Danny Keith HOOKS, Petitioner-Appellant, v. Randall G. WORKMAN, Warden, Oklahoma State Penitentiary, Respondent-Appellee.
No. 07-6152.
United States Court of Appeals, Tenth Circuit.
May 25, 2010.
606 F.3d 715
Robert L. Whittaker, Assistant Attorney General, Criminal Division (W.A. Drew Edmondson, Attorney General of Oklahoma, with him on the brief), Oklahoma City, OK, for Respondent-Appellee.
Before LUCERO, MURPHY, and O‘BRIEN, Circuit Judges.
I. INTRODUCTION
MURPHY, Circuit Judge.
An Oklahoma jury convicted Danny Hooks on five counts of first degree mur-
Hooks has failed to demonstrate that the OCCA‘s resolution of his claim of ineffective assistance of trial counsel during the guilt phase is contrary to or an unreasonable application of Strickland v. Washington, 466 U.S. 668, 104 S.Ct. 2052, 80 L.Ed.2d 674 (1984).
II. BACKGROUND
The relevant underlying historical facts were outlined by the OCCA in its opinion on direct appeal:
On May 16, 1992, the bodies of Phyllis Adams, LaShawn Evans, Sandra Thompson, Carolyn Watson, and Francill Roberts were found in a small bedroom in a crack house. Each woman was gagged and had been stabbed several times. The bodies were nude and Thompson, Watson, and Roberts were bound. [Adams was partially clothed but her brassiere and shirt were pulled up, exposing her chest area. Evans and Adams were not bound, but evidence suggested at one time Adams‘s hands had been tied.] The room was in disarray and the victims’ purses appeared to have been searched. There were no drugs or money in the house.
Although there were five victims in a confined space, the evidence suggested
one person committed the crimes. The women were killed in the bedroom. A trail of blood drops led to the front door, and Luminol testing showed a single set of bloody footprints also leading from the bedroom to the front door. There was a great deal of the victims’ blood in the bedroom. However, the blood trail to the door, and some other blood drops found at various places in the bedroom, did not come from any of the victims. A bloody palm print was on the west wall of the bedroom closet, and police found a bloody boot print with “Honchos” embossed on the sole. Despite a thorough investigation police found nobody who matched either the palm print or the blood drops. In 1995 samples of the blood drops were submitted for DNA testing, and those results were distributed nationally in 1996. In 1997, California penal authorities informed the Oklahoma State Bureau of Investigation (OSBI) that they had a person with that DNA profile. Subsequent tests confirmed that the blood trail, drops in the bedroom, and bloody palm print all belonged to Hooks. DNA from semen found in Roberts‘s mouth was also consistent with Hooks’ DNA. Hooks admitted he was at the house. He testified he went there during the evening of May 15th, and sometime close to or shortly after midnight on May 16th he was there smoking crack cocaine with all the victims. Hooks said he only knew the woman who rented the house, and could not remember any of the victims’ names. He said he had “regular” sex with one woman and oral sex with another. During the night they ran out of crack and Hooks gave two of the women $30 to go buy more. After they returned and finished smoking, he ran out of drugs and money and left. Hooks said he got home about a mile from the house—around 2:00 a.m. He decided to go back sometime after 4:00 a.m. On the way, he cut his left index finger falling off his bicycle while trying to fix the kick stand. When he got there the house was dark and the door was ajar. He pushed it open and entered cautiously, closing the door behind him, went to the bedroom and saw the bodies, and went back to the front door. He lifted the curtain and looked outside, then decided to go back in and check on the victims in case anyone was alive. He returned to the bedroom and determined each victim was dead. After he checked Evans‘s body he picked up a shirt and wrapped it around his cut finger. Hooks looked at the contents of the victims’ purses on the west bed, then knelt and looked under the clothes in the closet. He then left the house, dropping the shirt by the front door, and closed the door. Hooks did not tell anyone what he had seen because he was afraid the authorities would revoke his California parole for being in a crack house. Two weeks later he left the area. In November he was arrested in Holdenville, Oklahoma, on a domestic complaint and returned to California.
Hooks, 19 P.3d at 303-04 & n. 2. Additional historical or procedural facts necessary to the resolution of this appeal are set out more fully below.
III. AEDPA STANDARD
This court‘s review is governed by the Antiterrorism and Effective Death Penalty Act of 1996 (“AEDPA“). Snow v. Sirmons, 474 F.3d 693, 696 (10th Cir.2007). With certain exceptions noted below, each claim Hooks raises on appeal was resolved on the merits by the OCCA. Accordingly, this court may not grant habeas relief on any such claim unless the decision of the OCCA “was contrary to, or involved an unreasonable application of, clearly estab-
Under the “contrary to” clause, we grant relief only if the state court arrives at a conclusion opposite to that reached by the Supreme Court on a question of law or if the state court decides a case differently than the Court has on a set of materially indistinguishable facts. Under the “unreasonable application” clause, relief is provided only if the state court identifies the correct governing legal principle from the Supreme Court‘s decisions but unreasonably applies that principle to the facts of the prisoner‘s case.
Gipson v. Jordan, 376 F.3d 1193, 1196 (10th Cir.2004) (quotations, alterations, and footnote omitted). As these standards make clear, “[w]hen reviewing a state court‘s application of federal law, we are precluded from issuing the writ simply because we conclude in our independent judgment that the state court applied the law erroneously or incorrectly.” McLuckie v. Abbott, 337 F.3d 1193, 1197 (10th Cir.2003). “Rather, we must be convinced that the application was also objectively unreasonable.” Id.
Th[e] question is not wh[at] the trial judge should have [done.] It is not even whether it was an abuse of discretion for her to have done so—the applicable standard on direct review. The question under AEDPA is instead whether the determination of the [State] Supreme Court . . . was “an unreasonable application of . . . clearly established Federal law.” [
Renico v. Lett, — U.S. —, 130 S.Ct. 1855, 1862, — L.Ed.2d — (2010) (citations omitted).
It is important to note, however, that “[t]his standard does not require abject deference, but nonetheless prohibits us from substituting our own judgment for that of the state court.” Snow, 474 F.3d at 696 (quotations and footnote omitted). As the Supreme Court has made clear,
Even in the context of federal habeas, deference does not imply abandonment or abdication of judicial review. Deference does not by definition preclude relief. A federal court can disagree with a state court‘s . . . determination and, when guided by AEDPA, conclude the decision was unreasonable or that the factual premise was incorrect by clear and convincing evidence.
Miller-El v. Cockrell, 537 U.S. 322, 340, 123 S.Ct. 1029, 154 L.Ed.2d 931 (2003); see also Miller-El v. Dretke, 545 U.S. 231, 240, 125 S.Ct. 2317, 162 L.Ed.2d 196 (2005) (holding the AEDPA “standard is demanding but not insatiable“).
IV. GUILT-PHASE INEFFECTIVE ASSISTANCE OF COUNSEL
A. Background
On direct appeal, Hooks alleged his trial counsel was ineffective. As a general matter, his claim revolved around the conten-
Hooks reasserted in his federal habeas petition that trial counsel was constitutionally ineffective. Unfortunately, his petition is far from a model of specificity. Instead, it begins with a generalized assertion that trial counsel‘s lack of investigation and preparation prevented the presentation of a viable defense theory during the guilt phase of the trial. It then sets out a summary listing of trial counsel‘s failures in this regard: (1) failure to contact prosecution witnesses in advance of trial; (2) failure to engage in meaningful pre-trial motions practice; (3) failure to timely obtain Hooks‘s work boots; (4) deferring opening statement until the beginning of the defense‘s case and then making an inadequate opening statement; and (5) failure to present the jury with a viable theory of the case during closing argument. Hooks also sought an evidentiary hearing to develop his claim of ineffective assistance.5
the fact that trial counsel was faced with the necessity of explaining why [Hooks] was in the house and how his blood was found at the scene. Even had counsel presented testimony consistent with Dr. Allen‘s opinions, he would still have been faced with the almost certain necessity of [Hooks] testifying in order to offer an explanation to the jury for the existence of this and other evidence. [Hooks‘s] defense rested on the believability of his versions of the events and his credibility with the jury.
Finally, the district court denied Hooks‘s request for an evidentiary hearing, noting that in analyzing the claim of ineffective assistance, it had considered all additional evidence Hooks adduced during the federal habeas proceedings. Even considering that additional evidence, the district court concluded the record conclusively established Hooks was not entitled to habeas relief.
B. Analysis
On appeal to this court, Hooks raises the following claims of guilt-phase ineffective assistance of trial counsel: (1) failure to investigate; (2) failure to perform pre-trial motions practice; (3) failure to timely offer his work boots; (4) failure to offer forensic evidence; (5) and deferral of opening statement. Hooks further claims the district court erred when it denied his request for an evidentiary hearing.
To prevail on a claim of ineffective assistance, Hooks must show his counsel‘s performance “fell below an objective standard of reasonableness” and “the deficient performance prejudiced the defense.” Strickland, 466 U.S. at 687-88, 104 S.Ct. 2052. Review of counsel‘s performance under Strickland‘s first prong is highly deferential: “counsel is strongly presumed to have rendered adequate assistance and made all significant decisions in the exercise of reasonable professional judgment.” Id. at 690, 104 S.Ct. 2052. To be deficient, the performance must be “outside the wide range of professionally competent assistance.” Id. In other words, “it must have been completely unreasonable, not merely wrong.” Boyd v. Ward, 179 F.3d 904, 914 (10th Cir.1999); see also Strickland, 466 U.S. at 687, 104 S.Ct. 2052 (holding that to demonstrate deficient performance, a petitioner must show “counsel made errors so serious that counsel was not functioning as the ‘counsel’ guaranteed [a] defendant by the Sixth Amendment“).6
If Hooks is unable to show either “deficient performance” or “sufficient prejudice,” his claim of ineffective assistance necessarily fails. Id. at 700, 104 S.Ct. 2052. Thus, it is not always necessary to address both Strickland prongs. In particular, if Hooks is unable to satisfy his burden under Strickland‘s prejudice prong, it is unnecessary to determine whether counsel‘s performance was deficient. Id. at 697, 104 S.Ct. 2052. In undertaking a Strickland analysis of Hooks‘s claims, this court keeps the AEDPA standards of review firmly in mind. See supra Section III. (setting out AEDPA standards); Wiggins v. Smith, 539 U.S. 510, 520-23, 123 S.Ct. 2527, 156 L.Ed.2d 471 (2003) (undertaking Strickland analysis against backdrop of AEDPA standards).
1. Failure to Investigate and Prepare
Hooks begins his briefing with a generalized assertion counsel failed to adequately investigate and prepare for trial. Hooks asserts counsel‘s conduct “verges” on the absence of representation identified as grounds for relief in United States v. Cronic, 466 U.S. 648, 659, 104 S.Ct. 2039, 80 L.Ed.2d 657 (1984). A review of his brief on direct appeal demonstrates Hooks did not raise a Cronic claim before the OCCA. It is likewise unclear whether Hooks raised a Cronic claim before the district court. Nevertheless, because it is abundantly clear Hooks is not, as a matter of law, entitled to relief under Cronic, we resolve this claim on the merits.
In Cronic, the Supreme Court identified three situations when Strickland does not apply but the Court will, instead, presume prejudice without inquiring into counsel‘s performance. 466 U.S. at 658-59, 104 S.Ct. 2039. Hooks invokes the second situation identified in Cronic: a presumption of prejudice is warranted if “counsel entirely fails to subject the prosecution‘s case to meaningful adversarial testing.” Id. at 659, 104 S.Ct. 2039. The Court has made clear, however, that this exception to Strickland will apply only in the narrowest and rarest of circumstances: “When we spoke in Cronic of the possibility of presuming prejudice based on an attorney‘s failure to test the prosecutor‘s case, we indicated that the attorney‘s failure must be complete.” Bell v. Cone, 535 U.S. 685, 696-97, 122 S.Ct. 1843, 152 L.Ed.2d 914 (2002). Consistent with this statement, the Court has indicated an alleged failure to adduce evidence and a decision to waive closing argument must be analyzed under Strickland, rather than under the rubric set out in Cronic. Bell, 535 U.S. at 697, 122 S.Ct. 1843; see also Patrasso v. Nelson, 121 F.3d 297, 302 (7th Cir.1997) (rejecting argument Cronic should apply because of “the magnitude of [counsel‘s] multiple failures,” and holding instead that “where ineffectiveness is due to the attorney‘s lack of preparation or skill . . . Strickland rather than Cronic applies“).
2. Pre-Trial Motion Practice
Hooks begins with a generalized assertion his trial counsel failed to engage in meaningful pre-trial motions practice. He then summarily identifies the following specific deficiencies: trial counsel failed to (1) file motions challenging the validity of the aggravating circumstances set out by the prosecution in support of the death penalty; and (2) file a motion in limine to exclude sexual proclivity evidence and evidence of Hooks‘s prior criminal record.
