facts and issues involved... .To hold that the mere existence of any preconceived notion as to the guilt or innocence of an accused, without more, is sufficient to rebut the *1320 presumption of a prospective juror’s impartiality would- be to establish an impossible standard. It is sufficient if the juror can lay aside his impression or opinion and render a verdict based on the evidence presented in court.
Id.
at 722-23,
In this case, Hale contends that counsel was deficient when he did not attempt to remove six jurors whom he claims held opinions as to his guilt, and that this failure prejudiced him because he was convicted by an impartial jury. However, these jurors implicitly or explicitly all said that they held only mild or- slight opinions and all six said they could put their opinions aside and judge the' case impartially on the evidence.
One of these jurors, Juror McBee, was a member of the Oklahoma State Bureau of Investigation Commission (“OS-BIC”). The OSBIC had been involved in the investigation of Hale’s case; however, there was no suggestion in the voir dire transcript that Juror McBee had actually participated in the investigation. On the other hand, there was testimony during voir dire that Juror McBee was a friend of Hale’s counsel, Mr. Van Wagner, and knew the defendant and the defendant’s family socially. In fact, Juror McBee stated during voir dire that he had played golf with Hale on multiple occasions. Thus, it was objectively reasonable for Van Wagner to have left McBee on the jury under the belief that he would be favorable to the defendant, both because he was a friend of counsel and because he knew Hale and his family socially.
Another of these jurors, Juror McLaughlin, also stated during voir dire that he knew Hale. McLaughlin stated that he had done business with Hale and would see him at Hale’s bakery where they would strike up conversations. Based on this testimony, it was reasonable trial strategy to have left this person on the jury in the hope that he would be favorable to Hale, or at the very least be reluctant to give him the death penalty.
The judge asked the entire jury panel twice whether anyone felt they could not give both sides a fair and impartial trial and no one responded. Further, Hale never showed actual bias by any of these seated jurors.
Cf. Smith v. Phillips,
This situation is in stark contrast to
Johnson v. Armontrout,
D. Admission of Other Crimes Evidence.
Hale next argues that his trial counsel was ineffective when he failed to objpct to the admission of evidence of other crimes allegedly committed by Hale. The other crimes evidence to which Hale argues counsel should have objected included Mrs. Brenda Allison’s testimony that Hale, on the day before Jeff Perry was abducted, drove up to Mrs. Allison’s *1321 home, informed her that her husband had been in an auto accident, and offered to drive her to the hospital. Mrs. Allison later learned that her husband was never in a car accident. The Prosecutor argued that this evidence was admitted to show identity, motive, plan, and intent on the part of Hale. Hale also claims that counsel should have objected to the admission of the testimony of one of Hale’s former cellmates, Mark Weaver, who testified that Hale and other inmate beat him after he agreed to testify against Hale. 7
The Oklahoma Court of Criminal Appeals addressed this claim as part of Hale’s ineffective assistance of counsel claim on direct appeal. In rejecting the claim, the court held:
We find that the other crimes evidence which consisted of a possible attempted kidnapping and an assault on a prison cellmate who gave testimony on behalf of the State was admissible to show common scheme and identity. As the evidence was properly admissible, we find that there was no deficiency in failing to raise an objection to it.
Hale I,
Hale’s claim can be resolved by addressing the prejudice prong under Strickland. Hale has failed to demonstrate that if trial counsel had objected to the admission of the above testimony, it would have been excluded.
The OCCA has repeatedly allowed the admission of evidence of other crimes to prove motive, common scheme, identity, plan, knowledge, or absence of mistake or accident.
See, e.g., Huskey v. State,
Hale attempts to show prejudice by asserting that the prosecutor failed to give notice that he was introducing other crimes evidence as required under Oklahoma law.
See Burks v. State,
First, Hale has failed to support this assertion in his brief. Although Hale had a full evidentiary hearing during post-conviction, he never asked Mr. Van Wagner, his attorney, whether he received notice; therefore there is no conclusive evidence
*1322
that he did not receive notice. In addition, in
Malicoat v. State,
Hale cannot argue here that he was surprised by the testimony of either Brenda Allison or Mark Weaver. Brenda Allison testified at the preliminary hearing, thus providing counsel notice of the testimony she had to offer. In addition, her name was listed as a witness that would be called at trial. Moreover, Hale’s trial counsel filed a motion in limine prior to trial attempting to suppress the evidence of Brenda Allison that was later denied by the trial court prior to trial. Mark Weaver testified at the preliminary hearing about Hale’s assault on him. Moreover, Weaver was included on the list of trial witnesses. Therefore, even if Van Wagner had objected to the evidence at trial, the lack of written notice would not have kept the evidence out. Moreover, as discussed above, because the evidence was proper other crimes evidence, it would not have been excluded. Thus, Hale cannot show prejudice. We therefore find that the OCCA’s determination that Hale was not denied effective assistance of counsel was not an unreasonable application of federal law.
