BOGGS, J., delivered the opinion of the court, in which SILER, J., joined. DAUGHTREY, J. (p. 376), delivered a separate opinion concurring in the judgment.
OPINION
Petitioner-appellant Robert A. Buell appeals the judgment of the district court denying his petition for a writ of habeas corpus pursuant to 28 U.S.C. § 2254. For the following reasons, we affirm.
*344 I
Buell’s habeas petition relates to his 1984 conviction and death sentence for the sexual assault and murder of eleven-year-old Krista Lee Harrison. On Saturday, July 17, 1982, Krista and a schoolmate were collecting aluminum cans in a ballpark across the street from Krista’s home, in Marshallville, Ohio. Krista was kidnapped from the park that day. Six days later, Krista was found dead in a remote area of Holmes County, Ohio. An autopsy revealed that she had been sexually assaulted by the thrusting of a rigid object against the inlet of her vagina and then strangled to death. The remainder of the factual findings of the Ohio Supreme Court related to this case can be found in
State v. Buell,
II
Buell was indicted on November 15, 1983. He received a jury trial. On April 4, 1984, the jury found Buell guilty of aggravated murder and the specification charging Buell as the principal offender who committed the murder of Krista Lee Harrison while kidnapping or fleeing immediately after kidnapping her. The trial court agreed with the jury’s recommendation that a death sentence be imposed and on April 11, 1984, the trial court sentenced Buell to death. Buell subsequently appealed to the Ohio Court of Appeals and the Ohio Supreme Court. Both appeals were denied. On October 19, 1987, Buell filed a post-conviction petition in the Ohio trial court, which was denied.- The petition was appealed to the Ohio Court of Appeals and the Ohio Supreme Court, both of which denied the petition.
On September 16, 1992, Buell filed a habeas petition in federal district court. The district court granted a stay of execution to allow the Ohio Court of Appeals to consider Buell’s Application for Delayed Reconsideration relating to Buell’s claim of ineffective assistance of appellate counsel. This claim was denied by the Court of Appeals and the Ohio Supreme Court.
On April 1, 1996, Buell filed a second habeas petition in federal district court, raising thirty-three grounds for relief. The petition was denied on July 22, 1999.
Ill
A
This court reviews the district court’s judgment de novo.
See Rickman v. Bell,
The recent amendments to the habeas statutes enacted by the Antiterrorism and Effective Death Penalty Act of 1996 (AEDPA) do not apply to this case because Buell filed his petition for a writ of habeas corpus before the effective date of AED-PA.
See Lindh v. Murphy,
B
Buell raises ten claims on appeal: (1) the district judge reviewing Buell’s second habeas petition erred in not recusing himself from the case; (2) the district court erred in ruling that certain of Buell’s claims were procedurally defaulted; (3) Buell’s constitutional right to due process was violated by the trial court’s penalty-phase jury instructions; (4) Buell’s consti- ■ tutional rights were denied by the trial court’s refusal to permit a psychologist’s testimony relating to the credibility of certain witnesses’ identification testimony; (5) Buell was deprived of the effective assistance of trial and appellate counsel; (6) Buell was deprived of his right to confront the witnesses against him by the prosecution’s withholding of exculpatory evidence; (7) Buell was deprived of his right to be present at all critical stages of his trial; (8) Buell was denied his constitutional right to a fair trial as a result of prosecutorial misconduct; (9) Buell was denied his constitutional right to due process as a result of errors in the trial court’s guilt-phase jury instructions; and (10) the Ohio death penalty statute is unconstitutional and violates international law. We will address . each of these issues in turn.
1. Refusal of District Judge to Re-cuse Himself
Buell argues that the district court judge reviewing his habeas petition, Judge Paul R. Matia, erred in not recusing himself after Buell filed a motion to disqualify pursuant to 28 U.S.C. § 455(a). In his motion, Buell asserted that Judge Matia had a duty to recuse himself because (1) as a member of the Ohio State Senate in 1981, he had sponsored the bill restoring Ohio’s death penalty and (2) he had expressed support for the death penalty while campaigning for Lieutenant Governor of Ohio in 1982. This claim has not been defaulted and has been properly preserved for appellate review.
This court reviews a district court’s refusal to grant a motion for recusal for abuse of discretion.
See Easley v. Univ. of Mich. Bd. of Regents,
It is well established that a judge’s expressed intention to uphold the law, or to impose severe punishment within the limits of. the law upon those found guilty of a particular offense, will not ordinarily satisfy the requirements of disqualification under Section 455(a). See
United States v. Gigax,
*346
More generally, this court has indicated that a judge is not automatically disqualified from a case on the basis of having sponsored or voted upon a law in the state legislature that he is later called upon to review as a judge.
See Leaman v. Ohio Dept. of Mental Retardation,
Other courts have explicitly held that judges are not disqualified from hearing cases involving legislation they had voted upon or drafted before serving on the bench.
See Newburyport Redevelopment Auth. v. Commonwealth,
The
Leaman
court also indicated that only one published case,
Limeco, Inc. v. Division of Lime,
We decline to hold that
Limeco
correctly states a rule of mandatory recusal and believe the weight of authority to the contrary to be far more persuasive. We hold that a judge who, as a legislator, sponsored or voted for legislation implementing or favoring the death penalty cannot be presumed to be disqualified from reviewing capital cases as a judge. Establishing a rule that a judge must recuse himself in cases involving legislation that had been enacted when a judge served as a legislator would force recusal in an inordinate amount of cases. In addition, it might prevent individuals who are or were legislators from serving as members of the judiciary and from bringing their unique perspectives to the bench.
See United States v. Alabama,
Moreover, such a rule does not comport with 28 U.S.C. § 455(a), which states that a judge “shall disqualify himself in any proceeding in which his impartiality might reasonably be questioned.” This rule requires a fact-specific analysis of the judge’s prior activity, legislative or otherwise, to determine if disqualification is required. In this case, Judge Mafia’s sponsorship of legislation reinstating the death penalty in Ohio and opinions in favor of the death penalty while campaigning for public office are not sufficient to demonstrate that his “impartiality might reasonably be questioned” in a particular case, any more than support for civil rights laws as a legislator would disqualify a judge from hearing all discrimination cases.
We realize that in some cases a judge’s legislative activities may be intimately connected with the facts of a particular case and may therefore require recusal.
See, e.g., United States v. Alabama,
Buell does not provide legal support for the proposition that Judge Mafia was required to recuse himself. Much of Buell’s argument is based on what judges should do. This court’s analysis, however, is based on what judges must do. Judge *348 Matia was not required to recuse himself and did not abuse his discretion in choosing not to do so.
