THE PEOPLE OF THE STATE OF ILLINOIS, Appellee, v. PATRICK H. WRIGHT, Appellant.
No. 84721
SUPREME COURT OF ILLINOIS
Opinion filed November 18, 1999.
Rehearing denied January 31, 2000.
James E. Ryan, Attorney General, of Springfield, and C. Steve Ferguson, State‘s Attorney, of Charleston (Barbara A. Preiner and Joel Bertocchi, Solicitors General, and William L. Browers and Domenica A. Osterberger, Assistant Attorneys General, of Chicago, of counsel), for the People.
JUSTICE RATHJE delivered the opinion of the court:
Defendant, Patrick Wright, appeals from the trial court‘s dismissal of his second-amended post-conviction petition. Because defendant was sentenced to death for the underlying murder conviction, defendant appeals directly to this court. See
BACKGROUND
A jury convicted defendant of the 1983 murder of Carol Specht, the attempted murder of Connie Specht, and related counts of home invasion, residential burglary, armed robbery, and attempted rape. Defendant waived a jury for purposes of sentencing, and the circuit court of Coles County, Honorable Paul Komada presiding, sentenced him to death. This court affirmed defendant‘s convictions and sentence of death. People v. Wright, 111 Ill. 2d 128 (1985) (Wright I).
Subsequently, defendant filed a post-conviction petition. The trial court, Judge Komada presiding, denied all post-conviction relief. Defendant appealed, and this court affirmed. People v. Wright, 149 Ill. 2d 36 (1992) (Wright II). Thereafter, defendant filed a “Second Petition for Post-Conviction Relief” and a “Second Amended Petition for Post-Conviction Relief.” The second petition and the
On appeal, defendant contends that the trial court erred in granting the State‘s motion because (1) Judge Komada violated defendant‘s due process rights by ruling on defendant‘s second post-conviction petition, which alleged that, during defendant‘s trial and sentencing hearing, Judge Komada was operating under a conflict of interest because he had prosecuted defendant for the armed violence conviction that the State used as impeachment evidence during trial and as an aggravating factor during sentencing; (2) Judge Komada had a conflict of interest during the original proceedings, defendant‘s trial counsel was ineffective for failing to raise the conflict issue, and defendant‘s counsel on direct appeal was ineffective for failing to argue that trial counsel was ineffective; (3) the prosecutor had a conflict of interest because she served as defendant‘s attorney on the case in which Judge Komada had prosecuted defendant, and defendant‘s counsel on direct appeal was ineffective for failing to raise this issue; (4) defendant‘s trial counsel was ineffective for failing to investigate, argue, and introduce available evidence that defendant should be found guilty but mentally ill (see
The State contends that defendant‘s petition is untimely. Alternatively, the State asserts that, even if the
TIMELINESS
We first address the State‘s argument that defendant‘s second petition is untimely. The trial court entered final judgment on defendant‘s convictions and sentences on October 31, 1983. This court affirmed defendant‘s convictions and sentences in October 1985 (Wright I, 111 Ill. 2d 128), and the United States Supreme Court denied certiorari in February 1987 (Wright v. Illinois, 481 U.S. 1024, 95 L. Ed. 2d 519, 107 S. Ct. 1914 (1987)). Defendant filed his initial post-conviction petition in August 1987. In May 1992, this court affirmed the trial court‘s denial of post-conviction relief (Wright II, 149 Ill. 2d 36), and, on February 22, 1993, the United States Supreme Court denied defendant‘s motion to reconsider the denial of his request for certiorari (Wright v. Illinois, 507 U.S. 955, 122 L. Ed. 2d 749, 113 S. Ct. 1372 (1993)). Defendant filed his second petition on September 20, 1993.
Section 122-1 of the Post-Conviction Hearing Act (
“No proceedings under this Article shall be commenced more than 6 months after the denial of a petition for leave to appeal or the date for filing such a petition if none is filed or issuance of the opinion from the Illinois Supreme Court or 6 months after the date of the order denying certiorari by the United States Supreme Court or the date for filing such a petition if none is filed or 3 years from the date of conviction, whichever is later, unless the petitioner alleges facts showing that the delay was not due to his culpable negligence.”
725 ILCS 5/122-1 (West 1994) .2
Jurisdiction
Relying upon People v. Heirens, 271 Ill. App. 3d 392 (1995), and People v. Stenson, 296 Ill. App. 3d 93 (1998), the State argues that the time limit provided in
Both Heirens and Stenson hold that the limitations period found in
A review of the time limitation found in
We agree with Chief Justice Freeman that the remedy provided by the Post-Conviction Hearing Act is a remedy unknown at common law. This, however, is not dispositive of the question of whether the time period is jurisdictional. In Fredman, this court held that a limita-
This conclusion is supported by the fact that we have previously considered the limitations period to be a statute of limitations. In Bates, this court questioned whether an amendment to
Chief Justice Freeman‘s special concurrence attempts to minimize the effect of this court‘s decision in Bates by suggesting that the question of whether
We therefore hold that the time limit found in
Waiver
The State next contends that, if the limitations period is a statute of limitations, defendant‘s petition must be dismissed as untimely. The State explains that, even if the limitations period did not begin until after the United States Supreme Court denied certiorari in defendant‘s initial post-conviction proceedings (see People v. Caballero, 179 Ill. 2d 205, 214 n.1 (1997)), defendant‘s petition is untimely because it was filed on September 20, 1993, more than six months after the February 22, 1993, denial of defendant‘s motion to reconsider the denial of his request for certiorari. Defendant does not contend that the petition is timely, but argues that, by not raising the
In raising this argument, however, the State ignores the second half of the Monroe rule, which requires that any points advanced in support of the trial court‘s ruling must have a sufficient factual basis before the trial court. Monroe, 118 Ill. 2d at 300. Here, although the facts support the conclusion that defendant did not file his petition within the time limits found in
In reaching this conclusion, we caution that we are not limiting the trial court‘s ability, during the court‘s initial review of noncapital petitions (see
Significantly, the opposite conclusion provides an incentive for the State not to bring timeliness to the trial court‘s attention. If the State waits until appeal to raise the issue, it has effectively precluded the defendant from seeking to amend his petition to include allegations that he was not culpably negligent in filing his petition.