E. Second Stage Closing Remarks
Mr. Hale next asserts that he received ineffective assistance of trial counsel during his counsel’s second stage closing remarks. Specifically, Hale contends that his attorney’s false statement to the jury that Hale had been abandoned by his wife and daughter constituted deficient performance that prejudiced his case. The OCCA concluded that under
Strickland,
Hale had not been denied his Sixth Amendment right to effective assistance of counsel.
See Hale I,
The portion of trial counsel’s closing argument to which Hale objects reads as follows:
And his wife Susan was here to testify earlier this week. She’s abandoned him. He has a teenage daughter Jamie. She hasn’t been here. She won’t be here. I know it’s easy to say that because of his participation he’s earned it. I’m just asking you for mercy because you are better.
On this point, Hale fails to overcome the presumption that these statements “might be considered sound trial strategy.”
Strickland,
Moreover, even if counsel was deficient in making this statement, Hale has failed
*1323
to show any prejudice. There is no “reasonable probability that, but for counsel’s [abandonment argument], the result of the proceeding would have been different.”
Strickland,
F. First Stage Closing Statement
Hale next argues that during closing argument in the guilt phase of the trial, his attorney conceded his guilt and thus denied him effective assistance of counsel. The OCCA rejected this claim, finding no prejudice.
Hale I,
The relevant portion of counsel’s argument is as follows:
This is the FBI’s case. And after all they’re the best in the country. At least that’s what they tell us. And they look pretty sharp. Couple of the experts even spelled their names for you so you wouldn’t miss out to know that. They’re slick. The State would have you accept the FBI’s case without any questions. Don’t delve into hypothetieals says the State. Don’t bother yourself with unanswered questions because we have answered everything that you could want to know. That’s not true. There are a lot of unanswered questions, and you should ask every reasonable question that comes to your mind when you are in that jury room.... There isn’t any doubt that Jim Hale was involved in this. No doubt whatsoever. How much though? To what extent? And toas he the only one? How many voices were on the tapes? Susan Hale, Jim’s wife, toas able to say, “I can only identify my husband as on one of those tapes.” What did it sound like to you?
We conclude that the OCCA reasonably applied
Strickland
in resolving this issue. Although “an attorney who adopts and acts upon a belief that his client should be convicted ‘fail[s] to function in any meaningful sense as the Government’s adversary,’ ”
Osborn v. Shillinger,
Moreover, given the overwhelming evidence linking Hale to the crime-i.e., F.B.I. identification of Hale as the man making at least some of the ransom calls to Mrs. Perry; hair, gun, and blood evidence linking Hale to the crime; the body wrapped in a trampoline tarp which fit Hale’s trampoline; and other eyewitness accounts of Hale’s involvement-Hale cannot show a reasonable probability that the outcome of the guilt phase of the trial would have been different absent the concession made by his attorney during closing argument.
G. Improper Jury Instruction
Hale next argues that he is entitled to habeas relief because his jury was improperly instructed under Oklahoma law that the death penalty could be imposed for the kidnapping for extortion conviction. Hale presents this claim as both a constitutional claim and as a separate ineffective assistance of counsel claim. The OCCA addressed and rejected this claim on direct appeal, finding that although the instruction on the kidnapping charge incorrectly
*1324
stated under Oklahoma law that kidnapping was a death-eligible offense, the error was not due to any willful misconduct on the part of the attorney or the trial court. Moreover the court stated that “[s]ince the jury in this case did not. assess the death penalty for the extortion conviction, appellant has not demonstrated prejudice resulting from the improper instruction.”
Hale I,
It is not disputed that the second stage jury instruction regarding the possible punishment for kidnapping was,in error, because it stated that Hale could be given the death penalty on the kidnapping charge. The instruction read:
The Defendant in this case has been found guilty by you, the jury, of the offense of KIDNAPPING FOR EXTORTION as charged in count II of the information. It is now your duty to determine the penalty to be imposed for this offense.