2. Procedural Default
Buell contends that the district court erred in determining that certain of Buell’s claims were procedurally defaulted. 2
The parties agree and we concur that Buell’s first and fourth claims have been fully preserved. The State argues that all or portions of the remaining seven claims have been procedurally defaulted. Specifically, the State asserts that all or portions of Buell’s third claim (portion relating to penalty-phase jury instructions and non-unanimous sentencing verdict), sixth claim (portion relating to Roy Wilson’s mental state), seventh claim (right to be present at portions of trial), eighth claim (prosecutorial misconduct), ninth claim (guilt-phase jury instructions), and tenth claim (international law and electrocution portions of death penalty challenge) were not presented on direct appeal. In addition, the State argues that portions of Buell’s fifth claim relating to ineffective assistance of appellate counsel were defaulted pursuant to Ohio R.App. P. 26. 3
The Supreme Court has stated that “[i]n all cases in which a state prisoner has defaulted his federal claims in state court pursuant to an independent and adequate state procedural rule, federal habeas corpus review of the claims is barred unless the prisoner can demonstrate cause for the default and actual prejudice as a result of the alleged violation of federal law; or demonstrate that failure to consider the claims will result in a fundamental miscarriage of justice.”
Coleman v. Thompson,
*349
The State presents convincing arguments as to Buell’s procedural defaults, which Buell cannot overcome. Ohio courts have set forth a default rule barring consideration of claims that should have been raised on direct appeal.
See Cole,
Buell contends that the Ohio state courts did not invoke any applicable procedural rule. Yet the Ohio courts could not invoke a procedural rule against claims that were not brought before it. Buell asserted four claims on direct appeal and in his post-conviction petition, while his habeas petition contained thirty-three claims and hundreds of subclaims. This court has previously stated that a petitioner’s failure to raise his claims in Ohio courts is an adequate and independent state law ground for upholding the petitioner’s conviction and sentence.
See Mapes v. Coyle,
Buell attempts to use the ineffective assistance of appellate counsel claims that he brought to the Ohio courts as cause to excuse his procedurally defaulted claims. In
Edwards v. Carpenter,
the Supreme Court held that “an ineffective-assistance-of-counsel claim asserted as cause for the procedural default of another claim can itself be procedurally defaulted.”
The State asserts that Buell defaulted his ineffective assistance of appellate counsel claims by failure to comply with Ohio R.App. P. 26. In February 1992, while Buell’s initial habeas petition was pending in federal district court, the Ohio Supreme Court decided
State v. Murnahan,
The Ohio Court of Appeals denied Buell’s motion on September 21, 1992, stating solely: “Motion by appellant for delayed reconsideration denied per
State v. Murnahan
(1992),
Given the procedural facts of this case we are reluctant to conclude that Buell’s motion for delayed reconsideration was based on an adequate and independent state ground and that, therefore, his ineffective assistance of appellate counsel claims were procedurally defaulted. Both the Ohio Court of Appeals and Ohio Supreme Court decisions denying Buell’s motion for delayed reconsideration offered little explanation for why Buell’s delayed motion was denied.
5
We recognize that the requirement that a state court “clearly and expressly” state that its judgment was based on a state procedural rule applies only when a state court judgment rests primarily on federal law or is interwoven with federal law.
See Simpson v. Jones,
In
Coleman v. Mitchell,
this court recently concluded that the denial of a prisoner’s motion for delayed reconsideration by the Ohio courts constituted a procedural default.
Although Buell’s claims for ineffective assistance of appellate counsel were not defaulted, Buell’s task is not done. Buell’s ineffective assistance of appellate counsel claims can serve as cause for the
*352
procedural default of his other claims only if Buell can demonstrate that his appellate counsel was constitutionally ineffective.
See Edwards,
3. Penalty-Phase Jury Instructions
Buell challenges the district court’s determination that his constitutional rights were not violated by the trial court’s penalty-phase jury instructions. Although Buell presents three challenges to the penalty-phase jury instructions, only Buell’s Caldwell claim, the first of his three challenges, was fairly presented to and considered by the Ohio appellate courts. As a result, Buell has procedurally defaulted his two additional claims. Each of Buell’s claims will be analyzed, however. None have merit.
a. Instructions at Outset of Penalty Phase
Buell’s first challenge is to the trial court instructions to the jury at the outset of the penalty-phase of Buell’s trial. Specifically, Buell takes issue with the following instructions:
the jury will be asked to make a recommendation to the court as to the sentence to be imposed on the defendant on the charge of Aggravated Murder
and
[the defense has] the burden of going forward to present evidence concerning mitigating factors.
Buell claims that the first instruction stating that the jury verdict was a “recommendation” improperly diminished the jury’s sense of responsibility for returning a death verdict.
See Caldwell v. Mississippi
This claim is unavailing. It is an accurate statement of Ohio law for a trial judge to instruct a jury that their finding that a death sentence is warranted is a recommendation. It is specifically stated in Ohio Rev.Code § 2929.03(D)(2) that if the jury unanimously finds that aggravating circumstances outweigh mitigating factors “the trial jury shall recommend to the court that the sentence of death be imposed on the offender.” The trial court has the discretion to accept or reject this *353 recommendation since it must make the final determination of whether a death sentence is appropriate, according to Ohio Rev.Code § 2929.03(D)(3). Furthermore, the defense has the burden of presenting evidence concerning mitigating factors, as the trial court stated to the jury. Neither of the two contested instructions was contrary to Ohio law.
In
Caldwell,
the Court held that, “it is constitutionally impermissible to rest a death sentence on a determination made by a sentencer who has been led to believe that the responsibility for determining the appropriateness of the defendant’s death rests elsewhere.”
b. Instructions Prior to Deliberations at Penalty-Phase
Buell challenges six portions of the trial court’s instructions to the jury prior to the commencement of deliberations at the penalty phase of trial.
First, Buell challenges the trial court’s statement that “[t]he arguments of counsel are not evidence, but merely to assist you in your duty.” Buell claims that this is contrary to Ohio Rev.Code § 2929.03(D)(1), which calls for the jury to consider and hear arguments of counsel. The district court concluded that the instruction set forth the proper legal standard. Nothing in Ohio Rev.Code § 2929.03(D)(1) indicates that the jury instruction was improper.
Second, Buell challenges the trial court’s definition of mitigating factors: “These mitigating factors may include, but are not limited to, the nature and circumstances of the offense, the history and background of the defendant, and any other factors which you may find exist from the evidence in mitigation of the sentence.” This instruction is consistent with the Supreme Court’s ruling in
Penry v. Lynaugh,
Third, Buell challenges the trial court’s instruction relating to Buell’s unsworn statement introduced at the penalty phase: *354 “In this case, there has been one witness and that was the unsworn statement of the defendant.” This statement was a fair comment on the evidence. Furthermore, the statement did not restrict the jury from considering the testimony. Indeed, the judge later explicitly stated that the trial jury must consider all the evidence, including the unsworn statement of Buell.
Fourth, Buell challenges the trial court’s statements instructing the jury to consider “all of the relevant evidence raised [during the guilt-phase portion of the trial].” Buell claims that this instruction misstates Ohio Rev.Code § 2929.03(D)(1), which states that the jury shall consider “any evidence raised at trial that is relevant to the aggravating circumstances the offender was found guilty of committing or to any factors in mitigation of the imposition of the sentence of death.” While the jury instruction may be a truncation of the Ohio statutory section, Buell cannot demonstrate that it misstates the law or that it prejudiced him.