As to the claim trial counsel was ineffective for failing to challenge the validity of the aggravating circumstances set out in the prosecution‘s bill of particulars, we simply note this alleged failure does not relate in any way to the guilt phase of trial. Because, as set out more fully below, this court grants Hooks habeas relief as to his death penalties on the basis of the trial court‘s Allen instruction, see infra Section V., we need not further consider this particular allegation of ineffective assistance.
As to the assertion trial counsel should have moved in limine to exclude evidence of his prior rape and assault convictions, we note the OCCA resolved this exact claim on the merits under the standards set out in Strickland. Hooks, 19 P.3d at 318. The OCCA concluded trial counsel was not ineffective for failing to seek to exclude the prior convictions because those convictions were admissible at trial for impeachment purposes pursuant to
Hooks also asserts counsel was ineffective for failing to move in limine to exclude “sexual proclivity evidence” independent of the evidence relating to his past convictions. He does not, however, describe the evidence at issue, indicate on what basis it could have been excluded, or brief how it impacted his trial. Because the matter is only mentioned in passing and not briefed “with citations to the authorities and parts of the record on which [Hooks] relies,” Fed. R.App. P. 28(a)(9)(A), the issue is forfeited. Bronson v. Swensen, 500 F.3d 1099, 1104 (10th Cir.2007) (citing Rule 28(a)(9)(A) for the proposition this court has “routinely . . . declined to consider arguments that are . . . inadequately presented[] in an appellant‘s opening brief“).
3. Failure to Produce Work Boots
At trial, the prosecution presented evidence indicating someone wearing “Honchos” work boots walked through blood at the crime scene, possibly while the victims were being killed. It further adduced evidence that during the period in question, Hooks normally wore work boots similar to the “Honchos” that left the print at the scene of the crime. In response to the prosecution‘s focus on the “Honchos” boot print, trial counsel asked Hooks‘s family to find his work boots.8 Although a family member found the boots and brought them to the courthouse, the trial court excluded the evidence as a discovery sanction for not giving the boots to the prosecution during pre-trial discovery. On direct appeal, Hooks alleged (1) the trial court‘s exclusion of the boots as a discovery sanction violated the Due Process Clause; and (2) trial counsel‘s failure to obtain the boots and make them available during pre-trial discovery, thereby leading to their exclusion, amounted to ineffective assistance of counsel. Hooks, 19 P.3d at 306-07, 318.
The OCCA resolved these claims on the merits. As to the due process claim, the OCCA concluded the trial court erred in excluding Hooks‘s boots as a discovery sanction. Id. at 306-07. It concluded, however, the error was harmless beyond a reasonable doubt because the prosecution connected Hooks to the crime through DNA and palm print evidence. Id. at 307. For that very same reason, the OCCA determined Hooks was not entitled to relief on his claim of ineffective assistance because he could not satisfy Strickland‘s prejudice prong. Id. at 318; cf. Strickland, 466 U.S. at 694, 104 S.Ct. 2052 (holding that to satisfy the prejudice prong, a petitioner must establish that but for counsel‘s errors, there is a reasonable probabil-
On appeal to this court, Hooks asserts the admission of his work boots would have cast doubt on the prosecution‘s contention one person committed the crime and would have lent credence to his assertion he arrived at the scene after the murders had already taken place. He further asserts the decision of the OCCA is unreasonable because it fails to adequately recognize the power of this rebuttal evidence. In response, Oklahoma merely quotes the opinion of the OCCA on direct appeal and asserts that decision is not an unreasonable application of Strickland.
The decision of the OCCA—that there is no reasonable probability the outcome of the guilt phase of Hooks‘s trial would have been different if the boots had been admitted—is not unreasonable. See McLuckie, 337 F.3d at 1197 (holding this court can issue habeas writ only if state court‘s application of Supreme Court precedent is objectively unreasonable). As recognized by the OCCA, the boot print was the least compelling evidence tying Hooks to the crime scene. Hooks, 19 P.3d at 307. In particular, the prosecution adduced evidence of a bloody palm print and a DNA match to blood at the crime scene. Id. Furthermore, Hooks did not contest his presence at the crime scene, but instead testified he was only present before and after the murders. Id. at 305-06.
This court‘s review of the record demonstrates the prosecution‘s boot print evidence was not nearly as significant as Hooks suggests. The “Honchos” boots admitted at trial were purchased by police at the time of the crime and were simply a demonstrative exhibit. Id. at 306. Although the prosecution asked the jury to infer the “Honchos” boot print came from Hooks because Hooks regularly wore work boots at the time of the crime, it does not appear the prosecution presented any evidence Hooks actually owned a pair of “Honchos” work boots. See id. Furthermore, trial counsel was successful during cross-examination in casting serious doubt on the value of the prosecution‘s boot print evidence.9 The prosecution did not even mention the boot prints until the rebuttal portion of its closing argument. Instead, it was defense counsel who first raised the matter in closing, pointing out all of the problems earlier identified with the prosecution‘s assertion the “Honchos” boot prints belonged to the killer(s), let alone to Hooks.
In light of the record, the OCCA reasonably determined Hooks was not prejudiced by trial counsel‘s failure to timely offer Hooks‘s work boots. Strickland, 466 U.S. at 694, 104 S.Ct. 2052. Accordingly, Hooks is not entitled to habeas relief on this ground.
4. Failure to Adduce Forensic Evidence
Hooks asserts the district court erred in denying habeas relief on his claim trial counsel was ineffective in failing to present forensic evidence discrediting serology evidence presented by the prosecution. The district court bypassed potential procedural impediments to Hooks raising this claim (i.e., anticipatory procedural bar and
In asserting trial counsel was ineffective in failing to develop evidence challenging the prosecution‘s serology evidence, Hooks relies on the affidavit of Dr. Robert Allen. Hooks argues Dr. Allen‘s testimony substantiates his version of events and the absence of such evidence left his version of events entirely uncorroborated. This argument is based on a complete misreading of Dr. Allen‘s affidavit. Hooks asserts Dr. Allen‘s opinion supports the conclusion “that the blood evidence at the crime scene indicated more than one perpetrator.” Brief of Petitioner at 61. A close review of Dr. Allen‘s affidavit, however, demonstrates it supports no such conclusion. Instead, the limited focus of Dr. Allen‘s affidavit is as follows: the serology testing undertaken by forensic chemist Melissa Keith could not and did not exclude the possibility of other perpetrators. In reaching this conclusion, Dr. Allen relied on the following: (1) two potential suspects had blood profiles so similar to Hooks‘s blood profile that they could not be excluded from the list of potential perpetrators without DNA analysis; and (2) up to thirty potential suspects had blood profiles similar to the five victims and Keith never undertook tests to analyze any blood evidence consistent with the blood profiles of the victims. Thus, testimony similar to Dr. Allen‘s, if introduced at trial, would have demonstrated nothing more than the abstract possibility an unknown person left blood at the scene of the crimes.
Placed in its proper context, even assuming its truth, Hooks has failed to demonstrate a “reasonable probability of a different outcome” if trial counsel had adduced testimony at trial similar to that set out in Dr. Allen‘s affidavit. Strickland, 466 U.S. at 694, 104 S.Ct. 2052. In reaching this conclusion, we have nothing to add to the district court‘s cogent analysis:
Absent from Dr. Allen‘s affidavit are any opinions contradicting [Hooks‘s] DNA match with the “foreign blood” left at the scene. [Hooks‘s] argument speculates that there were more than one perpetrators and that another perpetrator might have been a source for semen found in one of the victims and, had that perpetrator or another perpetrator bled at the scene, might possibly have been a source of blood serologically similar to one of the victims. Trial counsel was faced not with speculation, but with evidence of [Hooks‘s] blood in the room with the victims’ bodies and also a blood trail through the house. [Hooks‘s] palm print in blood was left at the closet. [The] Amended Petition and the accompanying affidavits do nothing to exonerate [Hooks] or negate the fact that trial counsel was faced with the necessity of explaining why [Hooks] was in the house and how his blood was found at the scene. Even had counsel presented testimony consistent with Dr. Allen‘s opinions, he would still have been faced with the almost certain necessity of [Hooks] testifying in order to offer an explanation to the jury for the existence of this and other evidence. [The] defense rested on the believability of his versions of the events and his credibility with the jury. As determined by the OCCA, trial
counsel utilized the State‘s evidence and [Hooks‘s] testimony to argue the State had not proven [Hooks] was guilty.
5. Opening Statement
Hooks contends trial counsel provided ineffective assistance when he reserved his opening statement until the beginning of the defense‘s case and then gave a “woefully brief and substance-lacking opening statement.” The record conclusively demonstrates Hooks suffered no prejudice as a result of this asserted instance of ineffective assistance. Thus, without regard to the question whether trial counsel‘s opening statement was so deficient as to satisfy Strickland‘s performance prong, Hooks is not entitled to habeas relief on this claim. 466 U.S. at 697, 104 S.Ct. 2052.10
In Oklahoma, the opening statement has a narrow purpose: “to inform the jury of the evidence the attorneys expect to present during the trial.” Young v. State, 12 P.3d 20, 36 (Okla.Crim.App.2000); Hammon v. State, 898 P.2d 1287, 1306 (Okla.Crim.App.1995). An attorney is not allowed to argue the merits of the case during opening statements. Newsted v. State, 720 P.2d 734, 738 (Okla.Crim.App.1986); see also Malicoat v. State, 992 P.2d 383, 394-95 & n. 10 (Okla. Crim.App.2000) (discussing difference in purposes of opening statement and closing argument). Thus, in analyzing whether Hooks was prejudiced by counsel‘s delayed and allegedly inadequate opening statement, this court focuses on whether the jury was able to follow Hooks‘s theory of the case absent the opening statement: Cf. Malicoat, 992 P.2d at 394-95 (concluding nothing in the record indicated the “jurors were unable to understand or grasp the import of counsel‘s cross-examination of State witnesses” in the absence of an opening statement by defense counsel at the beginning of trial).
Upon review of the trial transcript, this court is firmly convinced the jury‘s understanding of, and ability to follow, the defense‘s case was not hampered by trial counsel‘s purportedly inadequate opening statement. The prosecution‘s case, as outlined in its opening statement, was centered mostly around (1) forensic evidence tying Hooks to the murders, and (2) testimony of Sheila McClain, Hooks‘s “main
Having reviewed the entire record, it is apparent the case was not factually or conceptually difficult, turning narrowly on the credibility of McClain‘s testimony and upon the persuasiveness of the state‘s forensic evidence. That Hooks‘s defense would contest those issues was clear from trial counsel‘s cross-examination of prosecution witnesses. There is simply nothing in the record supporting Hooks‘s assertion that the lack of an adequate opening statement hindered the jury‘s ability to follow or understand the defense case. Cf. Malicoat, 992 P.2d at 394-95. Accordingly, Hooks has failed to demonstrate any prejudice flowing from trial counsel‘s allegedly deficient opening statement and is not entitled to relief under Strickland.
6. Evidentiary Hearing
Hooks asserts the district court erred in denying his request for an evidentiary hearing. In so asserting, he broadly contends such a hearing would establish trial counsel “failed to provide any reasonable advice or assistance” during the entire course of the proceedings following the pre-trial hearing and would include testimony from trial counsel and family members “who have personal knowledge of [trial counsel‘s] unconscionable conduct.”14 In denying Hooks‘s re-
“A district court‘s decision to grant or deny an evidentiary hearing in a habeas proceeding is reviewed for an abuse of discretion.” Anderson v. Attorney General, 425 F.3d 853, 858 (10th Cir. 2005). Because, as set out fully above, each of Hooks‘s claims of ineffective assistance of trial counsel is resolvable solely on the basis of the existing record, the district court did not abuse its discretion in denying Hooks‘s general request for an evidentiary hearing. Miller, 161 F.3d at 1253. Likewise, the general and conclusory nature of the allegations in Hooks‘s request for an evidentiary hearing, fully support the district court‘s decision to deny that request. Hatch v. Oklahoma, 58 F.3d 1447, 1471 (10th Cir.1995), overruled in part on other grounds by Daniels v. United States, 254 F.3d 1180, 1188 n. 1 (10th Cir. 2001) (en banc).
V. PENALTY-PHASE Allen INSTRUCTION
A. Clearly Established Supreme Court Precedent
“The very object of the jury system is to secure unanimity by a comparison of views, and by arguments among the jurors themselves.” Allen v. United States, 164 U.S. 492, 501, 17 S.Ct. 154, 41 L.Ed. 528 (1896). This object is achievable only if individual jurors will “listen with deference to the arguments” of other jurors “with a distrust of [their] own judgment,” particularly when “a large majority of the jury tak[es] a different view of the case.” Id. at 501-02, 17 S.Ct. 154. For that very reason, the use of an Allen charge to encourage jury unanimity “has long been sanctioned” by the Supreme Court. Lowenfield v. Phelps, 484 U.S. 231, 237, 108 S.Ct. 546 (1988). The need for unanimity, however, is reduced in the context of penalty-phase proceedings because a deadlocked jury will not result in a mistrial.