Under the law of the State of Oklahoma, every person found guilty of KIDNAPPING FOR EXTORTION shall be punished by death or imprisonment in the penitentiary, not less than ten (10) years.
In addition to the above instruction, the prosecutor argued during his second stage closing argument that both counts-murder and kidnapping-carried the death penalty and urged its imposition on both counts. The prosecutor also stated, however, that if the jury rejected the death penalty, the jury could give Hale life or “any range you want.”
Hale first argues that the kidnapping instruction that allowed for the imposition of a death sentence resulted in constitutional error that cannot be viewed as harmless. The Supreme Court has stated that the argument that a jury instruction is incorrect under state law is not a basis for federal habeas relief.
See Estelle v. McGuire,
Prior to AEDPA, federal courts applied the
Brecht v. Abrahamson,
Here, the jury recommended a life sentence, not death for the kidnapping conviction. The jury was given a full range of possible sentences and chose a permissible sentence under Oklahoma law-life in prison. There is no evidence that the jury was influenced to give a life sentence simply because they were given the impermissible choice of giving a death sentence.
Moreover, there is no evidence that the jury imposed the death sentence for the murder conviction because of the erroneous kidnapping instruction. Hale attempts to show that the jury imposed a death sentence on the murder charge because of the erroneous kidnapping charge by suggesting that the jury impermissibly double-counted aggravators. Hale asserts that because the jury found the “heinous, atrocious, or cruel” aggravator for the kidnapping charge and also found the “heinous, atrocious, or cruel” aggravator for the murder charge, the jury was allowed to double-count. Hale misconstrues double counting. Double-counting occurs when one aggravating circumstance for a crime found by the jury necessarily subsumes another aggravator found by the jury for the same crime.
See Smith v. Gibson,
Hale further argues that he was denied effective assistance of counsel due to his counsel’s failure to object to the improper jury instruction on the kidnapping charge. Even if we were to assume that this constituted deficient performance, Hale has failed to show prejudice. Hale has not shown that had counsel objected, there is a reasonable probability that the jury would have returned a sentence other than life in prison. The jury’s actual sentence did not reflect an error of law.
Cf. Kennedy v. Maggio,
H. Amended Bill of Particulars
Hale next argues that his due process rights were violated when the State waited until the first day of trial to file an amended Bill of Particulars which added the “avoiding arrest” aggravating circumstance to the three already alleged in the original Bill of Particulars. 8 Hale also ar *1326 gues that his counsel’s failure to object to this addition resulted in ineffective assistance of counsel.
1. Due Process
The OCCA rejected this claim, finding that it bordered on the “frivolous.”
See Hale I,
The Supreme Court has held that the Due Process Clause requires that á defendant receive adequate notice that he could receive the death penalty.
Lankford v. Idaho,
In this case, Hale argues that the amendment to the Bill of Particulars on the day of trial, February 27, 1984, deprived him of due process. However, Hale knew from the prior Bill of Particulars that he was subject to the death penalty on the basis of three aggravators. In addition, the State had previously submitted its list of witnesses and did not include any new witnesses when it added the new ag-gravator, nor did it add any witnesses in the punishment phase. Hale was aware of all of the evidence and witnesses that were going to be presented against him at trial and in the punishment phase prior to the addition of the “avoid arrest” aggravator. Moreover, Hale’s counsel announced that he was ready on the first day of trial, and testified at the state post-conviction hearing that he was not surprised by any evidence presented at trial and was ready when the trial began. Thus, Hale was not subjected to “trial by ambush.”
See Duvall,
2. Ineffective Assistance of Counsel
Hale further argues that under Oklahoma law, if Hale’s trial counsel had objected to the addition of the “avoid arrest” aggravator on the morning of the first day of trial, the court would have excluded it. Because the jury found the “avoiding arrest” aggravator when it reached its decision to impose the death penalty, Hale argues that he suffered prejudice from the failure to object and have the aggravator quashed. The OCCA addressed and rejected this claim, finding that the trial court properly could have admitted the additional aggravator under Oklahoma law, and thus trial counsel was not deficient.
See Hale I,
At the time Hale was tried, Oklahoma had no set time by which the State had to have filed a Bill of Particulars.