Fifth, Buell challenges the trial court’s instruction that “[i]f all twelve of you find beyond a reasonable doubt that the aggravating circumstances which the defendant was found guilty of committing outweigh the mitigating factors, then you have no choice and must recommend to the court that the sentence of death be imposed upon defendant Robert A. Buell.” Buell contends that this statement, particularly the phrase “you have no choice,” creates a constitutionally impermissible mandatory death penalty. The instruction is in full accord with Ohio Rev.Code 2929.03(D)(2), however. Moreover, the constitutionality of such an instruction was upheld by the Supreme Court in
Blystone v. Pennsylvania,
Sixth, Buell contends that statements in the jury instructions that a jury recommendation that the death penalty be imposed is only a recommendation and is not binding on the court had the effect of diminishing the jury’s sense of responsibility. This contention fails for the same reasons that Buell’s Caldwell claim fails.
c. Court’s Response to Jury Question During Penalty Phase Deliberations
Buell’s final challenge to the penalty-phase jury instructions relates to the trial court’s response to a jury question about a non-unanimous sentencing verdict. During jury deliberations following the penalty phase of Buell’s trial, the jury submitted to the trial court the following question written by one of the jurors: “May I ask the judge if I am undecided on one part and the others are in agreement, will this have any affect [sic] on the recommendation?” Upon receipt of this question, the trial court and counsel for the parties convened in chambers and discussed at length the appropriate response. 7 Buell’s counsel indicated that “what [the juror] wants to know is if ... she disagrees with the rest, what is the effect of an un-unanimous verdict.” Buell’s counsel stated “the law doesn’t tell you what you do in certain circumstances, whether or not it has to be unanimous as it relates to life. It only tells you as it relates to death.”
*355 The trial judge asked, “Do you think it’s clear they have to reach a unanimous finding for life imprisonment?” Buell’s counsel responded, “No. Death only. That has to be unanimous; and if they cannot reach a verdict on death, the remaining question is what is the penalty?” In the end, the trial judge decided to instruct the jury that “whichever verdict you reach must be unanimous.” Buell’s counsel objected, stating, “I think the only unanimous verdict has to be for capital punishment; and for that reason I object to that being read. I think what ought to be told is what they asked.” The trial court stated to the jury: “Whichever verdict you reach, whether it’s a recommendation of the death penalty or a recommendation of life imprisonment, the verdict must be unanimous.”
Buell argues that the jury’s question presented the same issue resolved by the Ohio Supreme Court in
State v. Brooks,
To warrant habeas relief, “jury instructions must not only have been erroneous, but also, taken as a whole, so infirm that they rendered the entire trial fundamentally unfair. The burden is even greater than that required to demonstrate plain error on appeal.”
Scott,
We note, however, that the jury instructions in
Brooks
and
Mapes
were not in response to jury questions, but were “acquittal first” instructions contained in general, penalty-phase jury charges. In both cases the jury was instructed that it must “determine unanimously that the death penalty is inappropriate before you can consider a life sentence.”
Mapes,
In
Brooks,
the Ohio Supreme Court rejected the acquittal-first jury instruction and indicated that a jury need not rule out the death penalty before considering a life sentence.
Id.
at 1041-42. Consistent with this holding, the court made clear that a lone juror could prevent the imposition of the death penalty.
Ibid.
To the extent that Buell challenges the instruction given to the jury in this .case, he is focused on the latter proposition rather than the former. Neither in answer to the juror’s question nor in the jury instructions themselves, did the trial court state that the jury must rule out the. death penalty before considering a life sentence. Instead,
*356
the court stated that whatever verdict the jury reached must be unanimous. What the trial court stated to the jury was not contrary to Ohio law. There is no specific language in Ohio Rev.Code § 2929.03(D)(2) limiting jury unanimity to only death recommendations. Moreover, the trial court’s instruction was in full accord with Ohio Criminal Rule 31(A), which requires that verdicts shall be unanimous. Ohio courts and this court have made it clear that
both
death and life sentences must be unanimous under Ohio law and that jury instructions to that effect are not unconstitutional.
Scott,
The focus of Buell’s claim is not on what the trial court stated to the jury, but rather, on what the court did
not
state to the jury. Buell contends that the trial court erred by not instructing the jury that if they could not come to a unanimous verdict they should advise the court of that fact and that the court would then determine the appropriate sentence. Buell bases this claim on the Ohio Supreme Court’s opinion in
Brooks,
issued twelve years after Buell’s trial, in which the court concluded that jurors must be instructed “from this point forward” that “a solitary juror may prevent a death penalty recommendation by finding that the aggravating circumstances in the case do not outweigh the mitigating factors.”
First, Buell is unable to demonstrate any basis in Ohio law for the instruction that he believes should have been given to the jury, an instruction that is distinct from that mandated in
Brooks.
In
Brooks,
the Ohio Supreme Court reaffirmed that the jury’s determination that a life sentence is appropriate must be unanimous and that a jury should be instructed of that fact.
Second, to the extent that Ohio law after
Brooks,
Third, even if the
Brooks
requirement were to apply retroactively to Buell’s case, the failure of the trial court to give such an instruction would be an error under state law that does not provide a basis for habeas relief.
See Estelle,
4. Exclusion of Expert Testimony on Eyewitness Identification
Buell challenges the district court’s finding that the trial court’s decision to exclude the testimony of Steven Penrod, an expert in eyewitness identification, regarding the credibility of an identification witness did not rise to the level of constitutional error. This claim was not proee-durally defaulted, as it was raised and addressed on direct appeal as Buell’s first assignment of error in both the Ohio Court of Appeals and Ohio Supreme Court.
The trial court’s decision to exclude expert testimony is an exercise of judicial discretion.
See United States v. Harris,
Buell asserts that the trial court’s decision to exclude Penrod’s testimony violated Buell’s rights at both the fact-finding and penalty phases of his trial. With regard to the fact-finding phase, Buell states that three witnesses claimed to have seen Buell in a ballpark one week before Harrison’s abduction, two witnesses claimed to have seen him in the park on the day Harrison was kidnapped, and one claimed to have seen him leaving the site where • the body was found.
Buell states that two of the three witnesses from the ballpark identified Buell only after seeing him on television and in the newspaper sixteen months after he was supposedly at the ballpark. Buell notes that the two eyewitnesses from the park gave similar descriptions of the kid *358 napper but could not identify Buell in court. The witness who claimed to have seen Buell leaving the site where the body was found claimed to have seen a man driving a raspberry-colored car. The witness’s observation was limited to five seconds as his pickup truck passed the car. The witness identified Buell after seeing him on television and being shown a picture of a van, Buell, and a car.
Penrod intended to testify as to the factors involved in the mental processes of identifications and to render his opinion about the accuracy and credibility of the specific identification testimony of the witnesses. The trial court denied the request, stating: “It’s the Court’s opinion that the jury can make the determination on who to believe and who not to believe, using the test that I will describe to them, using their common sense, and they do not need an expert to help them do that.”
On appeal, the Ohio Supreme Court stated that “the expert testimony of an experimental psychologist regarding the credibility of the identification testimony of a
particular
witness is inadmissible under Evid. R. 702, absent a showing that the witness suffers from a mental or physical impairment which would affect the witness’s ability to observe or recall events.”