In sum, while we believe that a defendant should plead facts demonstrating his lack of culpable negligence, we see no reason that this statute of limitations should be treated differently from any other. Thus, if the State wishes to challenge the timeliness of a defendant‘s petition, it should raise that argument first in the trial court, where any amendments can be made and factual disputes resolved.
VOIDNESS
Although we do not find that defendant‘s second post-conviction petition is untimely, that does not mean that it is properly brought. Generally, a ruling on an initial post-conviction petition is res judicata with respect to all claims that were raised or could have been raised in the initial petition. People v. Flores, 153 Ill. 2d 264, 274 (1992). “Further, any claim of substantial denial of constitutional rights not raised in the original or an amended petition is waived.” Flores, 153 Ill. 2d at 274;
Here, defendant argues that he need not demonstrate that his claims are not barred by waiver or res judicata. Instead, he asserts that the proceedings during his initial
Defendant contends that the initial proceedings were void because Judge Komada refused to recuse himself from considering the initial petition which included an allegation that James Dedman, one of defendant‘s trial attorneys, was ineffective. During the initial proceedings, defendant orally requested that Judge Komada recuse himself. Defendant alleged that Judge Komada could not impartially rule on the ineffective assistance argument because when Judge Komada was the State‘s Attorney, Dedman had worked for Judge Komada as an assistant State‘s Attorney. Judge Komada denied defendant‘s request. Defendant asserts that the relationship between Judge Komada and Dedman created a conflict of interest that required Judge Komada‘s recusal. Further, relying upon People v. Brim, 241 Ill. App. 3d 245 (1993), defendant contends that Judge Komada‘s improper refusal to recuse himself rendered void all of Judge Komada‘s subsequent actions. Defendant concludes that, because the initial proceedings are void, this successive petition is proper.
A defendant in a post-conviction proceeding has no absolute right to a substitution of judge. People v. Steidl, 177 Ill. 2d 239, 264 (1997). Unless the defendant can show that it would cause him substantial prejudice, the same judge who presided over the defendant‘s trial should also preside over the post-conviction proceedings. People v. Hall, 157 Ill. 2d 324, 331 (1993). Here, defendant‘s only allegation that the judge was prejudiced was based on the fact that Dedman once worked for the judge. It is well established, however, that “[t]he mere fact that the judge has some kind of relationship with someone involved in the case, without more, is insufficient to establish judicial bias or to warrant a judge‘s removal from the case.” Steidl, 177 Ill. 2d at 264. In fact, that an at-
DEFENDANT‘S CLAIMS
We turn now to the claims raised in defendant‘s second-amended petition.
Conflicts of Interests During Defendant‘s Trial
Defendant‘s issues regarding the trial court‘s and the prosecutor‘s alleged conflicts of interest during the trial are waived because they could have been raised in defendant‘s initial post-conviction petition. See Flores, 153 Ill. 2d at 274. Defendant urges us to relax the waiver rule because the proceedings during his initial petition were fundamentally deficient. See Flores, 153 Ill. 2d at 273-74. In particular, defendant contends that he should be permitted to argue that he was denied the effective assistance of his attorneys on direct appeal. Defendant claims that this argument is not waived because, during his initial post-conviction proceedings, he was represented by the same attorneys who represented him on direct appeal. See Flores, 153 Ill. 2d at 281-82 (explaining that it is unreasonable to expect counsel to raise and argue his own incompetency).
On direct appeal, defendant was represented by Charles Schiedel and Lawrence Essig of the office of the State Appellate Defender. During his initial post-conviction proceedings, defendant was represented by
“I have discussed this with Mr. Schiedel, S-c-h-i-e-d-e-l, and also Mr. Essig, who had previously been involved with Mr. Wright‘s direct appeal. And it is the judgment of myself and those other two that the showing we have made so far constitutes a prima facie case in support of the petition; or that, in the event that the Court were to disagree with this and rule against us, that strategically would not be—would not be of assistance to us to depose [defendant‘s trial counsel].”
We disagree with defendant that this exchange demonstrates that his appellate attorneys represented him during his initial post-conviction proceedings such that the initial proceedings were fundamentally flawed. The quoted language indicates only that post-conviction counsel consulted with appellate counsel. We do not believe that this is unreasonable conduct. In fact, a consultation with an attorney familiar with the case would likely assist a defendant‘s post-conviction counsel in becoming familiar with the facts and potential issues and would presumably lead to better and more informed representation for the defendant. Further, we see no reason that such a consultation would prevent post-conviction counsel from arguing that counsel on direct appeal was ineffective.