See Hunter v. State,
Because Hale was not surprised by any new evidence or witnesses, or by the fact that the State was seeking the death penalty, and no new evidence was introduced at the sentencing phase, the trial court would not have been required to quash the additional aggravator even if counsel had objected. Hale has failed to show that he was prejudiced under Strickland. Therefore, we cannot find that the OCCA’s determination that counsel was not ineffective was an unreasonable application of federal law.
II. Double Jeopardy and Liberty Interest
Hale next argues that his constitutional rights were violated when the State of Oklahoma prosecuted him for first-degree murder and kidnapping for purposes of extortion following his conviction in federal court for extortion under the Hobbs Act, 18 U.S.C. § 1951. Specifically, Hale argues the state prosecutions were barred by Okla. Stat. tit. 21, § 25 (repealed 1986), and that Oklahoma’s failure to enforce that statute amounted to a deprivation of his liberty interest. 11 Appellee contends that Hale failed to exhaust this claim fully with regard to the murder conviction and thus habeas relief should be denied pursuant to 28 U.S.C. § 2254(b)(1).
On direct appeal Hale argued (1) that he could not be tried for the crime of kidnapping under the Oklahoma Constitution, because he had already been convicted of extortion in federal court under the Hobbs Act, and (2) that the state prosecutions for kidnapping and first degree murder violated the Oklahoma Double Jeopardy Clause. Thus, Hale did not raise a federal constitutional claim on direct appeal. In Hale’s second application for post-conviction relief, Hale did raise a federal constitutional claim; however, the claim raised in the second application challenged only the kidnapping conviction and did not challenge the murder conviction. The OCCA did not address this claim on post-conviction review finding that it had been raised on direct appeal and was therefore barred.
See Hale III,
Nevertheless, the Supreme Court has held that if a petitioner “failed to exhaust state remedies and the court to which the petitioner would be required to present his claims in order to meet the exhaustion requirement would now find the claims procedurally barred” the claims are considered exhausted and *1328 procedurally defaulted for purposes of habeas relief.
Thomas v. Gibson,
We cannot consider issues raised in a ha-beas petition “that have been defaulted in a state court on an independent and adequate procedural ground unless the petitioner can demonstrate cause and prejudice or a fundamental miscarriage of justice.”
Thomas,
Although Hale also failed to raise his federal claim with regard to the kidnapping conviction on direct appeal, and thus it would seem this part of the claim is also procedurally barred, Appellee has not raised procedural bar with respect to this aspect of Hale’s claim. As such, we will consider Hale’s kidnapping claim on the merits,
see Hooks,
“Whether an interest created by state law rises to the level of a ‘liberty interest’ protected by the Due Process Clause of the Fourteenth Amendment is a matter of federal law.”
Montero v. Meyer,
Section 25 states:
Whenever it appears upon the trial that the accused has already been acquitted or convicted upon any criminal prosecution under the laws of another state, government or country, founded upon the act or omission in respect to which he is upon trial, this is a sufficient defense.
Russell v. State,
In the federal prosecution, Hale was charged with violating the Hobbs Act, 18 U.S.C. § 1951. That statute provides that:
(a) Whoever in any way or degree obstructs, delays, or affects commerce or the movement of any article or commodity in commerce, by robbery or extortion or attempts or conspires so to do, or commits or threatens physical violence to any person or property in furtherance of a plan or purpose to do anything in violation of this section shall be fined not more than $10,000 or imprisoned not more than twenty years, or both.
The Supreme Court has found that there are two essential elements of a Hobbs Act crime: “interference with commerce, and extortion.”
Stirone v. United States,
Hale was prosecuted in state court in Oklahoma for kidnapping for extortion, Okla. Stat. tit. 21, § 745. The kidnapping statute reads as follows:
A. Every person who, without lawful authority, forcibly seizes and confines another, or inveigles or kidnaps another, for the purpose of extorting any money, property or thing of value or advantage from the person so seized, confined, inveigled or kidnapped, or from any other person, or in any manner threatens either by written instrument, word of mouth, message, telegraph, telephone, by placing an ad in a newspaper, or by messenger, demands money or other thing of value, shall be guilty of a felony, and upon conviction shall suffer death or imprisonment in the penitentiary, not less than ten (10) years.
Oklahoma has stated that this statute requires that a jury find four essential elements: “(1) an unlawful, (2) forcible seizure and confinement (3) of another (4) with the intent to extort a valuable thing or advantage from any person.”