State v. Buell,
As to the penalty phase of the trial, Buell notes that Ohio Rev.Code § 2929.03(D)(1) provides that “[t]he defendant shall be given great latitude in the presentation of evidence of the mitigating factors set forth in division (B) of section 2929.04 of the Revised Code and of any other facts in mitigation of the sentence of death.” Buell states that his defense counsel made a tactical decision not to present mitigating evidence regarding Buell’s past, relying instead on residual doubt. Buell argues that the expert testimony should have been allowed as a form of mitigating evidence relating to residual doubt.
Buell provides no legal support for the claim that Penrod’s expert testimony is a type of “fact[ ] in mitigation of the sentence of death” contemplated under Ohio Rev.Code § 2929.03(D)(1). All of the factors set forth in § 2929.04, which § 2929.03(D)(1) cross-references, concern “the nature and circumstances of the offense, [and] the history, character, and background of the offender” and are to be considered as mitigating evidence to determine whether the death penalty should be imposed. Penrod’s testimony relates to eyewitness identification that concerns whether Buell committed the offense for which he was found guilty. The testimony does not concern a mitigating factor that should be considered after a finding of guilt is made. Indeed, this court recently noted that Ohio law does not recognize residual doubt, the basis for which Buell claims that Penrod’s testimony should *359 have been admitted, as an acceptable mitigating factor:
Our system requires that the prosecution prove all elements of a crime beyond a reasonable doubt. Therefore, it is illogical to find that the defendant is guilty beyond a reasonable doubt, yet then doubt the certainty of the guilty verdict by recommending mercy in case a mistake has occurred. Residual doubt casts a shadow over the reliability and credibility of our legal system in that it allows the jury to second-guess its verdict of guilt in the separate penalty phase of a murder trial....
Residual doubt is not an acceptable mitigating factor under R.C. 2929.0f(B), since it is irrelevant to the issue of whether the defendant should be sentenced to death.
Coleman v. Mitchell,
Buell is unable to demonstrate that the exclusion of Penrod’s testimony at either the guilt phase or the penalty phase of his trial rose to the level of constitutional error. Moreover, this court has recognized that a habeas petitioner does not have a constitutional right to the presentation of expert testimony on the reliability of eyewitness identification.
See Moore v. Tate,
5. Ineffective Assistance of Counsel
Buell claims that the district court erred in rejecting his claims of ineffective assistance of trial and appellate counsel. Buell chose not to pursue an ineffective assistance of trial counsel claim on direct review. Buell included an ineffective assistance of trial counsel claim in his post-conviction petition. Since Buell was represented by the same counsel at trial and on direct appeal, it was proper for him to raise his ineffective assistance of trial counsel claims initially in his post-conviction petition.
See Cole,
In
Strickland,
*360 Buell refers this court to a catalog of specific instances of alleged ineffective assistance of his trial counsel contained in the seventeenth claim in Buell’s habeas petition. Buell states that “significant examples” include counsel’s failure to (1) interview witnesses Wilson, Baker, and Middleton before trial; (2) learn that they had been hypnotized by law enforcement agents; and (3) learn that Wilson had undergone mental treatment. Buell asserts that the prosecution’s failure to disclose this information created a Brady violation (Buell’s sixth claim), but he also argues that his lawyers should have obtained this information themselves. Buell notes that his trial counsel was furnished with the witnesses’ names and addresses in pretrial discovery and knew the witnesses went through extensive pretrial identification procedures with investigators and would be asked to make in-court identifications. Buell asserts that his trial counsel knew that they would have to challenge the in-court identifications and that therefore, their lack of preparation to confront these witnesses was constitutionally deficient.
Buell also contends that his counsel’s failure to investigate mitigating evidence constitutes ineffective assistance, since failure to investigate Buell’s background and develop evidence “produced the scanty penalty phase hearing mitigating [evidence].”
Buell asserts that his trial counsel’s decisions “cannot be explained away as trial strategy.” He notes that in
Strickland,
the Court stated that “counsel has a duty to make reasonable investigations or to make a reasonable decision that makes particular investigations unnecessary. In any ineffectiveness case, a particular decision not to investigate must be directly assessed for reasonableness in all the circumstances, applying a heavy measure of deference to counsel’s judgments.”
The great bulk of Buell’s allegations concern strategic decisions that do not amount to constitutionally deficient performance. With regard to the primary claim to which Buell directs this court’s attention, his allegations concerning counsel’s investigation of witnesses Wilson, Barker, and Middleton, we note that Buell’s counsel reviewed the statements of these wit *361 nesses before trial. Moreover, Buell is unable to demonstrate how the lack of interviews conducted by his counsel made his trial fundamentally unfair. With regard to Buell’s claim that his defense counsel failed to discover that these witnesses were hypnotized and that one witness had undergone mental treatment, we conclude that even if the actions of Buell’s counsel were considered deficient, he not was not prejudiced for the reasons we discuss below in rejecting Buell’s sixth claim. In the end, Buell is unable to demonstrate how his trial counsel’s performance was deficient and prejudiced his defense.
Buell also presents various claims of ineffective assistance of appellate counsel. These claims were not defaulted for the reasons we discussed above in reviewing Buell’s second claim.
Buell argues that his appellate counsel was ineffective both during his direct appeal and his post-conviction proceedings. Buell asserts that he was prejudiced by failure of his appellate counsel to raise the issues cataloged as claims twenty-seven and thirty-two in his habeas petition. Buell stresses his appellate counsel’s failure to appeal the trial court’s response to the jury’s unanimity question, a response to which Buell’s counsel made a contemporaneous objection. In addition, he specifically discusses his appellate counsel’s failure to appeal the trial court’s decision not to admit the expert testimony Buell presented regarding eyewitness identification. Even if Buell’s appellate counsel was deficient in failing to raises these claims, we have demonstrated that Buell was not prejudiced by our rejection of Buell’s third and fourth claims in this appeal. Buell cannot support a claim of ineffective assistance of appellate counsel.
6. Withholding of Evidence
Buell asserts that the district court erred in rejecting his claim that he was prejudiced by the State withholding evidence that three trial witnesses were hypnotized. This claim was properly presented and considered by the Ohio courts in post-conviction proceedings. Buell also now contends that the State failed to disclose evidence regarding witness Roy Wilson’s mental capacity. This claim was not raised in Buell’s direct appeal or his post-conviction petition, although Buell was aware of this claim when he pursued his post-conviction remedies since he argued at the time that his trial counsel was ineffective in investigating Roy Wilson’s mental state. We agree with the State that Buell’s post-conviction ineffective assistance of counsel claim does not constitute a fair presentation of the underlying claim for federal habeas purposes. Even if we overlook Buell’s procedural default and review this claim, however, it lacks merit.
Buell states that three witnesses were hypnotized during the course of the investigation regarding Krista Harrison’s murder: Roy Wilson, Stephanie Baker, and Donald Middleton. In addition, Buell states that during the course of poshcon-viction proceedings, it was learned that Wilson, who was eleven at the time of Krista Harrison’s abduction, had been treated briefly at a mental health center. Records at the institution where Wilson was treated indicate that he suffered from an adjustment disorder, disturbance of conduct, and borderline intellectual functioning.