Nevertheless, “[a]ny criminal defendant, and especially any capital defendant, being tried by a jury is entitled to the uncoerced verdict of that body.” Id. at 241, 108 S.Ct. 546. Accordingly, a trial court must be vigilant to instruct the jury in a way that, given all the surrounding circumstances, does not coerce the jury into returning a death verdict. Id. at 238-39, 108 S.Ct. 546 (noting that despite general propriety of encouraging additional deliberations through an Allen charge, Court was “naturally mindful . . . that the qualitative difference between death and other penalties calls for a greater degree of reliability when the death sentence is imposed“). In resolving whether any particular Allen charge crossed over the boundaries of propriety to coercion, reviewing courts must “consider the supplemental charge given by the trial court in its context and under all the circumstances.” Id. at 237, 108 S.Ct. 546 (quotation omitted).
The dissent spills much ink arguing that the rule set out in Lowenfield is sufficiently general that this court‘s review of the decision of the OCCA should be “doubly deferential.” Dissenting Op. at 759 (citing Knowles v. Mirzayance, — U.S. —, 129 S.Ct. 1411, 1420, 173 L.Ed.2d 251 (2009)); see also id. at 756-59 (collecting cases). We have no reason to quibble with the dissent‘s assertion.16 On the other
B. Background
1. Trial Proceedings
At the conclusion of the penalty-phase, the trial court instructed the jury it had the duty to impose sentence upon Hooks. The trial court listed for the jury the statutory aggravating circumstances at issue in the case, defined those aggravating circumstances, and instructed the jury it was authorized to consider imposing a sentence of death only if it first unanimously found beyond a reasonable doubt that one or more of those aggravating circumstances existed. The trial court defined the term “mitigating circumstances” and instructed the jury that “unanimous agreement of jurors concerning mitigating circumstances is not required.” The trial court instructed the jury as to its task during the selection phase of penalty deliberations17 as follows:
If you unanimously find that one or more of the aggravating circumstances existed beyond a reasonable doubt, the death penalty shall not be imposed unless you also unanimously find that any such aggravating circumstance or circumstances outweigh the finding of one or more mitigating circumstances. Even if you find that the aggravating circumstances outweigh the mitigating circumstances, you may impose a sentence of imprisonment for life with the possibility of parole or imprisonment for life without the possibility of parole.
The trial court concluded with a catch-all instruction stating as follows:
All the previous instructions given you in the first part of this trial apply where appropriate....
....
You have already elected a foreperson. In the event you assess the death penalty, your verdict must be unanimous. You may also return a unanimous verdict of imprisonment for life without the possibility of parole or imprisonment for life with the possibility of parole.... When you have reached your verdict, all of you in a body must return it into open court.
Consistent with the concluding line of the trial court‘s instructions, the case proceeded immediately to closing arguments. During those arguments, the prosecutors actively presented misleading statements to the jury as to the need for a unanimous verdict. The prosecution‘s closing arguments were presented in two parts. The first part was presented by Brad Miller. Miller set about to mislead the jury as to its sentencing role by informing jurors (1) the jury‘s work would be wasted if it failed to reach a unanimous verdict, (2) any argument by defense counsel that it took the vote of only one juror to prevent imposition of the death penalty amounted to a request for “jury nullification,” and (3) failure to deliberate in a manner leading to a unanimous verdict would amount to operating outside the law. Miller argued to the jury as follows:
It [sic] is certainly nothing easy about asking 12 strangers that don‘t know each other to come into the room here and listen to all of this and end up with unanimity going in the same direction. It‘s a tremendously difficult process and we know that.
But again, it‘s the best system in the world. And it requires, though, these 12 people, these 12 strangers to come together and collaborate, discuss, make a decision. The system would actually grind to a halt. Think about it. It would grind to a screeching halt if juries didn‘t come together and do that.
If we couldn‘t depend on 12 citizens to come together and go in the same direction, then we would never have a verdict. There would never be a disposition. Defendant[s] would go back to jail and wait for the next trial and they‘d go back to jail and wait for the next trial and no one would ever be acquitted and no one would ever be sent on to the penitentiary.
....
Now I suggest that [defense counsel] will probably say something to the affect [sic] that someone on this jury could hold up a decision. He will likely tell you that it just takes one person to stop all this. That is such a common argument down here that it‘s got a name. It‘s called jury nullification.
Nullification means an action impeding or attempting to prevent the operation or enforcement of the law. Websters. Nullification means an action impeding or attempting to prevent the operation of the law.
In other words, to nullify a jury, a jury‘s job, a jury‘s efforts really requires only convincing one or two people to cripple it, to stop it. And while I don‘t want to beat this down I have got to tell you one more time that that‘s not what we‘re about. This system, and I remind you, is about deliberation. To do otherwise eviscerates the system. It cuts it up literally. It cuts it up. The very law that we live by. The 12 of you must resolve this case, all 12, I suggest.
During his closing argument, defense counsel responded to Miller‘s misstatements of the law by simply noting for the jury that the defense “will ask and tell [the jury] that it only takes one” because “that happens to be the law in Oklahoma.” Robert Macy then delivered the final segment of the prosecution‘s closing argument. Macy concluded his closing argument by reaffirming Miller‘s misstatements of Oklahoma law and by reasserting that any result other than a unanimous verdict would be anathema to the principles underlying our legal system:
[Defense counsel] mentioned that any one of you can control the result in this
After deliberating for approximately five hours, the jury sent a note to the trial court stating: “We are 11 to one in favor of the death penalty but one person who refuses to change refers on grounds not related to the law. The 11 request this juror be interviewed and replaced with an alternate.” The trial court and the parties engaged in a colloquy as to how to best respond to the jury‘s note. Defense counsel requested an instruction to the jury consistent with OUJI-CR 4-83, the Oklahoma Uniform Jury Instruction specifically applicable to deadlocked death-penalty deliberations: “If, on further deliberation you are unable to agree unanimously as to punishment, I shall discharge you and impose a sentence of imprisonment for life without the possibility of parole or imprisonment for life with the possibility of parole.” The prosecution objected to instructing the jury pursuant to OUJI-CR 4-83, not on its content but on its timing. The prosecution asserted the instruction was an Allen charge and it was too early in deliberations to give the jury such a charge. The trial court rejected defense counsel‘s request and instructed the jury as follows: “Ladies and gentlemen of the jury, the law does not authorize me to grant your request. Please continue with your deliberation.”
Within ten minutes the jury returned a note saying “We are unable to reach any unanimous sentence.” Defense counsel immediately moved for a mistrial, noting (1) the jury‘s first note demonstrated it was operating under a misunderstanding of the law and (2) the short time-frame between the trial court‘s answer to the first note and the jury‘s assertion of deadlock demonstrated further deliberations would not be fruitful. The trial court overruled Hooks‘s motion for a mistrial on the grounds the jury had not deliberated long enough to justify such a request and stated it would give the Allen charge set out OUJI-CR 10-11. OUJI-CR 10-11 is the Oklahoma uniform Allen charge applicable to juries deadlocked during guilt-phase deliberations. Defense counsel objected to instructing the jury consistent with OUJI-CR 10-11, asserting that instruction failed to “fully explain the sentencing phase of a death penalty case.” The trial court overruled defense counsel‘s objection, refused defense counsel‘s request to ask jurors whether further deliberation would be helpful before giving the Allen charge, and instructed the jury consistent with OUJI-CR 10-11.18
At approximately 7:30 p.m., the jury sent out a note asking for its evening break. The trial court and the parties quickly realized the jurors expected to go home for the evening, as they had during first-stage deliberations. Both defense counsel and the prosecution objected to breaking sequestration during second stage deliberations. The trial court had the jury returned to the courtroom and instructed the jurors they were being sent for a dinner break and should “plan to commence with your deliberations when you do return.”
While the jury was away for dinner, the trial court reserved a motel in case jurors wanted to break for the evening. After the jury returned from dinner, the court met with counsel and proposed telling the jurors about logistical considerations relating to the jury‘s choice to take a break from deliberations for the evening. In particular, the trial court proposed telling the jury that if it wanted to take an evening break, it must tell the court by 10:30 p.m. so that rooms could be secured for the evening. Defense counsel requested that the trial court first ask the jury whether further deliberations would be helpful before discussing with the jury the logistics of an overnight hotel stay. The trial court denied defense counsel‘s request and proceeded to instruct the jury that if it wanted to take an evening break it must inform the court by 10:30 p.m. At no point did the trial court tell the jury its deliberations would not continue indefinitely. Forty minutes later the jury returned a unanimous death sentence.
2. Oklahoma Appellate Proceedings
On direct appeal, Hooks alleged that the combination of circumstances cataloged above coerced the jury into returning a death sentence. Hooks, 19 P.3d at 309. Despite recognizing multiple errors on the part of the trial court and misconduct on the part of both Miller and Macy, the OCCA denied relief. Id. at 310-12, 314-16. The author of the majority opinion, Judge Chapel, would have granted Hooks relief on the basis that the “dangerous combination” of “egregious errors” “may have encouraged and perpetuated any ju
The OCCA first took up Hooks‘s challenge to the way the trial court informed the jury it would be sequestered until the end of deliberations. Id. at 310. In particular, Hooks asserted that under all the circumstances, the trial court‘s logistics discussion with the jury “suggested jurors could not leave until they had a unanimous verdict” and thereby “put unbearable pressure on the holdout juror.” Id. Although it recognized the inference “that the quick return of a verdict after this instruction suggests coercion,” the OCCA rejected such an inference because every statement of the trial court during the logistics discussion amounted to an “accurate statement of law.” Id.
The OCCA recognized that the trial court erred when, prior to releasing the jury for further deliberations after dinner, it failed to admonish jurors not to abandon their honestly held beliefs. Id. at 310 & n. 25 (citing Lowenfield for proposition that such an instruction lessens coercion on holdout jurors); see also id. at 310 (“Under those circumstances the trial court had a duty to ensure each juror understood his or her obligation to hold fast to firm convictions, and not to concur in a finding or verdict simply to reach a unanimous decision.“). The OCCA concluded, however, that this error did not require reversal because (1) none of the trial court‘s other after-dinner instructions were improper; (2) “Hooks‘s jury had received a proper Allen instruction,20 including the admonition at issue, within the preceding two or three hours“; and (3) “[t]here were no intervening substantive communications or instructions between the Allen instruction and the after-dinner exchange.” Id. at 310.
The OCCA likewise agreed with Hooks that the trial court erred when it gave the
Id. at 312.We continue to hold that an Allen instruction, while no longer the appropriate instruction under these circumstances, is not per se error in the second stage of a capital case. The trial court gave the correct Allen instruction. We have already determined that the trial court‘s actions were not inherently or explicitly coercive.
The OCCA rejected Hooks‘s contention that the jury‘s initial note to the court, the note requesting removal of a juror who refused to vote with the majority, indicated a misunderstanding of the law which should have been remedied by an instruction similar to OUJI-CR 4-83. Id. The OCCA noted it was “troubled by the suggestion that the jury believed Oklahoma law required imposition of the death penalty.” Id. It nevertheless concluded Hooks‘s assertion of error failed because the jury was properly instructed as to both the eligibility and selection phases of death-penalty deliberations.21 Id.
Finally, the OCCA agreed with Hooks‘s contention that the prosecutors misstated the law in an attempt to “diminish[] the jury‘s individual sense of morality and mercy.” Id. at 316. In particular, the OCCA noted Miller and Macy had misstated the law in three key ways: First, all twelve jurors do not have to unanimously agree in capital sentencing proceedings. Second, the failure to agree does not amount to jury nullification. Oklahoma law specifically provides that the jury may not reach a unanimous verdict. As the law provides for this result, failure to agree cannot be said to impede or obstruct it. Third, deadlocked juries are instructed not to abandon their honestly held convictions or concur in a verdict which they cannot in good conscience accept . . . while attempting to resolve their differences. The closing arguments complained of here suggest jurors should in fact abandon their honestly held beliefs if those beliefs will result in a less than unanimous verdict. Id. (footnote omitted). Ultimately, however, the OCCA denied relief, simply concluding that “despite these erroneous arguments the jury was deadlocked for several hours. We must conclude that the jurors in this case were not misled.” Id.