Turner v. State,
Upon looking at the elements that need to be proven by the State, it becomes clear that under each statute the state or federal government must prove an element not necessary to any other charge. In the Hobbs Act case, the federal prosecutor had to show that Hale’s actions interfered with commerce. This evidence was not necessary to prove the state crime of kidnapping. Likewise, in the kidnapping charge the state prosecutor had to prove forcible seizure and confinement of another. This was not an element of the Hobbs Act. As the Oklahoma court stated in Hubbell:
[Ajlthough it appears that the same exhibits ... were introduced in both federal and state courts, it does not follow *1330 that [Hale] was being tried twice for the same offense_ The evidence necessary to prove the federal offense'would be insufficient to prove the state offense and vice versa. Therefore, the trial in federal court did not bar a subsequent prosecution in state court.
Hubbell,
Therefore, it is clear that Oklahoma did not violate Okla. Stat. tit. 21, § 25 when it prosecuted Hale for kidnapping following the federal prosecution under the Hobbs Act. Since there was no violation of section 25, there can be no denial of a liberty interest predicated upon section 25. Thus, we deny relief under this claim.
III. Brady claim
Hale next argues that he is entitled to habeas relief because the F.B.I. has continued to suppress evidence in its possession after Hale requested it pursuant to the Freedom of Information Act (“FOIA”), in violation of
Brady v. Maryland,
Hale did not raise this
Brady
„ claim on direct appeal. On post-conviction review, the OCCA rejected this claim, finding that it could have been raised on direct appeal and was not; thus it was barred from being raised on post-conviction.
Hale II,
IV. Change of Venue
Hale next argues that he was denied a fair trial when the trial judge failed to grant defense counsel’s motion for a change of venue. On direct appeal, the OCCA, in a 2-1 decision, rejected this claim. Relying on the Supreme Court’s decisions in
Irvin v. Dowd,
On February 22, 1984, Hale filed a petition for change of venue. On February, 24, 1984 a hearing was held on Hale’s motion, during which time Hale’s counsel presented the testimony of two county residents who testified that, in their opinion,based upon pre-trial publicity and conversations with citizens in the area, Hale would not be able to receive a fair trial because people had already decided Hale was guilty. Hale also introduced numerous articles published in the two newspapers with local circulation. At the conclusion of the hearing, the trial judge took the motion under advisement until after voir dire.
Prior to Hale’s trial, the news coverage of Perry’s abduction and murder, as well as the arrest and indictment and federal prosecution, was considerable. The newspaper accounts revealed details of the murder, kidnapping, ransom demand, and Hale’s arrest and arraignment on federal charges, and further detailed the cost to the county associated with escorting Hale to court by federal marshals. The articles included pictures of Hale and of the crime scene where Perry’s body was eventually found. The paper also reported the impact on the community and the Perry family. One article discussed the fact that Hale had previous dealings with the bank in which he owed money, and also discussed related civil and criminal charges against Hale. The newspapers also reported the incident involving Brenda Allison, who claimed that Hale had told her that her husband was hurt in a car accident and offered her a ride just a day prior to Perry’s abduction. When Perry was found guilty on the federal extortion charges, there were more articles in the newspaper. Several papers also reported the testimony of witnesses in the federal extortion case.
During voir dire, thirty-seven jurors were called and examined by the trial judge and the attorneys. Of those thirty-seven, only three stated they had no prior knowledge of the case. Twelve potential jurors admitted that they had held some opinion at some point about Hale’s guilt. Six of these twelve were seated on Hale’s jury. In addition, four potential jurors knew Hale or his family and eight knew the victim or his family. Furthermore, one of the jurors- finally seated had discussed the case with one of the key witnesses at trial, Ms. Miller, but stated that
*1332
she could be impartial. At the conclusion of voir dire, the judge asked the jurors if anyone seated could not be fair and impartial. No one responded. The judge then overruled the motion for a change of venue. This ruling, following the inquiry by the court as to whether the. jurors could be impartial, serves as a general finding by the court, that the panel selected for the trial was impartial.
See Church v. Sullivan,
“We review the trial court’s decision denying a transfer of venue for an abuse of discretion. We give great deference to the trial court’s exercise of its discretion, and its decision is entitled to a presumption of correctness and will not be overturned unless there is manifest error.”
Stafford,
1. Presumed Prejudice
The defendant bears the' burden of establishing that prejudice should be presumed.