Buell argues that the suppression of this evidence violates
Brady v. Maryland,
Buell contends that the trial court committed constitutional error in its finding that the failure of prosecutors to tell Buell’s attorneys that three witnesses had been hypnotized was “negligent and not in any way intentional.” Buell asserts that the prosecution acted intentionally, pointing to evidence indicating that the prosecution was aware that the information existed. The motives of the prosecution are not the subject of our inquiry, however. The Supreme Court instructs us that our review must focus on whether “the evidence is material either to guilt or punishment,
irrespective of the good faith or the bad faith of the prosecution.” Brady,
Buell contends that this information was material. He states that Roy Wilson’s observations at the time of Krista Harrison’s abduction were the only evidence placing Buell and his van at the scene. In addition, Buell asserts that Wilson’s testimony was corroborated by the testimony of Stephanie Baker, another witness who allegedly was hypnotized. Buell argues that if the prosecution had provided him with this evidence, there is a reasonable probability that he would have conducted different trial preparation and cross-examination and the outcome of the trial could have been different.
We agree with the reasoning of the Ohio Court of Appeals, which concluded that the hypnosis of the witnesses did not affect the result of Buell’s trial. First, the Ohio Court of Appeals disputed the trial court’s conclusion that Baker was hypnotized. The Court of Appeals indicated there is no evidence in the record that Baker was hypnotized. We note that in his brief to this court, Buell does not point to any evidence in the record specifically indicating that Baker was hypnotized, but instead, he simply relies on the testimony of two police officers at the post-conviction hearing stating that an unnamed young woman was also hypnotized. Second, the Ohio Court of Appeals stated that the post-hypnotic information from Wilson was essentially the same as the pre-hypnotic information Wilson supplied to the police. The court indicated that there was no admission of hypnotically refreshed testimony that was of any significance. Third, the Court of Appeals concluded that even if the hypnotically refreshed testimony of Middleton was eliminated from consideration, there was sufficient evidence to constitute overwhelming proof of Buell’s guilt. We agree. Substantial physical evidence supported Buell’s conviction. In addition, Wilson’s testimony, which was not substantially affected by his hypnosis, and circumstantial evidence relating to the manner in which the crime was committed also contributed to Buell’s conviction. Neither the disclosure that witnesses had been hypnotized nor the suppression of hypnotically refreshed testimony would have created a reasonable probability that the result of Buell’s trial would have been different.
We also reject Buell’s argument regarding Wilson’s brief treatment at a mental health facility. We note that in denying Buell’s ineffective assistance of trial counsel claim predicated on trial counsel’s failure to discover Wilson’s mental condition, the Ohio Court of Appeals indicated that Wilson’s testimony helped rather than hurt Buell since Wilson, the only eyewit *363 ness to the abduction, had trouble identifying Buell, failing to pick him out of a photo array of suspects. As a result, the Court of Appeals determined that Buell’s counsel was not ineffective for failing to discover information regarding Wilson’s mental state. In a similar way, the disclosure of Wilson’s mental state would not have created a reasonable probability that the result of Buell’s trial would have been different. Wilson’s testimony already had indicia of unreliability, yet the jury still found Buell guilty and assigned the death penalty. Buell has not demonstrated that, even if the jury or the defense knew of Wilson’s brief treatment at a mental health center, there is a reasonable probability that the outcome of his trial would have been different.
7. Presence at Critical Stages of Trial
Buell takes issue with the district court’s rejection of his claim that he was deprived of his right to be present at all critical stages of his trial. Buell has procedurally defaulted this claim. At trial, Buell did not request to be present for the meetings in chambers for which he now claims he should have been present. In addition, the claim was not included in Buell’s direct appeal, nor in his post-conviction petition. Even if we look to the substance of this claim, however, it is meritless.
The Supreme Court has recognized that “a defendant is guaranteed the right to be present at any stage of the criminal proceeding that is critical to the outcome if his presence would contribute to the fairness of the procedure.”
Kentucky v. Stincer,
The conference in chambers at which Buell claims he should have been present related to a graph prepared by Agent Alan Roubillard of the FBI that included carpet fiber samples from Buell’s home and van and samples from a bedspread found at the same time as the victim’s body. Rou-billard testified that “there were several items that I also examined in this case and they appear on this chart and you can see that they fall right into the same absorption.” The jury questioned some of these unidentified additional samples, specifically asking where they were found. In chambers, in answer to a question for the trial court judge, the prosecution indicated that some of the samples about which the jury inquired were gathered in an investigation relating to another crime.
The jury questions were resolved in what the State asserts was a proceeding “akin to a bench conference.” Counsel for both Buell and the State were present at the meeting.. They discussed and agreed to an identification of the carpet samples. Buell’s counsel specifically agreed to the answer given to the jury.
Buell provides no legal basis for why his presence at the meeting was required. Buell argues that the jury deliberations were tainted by the identification of the carpet samples and that “[u]nlike the lawyers, he may well have appreciated the contamination of the jury that had taken place.” Yet Buell does not explain how the jury deliberations were tainted or contaminated. The jury was given the source of the identifications for each of the carpet fibers except the ones gathered from the other incident. The court told the jury that the identification for the additional fibers was “a laboratory marking which you should disregard.” The meeting between the judge and counsel was for the purpose of identifying the samples, which the parties did, in answer to the jury’s *364 questions. To the extent that one of the exhibits the jury reviewed included carpet samples not related to the crime for which Buell was being tried, the jury was not made aware of this fact and was told to disregard those samples. Buell’s counsel agreed to the identifications. Moreover, Buell does not contend that this response was in error or was improper.
The cases cited by Buell are not applicable to this situation, as each relates to jury instructions. In those situations, courts held that a defendant must be present in order to voice objections to the instructions given to the jury.
See Fillippon v. Albion Vein Slate Co.,
8. Prosecutorial Misconduct
Buell challenges the district court’s decision rejecting his claim that he was denied his constitutional rights as a. result of prosecutorial misconduct. Buell did not object to the prosecution’s remarks at trial, nor did he raise the claim in his direct appeal or his post-conviction petition. As a result, Buell has procedurally defaulted this claim. A review of the merits of the claim nevertheless indicates that the alleged prosecutorial misconduct did not deprive Buell of his constitutional rights.
In order for habeas relief to be granted, a prosecutor’s conduct must be so egregious as to render the petitioner’s trial fundamentally unfair.
See United States v. Young,
Buell catalogs a variety of conduct and comments by the prosecutors at his trial, some of which restate claims Buell has already raised. First, Buell argues that before trial commenced, the prosecution withheld discoverable evidence that three of the State’s witnesses had been hypnotized and that one of the witnesses had mental defects. This forms the basis for Buell’s sixth claim, which this court has rejected. Second, Buell asserts that the prosecutors misled potential jurors during voir dire by stating that their sentencing decision was only a recommendation to the jury. This relates to Buell’s third claim, which this court has rejected. Third, Buell argues that the prosecution made numerous improper comments during closing argument. Buell asserts that the prosecution instructed jurors to disregard mitigation evidence. Yet none of the comments that Buell points to explicitly state this. Instead, the prosecution repeatedly argued that the mitigating factors did not outweigh the aggravating circumstances. In addition, the prosecution referred to and described the aggravating circumstances. The statements indicate that the prosecutors were not engaging in misconduct but simply doing their job.