3. Federal District Court Habeas Proceedings
The district court concluded Hooks was not entitled habeas relief because the OCCA‘s resolution of his jury-coercion claim was neither contrary to, nor an unreasonable application of, clearly established Supreme Court precedent. In analyzing the Allen charge, the district court utilized the four factors identified by this court in United States v. Arney, 248 F.3d 984, 988 (10th Cir. 2001)22: “(1) the language of the instruction, (2) whether the instruction is presented with other instructions, (3) the timing of the instruction, and (4) the length of the jury‘s subsequent deliberations.”
The district court noted the trial court‘s instruction was a “modified” Allen charge, a supplemental instruction in which the court asks all jurors, rather than only those in the minority, to carefully consider their views. See Gilbert v. Mullin, 302 F.3d 1166, 1173-74 (10th Cir. 2002) (discussing how “modified” Allen charge differs from “traditional” Allen charge). Such instructions generally do not “unduly emphasize the importance of reaching a verdict.” Id. at 1174. Thus, the district court concluded the language of the Allen charge itself was not coercive.
The district court recognized the jury was presented with many instructions discussing unanimity, but was presented with no instruction indicating unanimity was not required as to the ultimate sentence imposed or the consequences if the jury was unable to reach unanimity. Nevertheless, the district court relied on precedent indicating the Eighth Amendment does not require a trial court to instruct the jury on the consequences of their failure to agree. See Neill v. Gibson, 278 F.3d 1044, 1053-54 (10th Cir. 2001) (discussing Eighth Amendment implications of failing to instruct jury on consequences of not reaching a unanimous verdict during penalty phase of capital trial). Furthermore, according to the district court, Hooks‘s trial counsel argued to the jury during closing arguments that the jury did not have to be unanimous and that if one or more jurors held out death would not be imposed.23 Thus, according to the district court, the OCCA‘s determination that the instructions as a whole did not coerce the jury was not an unreasonable application of Lowenfield.
As to the timing of the Allen instruction, the district court simply noted that prior to the giving of the charge, the jury had not absolutely declared further deliberations would be fruitless. Furthermore, the instruction was given in the afternoon, rather than late at night. According to the district court, there was nothing in the timing of the Allen charge that rendered it coercive. The district court did not, however, recognize that the Allen instruction was given soon after the second jury note indicating an inability to reach a unanimous verdict and after the request of Hooks‘s counsel to inquire of the jury whether further deliberations would be meaningful.
Finally, the district court acknowledged that the jury deliberated for approximately two and one-half hours after receiving the Allen charge before returning a verdict. Citing several cases from this court, the district court concluded that substantial time gap weighed against Hooks‘s jury-coercion argument.
In conclusion, the district court stated:
C. Analysis
1. AEDPA Deference
Hooks asserts the trial court‘s Allen instruction, “in its context and under all the circumstances,” was so coercive as to deny him a reliable sentencing proceeding. Lowenfield, 484 U.S. at 237 (quotation omitted). He further argues this court should review his jury coercion claim de novo because the OCCA‘s compartmentalized adjudication of the claim is contrary to Lowenfield. See Brown v. Uphoff, 381 F.3d 1219, 1225 (10th Cir. 2004) (holding that when a state court adjudication is contrary to clearly established Supreme Court precedent, this court must review de novo whether petitioner is entitled to habeas relief). In the alternative, Hooks argues the record-based indicia of coercion are so overwhelming that the OCCA‘s refusal to grant relief on this issue amounts to an unreasonable application of Lowenfield.
Hooks asserts that in contrast to Lowenfield‘s clear direction to review the coerciveness of an Allen charge under the totality of the circumstances, 484 U.S. at 237, the OCCA reviewed the factors bearing on this question individually and in isolation. Oklahoma, on the other hand, asserts the OCCA used a totality-of-the-circumstances test consistent with Lowenfield, relying on footnote 33 of the OCCA‘s opinion. See Hooks, 19 P.3d at 312 n. 33. The problem with Oklahoma‘s assertion, of course, is that footnote 33 of the OCCA‘s opinion represents only the views of Judge Chapel. Id. (“I note the errors in instruction were exacerbated by the egregious errors in argument discussed in Proposition II [involving prosecutorial misconduct]. I believe this dangerous combination warrants relief.“); see also supra Section V.B.2 (discussing unusual nature of OCCA opinion, in which the author of the opinion dissented from the outcome on this issue in a series of footnotes).
It is certainly true that Judge Chapel considered the coerciveness of the Allen charge given during the penalty phase in light of all the surrounding circumstances. Hooks, 19 P.3d at 312 nn. 33 & 36, 314 n. 51, 317 n. 57, 318 n. 68. Whether the OCCA majority undertook to analyze Hooks‘s claim in a manner consistent with Lowenfield cannot be definitively determined from the opinion. Although the opinion of the OCCA cites to Lowenfield in two footnotes, it does so only to briefly note (1) a quick return of a verdict following an Allen charge can indicate coercion, (2) an instruction to a deadlocked jury not to surrender honestly held beliefs reduces coercion, and (3) a jury instruction as to the consequences of failing to reach unanimity reduces coercion. Hooks, 19 P.3d at 310 & n. 24; Id. at 310 n. 25. But cf. Early v. Packer, 537 U.S. 3, 8 (2002) (per curiam) (holding AEDPA‘s “contrary to” clause “does not require citation of our cases—indeed, it does not even require awareness of our cases, so long as neither the reasoning nor the result of the state-court decision contradicts them“). Nowhere does the OCCA indicate it is evaluating the coerciveness of the Allen charge given at Hooks‘s trial by reference to all surrounding circumstances. But cf. id. at 9 (“Compliance with Lowen
There are, however, indications the OCCA aggregated all “errors” in deciding this (possibly distinct) question: Was Hooks afforded a fundamentally fair sentencing proceeding? Hooks, 19 P.3d at 318 (“[W]e find the combination of errors [surrounding the Allen charge] did not infect the . . . sentencing proceeding with unfairness, and does not require relief.“); see also id. at 312 n. 36 (stating that although Judge Chapel thought the constellation of errors surrounding the trial court‘s Allen charge required relief, his “colleagues . . . unanimously disagree[d]“); id. at 314 n. 51 (same). The OCCA‘s “combination of errors,” however, excludes other relevant contextual circumstances, such as the timing of the Allen instruction, the significance of the jury notes, and the impact of the trial court‘s decision to give the instruction to an apparently deadlocked jury. Whether the limited analysis set out in the text of the OCCA opinion is consistent with Lowenfield‘s “coercion” analysis is problematic. Cf. Fry v. Pliler, 551 U.S. 112, 116 n. 1 (2007) (assuming state court determination of “no possible prejudice‘” did not amount to an application of the harmless-beyond-a-reasonable-doubt standard set out in Chapman v. California, 386 U.S. 18 (1967)).
Unfortunately, neither party has directed this court to any relevant precedent on that question. Likewise, it is impossible to tell from Judge Chapel‘s footnotes the exact basis upon which his colleagues disagreed with him, i.e., the mode of his analysis or his conclusion. Ultimately, because Hooks is entitled to habeas relief even under AEDPA‘s deferential review for objective reasonableness, we decline to resolve the very difficult question of whether the analysis of the OCCA is “contrary to” Lowenfield. Accordingly, this court proceeds to the question whether the OCCA‘s denial of relief on Hooks‘s claim his death sentences were coerced is an unreasonable application of the general standard set out in Lowenfield.
2. Discussion
This court approaches the OCCA decision fully cognizant of the limited nature of federal habeas review under the provisions of AEDPA. See supra Section III. (explicating
a. Initial Second Stage Jury Instructions
Placing the Allen charge in context, as required by Lowenfield, begins by recognizing that the relevant instructions given by the trial court prior to closing arguments exclusively discussed the concept of unanimity, even with regard to the possible non-death sentences. For example, Instruction Number 14 stated as follows:
There is, however, no discussion in the instructions of the effect of the jury failing to reach a unanimous verdict. This court certainly recognizes that such an instruction is required only in unusual circumstances. See Jones v. United States, 527 U.S. 373, 381-82 (1999) (holding Eighth Amendment does not require trial courts to instruct jury on consequences of failure to agree on sentence, unless to fail to do so would affirmatively mislead the jury regarding its role in the sentencing process). Nevertheless, the failure to so inform the jury is certainly one of the contextual circumstances bearing on the question of jury coercion in this particular case. Lowenfield, 484 U.S. at 234 (recognizing that before the case was submitted to the jury, the trial court “charged the jury that if it were unable to reach a unanimous recommendation, the court would impose a sentence of life imprisonment without the possibility of parole“); Darks v. Mullin, 327 F.3d 1001, 1014 (10th Cir. 2003) (noting inclusion of language consistent withIn the event you assess the death penalty, your verdict must be unanimous. You may also return a unanimous verdict of imprisonment for life without the possibility of parole or imprisonment for life with the possibility of parole. When you have reached your verdict, all of you in a body must return it into open court.
b. Prosecutorial Misconduct
The concluding line of the trial court‘s penalty-phase instructions admonished the jury as follows: “The law provides that you shall now listen to and consider the further arguments of attorneys.” The prosecutors, Miller and Macy, then immediately proceeded to mislead the jury as to its role in sentencing by informing jurors (1) the jury‘s work would be wasted if it failed to reach a unanimous verdict, (2) defense counsel‘s argument that it took the vote of only one juror to
The Supreme Court has held that “the jury must not be misled regarding the role it plays in the sentencing decision.” Romano v. Oklahoma, 512 U.S. 1, 8 (1994); see also id. at 9 (noting that to establish an Eighth Amendment violation, “a defendant necessarily must show that the remarks to the jury improperly described the role assigned to the jury by local law” (quotation omitted)); Caldwell v. Mississippi, 472 U.S. 320, 340 (1985) (applying heightened review to prosecutorial misconduct because prosecutor sought to mislead jury about “its role in the capital sentencing procedure“). More specifically, the Court has likewise indicated that misstatements to the jury regarding the consequences of deadlock “could give rise to an Eight
In Neill, the petitioner asserted the trial court‘s failure to instruct the jury on the consequences of deadlock deprived him of his Eighth Amendment rights. Id. at 1053. Key to the petitioner‘s claim was the following isolated misstatement of Oklahoma law on the part of the prosecutor during his closing argument: if the jury was unable to reach a unanimous verdict, the result would be a retrial. Id. In rejecting the petitioner‘s Eighth Amendment claim, this court noted that following this isolated misstatement, the prosecutor correctly stated “that if defense counsel could get one juror to vote against the death penalty, that punishment could not be imposed.” Id. Furthermore, in the defense‘s closing argument, petitioner‘s counsel accurately informed the jury that if a single juror refused to vote for death, the trial court would declare a deadlock and impose a life sentence. Id. Finally, in the concluding segment of his closing argument, the prosecutor again correctly noted there could be no “mistrial” at sentencing and if a single juror opposed the death penalty, the petitioner would receive a life sentence. Id. Not surprisingly, in light of that record, this court concluded “the prosecutor‘s single misstatement did not mislead the jury concerning its sentencing role. An instruction on the consequences resulting from the jury‘s failure to reach a unanimous sentencing decision, therefore, was unnecessary.” Id. at 1053-54 (citing Jones, 527 U.S. at 381-82).26
Unlike the case in Neill, the prosecutors here engaged in wholesale and repeated attempts to mislead the jury as to its sentencing role under Oklahoma law. The OCCA specifically held that Miller‘s and Macy‘s remarks were wholly inconsistent with Oklahoma law. Hooks, 19 P.3d at 316; supra n. 23 (setting forth OCCA‘s conclusion that Miller and Macy misstated Oklahoma law regarding the jury‘s sentencing role in three key particulars). Thus, it seems apparent Miller‘s and Macy‘s misconduct invaded Hooks‘s Eighth Amendment rights by suggesting “jurors should in fact abandon their honestly held beliefs if those beliefs will result in a less than unanimous verdict.” Hooks, 19 P.3d at 316. By “improperly describing the role assigned to the jury by local law,” the prosecutors thereby caused the jury to “feel less responsible than it should for the sentencing decision.” Romano, 512 U.S. at 9 (quotations omitted).