See Stafford v. Saffle,
The Supreme Court has presumed prejudice in only a small number of cases. In those cases where the Court has presumed prejudice, however, “the influence of the news media, either, in the community at large or in the courtroom itself, pervaded the proceedings,”
Murphy,
The facts of this case do not rise to the level of those in
Rideau, Sheppard,
or
Estes.
Although Hale presented evi
*1333
dence of approximately thirty newspaper articles written about the case, these articles alone are not sufficient to show that prejudice should be presumed, particularly given the .fact that they were written over a five month period with the largest volume dating from several months before Hale’s trial. As the Supreme Court stated in
Murphy,
a jury’s exposure to a “defendant’s prior convictions or to news accounts of the crime with which he is charged” cannot alone demonstrate that the defendant was denied due process.
2. Actual Prejudice
Hale also seems to suggest that the voir dire proceedings showed actual prejudice based on responses of actual and potential jurors, almost all of whom had heard about the case and some of whom had formed opinions based on pretrial publicity. “We review actual prejudice by examining the totality of the circumstances.”
Stafford,
that the jurors be totally ignorant of the facts and issues involved. In these days of swift, widespread and diverse methods of communication, an important case can be expected to arouse the interest of the public in the vicinity, and scarcely any of. those best qualified to serve as jurors will not have formed some impression or opinion as to the merits of the case. This is particularly true in criminal cases. To hold that the mere existence of any preconceived notion as to the guilt or innocence of an accused, without more, is sufficient to rebut the presumption of a prospective juror’s im-' partiality would be to establish an impossible standard. It is sufficient if the juror can lay aside his impression or opinion and render a verdict based on the evidence presented in court.
Irvin,
In this case, twelve out of thirty-seven jurors questioned had opinions. Six out of those twelve were dismissed and six were seated on the jury. • These six all testified that they could put aside their opinions and judge the case on the facts. Moreover, the trial judge asked twice whether there were any. jurors who felt they could not be impartial. No juror responded.
See Yount,
As the OCCA explained, the facts of this case are in contrast to
Irvin v. Dowd,
in which the Supreme Court found actual prejudice. In
Irvin,
over ninety percent of the 430 prospective jurors interviewed en
*1334
tertained some opinion as to guilt, 268 were dismissed for cause, and eight out of the twelve jurors actually seated stated they believed the defendant was guilty.
Irvin,
V. “Avoid Arrest or Prosecution” Ag-gravator
Hale argues there was such a lack of evidence to support the aggravator that the murder was committed to avoid arrest or prosecution that his federal constitutional rights were violated.
Jackson v. Virginia,
On a constitutional claim that there was insufficient evidence, we must determine whether “after viewing the evidence in the light most favorable to the prosecution, any rational trier of fact could have found the essential elements of the crime beyond a reasonable doubt.”
Foster v. Ward,
VI. “Heinous, atrocious, or cruel” ag-gravator
Hale’s final argument is that his death sentence should be set aside because the evidence was constitutionally insufficient to prove that he was personally responsible for inflicting the wounds Perry suffered prior to death. The OCCA reviewed the evidence on direct appeal and found that there was sufficient evidence to support the aggravator.
The appropriate standard for reviewing this claim is the rational factfinder standard established in
Jackson v. Virginia,
In this case, there is evidence in the record that Perry received at least five gunshot wounds, only two or three of which were fatal-two shots to the head, and possibly one shot to the abdomen. In addition, on the morning Perry was abducted, Ms. Miller testified that she saw a man, who.appeared to be Perry, bent over holding his side and bleeding in the field crying for help. She then witnessed Hale run towards Perry, pull him over a fence, and push him into his car. The testimony of Ms. Miller was later corroborated by the finding of blood in the location where she saw Perry. This evidence is consistent with conscious physical suffering.
Hale argues, however, that there was no evidence that he was the one to inflict the wounds on Perry. First, this assertion flies in the face of the jury verdict of guilty on the first-degree murder charge. The jury found Hale guilty for the murder of Perry. There was more than sufficient evidence for the jury to find that Hale was guilty of Perry’s murder. We therefore find that a rational trier of fact could have found the “heinous, atrocious, or cruel” aggravator beyond a reasonable doubt.
CONCLUSION
For the above-stated reasons, we DENY habeas relief and AFFIRM the decision of the district court.