Because the quoted language indicates only that post-conviction counsel consulted with defendant‘s appellate attorneys and not that those attorneys represented him in his initial post-conviction proceedings, we are unable to conclude that defendant‘s initial proceedings were so fundamentally flawed that he is entitled to pursue a second post-conviction petition with respect to his claims that his appellate counsel was ineffective.
Defense Counsel‘s Failure to Argue that Defendant Was Guilty but Mentally Ill
Defendant also claims that his trial counsel was ineffective for failing to investigate, argue, and introduce available evidence that defendant should be found guilty but mentally ill. This issue could have been raised during defendant‘s initial post-conviction proceedings. Consequently, it is waived.
Defense Counsel‘s Failure to Introduce Defendant‘s Mental Health Records
Defendant‘s next allegation, that his trial counsel was ineffective for failing to introduce certain mental health records during defendant‘s sentencing hearing, is barred by res judicata because we rejected essentially the same argument in Wright II. See Wright II, 149 Ill. 2d at 51.
The Trial Judge‘s Conflict of Interest in Ruling on Defendant‘s Second Petition
Defendant also contends that Judge Komada violated defendant‘s due process rights by ruling on defendant‘s second post-conviction petition. Defendant‘s second post-conviction petition alleged, in part, that during defendant‘s trial and sentencing hearing, Judge Komada was operating under a conflict of interest because he knew the victim and because he had prosecuted defendant for the armed violence conviction that the State used as impeachment evidence during trial and as an aggravating factor during sentencing. During the proceedings on defendant‘s second post-conviction petition, defendant moved for a substitution of judge, arguing that Judge Komada could not objectively rule on his own alleged conflict of interest. That motion was heard by a different judge, who denied the motion on other grounds and without reaching Judge Komada‘s conflict of interest in ruling on the second petition. Defendant does not chal-
Relying primarily upon Murray v. Giarratano, 492 U.S. 1, 106 L. Ed. 2d 1, 109 S. Ct. 2765 (1989), and Pennsylvania v. Finley, 481 U.S. 551, 95 L. Ed. 2d 539, 107 S. Ct. 1990 (1987), the State argues that a defendant in a post-conviction proceeding has no due process right to have his hearing held before an impartial judge. We disagree with the State.
While Murray and Finley support the proposition that, in a post-conviction proceeding, a defendant is not entitled to the full panoply of constitutional rights that accompany an initial criminal prosecution, this does not mean that a defendant in a post-conviction proceeding is not entitled to due process at all. A fair trial before a fair tribunal is a basic requirement of due process. People v. Hawkins, 181 Ill. 2d 41, 50 (1998). This fairness “requires not only the absence of actual bias but also the absence of the probability of bias.” Hawkins, 181 Ill. 2d at 50. The fairness requirement applies not only to criminal proceedings (Hawkins, 181 Ill. 2d at 50), but also to proceedings before administrative agencies and to other civil court proceedings (Scott v. Department of Commerce & Community Affairs, 84 Ill. 2d 42, 54-55 (1981)). Further, in rare circumstances after a showing of bias or prejudice, the constitution may require a judge in a post-conviction proceeding to recuse himself. People v. Thompkins, 181 Ill. 2d 1, 22 (1998); see also Steidl, 177 Ill. 2d at 266 (holding that a judge had to recuse himself from presiding over the defendant‘s post-conviction petition because he was biased against some of defendant‘s claims). Given these holdings, we are unable to agree with the State that, in a post-conviction proceeding, the due process clause (see
Here, defendant has failed to show that he could properly raise any of the claims in his second post-conviction petition. Consequently, Judge Komada had no need to reach the merits of defendant‘s allegations of a conflict of interest and was not required to recuse himself. While the prudent course of action for a judge faced with a potential conflict may be to recuse himself (see People v. Wilson, 37 Ill. 2d 617, 621 (1967) (explaining that “in certain circumstances a trial judge should recuse himself when it appears that he may be biased or may be a potential witness“)), we do not believe that, on the facts presented, such an action was constitutionally mandated.
CONCLUSION
Because defendant could have raised or did raise each
The judgment of the circuit court of Coles County is affirmed. The clerk of this court is directed to enter an order setting Tuesday, March 28, 2000, as the date on which the sentence of death entered by the circuit court shall be implemented. Defendant shall be executed in the manner provided by law (
Affirmed.
CHIEF JUSTICE FREEMAN, specially concurring:
I strongly disagree with the conclusions reached in today‘s opinion, particularly that which holds that section 122-1 of the Post-Conviction Hearing Act is a statute of limitation that can be waived by the State on appeal if not first raised in the circuit court. Because I cannot concur in my colleagues’ decision on this point, I join only in the judgment of the court.
I
Section 122-1 of the Act states that no proceedings can be commenced under the Act after the passage of certain enumerated periods of time, unless the petition “alleges facts showing that the delay was not due to [the petitioner‘s] culpable negligence.”
