IN THE COURT OF CRIMINAL APPEALS OF TENNESSEE
AT JACKSON
June 2, 2010 Session
STEPHEN LYNN HUGUELEY v. STATE OF TENNESSEE
Direct Appeal from the Circuit Court for Hardeman County
No. 6665 J. Weber McCraw, Judge
No. W2009-00271-CCA-R3-PD - Filed June 8, 2011
Following affirmance on direct appeal of his murder conviction and accompanying sentence
of death, State v. Hugueley, 185 S.W.3d 356 (Tenn. 2006), the Petitioner, Stephen Lynn
Hugueley, filed a pro se petition for post-conviction relief. The post-conviction court
appointed the Office of the Post-Conviction Defender to represent the Petitioner. The
Petitioner thereafter wrote the post-conviction court expressing his desire to withdraw his
petition for post-conviction relief. A competency hearing was held in November 2008. On
January 8, 2009, the post-conviction court found the Petitioner competent and entered an
order dismissing the petition for post-conviction relief. A notice of appeal was filed on
February 19, 2009. The Petitioner filed a motion to remand the matter to the post-conviction
court. The motion was predicated upon the Petitioner’s desire to proceed with any and all
available challenges to his conviction and sentence. This court entered an order concluding
that the motion to remand shall be heard contemporaneously with arguments on the merits
of the Petitioner’s Rule 3 appeal. On appeal to this court, the Petitioner presents a number
of claims related to the lower court’s determination that he was competent to withdraw his
petition for post-conviction relief, including the lower court’s denial of independent experts,
medically appropriate experts, and sufficient time to prepare. Following a thorough and
exhaustive review of the record and the applicable law, this court declines to expand the
precedent established in Pike v. State and concludes that the Petitioner may not belatedly
withdraw his decision to dismiss his petition for post-conviction relief. Additionally, this
court concludes that the post-conviction court did not err in concluding that the Petitioner
was competent to withdraw his motion. Accordingly, we affirm the judgment of the post-
conviction court.
Tenn. R. App. P. 3 Appeal as of Right; Judgment of the Circuit Court Affirmed
J OHN E VERETT W ILLIAMS, delivered the opinion of the Court, in which D AVID H. W ELLES
and C AMILLE R. M CM ULLEN, JJ., joined.
Kelly Gleason and Sara Willingham, Nashville, Tennessee, for the appellant, Stephen Lynn
Hugueley.
Robert E. Cooper, Jr., Attorney General & Reporter; Michael Moore, Solicitor General;
Angele M. Gregory, Assistant Attorney General; D. Michael Dunavant, District Attorney
General; Terry Dycus and Joe Van Dyke, Assistant District Attorneys General, for the
appellee, State of Tennessee.
OPINION
Facts Underlying the Petitioner’s Conviction
On January 17, 2002, the Petitioner was an inmate at the Hardeman County
Correctional Facility, housed in “F” pod. Correctional counselor Delbert Steed entered “F”
pod in order to counsel inmates. Mr. Steed was sitting at a table when the Petitioner
approached from behind and began stabbing Mr. Steed with a homemade weapon. The
Petitioner stabbed Mr. Steed a total of thirty-six times. The Petitioner did not cease stabbing
the victim until the handle of the homemade weapon broke. The Petitioner then laid down
on the floor and permitted correctional officers to restrain and move him. The victim was
recovered with the sharpened portion of the weapon still embedded in his back and was
transported to the infirmary.
After the incident, an Internal Affairs investigator interviewed the Petitioner. The
Petitioner was advised of his rights and agreed to waive them. The Petitioner stated his
intense dislike of the victim and informed the investigator that he had begun thinking about
killing Mr. Steed the previous Monday. The Petitioner admitted that he intended to kill the
victim by stabbing “the most vital organs first . . . the heart and the lung.”
In May 2003, the Petitioner wrote a letter to the District Attorney. In the letter, the
Petitioner averred: “I did with malicious intent premeditatedly murder Delbert Steed, and
as indicated in my statement to Internal Affairs, I have no regret or remorse for this crime and
I fully intended to kill others that day but was unable to do so because the handle on my
weapon broke.” During trial, the Petitioner described his attack on the victim as follows:
I was stabbing Counselor Steed. He was laying on the floor, stomach down. I
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was trying to drive it plumb through and hit the concrete below him. That was
my intentions. I heard the door pop behind me. I turned around and it was the
Watkins guy that testified yesterday, and a little girl named Perry. When I seen
them, I took one and a half steps toward them. At that time, I still had the
weapon in my hand. And they said, “He’s got a knife,” and slammed the door.