Notes
. Hale was also convicted in a separate proceeding in federal court of the charge of Affecting Interstate Commerce by Extortion based upon his action in this case.
. The aggravating circumstances for kidnapping included:
(1) the person committed the Kidnapping for Extortion for remuneration or the promise of remuneration;
(2) the Kidnapping for Extortion was especially heinous, atrocious, or cruel;
(3) the existence of a probability that the Defendant would commit criminal acts of violence that would constitute a continuing threat to society.
. As discussed below, the fact that the potential animosity between the defendant and his counsel did not rise to the level of a conflict of interest does not preclude defendant from showing that his counsel was ineffective as a result of the animosity. It simply means that his claim is not evaluated under the standard for conflicts of interest articulated by the Supreme Court in
Cuyler v. Sullivan,
. Following the hearing on Van Wagner’s application to withdraw as counsel, the trial court determined that the personality issues would not affect the relationship with the defendant or the representation. Although this finding as to whether counsel should have been removed at the time the motion was made is one we presume to be correct under AEDPA, it does not preclude a finding that animosity may have infected the actions and decisions of cotxnsel during trial and after the court made its finding. The trial court has made no finding to which we must give a presumption of correctness with regard to whether animosity existed during trial. The court simply stated that it believed prior to trial that counsel could overcome the animosity.
. See infra issues 12 & 13.
. Weaver testified that while he was a cellmate of Hale's, Hale told him he knew how to get rid of witnesses. After Hale learned that Weaver was going to testify about this statement, Hale and several other inmates beat up Weaver. On habeas, Hale does not argue that his attorney should have objected to Weaver’s testimony that Hale told him he knew how to get rid of witnesses. He only argues counsel should have objected to the testimony that Hale beat him up when he learned Weaver was going to testify against him.
. The original Bill of Particulars alleged three aggravating circumstances:
(1) The defendant committed the murder for remuneration or the promise of remuneration. (2) The murder was especially heinous, atrocious, and cruel. (3) There exists the probability that the defendant would commit criminal acts of violence that would constitute a continuing threat to society.
. In
Hunter,
the OCCA announced a new rule of procedure requiring the State to file the Bill of Particulars prior to or at the time of arraignment.
Hunter,
. The OCCA found that the amendment to the Bill of Particulars was made prior to the commencement of trial.
See Hale
I,
. Hale does not argue, nor could he, that the federal prosecution and state prosecutions violated the Double Jeopardy clause of the Fifth Amendment.
See Abbate v. United States,
. Hale seems to argue in the reply brief that the Appellee has waived the exhaustion argument because it did not raise it before the district court. This argument fails under 28 U.S.C. § 2254(b)(3), which states, “A Stale shall not be deemed to have waived the exhaustion requirement or be estopped from reliance upon the requirement unless the State, through counsel, expressly waives the requirement.” The record does not reveal that Appellee has ever expressly waived the exhaustion requirement on this claim; thus it is free to raise this issue on appeal to this court.
. Hale argues in his brief that this court has already held that the state and federal convictions in this case are based on the same acts and thus, under the "law of the case” doctrine, we are bound. Hale cites to this court’s opinion in
Hale v. United States Department of Justice,
. "All grounds for relief available to an applicant under this act must be raised.in his original, supplemental or amended application. Any ground finally adjudicated or not so raised, or knowingly, voluntarily and intelligently waived in the proceeding that resulted in the conviction or sentence or in any other proceeding the application has taken to secure relief may not be the basis for a subsequent application, unless the court finds a ground for relief asserted which for sufficient reason was not asserted or was inadequately raised in the prior application.” Okla. Stat. tit. 22, § 1086.
. The federal district court determined that Oklahoma’s procedural bar was not independent and adequate with regard to
Brady
claims. In reaching this conclusion, the district court looked to two Oklahoma cases in which the Court of Criminal Appeals did not apply the bar on
Brady
claims.
See Rojem v. State,
This Court has recognized that a state court finding of procedural default is adequate "if it is strictly or regularly followed.”
Maes v. Thomas,
. Because Appellee has not raised procedural bar on this appeal, we decline to raise the issue sue sponte where Hale has not had an opportunity to show cause and prejudice. We therefore proceed to the merits of the claim.
See Duvall v. Reynolds,
. Prior to AEDPA, we reviewed sufficiency of the evidence challenges de novo.
See Moore v. Gibson,