The question raised here, in my opinion, is best answered by recognizing that
At common law, a collateral challenge to a criminal conviction was recognized as an action for writ of coram nobis. In 1867, this court observed that “[t]his old writ [coram nobis] has never been in use in this State, and it has fallen into desuetude even in England. Its place is most effectually supplied by the more summary proceedings, by motion in the court where the error in fact occurred.” McKindley v. Buck, 43 Ill. 579, 582 (1867). Shortly thereafter, the General Assembly expressly abolished the common law coram nobis action. See People v. Touhy, 397 Ill. 19, 23-24 (1947) (explaining history of the abolition of the writ). The legislature replaced the common law writ, not with the Act, but with a statutory
The foregoing history demonstrates that the Act is a legislative creation with no antecedent in the common law. In light of this fact, the Act should be deemed purely a statutory cause of action, and its requirements should be interpreted in that light. In special statutory proceedings, jurisdiction is acquired only in the manner “pointed
“Unlike the general Statute of Limitations, this special statute creating the right and giving the remedy does not merely confer the privilege upon the defendant to interpose a definite time limitation as a bar to the enforcement of a distinct and independent liability, but it defines and limits the existence of the right itself. In the one case the statute furnishes defendant with a technical defense to which he may resort or not, as he sees fit, while in the other it gives the plaintiff a right conditioned upon its enforcement within a definite time. Hence, while the defendant must plead the general Statute of Limitations or give notice by setting it out in a brief statement under the general issue in order to be protected by it, the reasoning that leads to that result as a matter of pleading has no application when *** the statute confers upon the plaintiff a peculiar right which, if not exercised, ceases to exist by its own limitation.” (Emphasis added.) Hartray v. Chicago Rys. Co., 290 Ill. 85, 87 (1919).
This court has consistently recognized that the legislature, having conferred a right of action, “may determine who shall sue and the conditions under which the suit may be brought.” (Emphasis added.) Wilson v. Tromly, 404 Ill. 307, 310 (1949). We have also consis-
Section 122-1 expressly provides that no proceedings may be commenced after the passage of certain enumerated time periods “unless the petitioner alleges facts showing that the delay was not due to his culpable negligence.”
Support for this position can be found in People v. Montgomery, 45 Ill. 2d 94 (1970). There, the defendant filed an untimely petition, claiming that the delay was due to his mental illness. The circuit judge specifically found that the mental illness claimed by defendant in his petition, and supported by the affidavits attached to it, did not satisfactorily excuse defendant‘s delay in filing the petition. Nevertheless, the judge ultimately considered the merits of the petition and based his order of dis-
Notwithstanding the above, my colleagues rely on People v. Bates, 124 Ill. 2d 81 (1988), as authority for the proposition that section 122-1 constitutes a statute of limitations. Bates, however, did not address the precise issue which we are presented with today, namely, whether the time limitation contained in section 122-1 is jurisdictional or whether it is a statute of limitation. Rather, the court in Bates considered whether an amendment to section 122-1 that shortened the time within which to file a petition under the Act could be applied retroactively. This distinction is critical. The court determined that the amendment had retroactive application and that the dismissal of the petition, which did not
“the legislature, having created rights of action under [the Acts], had the corresponding power to repeal those rights. In other words, persons had no ‘vested’ rights in statutory remedies. [Citation.] Moreover, the power to repeal statutory enactments includes the lesser power to impose or modify time limitations for bringing actions under such acts.” Bates, 124 Ill. 2d at 85.
My colleagues today seize upon the sentence which immediately follows the above quotation for its conclusion that section 122-1 is a statute of limitation: “Finally, it was noted that statutes of limitation have historically been classified as procedural in character, and that procedural amendments are generally applied retroactively.” Bates, 124 Ill. 2d at 85. However, the Orlicki decision, relied on heavily in Bates, contains a detailed discussion concerning the propriety of retroactive application of amendments to jurisdictional “conditions of liability” which were of a procedural nature. See Orlicki, 4 Ill. 2d at 350-53. Moreover, the court in Bates declined to extend, equitably, the statutory time period for the defendant whose petition was both untimely and lacking in allegations regarding lack of culpable negligence. Bates, 124 Ill. 2d at 86-88. “Because [the] petition was not accompanied by any such allegations [regarding culpable negligence], we find that his petition must be dismissed as untimely.” Bates, 124 Ill. 2d at 88. In this way, the result reached in Bates is consistent with the principles espoused in Montgomery. Given the fact that the court in Bates was not concerned with the narrow question raised by the parties in this case, I do not find its generic use of the term “statute of limitations” persuasive authority
Yet, even if I were to agree that the time provision contained in section 122-1 should be labeled a “statute of limitations,” I would still consider the provision to be jurisdictional. As the Seventh Circuit Court of Appeals has aptly noted, “some statutes of limitations are jurisdictional.” Smith v. City of Chicago Heights, 951 F.2d 834, 838 (7th Cir. 1992) (interpreting Illinois law). This court, too, has stated as much. Statutes of limitation only fix the time within which the remedy for a particular wrong may be sought and, as such, are “‘procedural in nature [citations] and are not designed to alter substantive rights.‘” Fredman, 109 Ill. 2d at 209, quoting Wilson v. Bishop, 82 Ill. 2d 364, 373 (1980). In contradistinction, “statutes which create a substantive right unknown to the common law and in which time is made an inherent element of the right so created, are not statutes of limitation. [Citations.] Such a time period ‘is more than an ordinary statute of limitation.‘” Fredman, 109 Ill. 2d at 209, quoting North Side Sash & Door Co. v. Hecht, 295 Ill. 515, 519 (1920).