More importantly, unlike in Neill, the record contains a singularly clear indication Miller‘s and Macy‘s misconduct did, in fact, mislead the jury. After deliberating for several hours, the jury sent a note to the trial court indicating as follows: (1) it was eleven to one in favor of imposing the death penalty; (2) the sole holdout juror refused to change her vote “on grounds not related to the law,” and (3) the eleven jurors favoring death unanimously requested the trial court to remove the holdout juror and replace her with an alternate. Hooks, 19 P.3d at 308, 312. A review of the entire state court record indicates that the assertion in the jury note flowed directly from the prosecutors’ misconduct. There is a complete absence from the trial transcript of any other basis for the jury to conclude unanimity was the overriding obligation of the jury. Thus, this court concludes the OCCA‘s determination that the jury was not misled by the prosecutors’ intentional misstatements of
Although Hooks makes a strong argument that he is entitled to habeas relief solely on the basis of Miller‘s and Macy‘s misconduct,29 this court need not definitively resolve that question. As set out above, it is clear the prosecutors’ misconduct achieved its intended purpose: the jury was misled to believe it was the obligation of a juror holding a minority opinion to abandon that opinion if it was necessary for the jury to reach a unanimous sentence. The coercion flowing from this misconduct, when combined with coercion flowing from the trial court‘s Allen charge, undoubtedly coerced the jury‘s death sentences. Accordingly, it is unnecessary to determine whether Miller‘s and Macy‘s misconduct, standing alone, entitles Hooks to habeas relief.
c. The First Jury Note
Beyond verifying the impact of the prosecutorial misconduct, the first jury note has further demonstrative significance to the jury-coercion question. That first jury note, which disclosed the jury‘s numerical division and the eleven-to-one majority favoring death, commenced a quickly unfolding series of communications between the jury and the court, culminating in the Allen charge, the incorrect instruction to a deadlocked jury in an Oklahoma capital case.
In response to the jury‘s note requesting removal of the sole holdout juror, the trial court consulted with defense counsel and the prosecutors. Defense counsel immediately argued the trial court should dispel the jury‘s misunderstanding about the legality of a juror refusing to vote for the death penalty by giving the jury the appropriate capital deadlock instruction in OUJI-CR 4-83, informing the jury the
The trial court‘s failure to rectify the jury‘s misunderstanding, by giving Oklahoma‘s capital deadlock instruction as requested by defense counsel, ramped up the pressure on the lone holdout juror to capitulate and reach a unanimous verdict. That is, rather than correct the jury‘s misunderstanding that the holdout had a legal obligation to abandon her views for the sake of unanimity, the trial court‘s message served to heighten the frustrations of the jurors by indicating nothing more than the court was powerless to address the majority jurors’ apparently valid concerns. As indicated by defense counsel‘s objection, and under all the circumstances, the coercive nature of the trial court‘s handling of the jury‘s note was readily apparent at that time. Id.
The jury‘s note also contributed to an atmosphere of coercion in other ways. Hooks asserts the jury‘s note, which disclosed the panel‘s numerical division and that an eleven-to-one majority favored death, further increased the pressure on the holdout juror to accede to the majority‘s wishes and change her vote. Id. at 239-41 (recognizing that in certain circumstances, polling of the jury could be relevant to the question of coercion on habeas review). In the exercise of its supervisory powers over federal courts, the Supreme Court has set out a per se rule: inquiry by a court into a jury‘s numerical division is so inherently coercive it mandates reversal of a conviction. Brasfield v. United States, 272 U.S. 448, 449-50 (1926). A number of courts have held that Brasfield‘s per se rule applies whether the trial court learns of the jury‘s numerical division through polling or through spontaneous disclosure. See, e.g., United States v. Lloyd, 515 F.3d 1297, 1302-03 (D.C. Cir. 2008); Sanders v. Lamarque, 357 F.3d 943, 944 (9th Cir. 2004).
Brasfield‘s per se rule does not, however, apply in the habeas context. Lowenfield, 484 U.S. at 240 n. 3. Nevertheless, Brasfield is “instructive as to the potential dangers of jury polling.” Id. at 240; Gilbert v. Mullin, 302 F.3d 1166, 1175-76 (10th Cir. 2002). In Gilbert, this court concluded a state court‘s poll of the jury prior to, and in concert with, the giving of a Allen charge did not coerce the jury because: (1) the poll “garnered only information concerning the numerical division of the jury and carefully avoided eliciting information concerning the direction in which the jury was leaning; (2) the court never learned which specific jurors were in the minority; and (3) the poll did not disclose “the precise numerical division amongst the jurors.” Id. at 1176 & n. 5. In this case, on the other hand, the jury‘s note told the court the exact numerical split, the direction the jury was leaning, and that the eleven jurors in the majority believed the holdout was illegally refusing to change her vote. That the trial court gave an Allen charge within a few minutes of the disclosure of the information that there was but one holdout against the death penalty certainly bears on the coerciveness of the Allen charge. Lowenfield, 484 U.S. at 240.
d. The Allen Charge
No more than ten minutes after the trial court told the jury it was without power to replace the holdout juror with an alternate, the jury sent a second note to the trial court indicating it was “unable to reach any unanimous sentence.” At a conference in chambers, the trial court informed the parties it intended to give the Allen charge set out in OUJI-CR 10-11. See supra n. 17 (setting out text of OUJI-CR 10-11). Macy agreed this was the appropriate course of action. Defense counsel objected to the giving of OUJI-CR 10-11 as inapplicable to the penalty phase of a capital trial and, instead, requested that the trial court give the capital deadlock instruction set out in OUJI-CR 4-83. Lowenfield, 484 U.S. at 240 (noting that presence of defense objection is relevant to appearance of coercion flowing from giving of Allen charge). The trial court overruled defense counsel‘s objection and instructed the jury consistent with OUJI-CR 10-11.
On direct appeal, the OCCA concluded the trial court erred in giving OUJI-CR 10-11 to a deadlocked capital jury during penalty-phase deliberations. Hooks, 19 P.3d at 312. It nevertheless concluded the Allen charge actually given was not inherently coercive. Id. Hooks asserts the trial court‘s failure to give the correct Oklahoma deadlock instruction weighs heavily in favor of habeas relief. It is clear, however, that “federal habeas corpus relief does not lie for errors of state law.” Estelle v. McGuire, 502 U.S. 62, 67 (1991) (quotation omitted). Thus, this court‘s task is simply to analyze whether the OCCA‘s determination that the Allen charge actually given was not coercive under the totality of the circumstances—is an unreasonable application of Lowenfield.
This court has approved an instruction nearly identical30 to the one given here. Gilbert, 302 F.3d at 1171-73, 1176 (10th Cir. 2002). In Gilbert, this court concluded there was nothing inherently coercive in the language of this type of instruction. Id. at 1174 (citations omitted). In Gilbert, however, the Allen instruction was not given against a backdrop of misconduct on the part of prosecutors intentionally designed to convince the jury that holding out against a majority verdict was an exercise in illegal “jury nullification.” Nor did the Allen instruction in Gilbert follow a note from the jury disclosing its numerical division and asking the trial court to remove a juror because she refused to change her vote to one in favor of the death penalty for a legally illegitimate reason. These contextual facts mandate a different outcome in this case.
For these same reasons, two additional Arney factors also weigh in support of our conclusion the Allen charge coerced the jury into returning death sentences. Gilbert, 302 F.3d at 1173 (examining, as part of Arney analysis, whether the Allen instruction was separated in time from the initial instructions and whether the instruction was given after a jury expressed it was deadlocked). Giving an Allen charge separate from and later than other instructions risks “having the jury give disproportionate weight to the new charge.” Id. at 1174. Likewise, “there is an inherent danger in giving a supplemental instruction to an apparently deadlocked jury.” Id. (quotations omitted).32 The trial court gave the Allen instruction some four or more hours after the initial penalty-phase instructions. Although this sequence of events is likely to intensify coercion, it alone is not enough to suggest undue coercion. Id. Here, however, the
Finally, Oklahoma notes the jury‘s verdict was rendered almost four and one-half hours after the Allen charge was given by the trial court. Oklahoma argues this fact fully supports the OCCA‘s conclusion that the trial court‘s Allen instruction did not coerce the jury‘s death sentences in this case. See Lowenfield, 484 U.S. at 240 (noting the jury‘s return of a verdict soon after the giving of an Allen instruction “suggests the possibility of coercion“). This assertion, however, ignores the subsequent unfolding of significant proceedings in the trial court.
At approximately 7:30 p.m. the jury sent a note to the judge inquiring about breaking for the evening. Hooks, 19 P.3d at 309. At that point, the jury had deliberated for approximately seven hours and thirty minutes. “Everyone realized that the jurors expected to go home, as they had during first stage deliberations,” and be allowed to return in the morning to resume deliberations. Id. The parties, however, agreed the jury should remain sequestered until the conclusion of penalty-phase deliberations. Id. The trial court informed counsel it had reserved hotel rooms for the jury in case jurors desired to break for the evening and proposed informing the jurors of this fact prior to their resumption of deliberations. Id. Although defense counsel did not object to such a course of action in the abstract, he requested that the trial court first inquire of the jurors whether they were at an impasse. Id. The trial court refused. Instead, it informed the jury “motel rooms were reserved should the jurors care to break for the evening and resume deliberations the next day.” Id. The trial court noted “jurors were free to continue deliberations into the night, but needed to decide whether to use the motel rooms by 10:30 p.m.” Id. The trial court finished by informing the jury that until the completion “of this proceeding, I cannot release you to go to your respective dwellings.” Id. Finally, without admonishing the jurors not to abandon their honestly held beliefs, the trial court released the jurors for further deliberations. Id. at 309-10. Forty minutes later, the jury returned a verdict of death on each of the five counts.
The trial court‘s logistical instructions concerning their further deliberations increased the pressure on the jury to reach a unanimous verdict. No matter their technical accuracy,33 the clear import of those
Notes
The course of bricks forming an arch and tying into the keystone. See http://www.gobrick.com/BIA/technotes/t31.htm (last visited May 11, 2010).When Hooks took the stand counsel made sure the jury knew Hooks had prior convictions for rape and assault with intent to commit bodily harm. Hooks now complains this trial strategy was unreasonable. He suggests counsel should first have moved the trial court to rule these prior convictions unavailable for impeachment purposes. Prior convictions may be used to impeach a witness. In ruling on their admissibility the court must consider (1) their impeachment value; (2) the time of the convictions and the defendant‘s subsequent history; (3) the similarity between the prior and charged crimes; (4) the importance of the defendant‘s testimony; and (5) whether credibility is central to the trial. We disagree with Hooks‘s claim that the prior offenses were so similar to the charged crime of murder as to automatically prejudice the jury against him. Hooks‘s prior convictions were relevant for impeachment purposes and admissible, and their probative value for impeachment was not outweighed by the danger of prejudice. As the prior convictions were admissible and would have been used for impeachment,
Before this court, Hooks again raises the issue, this time in a discrete section of his brief. Inexplicably, Oklahoma does not mention this aspect of Hooks‘s claim in its response brief. We choose not to enter this procedural swamp and, instead, exercise our discretion to bypass complex issues of exhaustion to reject the claim on the merits. Revilla v. Gibson, 283 F.3d 1203, 1211 (10th Cir.2002). This is an especially appropriate course, as this claim “may be disposed of in straightforward fashion on substantive grounds.” Id.
The majority relies upon a phrase in Romano v. Oklahoma, 512 U.S. 1, 8, 114 S.Ct. 2004, 129 L.Ed.2d 1 (1994), “the jury must not be misled regarding the role it plays in the sentencing decision.” That reference is puzzling in that Romano held only that the admission of a prior death sentence did not deprive Romano of a fair sentencing proceeding. Id. at 12-13, 114 S.Ct. 2004. Over-reading Supreme Court precedent is precisely the reason the Supreme Court reversed in Lett, Berghuis, Thaler, Mirzayance, Van Patten, Alvarado, Landrigan, Carey and Early.Romano did, however, summarize how the Supreme Court viewed Caldwell v. Mississippi, 472 U.S. 320, 105 S.Ct. 2633, 86 L.Ed.2d 231 (1985), saying: The prosecutor in Caldwell, in remarks which “were quite focused, unambiguous, and strong,” misled the jury to believe that the responsibility for sentencing the defendant lay elsewhere. Id., at 340, 105 S.Ct., at 2645. The trial judge “not only failed to correct the prosecutor‘s remarks, but in fact openly agreed with them.” Id., at 339, 105 S.Ct., at 2645. The plurality concluded that the prosecutor‘s remarks, along with the trial judge‘s affirmation, impermissibly “minimize[d] the jury‘s sense of responsibility for determining the appropriateness of death.” Id., at 341, 105 S.Ct., at 2646. [W]e have since read Caldwell as “relevant only to certain types of comment—those that mislead the jury as to its role in the sentencing process in a way that allows the jury to feel less responsible than it should for the sentencing decision.” Darden v. Wainwright, 477 U.S. 168, 184, n. 15, 106 S.Ct. 2464, 2473, n. 15, 91 L.Ed.2d 144 (1986). Thus, “[t]o establish a Caldwell violation, a defendant necessarily must show that the remarks to the jury improperly described the role assigned to the jury by local law.” Dugger v. Adams, 489 U.S. 401, 407, 109 S.Ct. 1211, 1215, 103 L.Ed.2d 435 (1989); see also Sawyer v. Smith, 497 U.S. 227, 233, 110 S.Ct. 2822, 2826-2827, 111 L.Ed.2d 193 (1990). Id. at 8-9, 114 S.Ct. 2004.