Buell also alleges that a prosecutor improperly injected his personal opinion regarding an appropriate sentence for Buell by stating that the jury should impose the death penalty. We agree with the district court’s conclusion that “[t]he prosecutor’s opinion as to what Buell’s sentence should *365 be was not prejudicial. The jury heard the evidence and the court’s instructions on the law and was able to make an intelligent decision as to the ultimate outcome of the case.”
Finally, Buell objects to the prosecution’s statement that the jury should “send a message to the Robert Buells of the world” that “if you’re going to commit this kind of a crime then you better be expecting to pay the ultimate price, yourself.” This court has held on several occasions that similar statements were not prejudicial.
See United States v. Reliford,
In distinguishing
Alloway
from a situation in which a prosecutor’s comments were deemed prejudicial because they gave jurors the impression that the drug trade would continue in the jurors’ community if they did not convict, this court stated that the prosecutor in
Alloway
did “not go beyond a mere allusion to the general need to convict guilty people ... and bring to bear upon the jury’s deliberations the attendant social consequences of defendant’s criminal conduct or urge the jury to convict an individual defendant in an effort to ameliorate society’s woes.”
United States v. Solivan,
The prosecution’s comments did not rise to the level of constitutional error. We must reject this claim.
9. Guilt-Phase Jury Instructions
Buell asserts that the district court erred in rejecting his claim that he was denied his constitutional right to due process as a result of errors in his guilty-phase jury instructions. At trial Buell did not object to the instructions he now challenges. According to Ohio Criminal Rule 30(A), a party cannot raise a claim of error related to jury instructions on appeal unless the party entered a specific objection to the instructions before the jury retired to consider its verdict.
See State v. White,
Errors in jury instructions do not rise to the level of a constitutional violation unless the habeas petitioner can establish that the “instruction by itself so infected the entire trial that the resulting conviction violates due process.”
Cupp v. Naughten,
First, Buell challenges the jury instruction regarding eyewitness identification. The court instructed the jury that “[i]n considering eyewitness testimony, you should consider the capacity and opportunity of the witness to observe the defendant....” Buell asserts that the court failed to indicate to the jury which witnesses were giving eyewitness testimony. He argues that the instruction presumed that the witnesses had the opportunity to observe Buell. As the State points out, however, the jury was required to consider whether the witness actually observed Buell. The court did not indicate any presumption that the witnesses observed Buell.
Second, Buell challenges the court’s instruction regarding reasonable doubt. The court read the statutory definition of reasonable doubt set forth in Ohio Rev. Code § 2901.05(D). This court has determined that Ohio’s statutory definition of reasonable doubt does not offend due process.
See Thomas v. Arn,
Third, Buell challenges the jury instruction regarding purpose. Buell contends that the charge contained a mandatory inference. The instruction stated: “The purpose with which a person does an act or brings about a certain result is determined from the manner in which it was done, the means used and all other circumstances in evidence.” Buell argues that this instruction violates the Ohio statute on capital murder, which requires that an individual have specific intent to cause the death of another. Yet, Buell does not mention that the court developed the meaning of purpose more fully, including giving the instruction that “[a] person acts purposely when it is his specific intention to cause a certain result.”
Fourth, Buell challenges the jury instruction regarding prior calculation and design. Buell claims that the jury instruction, “[i]f a wound is inflicted upon a person in a manner calculated to destroy life, purpose to kill may be inferred from that,” was in direct conflict with the instruction that “no person may be convicted of aggravated murder unless he is specifically found to have intended to cause the death of another.” Buell contends that the portion of the instruction giving the jury the ability to infer “purpose to kill” is in direct contradiction to the portion of the instruction stating the jury must find specific intent. The trial court’s instruction is the precise charge contained in 4 Ohio Jury Instructions § 503.01(A). Moreover, the two statements are not inconsistent in that the manner in which a wound is inflicted can support an inference of a purpose to kill, which can be used to find specific intent.
Cf. State v. Cotton,
10. Challenges to Death Penalty under Constitutional and International Law
In his final ground for relief, Buell contends that the district court erred in deny *367 ing his facial and as-applied challenges to Ohio’s death penalty on the grounds that the punishment- violates the Fifth, Sixth, Eighth, and Fourteenth Amendments to the United States Constitution and international law.
Buell can raise only those challenges to the constitutionality of capital punishment and Ohio’s death penalty statute that he fairly presented on direct appeal to the Ohio appellate courts. The portions of Buell’s claim challenging the death penalty as a violation of international law and electrocution as cruel and unusual punishment have not been presented previously by Buell to any state or federal court. These challenges are procedurally defaulted. Even if we review the merits of these arguments, we come to the same conclusion as we do in reviewing the arguments that Buell has preserved for review, which is that Ohio’s death penalty violates neither the United States Constitution nor international law that binds the United States.
a. Constitutional Challenges to Ohio’s Death Penalty Statute
Buell contends that Ohio’s death penalty scheme allows for imposition of the death penalty in an arbitrary and capricious manner that violates constitutional guarantees of due process and equal protection.
See Furman v. Georgia,
Buell next attacks Ohio’s requirements that the sentencing jury shall recommended the death penalty if it finds beyond a reasonable doubt that aggravating circumstances outweigh mitigating factors and that the appellate court shall affirm the sentence if it is persuaded that aggravating circumstances outweigh mitigating factors. Ohio Rev.Code §§ 2929.03(D)(2); 2929.05(A). Buell asserts that the Ohio statute does not specifically require the prosecution to prove the absence of any mitigating factors or that death is the only appropriate penalty. In addition, Buell argues that the Ohio scheme fails to provide the sentencing authority with an option to choose a life sentence when only statutory aggravating circumstances have been proven or when mitigating factors are minimal. Buell claims that by limiting the sentencer’s ability to return a life sentence only to those circumstances when aggravating factors fail to outweigh mitigating factors, Ohio’s statute creates a mandatory death penalty. In addition, Buell argues that the statute *368 prevents adequate proportionality review. Buell contends that the statute does not require identification of mitigating factors when a life sentence is imposed. Buell claims that this leads to no meaningful appellate review as no comparison can be made between life sentence and death penalty cases. Buell also asserts that Ohio courts do not follow Ohio Rev.Code § 2929.05, which requires Ohio appellate courts to “affirm a sentence of death only if the particular court is persuaded from the record that the aggravating circumstances the offender was found guilty of committing outweigh the mitigating factors present in the case and that the sentence of death is the appropriate sentence in the case.” Buell states that the appropriateness review conducted in each case is cursory and does not comport with the statutory requirements.
Buell’s arguments are unavailing. In
Proffitt v. Florida,
Buell’s contentions regarding inadequate appellate review of the proportionality of death sentences under the Ohio statute fail because no proportionality review is constitutionally required.