The history of the Act, as I have set forth above, supports the application of these principles to the case at bar. The Act is a departure from the common law. Moreover, section 122-1 plainly states that no proceedings may be commenced after the passage of the enumerated time periods “unless the petitioner alleges facts showing that the delay was not due to his culpable negligence.”
My colleagues and I obviously disagree with respect to the applicability of Bates to this question and to the issue of whether time is an “inherent” element of the right to post-conviction relief. 189 Ill. 2d at 8. I am willing to acknowledge that judges can and do disagree over the proper application of precedent when resolving questions on appeal, just as they can disagree over subjective concepts such as the inherence or importance of a certain element in a statute. However, in such cases, other judicial considerations usually emerge which justify the
“not believe that this requirement [of alleging facts which show the lack of culpable negligence in the delay] allows the State to wait until an appeal to raise an affirmative defense that the defendant may be able to avoid by amending his petition.” (Emphasis added.) 189 Ill. 2d at 11.
Thus, the court has transformed defendant‘s affirmative burden to raise the lack of culpable negligence into an affirmative defense to be raised by the State. In my view, this amply illustrates the reason why we ought not to construe section 122-1 as a statute of limitation that can be waived by the State. The judiciary simply lacks the authority to transform an affirmative burden, placed upon the petitioner by the General Assembly, into an affirmative defense to be pleaded by the State. My colleagues appear to choose this course of action because they are obviously troubled by the fact that this defendant might have been able to allege the requisite lack of culpable negligence in an amendment had the State raised the issue in the trial court. See 189 Ill. 2d at 11 (noting that the State here “effectively precluded the defendant from seeking to amend his petition to include allegations that he was not culpably negligent in filing his petition“). The concern, therefore, is that section 122-1 has the potential to become a “trump card” of sorts in the hands of the prosecutor. However, section 122-1 is rendered a trump card only because the court today insists on interpreting the provision as a “statute of lim-
Further, if a petitioner‘s failure to allege the lack of culpable negligence could easily be rectified by amendment, as the court intimates, why then does the court not remand this cause to the circuit court with instructions to allow defendant the opportunity to file an amendment and meet the burden placed upon him by the General Assembly? If the matter is not one of jurisdiction, as the court holds, then there is no legal impediment to preclude such an option in this case. Such a course of action would, in fact, be consistent with the court‘s stated belief that petitioners under the Act “should plead facts demonstrating [their] lack of culpable negligence.” 189 Ill. 2d at 12. The court, however, cannot avail itself of a remand alternative because it has decided that section 122-1 operates as an ordinary statute of limitation. Thus, the court leaves itself with no choice but to completely excuse this defendant from complying with the General Assembly‘s requirement that his petition contain allegations which demonstrate the lack of
Today‘s decision has additional ramifications that must be addressed. Section 122-1, which precedes all other provisions in the Act, plainly states that no proceeding may be commenced under the Act unless the petition is either timely or else contains affirmative allegations that demonstrate the petitioner‘s lack of culpable negligence in causing the delay. The requirement has been placed on all petitioners, whether they are serving a sentence of imprisonment or are under a sentence of death. The Act, however, requires the circuit court, in a noncapital case, to evaluate a petition in order to determine whether it is frivolous or patently without merit. See
Notwithstanding the above, my colleagues
“caution that we are not limiting the trial court‘s ability, during the court‘s initial review of noncapital petitions (see
725 ILCS 5/122—2.1(a)(2) (West 1998)), to dismiss the petition as untimely. The import of our decision is simply that matters relating to the timeliness of a defendant‘s petition should be first considered in the trial court, either upon a motion by the State or pursuant to the duty imposed upon the trial court by section 122—2.1(a)(2).” 189 Ill. 2d at 11-12.
I am puzzled by these statements. As noted, the Act permits the circuit court to dismiss a noncapital petition without any input from the State whatsoever. If, as my colleagues today hold, the lack of allegations regarding culpable negligence can only be raised by the State, and not a court, then how can a trial judge ever dismiss an untimely petition on his or her own motion, pursuant to the duty imposed upon the trial court by section 122-2.1(a)(2)? I read today‘s opinion as holding that section 122-1 is to be treated as an ordinary statute of limitation, i.e., an affirmative defense, and not as a jurisdictional prerequisite. Therefore, in noncapital cases, the untimely petition that lacks culpable negligence allegations must be docketed in order to allow the State to put the culpable negligence matter at issue as an affirmative defense. I am confused, therefore, by the court‘s state-
In light of the above, I would hold that if a petitioner does not timely file a post-conviction petition and does not allege the lack of culpable negligence for the delay, the court cannot entertain the proceeding. In my view, section 122-1 defines jurisdiction and constitutes a
II
Although I would affirm the circuit court‘s dismissal for the reasons set forth in section I of my concurrence, the court today does not. Rather, the court ultimately concludes that no basis exists to disturb the circuit court‘s judgment because defendant‘s second post-conviction petition was not “properly brought.” 189 Ill. 2d at 12. I recognize that, in light of my position on the jurisdictional question, I need not address these points. Nevertheless, I believe that the court‘s analysis is not clear in setting forth the standards against which multiple post-conviction actions are judged.