Improper prosecutorial argument will only warrant federal habeas relief if it renders a petitioner‘s trial or sentencing fundamentally unfair. To establish that a prosecutor‘s remarks were so inflammatory that they prejudiced substantial rights, a petitioner must overcome a high threshold: he or she must demonstrate either persistent and pronounced misconduct or that the evidence was so insubstantial that absent the remarks, the jury would not have imposed the death penalty. Short v. Sirmons, 472 F.3d 1177, 1195 (10th Cir.2006) (citing Donnelly v. DeChristoforo, 416 U.S. 637, 642, 94 S.Ct. 1868, 40 L.Ed.2d 431 (1974), and Berger v. United States, 295 U.S. 78, 89, 55 S.Ct. 629, 79 L.Ed. 1314 (1935)).
Wiggins v. Smith, 539 U.S. 510, 521, 123 S.Ct. 2527, 156 L.Ed.2d 471 (2003) (emphasis added). This general standard has not prevented the Supreme Court from granting habeas relief applying the AEDPA deferential standard in an appropriate case. Id. at 537-38, 123 S.Ct. 2527. Likewise, the rule set out in Lowenfield is necessarily general and context specific, as an otherwise unremarkable Allen charge may be rendered coercive in light of remarkable surrounding circumstances. In contrast to the dissent‘s assertion, nothing in either the text of AEDPA or the decisions of the Supreme Court categorically rule out the availability of habeas relief under the rule set out Lowenfield. The majority faults the OCCA for failing to consider the “refers on grounds not related to the law” note in determining that the prosecutors’ statements did not mislead the jury, Majority Op. at 745-46, n. 28, and concludes the note can be read but one way. Id. at 745. But, the OCCA did discuss the note. Hooks, 19 P.3d at 312. The fact that it did not specifically mention it in its discussion of prosecutorial misconduct is insignificant. The Supreme Court dealt with a similar argument in Early v. Packer (reversing the Ninth Circuit):We established the legal principles that govern claims of ineffective assistance of counsel in Strickland v. Washington, 466 U.S. 668, 104 S.Ct. 2052, 80 L.Ed.2d 674 (1984). An ineffective assistance claim has two components: A petitioner must show that counsel‘s performance was deficient, and that the deficiency prejudiced the defense. Id., at 687, 104 S.Ct. 2052. To establish deficient performance, a petitioner must demonstrate that counsel‘s representation “fell below an objective standard of reasonableness.” Id., at 688, 104 S.Ct. 2052. We have declined to articulate specific guidelines for appropriate attorney conduct and instead have emphasized that “[t]he proper measure of attorney performance remains simply reasonableness under prevailing professional norms.” Ibid.
The contention that the [state] court “failed to consider” facts and circumstances that it had taken the trouble to recite strains credulity. The Ninth Circuit may be of the view that the Court of Appeal did not give certain facts and circumstances adequate weight (and hence adequate discussion); but to say that it did not consider them is an exaggeration. . . . Compliance with Lowenfield v. Phelps, does not demand a formulary statement that the trial court‘s actions and inactions were noncoercive “individually and cumulatively.” It suffices that that was the fair import of the Court of Appeal‘s opinion.537 U.S. at 9, 123 S.Ct. 362.
This case has taken approximately 57 hours of trial-time. You have deliberated for approximately 6 1/2 hours. You report to me that you are experiencing difficulty in arriving at a verdict.
This is an important case and a serious matter to all concerned. You are the exclusive judges of the facts; the court is the judge of the law. Now I most respectfully and earnestly request of you that you return to your jury room and resume your deliberations. Further open and frank discussion of the evidence and law submitted to you in this case may aid you in arriving at a verdict.
This does not mean that those favoring any particular position should surrender their honest convictions as to the weight or effect of any evidence solely because of the opinion of other jurors or because of the importance of arriving at a decision. No juror should ever agree to a verdict that is contrary to the law in the court‘s instructions, nor find a fact or concur in a verdict which in good conscience he or she believes to be untrue. This does mean that you should give respectful consideration to each other‘s views and talk over any differences of opinion in the spirit of fairness and candor. If at all possible, you should resolve any differences and come to a common conclusion, that this case may be completed. Each juror should respect the opinion of his or her fellow jurors, as he or she would have them respect his or hers, and in an earnest and diligent effort to arrive at a just verdict under the law and the evidence.
You may be as leisurely in your deliberations as the case may require and take all the time necessary. The giving of this instruction at this time in no way means that it is more important than any other instruction. On the contrary, you should consider this instruction together with and as part of the instructions which I previously gave you.
In stating the foregoing, I again repeat: you are the judges of the facts; the court is the judge of the law. In making all statements made to you I have not, nor do I now, express or intimate, nor indicate, in any way the conclusions to be reached by you in this case, nor do I intend in any way or manner to coerce a verdict, nor directly or indirectly to force a verdict in this case. I only ask that you return to your jury room and, again, diligently and earnestly under your oaths resume your deliberations.
Hooks, 19 P.3d at 314 n. 51 (citations omitted); see also id. at 317 n. 57.[P]rosecutorial misconduct in the second stage infected the sentencing proceeding with unfairness and deprived Hooks of a fair sentencing hearing. The second stage argument was especially egregious, as the misstatements of law, combined with errors in instruction . . . , suggested that a hung jury was somehow illegal. This may have led to a misconception among the majority of Hooks‘s jurors. . . . We have repeatedly condemned the Oklahoma County District Attorney‘s reliance on improper argument. . . . In addition to our warnings, federal reviewing courts have also repeatedly condemned Mr. Macy and prosecutors from his office for their habitual misconduct in argument. This Court has let this flagrant disregard of our rulings pass too long. The second stage argument here contained several comments the prosecutors knew to be error, included for the purpose of inflaming the jury‘s passions and encouraging a sentencing verdict based on passion or prejudice rather than the evidence. The errors in argument, combined with the errors in instructing the deadlocked jury, prejudiced Hooks‘s ability to receive a fair sentencing hearing. I believe the misstatements of law regarding jury nullification deprived Hooks of his right to a properly instructed capital jury, and ought to result in relief even if the other comments did not render the proceedings as a whole fundamentally unfair.
Hooks, 19 P.3d at 312.The jury was accurately instructed that it was authorized to impose the death penalty if it unanimously found one or more aggravating circumstances, and then found that circumstance outweighed any mitigating evidence. Nothing in the instructions suggested the jury was required to impose a death sentence if it found at least one aggravating circumstance. Instruction 11 told the jury it could impose a sentence of life or life without parole even after finding aggravating circumstances outweighed mitigating circumstances.
The jury‘s note made clear at least eleven jurors were operating under a mistaken view of Oklahoma law. Those jurors stated that in refusing to change her vote, the holdout juror was acting in derogation of Oklahoma law. But see Hooks, 19 P.3d at 316 (“[A]ll twelve jurors do not have to unanimously agree in capital sentencing proceedings. . . . [T]he failure to agree does not amount to jury nullification.“). This was precisely the mistaken impression Miller and Macy set about to instill in the jury. The prosecutors argued the jury had a duty to reach a unanimous verdict and if any single juror refused to go along, that juror was engaging in the unlawful practice of “jury nullification.” This misconduct is the one and only record-based explanation for the misunderstanding reflected in the jury‘s note.
In light of the record in this case, it would certainly have been reasonable for the OCCA to conclude the jury‘s misunderstanding of the law did not flow from the trial court‘s penalty-phase instructions. The OCCA‘s follow-up conclusion, that because the jury‘s confusion did not flow from those instructions it did not exist, however, is inconsistent with the state court record. In completely discounting the jury‘s note from its coercion calculus, the OCCA did not just err, it reached an unreasonable determination in light of the record before it.
[The jury system], it is the best system in the world. And it requires, though, these 12 people, these 12 strangers to come together and collaborate, discuss, make a decision. The system would actually grind to a halt. Think about it. It would grind to a screeching halt if juries didn‘t come together and do that.
If we couldn‘t depend on 12 citizens to come together and go in the same direction, then we would never have a verdict. There would never be a disposition. Defendant[s] would go back to jail and wait for the next trial and they would go back to jail and wait for the next trial and no one would ever be acquitted and no one would ever be sent on to the penitentiary.
Against this backdrop, in response to a note from the jury indicating it would like to return home for an evening break, the trial court simply indicated the jury should continue to deliberate, at its own pace, either into the night or the next morning after being sequestered in a hotel. Hooks, 19 P.3d at 309. It failed to remind the jurors “not to abandon their honestly held beliefs,” id. at 310, and did not provide any signal to the jury that it would be asked to do anything other than deliberate indefinitely until it reached unanimity. Cf. Gilbert, 302 F.3d at 1172, 1175 (noting potential for coercion reduced where trial court informed jury as part of Allen charge that it “was conscious of the hour” and “would like for [the jury] to try one more time“). Instead, the trial court told the jury that if it wanted motel rooms, it had to inform the court by 10:30 that evening. Hooks, 19 P.3d at 309. Thus, the trial court‘s logistical instructions heightened an already coercive atmosphere, resulting in the jury returning five death sentences forty minutes later. It is this forty-minute period, rather than the several-hour period following the Allen charge, that is the appropriate focus to measure the likelihood of coercion. In light of all that happened previously, the only reasonable conclusion is that the short time period between the trial court‘s discussion with the jury over sequestration and the return of the death sentences strongly indicates the death sentences in this case were coerced. Lowenfield, 484 U.S. at 240.
3. The Dissent
a. AEDPA Deference
The dissent asserts this court‘s decision to grant Hooks habeas relief somehow labels the OCCA, the federal district court judge, and the dissenter himself as unreasonable. Dissenting Op. at 756 (“At the risk of joining the OCCA and the district court in being labeled unreasonable in the assessment of Constitutional imperatives in this case, I disagree.“); id. at 767 (“I am not convinced the OCCA, which studiously inquired, has passed beyond the edge of reasonableness.“). This assertion demonstrates a deep and fundamental misunderstanding of the AEDPA‘s standard of review. The Supreme Court has made it abundantly clear that AEDPA‘s “unreasonable application” prong calls on this court to undertake an objective assessment of the state court decision, not a subjective assessment of the views of the judges on the relevant state court (or, for that matter, the views of individual federal judges).
There remains the task of defining what exactly qualifies as an “unreasonable application” of law under
Defining an “unreasonable application” by reference to a “reasonable jurist,” however, is of little assistance to the courts that must apply
Williams v. Taylor, 529 U.S. 362, 409-10 (2000). Thus, AEDPA mandates that this court focus only on the decision before the court on habeas review, not on whether the individual judges on the relevant state court are generally reasonable individuals.34 Likewise, to the extent it asserts this court should deny habeas relief because it and the district court judge disagree with the outcome, the dissent again demonstrates a deep and fundamental misunderstanding of AEDPA‘s standard of review. The Williams court specifically rejected such a standard as embodying an improper subjective standard. Id. at 410 (rejecting Fifth Circuit‘s standard which denied habeas relief as long as any one judge on three-judge panel was unwilling to grant habeas relief).
As noted by the Supreme Court, “[t]he term ‘unreasonable’ is no doubt difficult to define.” Id. It is certainly not unusual or untoward that individual members of a panel of judges would reach different conclusions as to the whether a state court decision is an unreasonable application of clearly established federal law. That is particularly true in this difficult case. What is unusual and wrong after Williams is to transform the inquiry into a subjective one, differentiating jurists as “reasonable” and “unreasonable.” In granting Hooks habeas relief, this court is well aware of the costs involved. See Dissenting Op. at 768 (noting difficulties Oklahoma might encounter in attempting to retry the penalty phase of Hooks‘s trial). We cannot, however allow that consideration to deflect this court from its duty to grant habeas relief in an appropriate case.
b. Merits
In asserting Hooks is not entitled to habeas relief as to his death sentences, the dissent employs a piece-by-piece analysis, arguing the individual instances of misconduct and error during the penalty phase are insufficient, standing alone, to conclude the OCCA‘s resolution of Hooks‘s jury coercion claim amounts to an unreasonable application of Lowenfield. Unfortunately, the dissent fails in the end to step back and take a look at the whole. In so doing, the dissent fails to remain true to Lowenfield, which mandates that in resolving the question of whether a jury verdict was coerced, reviewing courts must consider the Allen charge “in its context and under all the circumstances.” 484 U.S. at 237 (quotation omitted).