See Pulley v. Harris,
Buell also argues that the use of the same underlying crime of kidnapping to elevate murder to aggravated murder and to make Buell eligible for the death penalty is unconstitutional. Buell asserts that under Ohio Rev.Code § 2929.04(A)(7), if a defendant commits murder during the commission of a felony, the felony can serve as an aggravating circumstance and the defendant can be convicted of capital murder without proof of an additional new factor. Buell argues that this scheme fails to “genuinely narrow the class of persons eligible for the death penalty and ... reasonably justify the imposition of a more severe sentence on the defendant compared to others found guilty of murder.”
Zant,
In
Lowenfield v. Phelps,
When it reviewed Buell’s challenge to the Ohio death penalty statute, the Ohio Supreme Court reaffirmed its prior holdings that Ohio law requires the additional elements of prolonged restraint, secretive confinement, or significant movement separate from that involved in the underlying crime in order to warrant application of the aggravated circumstance of kidnapping under Ohio Rev.Code § 2929.04(A)(7).
State v. Buell,
Finally, Buell asserts that death by electrocution, as required under Ohio Rev.Code § 2949.22, violates the constitutional prohibition of cruel and unusual punishment. Courts have consistently upheld the constitutionality of the imposition of the death penalty in general,
see Gregg,
b. International Law Challenges to Ohio’s Death Penalty Statute
Buell argues that Ohio’s death penalty statute violates the Supremacy Clause of the United States Constitution by not complying with: (1) the American Declaration of the Rights and Duties of Men (“American Declaration”) as made binding on the United States by the Charter of the Organization of American States (“OAS Charter”), and (2) the International Covenant on Civil and Political Rights (“International Covenant”). In addition, Buell notes statistics indicating that over one hundred nations prohibit executions, a number that he claims is far greater than necessary to establish a customary international law norm.
Cf. Filartiga v. Pena-Irala,
Buell’s argument is wholly merit-less. It is a long-standing principle under United States law that “[international law is part of our law, and must be ascertained and administered by the courts of justice of appropriate jurisdiction as often as questions of right depending upon it are duly presented for their determination.”
The Paquete Habana,
(1) A rule of international law is one that has been accepted as such by the international community of states
(a) in the form of customary law;
(b) by international agreement; or
(c) by derivation from general principles common to the major legal systems of the world.
Restatement (Third) of Foreign Relations Law § 102(1) (1987). Buell argues that the abolition of the death penalty has been accepted by international agreement and as a form of customary law. We will address each of these arguments in turn.
i International Agreement
It is recognized that “[a]n international agreement creates obligations binding between the parties under international law.” Restatement (Third) of Foreign Relations Law § 102, cmt. f. The binding nature of international agreements is also referred to as jus dispositivum. Buell contends that the Ohio death penalty violates international agreements entered into by the United States, specifically the American Declaration as made binding by the OAS Charter and the International Covenant. These agreements do not prohibit the death penalty, however. Moreover, the United States has approved each agreement with reservations that preserve the power of each of the several states and of the United States, under the Constitution.
Neither the OAS Charter nor the American Declaration specifically prohibit capital punishment.
See State v. Phillips,
The International Covenant was ratified by the United States Senate on June 8, 1992. Contrary to the positions of Buell and perhaps of the United Nations Commission on Human Rights, the International Covenant does not require its member countries to abolish the death penalty. Article 7 of the International Covenant prohibits cruel, inhumane, or degrading punishment. International Covenant on Civil and Political Rights (ICCPR), opened for signature Dec. 19, 1966, art. 7, 999 U.N.T.S. 171, 175 (entered into force Mar. 23, 1976). The United States agreed to abide by this prohibition only to the extent that the Fifth, Eighth, and Fourteenth Amendments ban cruel and unusual punishment.
See
138 Cong. Rec. S-4781-01, S4783 (1992) (“That the United States considers itself bound by article 7 to the extent that ‘cruel, inhuman or degrading treatment or punishment’ means the cruel and unusual treatment or punishment prohibited by the Fifth, Eighth, and/or Fourteenth Amendments to the Constitution of the United States.”);
see also Jamison v. Collins,
Moreover, the International Covenant specifically recognizes the existence of the death penalty. Article 6, paragraph 2, of the treaty states:
In countries which have not abolished the death penalty, sentence of death may be imposed only for the most serious crimes in accordance with the law in force at the time of the commission of the crime and not contrary to the provi *372 sions of the present Covenant and to the Convention on the Prevention and Punishment of the Crime of Genocide. This penalty can only be carried out pursuant to a final judgement rendered by a competent court.
ICCPR, 999 U.N.T.S. 171, 174. Furthermore, when the United States ratified the treaty in 1992, it specifically reserved the right:
subject to its Constitutional constraints, to impose capital punishment on any person (other than a pregnant woman) duly convicted under existing or future laws permitting the imposition of capital punishment, including such punishment for crimes committed by persons below eighteen years of age.
See 138 Cong. Rec. S-4781-01, S4783 (1992); see also Short, supra page 49, at 726 & n. 33.
Finally, we note that even if the agreements were to ban the imposition of the death penalty, neither is binding on federal courts. “Courts in the United States are bound to give effect to international law and to international agreements, except that a ‘non-self-executing’ agreement will not be given effect as law in the absence of necessary authority.” Restatement (Third) of Foreign Relations Law § 111 (1987). Neither the American Declaration nor the International Covenant is self-executing, nor has Congress enacted implementing legislation for either agreement.
See Garza v. Lappin,
We must conclude that Ohio’s imposition of the death penalty does not violate any international agreements entered into by the United States. The agreements upon which Buell relies do" not specifically outlaw the death penalty. To the extent that the agreements ban cruel and unusual punishment, the United States has included express reservations preserving the right to impose the death penalty within the limits of the United States Constitution. Moreover, neither agreement is binding on courts of the United States.
ii. Customary International Law
According to the Restatement, “[c]us-tomary international law results from a general and consistent practice of states followed by them from a sense of legal obligations.” Restatement (Third) of Foreign Relations Law § 102(2). Customary international law, then, consists of two components. First, there must be a “general and consistent practice of states.” This does not mean that the practice must be “universally followed;” rather “it should reflect wide acceptance among the states particularly involved in the relevant activity.” Id. at § 102, cmt. b. Second, there must be “a sense of legal obligation,” or opinio juris sive necessitatis. In other words, “a practice that is generally followed but which states feel legally free to disregard does not contribute to customary law;” rather, there must be a sense of legal obligation. Id. at § 102, cmt. c. States must follow the practice because they believe it is required by international law, not merely because that they think it is a good idea, or politically useful, or otherwise desirable. Some customary norms of international law reach a “higher status,” in which they “are recognized by the international community of states as peremptory *373 [norms], permitting no derogation.” Id. at § 102, cmt. k & cmt. n. 6. These peremptory norms are also referred to as jus co-gens.
The court’s discussion in Citizens Living in Nicaragua of when a rule becomes a customary and, later, peremptory norm, or jus cogens, is instructive:
[C]ustomary international law is continually evolving. At a crucial stage of that process, ‘[w]ithin the relevant states, the will has to be formed that the rule will become law if the relevant number of states who share this will is reached.’ Meijers, How Is International Law Made?, 9 Netherlands Y.B. Int’l L. 3, 5 (1978). As to what constitutes the necessary number of ‘relevant states,’ the [International Court of Justice] has said that ‘State practice ... should have been both extensive and virtually uniform in the sense of the provision invoked.’ The North Sea Continental Shelf Case (Judgment), 1969 I.C.J. 12, 43. Finally, in order for such a customary norm of international law to become a peremptory norm, there must be a further recognition by ‘the international community ... as a whole [that this is] a norm from which no derogation is permitted.’ Vienna Convention [on the Law of Treaties,] art. 53 (emphasis added).