Defendant‘s initial justification as to why he believes that he can raise these claims in this petition is based on People v. Brim, 241 Ill. App. 3d 245 (1993). Yet, he also maintains, in the alternative, that the proceedings during his initial post-conviction action were “fundamentally deficient.” The genesis of this argument can be found in language that has routinely appeared in all of our decisions which deal with successive post-conviction petitions, i.e., that such petitions are allowed if or when the proceedings on the original petitions were said to be “deficient in some fundamental way.” See 189 Ill. 2d at 12; People v. Erickson, 183 Ill. 2d 213, 223 (1998); People v. Szabo, 183 Ill. 2d 19, 23 (1998); see also People v. Flores, 153 Ill. 2d 264, 273-74 (1992) (and cases cited therein).
Our precedent, therefore, teaches that successive post-conviction petitions must be examined in detail to see if the claims asserted in them are truly barred by res judicata. To that end, each claim in a successive petition must be reviewed individually in order to first ascertain whether the claim is barred by res judicata. See Erickson, 183 Ill. 2d 213. If the claim is found to be barred, the court must then determine whether some reason exists to excuse the bar so as to permit the court to reach the merits of the claim. As I noted above, this court in Flores stated that the inquiry into whether a procedural bar will be relaxed in the context of successive petitions turns upon considerations of “fundamental fairness.” This court‘s position on what constitutes “fundamental fairness” was thoroughly set forth in People v. Owens, 129 Ill. 2d 303, 317-18 (1989) and bears repeating today:
“Where fundamental fairness requires, the rule of waiver will not be applied in post-conviction proceedings. [Citations.] The Supreme Court in Wainwright v. Sykes (1977), 433 U.S. 72, 53 L. Ed. 2d 594, 97 S. Ct. 2497, described when it would be necessary for a court to consider the fundamental fairness principle when the prosecutor relies on a claim of waiver. There the Court held that ‘fundamental fairness’ requires courts to review procedurally defaulted claims in collateral proceedings only when a defendant shows cognizable ‘cause’ for his failure to make timely objection, and shows ‘actual prejudice’ flowing from the error now complained of.” Owens, 129 Ill. 2d at 317.
The court in Owens went on to evaluate Owens’ claims using the same cause and prejudice standard as that employed by the federal courts in habeas corpus proceedings.
Although Owens does not speak to the cause and prejudice standard in the context of successive petitions under the Act, it does establish that this court has, in the past, equated the term “fundamental fairness” with the cause and prejudice standard. See Flores, 153 Ill. 2d at 278-80 (equating the standard with the concept of “fundamental fairness” in the context of successive petitions under the Act). See also People v. Whitehead, 169 Ill. 2d 355, 407 (1996) (Miller, J., specially concurring); Szabo, 186 Ill. 2d at 42-43 (Freeman, C.J., specially concurring, joined by Heiple, J.).
In my opinion, the time has come for this court to reaffirm these principles in the context of successive petitions for post-conviction relief brought under the Act.5 As I stated in my special concurrence in Szabo, the cause and prejudice standard provides the best means for determining whether fundamental fairness dictates the
“must show cause for failing to raise it and prejudice therefrom as those concepts have been defined in our procedural default decisions. The petitioner‘s opportunity to meet the burden of cause and prejudice will not include an evidentiary hearing if the district court determines as a matter of law that petitioner cannot satisfy the standard.” McCleskey v. Zant, 499 U.S. 467, 494, 113 L. Ed. 2d 517, 545, 111 S. Ct. 1454, 1470 (1991).
The above standard is, as the United States Supreme Court has observed, an “objective one” which provides a “‘sound and workable means of channeling the discretion‘” (McCleskey, 499 U.S. at 496, 113 L. Ed. 2d at 546, 111 S. Ct. at 1471, quoting Murray v. Carrier, 477 U.S. 478, 497, 91 L. Ed. 2d 397, 414, 106 S. Ct. 2639, 2650 (1986)) of the lower courts that entertain collateral attacks against a conviction. See Szabo, 186 Ill. 2d at 43 (Freeman, C.J., specially concurring, joined by Heiple, J.) (recognizing that, by acknowledging the cause and prejudice standard in Flores, the court attempted to “formulate objective guidelines to which the lower courts could turn in determining what constitutes a fundamental deficiency in prior post-conviction proceedings“).