The bulk of the dissent is directed toward an effort to dilute the importance of the prosecutors’ misstatements regarding jury unanimity and nullification. The dissent asserts those statements were nothing more than, at most, minor misstatements of the law. Dissenting Op. at 759-65. The OCCA certainly does not share the dissent‘s characterization of Miller‘s and Macy‘s conduct during penalty phase closing arguments. Hooks, 19 P.3d at 314 (“Prosecutors . . . engaged in egregiously improper argument which we have often condemned.“); id. at 316 (“The closing arguments complained of here suggest jurors should in fact abandon their honestly held beliefs if those beliefs will result in a less than unanimous verdict. These misstatements of law could have deprived Hooks of his right to a properly instructed capital jury, and come close to requiring relief even if the other comments did not render the proceedings as a whole fundamentally unfair.“).35 The dissent‘s weak protestations to the contrary, it simply cannot be debated that the prosecutors’ remarks to the jury regarding jury nullification and the need for unanimity misinformed the jury of its proper role under Oklahoma‘s death penalty scheme. Hooks, 19 P.3d at 316.36
Similarly, in assessing the coercive nature of the trial court‘s Allen charge in this particular case, the dissent does not even consider the timing of the charge (no more than ten minutes after the jury asked the court to remove the lone dissenting juror and immediately after a protestation of deadlock) or the fact the jury returned a verdict no more than forty minutes after it was informed it would be sequestered for the evening if it was unable to quickly return a verdict.37 See supra 748-50. The failure to account for these contextual circumstances in analyzing whether the OCCA‘s decision was an unreasonable application of Lowenfield, especially in light of the failings of the dissent identified above, seriously undermines the dissent‘s criticism of the decision to grant Hooks habeas relief as to his death sentences.
4. Conclusion
This court is precluded from issuing the writ simply because it determines in its independent judgment that the OCCA applied Lowenfield erroneously or incorrectly. McLuckie, 337 F.3d at 1197. “Rather, we must be convinced that the application was also objectively unreasonable.” Id. This, however, is one of those rare cases where the record so clearly and unequivocally demonstrates jury coercion that the OCCA‘s contrary conclusion is unreasonable. Cf. Early v. Packer, 537 U.S. 3, 11 (2002) (per curiam) (reversing grant of habeas relief on jury coercion claim because it was reasonable to conclude on the record the jury had not been coerced).
All aspects of the penalty phase, excluding only the presentation of evidence, emphasized the concept of jury unanimity. This emphasis began with the initial penalty-phase instructions and concluded with the Allen charge, the incorrect instruction
VI. CONCLUSION
The district court‘s denial of habeas relief on the five murder convictions is AFFIRMED. That part of the district court‘s order denying habeas relief on the five death sentences is, however, REVERSED. The matter is REMANDED to the district court for the issuance of an order consistent with this opinion.
O‘BRIEN, Circuit Judge, concurring and dissenting.
After a twelve day trial and thirteen hours of deliberation, an Oklahoma jury convicted Danny Hooks of five counts of first degree murder for the brutal slayings of five women. After a one day sentencing hearing and approximately eight hours of deliberation, the jury sentenced him to death on each count. After a thorough review of the trial record and the record of state post conviction proceedings the Oklahoma Court of Criminal Appeals (OCCA) unanimously affirmed the convictions and death sentences. After careful consideration of the record, the federal district court denied habeas relief. I join the majority opinion in denying habeas relief on the guilt phase issues, but respectfully dissent from its conclusion that the five death sentences were constitutionally infirm.
The majority opinion is studious and thorough. It convincingly demonstrates that the OCCA may have erred in considering the ultimate issue, whether the jury‘s verdict was coerced. Were this case here on direct review I could comfortably join. But it is not.
The decisions of the OCCA are entitled to substantial deference. The Supreme Court has made that abundantly clear, particularly of late, by repeatedly reversing courts of appeals for over-reading its
The majority identifies no violation of federal law in the instruction to the jury, initially or during deliberations, and the trial judge‘s possible mismanagement of the jury may deserve criticism but is not, by itself, a basis for habeas relief. Unless prosecutorial misconduct clearly and irretrievably mislead jurors and infected the jury‘s deliberations the majority‘s reason for affording habeas relief fails, even under its accumulation theory; not because it is wrong but because, in a broad view of the facts, the OCCA‘s contrary conclusion (no jury coercion) is not unreasonable.
While acknowledging deference is due to state judicial decisions the majority says “The deference accorded [the OCCA] decision . . . is not abject, and the record in this case so overwhelmingly demonstrates the jury‘s death sentences were coerced that the OCCA‘s contrary decision is not just wrong, it is unreasonable. See Snow, 474 F.3d at 696 (noting that despite
I.
I start by charting our limited role in habeas cases, such as this. My understanding of it apparently differs, at least in application, from that of the majority. The Supreme Court has explained how the sails should be trimmed:
Th[e] question is not wh[at] the trial judge should have [done.] It is not even whether it was an abuse of discretion for her to have done so—the applicable standard on direct review. The question under
AEDPA is instead whether the determination of the [State] Supreme Court . . . was “an unreasonable application of . . . clearly established Federal law.”§ 2254(d)(1) .
We have explained that “an unreasonable application of federal law is different from an incorrect application of federal law.” Indeed, “a federal habeas court may not issue the writ simply because that court concludes in its independent judgment that the relevant state-court decision applied clearly established federal law erroneously or in
Renico v. Lett, — U.S. —, 130 S.Ct. 1855, 1862, — L.Ed.2d — (2010) (citations omitted).
It has repeatedly emphasized that in implementing the
In Mirzayance, the Court reviewed the Ninth Circuit‘s conclusion that, to be of effective assistance to a capital defendant, counsel must pursue what he reasonably believes to be a futile defense because there was nothing to lose by doing so. Bewildered by such an expansive reading of Strickland, the Supreme Court reversed, saying: “This Court has never established anything akin to the Court of Appeals’ ‘nothing to lose’ standard for evaluating Strickland claims.” Mirzayance, 129 S.Ct. at 1419. Mirzayance thus punctuates the key requirement of the
The rigor of that requirement was reinforced again this term in Berghuis v. Smith, — U.S. —, 130 S.Ct. 1382, 1392, 176 L.Ed.2d 249 (2010) (“[O]ur Duren decision hardly establishes—no less ‘clearly’ so—that Smith was denied his Sixth Amendment right to an impartial jury drawn from a fair cross section of the
Lowenfield claimed the trial court violated his Constitutional rights by giving an “Allen” jury charge and polling the jury. The Supreme Court said:
We hold that on these facts the combination of the polling of the jury and the supplemental instruction was not “coercive” in such a way as to deny petitioner any constitutional right. By so holding we do not mean to be understood as saying other combinations of supplemental charges and polling might not require a different conclusion. Any criminal defendant, and especially any capital defendant, being tried by a jury is entitled to the uncoerced verdict of that body.
Lowenfield, 484 U.S. at 241, 108 S.Ct. 546. The majority seizes on the last sentence as the yardstick by which the OCCA‘s treatment of this case must be measured. But an entitlement to an “uncoerced verdict” is hardly a specific legal rule. The sentence is so general as to offer no guidance beyond the specific holding dictated by the facts of that case—jury polling and an Allen charge in that case did not amount to coercion.4 As to what does constitute jury coercion, Lowenfield is no more revealing than saying a defendant is entitled to effective assistance of counsel. Strickland v. Washington, 466 U.S. 668, 104 S.Ct. 2052, 80 L.Ed.2d 674 (1984). But unlike Strickland and its progeny, which at least provide guidance for its applica
II.
The keystone of the majority‘s cascading-errors-inescapably-lead-to-coercion analysis6 is the prosecutors’ “misstatements of law.” And the label course7 consists of a series of suppositions—1) the jury was actually misled about the need for unanimity in applying mitigating facts to the ultimate decision (even though the jury instructions were abundantly clear and correct on the point), 2) the jury‘s ambiguous note to the court necessarily exposed juror confusion, and 3) there is a clear cause and effect relationship between the actions of the prosecutors and the presumed jury confusion. According to this theory, because the jury‘s possible misunderstanding went uncorrected during the jury deliberation process, the verdict was coerced. The OCCA saw it differently.
To decide whether the OCCA‘s decision to the contrary is “objectively unreasonable,” or even wrong, we must take a close look at the events, especially the prosecutors’ arguments, in context. The majority does so selectively, and thus fails to pro
Because you all play a role in this. It‘s a deliberative process. That‘s why we have 12. That‘s why we ask you to deliberate. Because it allows the world, a rational thinking world anyway to know with great certainty that at least within our human capabilities everything has been done and everything has been talked about to come to a fair conclusion. Fair to everyone. And that‘s what you all did.
Now it is no easy task and we all recognize it. It is certainly nothing easy about asking 12 strangers that don‘t know each other to come into the room here and listen to all of this and end up with unanimity going in the same direction. It‘s a tremendously difficult process and we know that.
But again, it‘s the best system in the world. And it requires, though, these 12 people, these 12 strangers to come together and collaborate, discuss, make a decision. The system would actually grind to a halt. Think about it. It would grind to a screeching halt if juries didn‘t come together and do that.
If we couldn‘t depend on 12 citizens to come together and go in the same direction, then we would never have a verdict. There would never be a disposition. Defendant‘s [sic] would go back to jail and wait for the next trial and they‘d go back to jail and wait for the next trial and no one would ever be acquitted and no one would ever be sent on to the penitentiary.
So what you went through the last few days is exactly what everyone that sits in the chairs goes through, and fortunately, by far and away, the great majority come to a decision that we all can live with and justice can be done now that is your role. That‘s what we want you to do.
As you each agreed in voir dire, every single one of you would not be sitting here unless you agreed in unanimity that the defendant was guilty then each of you said you would fully and fairly consider all three possible punishments not to the exclusion of any but all three. Now is that time.
But you can‘t even do that yet. You couldn‘t even do that because there are so many systems within this system to make sure the defendant is protected. You couldn‘t even do all three unless the state could first prove that at least one of the statutory aggravators existed. There are eight of them and we‘ve alleged six.
(Tr. of Proceedings, Stage II, Vol. IX at 2021-22) (emphasis added).
He then started talking about the six aggravating factors the state had alleged (the instructions clearly informed the jurors that the state was obligated to prove each aggravator beyond a reasonable doubt to their unanimous satisfaction). Miller claimed the state had proved all six aggravators and started detailing the proofs. As he got to the fourth aggravator he digressed to speak of the time and effort the state spent to insure a fair trial for Hooks and contrasted Hooks‘s unceremonious execution of the victims. He commented about how we afford such
Now I suggest that Mr. Box will probably say something to the affect that someone on this jury could hold up a decision. He will likely tell you that it just takes one person to stop all this. That is such a common argument down here that it‘s got a name. It‘s called jury nullification.
Nullification means an action impeding or attempting to prevent the operation or enforcement of the law. Websters. Nullification means an action impeding or attempting to prevent the operation of the law.
In other words, to nullify a jury, a jury‘s job, a jury‘s efforts really requires only convincing one or two people to cripple it, to stop it. And while I don‘t want to beat this down I have got to tell you one more time that that‘s not what we‘re about. This system, and I remind you, is about deliberation. To do otherwise eviscerates the system. It cuts it up literally. It cuts it up. The very law that we live by. The 12 of you must resolve this case, all 12, I suggest.
Now you worked through in stage one and I asked you to all, every one of you give it equal vigor. Give it more vigor, if necessary, to work through it now. Decide what‘s appropriate for him.
(Id. at 2028.) Immediately after those words he discussed the fifth aggravator (committing these crimes while being a parole absconder) and then moved on to the continuing threat aggravator. His statements regarding “jury nullification”8 were made in the middle of and, to my lights, in connection with his argument about proving aggravators. It seems he was arguing that no juror should ignore the obligation to deliberate with respect to aggravating factors because unanimity was required as to each before it could be considered in the ultimate calculus. And with respect to finding aggravators, individual jurors do not have the same latitude to “vote their conscience” irrespective of the facts as they do in ultimately deciding whether the death sentence is appropriate.
After going through each aggravator Miller turned to a discussion of mitigating factors. Significantly he made no mention of jury nullification while speaking about mitigating factors. He suggested the claimed mitigating factors did not amount to much but he did not misrepresent the law as to how the jury, or individual jurors, should ultimately use them.
Analyzing whether prejudice sufficient to “render petitioner‘s trial unfair” is evident on the record, a totality of the circumstances approach is necessary. Darden v. Wainwright, 477 U.S. 168, 183 n. 15, 106 S.Ct. 2464, 91 L.Ed.2d 144 (1986). There was no objection to the prosecutors’ remarks and defense counsel‘s rebuttal was more than “simply noting for the jury that the defense ‘will ask and tell [the jury] that it only takes one’ because ‘that happens to be the law in Oklahoma.‘” Majority Op. at 734. Defense counsel stated:
All of you told me you could be your own person and that you could stay with what you thought was right, if you thought it was right. And evidently
during the [guilt] deliberation there was some that had differences of opinions and those persons changed. As we go into this stage of the trial, as the state said earlier, that we will ask and tell you that it only takes one. Well, the reason we tell you that is that happens to be the law in Oklahoma.