The prohibition of the death penalty is not so extensive and virtually uniform among the nations of the world that it is a customary international norm. This is confirmed by the fact that large numbers of countries in the world retain the death penalty.
See Wills v. Texas,
There is no indication that the countries that have abolished the death penalty have done so out of a sense of legal obligation, rather than for moral, political, or other reasons. Moreover, since the abolition of the death penalty is not a customary norm of international law, it cannot have risen to the level that the international community as a whole recognizes it as jus cogens, or a norm from which no derogation is permitted. Therefore, we cannot conclude that the abolition of the death penalty is a customary norm of international law or that it has risen to the higher status of jus cogens.
Even if we were to conclude that the abolition of the death penalty was a customary norm of international law or rose to the higher level of being a peremptory *374 norm or jus cogens, we do not believe that this would be a sufficient basis for our court to invalidate Ohio’s death penalty statute.
In
White v. Paulsen,
Courts that have determined that private rights of actions exist under customary norms of international law have done so where acts were committed on a foreign citizen or acts were committed by a foreign government or government official.
See Hawkins,
We believe that the same logic applies in this case, though Buell, a United States citizen, is not asserting a private right of action, but instead is using international law as a defense against actions taken by Ohio’s government that comply fully with the United States Constitution. He is attempting to interpose customary international law as a defense against “acts committed by ... government officials against a citizen of the United States.”
Hawkins,
We note that courts have rejected the application of international law in the context of the execution of juvenile offenders, where a seemingly stronger argument might exist for the use of international law to prevent such actions. See Connie de la Vega & Jennifer Fiore, The Supreme Court of the United States has been Called upon to Determine the Legality of the Juvenile Death Penalty in Michael Domingues v. State of Nevada, 21 Whittier L.Rev. 215, 225-29 (1999); Ved P. Nanda, The United States Reservation to the Ban on the Death Penalty for Juvenile Offenders: An Appraisal Under the International Covenant on Civil and Political Rights, 42 DePaul L.Rev. 1311, 1336 (1993); David Weissbrodt, Execution of Juvenile Offenders by the United States Violates International Human Rights Law, 3 Am. U.J. Int’l L. & Pol’y 339, 367-69 (1988); Joan F. Hartman, “Unusual” Punishment: The Domestic Effects of International Norms Restricting the Application of the Death Penalty, 52 U. Cin. L.Rev. 655, 691-95, 699 (1983).
In
Stanford v. Kentucky,
Courts have made clear that “international law does not require any particular reaction to violations of law.... Whether and how the United States wishes to react to such violations are domestic questions.”
Estate of Ferdinand Marcos,
Courts that have considered the question of whether international law bars capital punishment in the United States have uniformly concluded that it does not.
See, e.g., Jamison,
IV
For the foregoing reasons, the judgment of the district court is AFFIRMED and Buell’s petition for a writ of habeas corpus is DENIED.
I concur in the majority’s decision to affirm the judgment of the district court in this case. I write separately, however, to indicate that I do not join in that portion of section III.B(10)(a) that treats the question of the constitutionality of Ohio’s method of execution, nor in section III.B(10)(b), involving the petitioner’s challenges to Ohio’s death penalty statute based on international law. Both questions were, as the majority opinion notes, procedurally defaulted and, in my judgment, do not warrant an advisory decision on their merits.
Notes
. Buell argues that
Leaman
involved special circumstances that limit the ruling to that case. He notes that the case involved a Sixth Circuit judge who had recused himself
after
having voting for rehearing en banc and after having participated in reargument. In its en banc opinion, this court discussed the effect of the judge's recusal. In the process, the court stated "the mere fact of recusal does not mean that the recusing judge had concluded that his recusal was mandatory.”
. Before considering this claim, we note that we review the procedural status of each of Buell’s claims at the beginning of our discussion of each claim during the course of this opinion.
. Buell chose not lo pursue an ineffective assistance of trial counsel claim on direct review. Buell included an ineffective assistance of trial counsel claim in his post-conviction petition. Since Buell was represented by the same counsel at trial and on direct appeal, it was proper for him to raise his ineffective assistance of trial counsel claims for the first time in his post-conviction petition.
See State v. Cole,
. We note that this court indicated in
Scott v. Mitchell,
"[a]though we have remained faithful to the analysis endorsed by
Maupin,
our more recent decisions have not always employed a
'Maupin
test’ per se.”
. We also note that in
Murnahan,
the Ohio Supreme Court instructed state courts- of appeal that "[i]f the court summarily dismisses the request for reconsideration, it shall state in its entry the reasons for not further reviewing the defendant's request.”
. In
Coleman,
. The judge and counsel were interpreting Ohio Rev.Code § 2929.03(D)(2), which states: If the trial jury unanimously finds, by proof beyond a reasonable doubt, that the aggravating circumstances the offender was found guilty of committing outweigh the mitigating factors, the trial jury shall recommend the sentence of death be imposed on the offender. Absent such a finding, the jury shall recommend the offender be sentenced to one of the [life sentences].
. We also note that to the extent that
Mapes
followed
Brooks,
it simply stated in dicta (having found that the petitioner’s claim was procedurally defaulted) that "the trial court misapplied Ohio Revised Code § 2929.03(D)(2) by requiring the jury to unanimously reject the death penalty before considering a life sentence.”
. Buell argues that this language becomes important when it was later discovered that one of the witnesses about whom Penrod intended to testify received treatment at a mental health center.
See infra
Section II1.B.6. However, at most, this is an error of state law that is not cognizable on habeas review.
See Estelle,
. Our holding is limited to the question of whether customary international law prevents a State from carrying out the death penalty when it is acting in full compliance with the United States Constitution. We take no position on the question of the role of federal courts to apply customary international law as federal law in other contexts, a subject of recent lively academic debate. Compare Harold Hongju Koh, Is International Law Really State Law?, 111 Harv. L.Rev. 1824, 1824 (1998) ("Customary international law is federal law, to be enunciated authoritatively by the federal courts.”) with Curtis A. Bradley & Jack L. Goldsmith, Customary International Law as Federal Common Law: A Critique of the Modern Position, 110 Harv. L.Rev. 815, 856 (1997) ("Is there domestic federal authorization for federal courts to interpret and apply [customary international law] as federal law in the wholesale fashion contemplated by the modern position? Nothing on the face of the Constitution or any federal statute authorizes such a practice.”).
. We note that in the recent LaGrand Case (Germany v. U.S.), 2001 I.C.J. - (June 27), in which the International Court of Justice found the United States to have violated the Vienna Convention on Consular Protection by not informing two German citizens sentenced to the death penalty in Arizona of their right to contact German consular officials after their arrest and conviction, the court's holding was limited to the issue of consular protection and did not discuss whether the imposition of the death penalty violates international law.