To that end, this court has noted that the term “cause” denotes “‘some objective factor external to the defense [that] impeded counsel‘s efforts’ to raise the claim in an earlier proceeding.” Flores, 153 Ill. 2d at 279, quoting McCleskey, 499 U.S. at 493, 113 L. Ed. 2d at 544, 111 S. Ct. at 1470, quoting Murray v. Carrier, 477 U.S. 478, 488, 91 L. Ed. 2d 397, 408, 106 S. Ct. 2639, 2645 (1986). Moreover, the United States Supreme Court has identified objective factors that constitute cause to include “‘interference by officials‘” that makes compliance with the State‘s procedural rule impracticable, and ‘a showing that the factual or legal basis for a claim was not reasonably available to counsel.’ [Citation.] In addition, constitutionally ‘[i]neffective assistance of counsel ... is cause.’ [Citation.] Attorney error short of ineffective assistance of counsel, however, does not constitute cause ***.” McCleskey, 499 U.S. at 493-94, 113 L. Ed. 2d at 544, 111 S. Ct. at 1470. To establish actual prejudice, a petitioner “must show ‘not merely that the errors at ... trial created a possibility of prejudice, but that they worked to his actual and substantial disadvantage, infecting his entire trial with error of constitutional dimensions.‘” Murray, 477 U.S. at 494, 91 L. Ed. 2d at 412, 106 S. Ct. at 2648, quoting United States v. Frady, 456 U.S. 152, 170, 71 L. Ed. 2d 816, 832, 102 S. Ct. 1584, 1596 (1982). Moreover, even if a federal habeas petitioner cannot show cause and prejudice, the failure to raise the claim in an earlier petition may nonetheless be excused if he or she can show that a fundamental miscarriage of justice would result from a failure to entertain the claim. In order to demonstrate a miscarriage of justice to excuse the application of the procedural bar, a petitioner must show actual innocence. See Sawyer v. Whitley, 505 U.S. 333, 120 L. Ed. 2d 269, 112 S. Ct. 2514 (1992). In the context of the death penalty, a defendant must show “by clear and convincing evidence that but for a constitutional error, no reasonable juror would [have found him or her] eligible for the death penalty under [the applicable state] law.” Sawyer, 505 U.S. at 348, 120 L. Ed. 2d at 285, 112 S. Ct. at 2523.
In light of the above, I would employ the cause and prejudice standard in cases such as this in order to
JUSTICE McMORROW joins in this special concurrence.
JUSTICE BILANDIC, also specially concurring:
I agree that the time limit in section 122-1 of the Post-Conviction Hearing Act (Act) (
The Act contemplates the filing of only one post-conviction petition. People v. Flores, 153 Ill. 2d 264, 273 (1992); People v. Free, 122 Ill. 2d 367, 375 (1988). A defendant, therefore, faces an immense procedural hurdle when bringing a successive post-conviction petition. Section 122-3 of the Act provides that “[a]ny claim of substantial denial of constitutional rights not raised in the original or an amended petition is waived.”
In this case, defendant‘s second post-conviction petition alleges (1) that the judge for defendant‘s trial and sentencing hearing, as well as for both post-conviction proceedings, had a conflict of interest because he had prosecuted defendant for the armed violence conviction that the prosecution used as impeachment evidence during trial and as an aggravating factor during sentencing, and that defendant‘s trial and appellate counsel were ineffective for failing to raise the conflict issue; (2) that the prosecutor had a conflict of interest because she was defendant‘s attorney in the armed violence case in which the trial judge prosecuted defendant, and that defendant‘s appellate counsel was ineffective for failing to raise the issue; (3) that defendant‘s trial counsel was ineffective for failing to investigate, argue, and introduce available evidence that defendant should be found guilty but mentally ill; and (4) that defendant‘s trial counsel was ineffective for failing to investigate and present available mitigating evidence of defendant‘s mental deficiency and psychological problems. Defendant has waived the
This court has, however, held that a successive post-conviction petition may be considered where the proceedings on the initial post-conviction petition were deficient in some fundamental way. Flores, 153 Ill. 2d at 273-74; see also Free, 122 Ill. 2d at 376, citing People v. Hollins, 51 Ill. 2d 68, 70 (1972); People v. Nichols, 51 Ill. 2d 244, 246 (1972); People v. Slaughter, 39 Ill. 2d 278, 285 (1968). This court has held that the strict application of procedural bars may be relaxed where “fundamental fairness” requires. Flores, 153 Ill. 2d at 274-75, citing People v. Gaines, 105 Ill. 2d 79, 91 (1984); Hollins, 51 Ill. 2d at 70; Slaughter, 39 Ill. 2d at 285. As this court has previously noted in the context of a first post-conviction petition, “fundamental fairness” requires us to review procedurally defaulted claims in collateral proceedings only when the defendant shows both “cause” for failing to raise the error earlier and “prejudice” resulting from the error. People v. Owens, 129 Ill. 2d 303, 317-18 (1989), citing Wainwright v. Sykes, 433 U.S. 72, 53 L. Ed. 2d 594, 97 S. Ct. 2497 (1977). Likewise, in the specific context of a successive post-conviction petition, this court has in the past equated the concept of fundamental fairness with the cause and prejudice standard. Flores, 153 Ill. 2d at 278-80; see also People v. Whitehead, 169 Ill. 2d 355, 407 (1996) (Miller, J., specially concurring); People v. Szabo, 186 Ill. 2d 19, 42-44 (1998) (Freeman, C.J., specially concurring, joined by Heiple, J.).