If one of you—now you don‘t all have to reach a unanimous verdict in this case so don‘t be misled and think that. You do not have to do that. You do not.
If you—one of you believes the appropriate penalty—and each of you told me when we asked you to start with that you do believe in a case where there were five deaths that you could consider, legitimately consider all three penalties. At this point and time when you go back to deliberate this case you all don‘t have to decide. The state said you all have to make a decision. You all have to decide. You don‘t have to do that.
If one of you, two of you or more of you believes that the penalty should be less, one penalty or the other, you must stay with that position. And when you return your verdict you do not have to say you are all unanimous or you will be here for the rest of your days or hours. One person can say I do not want death, two, any number can and there‘s not a death penalty.
(Tr. of Proceedings, Stage II, Vol. IX at 2037-38.) Defense counsel clearly informed the jury a unanimous verdict was needed only to impose the death penalty, as the court‘s instructions clearly provided.9
A totality of circumstances analysis must also include both the prosecutors’ and defense counsel‘s reference to voir dire in closing arguments. The jury‘s contemplation of its role at the penalty phase was discussed well before the closing arguments at sentencing. The jury voir dire contained significant discussions of the jurors’ responsibility to consider all three sentencing options—death, life without the possibility of parole and life with the possibility of parole.
After the defendant‘s closing argument, Prosecutor Macy addressed the jury. He spent some time discussing the gruesome facts of the multiple murders, some of the sentencing aggravators, and Hooks‘s lifestyle. He then remarked on the irony of Hooks asking for mercy when he showed none to his victims. He spoke of the difficult job the jury did during the guilt phase and then said:
We know that you‘re getting ready to face the toughest part of your job in just
a few minutes. Mr. Box mentioned that any one of you can control the result in this trial and you can do that legally. But ladies and gentlemen, there is not one chair up there. There‘s 12. Twelve chairs. And there‘s 12 chairs for that purpose. The Constitution of the United States guarantees a person a trial by a jury of his peers, not by one person, by a jury of his peers. There‘s been far too much work gone into this case. It‘s far too important in this case for someone to play martyr and try to hang it up.
(Id. at 2057-58 (emphasis added).) Nothing more was said about a single juror possibly thwarting the will of other jurors. Prosecutor Macy went on to discuss “the two lives of Danny Hooks.” (Id. at 2058.) He referred to the testimony about his family and upbringing and contrasted it with his other life—his drug and alcohol abuse, his sexual proclivities, his prior kidnapping and rape conviction, these violent murders and his lack of remorse. There was no mention of jury nullification and no further mention of what was required to obtain or avoid the death penalty. Macy‘s acknowledgement that a lone juror can prevent the death penalty, but should not on the facts of this case, cannot be so prejudicial as to render the sentencing fundamentally unfair. The OCCA so concluded. I agree.
One could put a more sinister spin on the prosecutors’ words, as the majority does. The majority may be wrong in its darker musings, but it is not unreasonable. The converse is also true. The OCCA may have been wrong in assessing the prejudicial effect of what it determined to be prosecutorial misconduct, but not even the majority claims its decision incorrectly or unreasonably applied Supreme Court precedent. See Darden, 477 U.S. at 180, 106 S.Ct. 2464 (“The relevant question is whether the prosecutors’ comments ‘so infected the trial with unfairness as to make the resulting conviction a denial of due process.’ “) (quoting Donnelly v. DeChristoforo, 416 U.S. 637, 643, 94 S.Ct. 1868, 40 L.Ed.2d 431 (1974)). And it cannot be an unreasonable application of Lowenfield‘s extremely general statement.10 Deference
To set up the straw man it purports to topple, the majority uses snippets from the OCCA opinion, saying, for instance: “Thus, it seems apparent Miller‘s and Macy‘s misconduct invaded Hooks‘s Eighth Amendment rights by suggesting ‘jurors should in fact abandon their honest-ly held beliefs if those beliefs will result in a less than unanimous verdict.’ ” Majority Op. at 744 (quoting Hooks v. Okla., 19 P.3d 294, 316 (Okla.Crim.App.2001)). The entire quote is as follows:
The closing arguments complained of here suggest jurors should in fact abandon their honestly held beliefs if those beliefs will result in a less than unanimous verdict. These misstate-ments of law could have deprived Hooks of his right to a properly instructed capital jury, and come close to requiring relief even if the other comments did not render the proceedings as a whole fundamentally unfair. We note, however, that despite these erroneous arguments the jury was deadlocked for several hours. We must conclude that the jurors in this case were not misled.
Hooks, 19 P.3d at 316 (emphasis added).12 The expanded quote highlights the fact that the OCCA did not shy away from what it considered the seriousness of the prosecutorial misconduct or its effect.13 The OCCA majority opinion concluded:
These missteps are particularly unnecessary here, where the evidence amply supported the State‘s case and the jury verdicts. This Court has in the past warned prosecutors against misconduct that can endanger a case. However, we
do not find these errors entitle Hooks to relief.
Hooks, 19 P.3d at 314.14 The OCCA went on to say: “In summary, prosecutors skirted the border of impropriety or engaged in outright improper argument in both first and second stage. However, after a thorough review of the entire record we conclude the prosecutorial misconduct did not affect Hooks‘s rights, and does not require relief.” Id. at 317. In a concurring opinion Judge Lumpkin, joined by Judge Lile, also addressed the attorney misconduct issue, saying:
I agree that failure of a prosecutor to adhere to rulings of this Court in the scope and type of closing argument as has been discussed and ruled upon in the opinions of this Court is a breach of professional conduct. If this Court, or members of the Court, believe a[sic] “egregious” breach of duty has been performed by an attorney then it is incumbent on us to refer the matter for proper bar discipline. While I find some of the argument inappropriate and unwarranted, I cannot find any error which would require relief in this case.
On several occasions in the majority and concurring opinions the OCCA expressed serious concerns with the prosecutors’ arguments and its consideration of their conduct. A careful reading of the transcript suggests the majority may have been overwrought with the prosecutors’ remarks. Nonetheless, the OCCA prudently resisted the temptation to reverse as a sanction for their misconduct. Considering the arguments and instructions it concluded the jurors “were not misled” and “the prosecutorial misconduct did not affect Hooks‘s rights, and does not require relief.” Id. at 316, 317. If we accord
III.
The next (chronological) issue has to do with the jury note. The OCCA described Hooks argument on direct appeal:
Hooks claims the trial court erred in failing to provide guidance to the jury in response to a question which indicated a clear misunderstanding of the law. During second-stage deliberations the jury sent out a note complaining that the holdout juror, refusing to change her vote, “refers on grounds not related to the law.” Hooks claims this phrase indicates the jury misunderstood Oklahoma law by believing that the law might re
quire a death sentence, and argues the trial court erred in failing to correct this misunderstanding. Hooks suggests the trial court should have emphasized that the law never requires a jury to impose the death penalty.15
Hooks, 19 P.3d at 312. The OCCA said it “is troubled by the suggestion that the jury believed Oklahoma law required imposition of the death penalty. However, such an interpretation is pure speculation.” Id. It reviewed the jury instructions and concluded there was no error as the jury was accurately advised of the law, specifically that it could impose a life sentence even if it found one or more aggravating circumstances outweighed mitigating circumstances.
The majority does not specifically address the issue as framed by the OCCA. Instead it redirects the inquiry, saying, “It is clear the prosecutors’ misconduct achieved its intended purpose: the jury was misled to believe it was the obligation of a juror holding a minority opinion to abandon that opinion if it was necessary for the jury to reach a unanimous sentence.” Majority Op. at 746.16 That is certainly an inference one could draw from the enigmatic note and circumstances surrounding it. But its inference is not necessitated by the language of the note or the record. Other explanations are certainly not beyond the pale—the juror may have engaged in fanciful speculation about facts not in evidence or sought to base a decision on the character of the victims, perhaps by refusing to consider the death penalty because the victims were “crack heads.” We can‘t know for sure what motivated the note, but speculation cannot inform the debate, whether it is mine or the majority‘s. Certainly the note is part of the overall prejudice calculus—the OCCA assigned it little or no weight because its meaning was speculative; the majority assigns it great weight. One may be right and the other wrong, but that does not make either unreasonable.
As the OCCA noted, none of the jury instructions, either at the guilt or penalty phase, misstated the law. Ten minutes after its first note, the jury informed the court it could not unanimously impose a death penalty—reflecting a correct understanding of the law. And that brings us to the Allen issues.
IV.
As the majority acknowledges, an Allen charge is an acceptable method of encouraging juries to reach a difficult decision. But the issues surrounding the giving of
The Allen charge ultimately to be given is an issue of state law. The OCCA recognized the Allen instruction ultimately given in this case should have been tailored to the death penalty, but it also specifically held that the instruction given was not a misstatement of Oklahoma law—“[t]he trial court gave the correct Allen instruction.” Hooks, 19 P.3d at 312.
The majority concludes the Allen instruction finally given was coercive because it “suggested the case against Hooks would not be completed in the absence of unanimity.” Majority Op. at 749 (emphasis added). However, the majority ignores the plain language of the instruction:
This does not mean that those favoring any particular position should surrender their honest convictions as to the weight or effect of any evidence solely because of the opinions of other jurors or because of the importance of arriving at a decision. No juror should ever agree to a verdict that is contrary to the law in the court‘s instructions, nor find a fact or concur in a verdict which in good conscience he or she believes to be untrue.
State Court Record at 300 (emphasis added). As noted by the OCCA, this is the last instruction the jury received and it ties to the other instructions clearly telling the jury unanimity is required only to impose the death penalty, not to avoid it, and a death sentence need not be imposed even if the aggravating factors outweigh the mitigating factors. See n. 9, supra.
There is no reason to think any juror would assume deliberations would be interminable and the trial court is not required to tell them the effect of their failure to agree. Jones, 527 U.S. at 381. This jury deliberated for thirteen hours in the guilt phase, but only eight in the penalty phase. A trial judge may have an obligation to end deliberations at some point and impose a life sentence. But, jurors are made of pretty stern stuff and the trial judge is in the best position to assess whether the process has overburdened any of them. See Lett, 130 S.Ct. at 1863 (“the trial court is in the best position to assess all the factors which must be considered in making a necessarily discretionary determination whether the jury will be able to reach a just verdict if it continues to deliberate.” (quotations omitted)). And state appellate courts are well able to correct abuses. Absent specific guidance from the Supreme Court, which Hooks has not identified, such decisions ought not to be micromanaged by federal courts.
V.
I am not convinced the OCCA‘s decisions, which studiously inquired into each error alleged by Hooks, passed the edge of reasonableness. The instructions contained no legal error. Prosecutor Miller‘s erroneous closing arguments were temporally related to his discussion of aggravating factors. They were followed by defense counsel‘s rebuttal emphasizing that the death penalty could not be imposed if any juror thought it inappropriate even if the aggravating factors outweighed the mitigating factors. Prosecutor Macy‘s argument acknowledged the law as stated by
In sum, the OCCA identified trial errors relating to Oklahoma law. It also identified and employed the proper federal law for assessing the impact of those errors of state law—whether, taken as a whole, the errors denied Hooks a fair sentencing hearing. At the end of the day it decided the errors, alone or in combination, did not entitle Hooks to relief. The OCCA also identified and applied the general Lowenfield requirement that a defendant is entitled to an uncoerced jury decision. It concluded the sentencing jury was not coerced. I am not sure it was correct in that assessment but I join the district court in concluding its decision was not contrary to, or an unreasonable application of, clearly established federal law, as determined by the Supreme Court, especially if its decision is afforded proper deference. It was not unreasonable for the OCCA to conclude the horrific facts of this case (multiple murders by a previously convicted kidnapper/rapist), rather than a possible misunderstanding of the law or the stresses of jury service, motivated the jury to recommend five death sentences.
We have an interesting circumstance here. If the opinion of the district judge who originally considered these habeas claims is included, two federal judges think the OCCA‘s assessment of the federal Constitutional issues was not objectively unreasonable and two think it was objectively unreasonable. The State of Oklahoma is left with the resulting detritus. So much for applied federalism and comity.
And where does our decision leave the State? It can accept a federal court veto of the jury‘s sentencing decision and settle for a life sentence. Or it can empanel a new jury, which will not have heard the guilt phase evidence, and hope to convince the new jury to ratify the trial jury‘s sentences. And it will have to do so at least eighteen years after the murders were committed and time has scattered witnesses, eroded memories, rusted the community‘s sense of outrage with this mass murder, dulled the voices of the victims’ families and turned the fire in the prosecutors’ bellies to ash (because the attention of new prosecutors has been diverted to more recent atrocities and the task of resurrecting and presenting a very old case to an uniformed jury is daunting, indeed).