Application of the cause and prejudice test to this case reveals that defendant remains procedurally barred from bringing this second post-conviction petition. Defendant has failed to sufficiently allege cause for failing to raise these claims earlier, and he has failed to sufficiently allege prejudice resulting from the alleged errors. Defendant argues as to each issue that fundamental fairness dictates that this court address his claims. In this regard, however, defendant merely claims that the attorneys who represented him on direct appeal were the same attorneys who represented him during the initial post-conviction proceedings. This court has implicitly recognized that a defendant may show cause for failing to raise in a first post-conviction petition an ineffective assistance of appellate counsel claim, where the same attorneys who represented defendant on direct appeal also
In any event, as the majority discusses, the record refutes defendant‘s claim that the attorneys who represented defendant on direct appeal were the same attorneys who represented defendant during the initial post-conviction proceedings. On direct appeal, defendant was represented by attorneys from the office of the State Appellate Defender. During the trial court proceedings on defendant‘s first post-conviction petition, however, the Vermilion County public defender represented defendant.
As a final matter, defendant also appears to argue that fundamental fairness requires us to consider his second post-conviction petition because the judge for defendant‘s trial, sentencing hearing, and both post-conviction proceedings should have recused himself from ruling on defendant‘s first post-conviction petition. According to defendant, the judge could not impartially rule on defendant‘s first post-conviction petition because the petition included an allegation that one of defendant‘s trial attorneys was ineffective, and that this attorney had previously worked for the judge as an assistant State‘s Attorney when the judge was the State‘s Attorney. As the majority discusses, the judge was not required to recuse himself. The mere fact that a judge has a relationship with an attorney involved in the case is not sufficient to establish bias. See People v. Steidl, 177 Ill. 2d 239, 264 (1997). Thus, this argument in no way warrants a relaxation of the procedural bar in this case.
For the foregoing reasons, I concur in the ultimate resolution of this case. I write separately to explain that the cause and prejudice standard provides the best means for determining whether to relax the procedural bar in cases involving successive post-conviction petitions.
I agree that the State has waived its right to challenge the timeliness of defendant‘s second post-conviction petition. Contrary to the majority, however, I do not believe that the trial court acted properly in dismissing that petition. Even if the issues asserted in the petition were raised or could have been raised in defendant‘s initial post-conviction proceedings, those proceedings were fundamentally flawed. Accordingly, defendant should not be precluded from seeking relief in a successive post-conviction proceeding. People v. Flores, 153 Ill. 2d 264, 273-74 (1992).
Where, as here, a defendant seeks relief under the Post-Conviction Hearing Act (
Based upon the well-pleaded allegations in defendant‘s petition and supporting affidavits, I believe that defendant did make a substantial showing that his constitutional rights were violated. Most significant is defendant‘s charge that he was denied due process by the trial judge‘s refusal to recuse himself from the case. Due process requires a judge to recuse himself or herself where actual bias exists (People v. Hall, 157 Ill. 2d 324, 332 (1993)) or where his or her hearing the case would
Defendant and the trial judge had a preexisting adversarial relationship. Before sitting on this case, the trial judge served in the State‘s Attorney‘s office and had successfully prosecuted defendant for armed violence. The judge then used that same conviction as an aggravating factor in imposing the death sentence in this case. The result, in effect, is that defendant was sent to the executioner by the same man responsible for securing the conviction that made him death eligible. This constitutes a fundamental departure from the constitutional promise of an unbiased tribunal.
I note, moreover, that when the trial judge prosecuted defendant, he agreed to a plea bargain which permitted defendant‘s release on probation after a relatively short period of time. It was while defendant was on probation for that offense that he committed the crimes at issue in this case. The judge was aware of these circumstances, and it would not be unreasonable to assume that his decision to sentence defendant to death was influenced by some sense of personal responsibility for having placed defendant in a position where he was able to kill. At the very least, the situation presented “‘a possible temptation such that the average person, acting as judge, could not hold the balance nice, clear and true between the State and the accused.‘” People v. Coleman, 168 Ill. 2d 509, 540-41 (1995), quoting People v. Del Vecchio, 129 Ill. 2d 265, 275 (1989).
This is the second time in as many years that we have had to deal with this trial judge‘s failure to recuse himself from a capital case involving a post-conviction challenge. In People v. Steidl, 177 Ill. 2d 239 (1997), as here, the judge denied the post-conviction petition without an evidentiary hearing. In that case, however,
Defendant‘s due process problems were not limited to the bias of the trial judge. Besides having been tried and sentenced to death by his former prosecutor, defendant was also prosecuted by the attorney who formerly served as his defense counsel. The prosecutor, who was directly involved in defendant‘s capital sentencing hearing, was the same lawyer who had unsuccessfully defended defendant against the armed violence charge which the trial judge prosecuted while he was State‘s Attorney. Where an attorney provides direct representation to a defendant, has a significant role in the defendant‘s case, and is privy to the defendant‘s confidences, that attorney may not thereafter serve as a prosecutor in proceedings against his former client. That is so not only when the subsequent proceedings involve the same offense for which the attorney originally provided representation (see People v. Courtney, 288 Ill. App. 3d 1025, 1031-33 (1997)), but also when the proceedings are related as they were here. Because the armed violence conviction was integral to obtaining the death sentence, the attorney‘s prior representation of defendant on the armed violence charge created a per se conflict which should have prevented participation by her and her office in defendant‘s subsequent prosecution for capital murder.
For the foregoing reasons, I would reverse the judg-
(No. 86154.—
THE PEOPLE OF THE STATE OF ILLINOIS, Appellee, v. JAY HARRY FERN, Appellant.
Opinion filed November 18, 1999.—Rehearing denied January 31, 2000.