And they stood outside the door while I stabbed the man while he was laying
on the floor, face down, I stabbed him about eight more times trying to run it
plumb through him. They didn’t come in until when I drawed back going to hit
him again, I didn’t see nothing but a piece of pen, Magic Marker sticking out
of my hand. . . .
On cross-examination, the Petitioner stated, “In the world I live in, you die for disrespect. It
should apply to both employee and inmate.” He explained that he made the murder weapon
from a piece of metal removed from a laundry cart. He used sandpaper from a belt sander to
sharpen the point. He maintained that he would not have quit stabbing the victim if the
handle of the weapon had not broken off. He admitted that he aimed for the victim’s vital
organs.
The Petitioner acknowledged that his actions in killing the victim were both
intentional and premeditated. He also acknowledged that during his conversations with
defense counsel, he consistently maintained that he wanted the death penalty.
During the penalty phase of the Petitioner’s trial, the State introduced by stipulation
three certified judgments of conviction against the Petitioner. These judgments established
that the Petitioner was convicted of first degree murder in 1986, first degree murder in 1992,
and attempted first degree murder in 1998.
The State also presented the testimony of pathologist Dr. Smith, who characterized
the murder weapon as one that would cause significant pain “on a living, awake individual.”
He described the manner in which the victim was killed as “overkill.” Dr. Smith explained
that the term “overkill,” as used in forensic pathology, means that “there was excessive injury
done to the body far in excess of what would be necessary to cause death.”
The Petitioner waived his right to present any mitigating evidence. Following
deliberations, the jury determined that the State had proven beyond a reasonable doubt all
four of the statutory aggravating circumstances alleged, i.e., the defendant was previously
convicted of one (1) or more felonies, other than the present charge, the statutory elements
of which involve the use of violence to the person; the murder was especially heinous,
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atrocious, or cruel in that it involved torture or serious physical abuse beyond that necessary
to produce death; the murder was committed by the defendant while [he] was in lawful
custody or in a place of lawful confinement; and the murder was committed against any law
enforcement officer, corrections official, corrections employee, engaged in the performance
of official duties. T.C.A. § 39-13-204(i)(2), (5), (8), (9) (Supp. 1999). The jury further
determined that the aggravating circumstances outweighed any mitigating circumstances
beyond a reasonable doubt. The jury sentenced the Petitioner to death for the first degree
premeditated murder of Delbert Steed. State v. Hugueley, 185 S.W.3d 356, 356-68 (Tenn.
2006). The Tennessee Supreme Court set the Petitioner’s execution date for August 15,
2006.
Evidence Adduced Related to Current Proceedings
On July 24, 2006, the Petitioner filed a pro se petition for post-conviction relief in the
Hardeman County Circuit Court. As grounds for relief, the Petitioner alleged, inter alia, that
his conviction was based upon the use of a coerced confession, the use of evidence gained
pursuant to an unconstitutional search, and the failure of the prosecution to disclose evidence
favorable to the defendant; and that his counsel was ineffective. On July 31, 2006, the lower
court, pursuant to Tennessee Code Annotated section 40-30-206(a), appointed the Office of
the Post-Conviction Defender.
On October 5, 2006, the Petitioner filed, pro se, a petition to bar appointed counsel,
Kelly Gleason, and the Office of the Post-Conviction Defender from raising any issues other
than those issues raised on direct appeal. On November 3, 2006, Ms. Gleason filed a motion
for an extension of time to file an amended petition for post-conviction relief and a motion
to reschedule the post-conviction hearing date. Ms. Gleason maintained that if the extension
of time was not granted, then she would not be able to ethically represent the Petitioner.
With regard to the Petitioner’s pro se motion indicating that “all he wants raised is the stuff
that was raised on direct appeal,” the post-conviction court addressed the Petitioner as
follows:
THE COURT: Good afternoon, Mr. Hugueley. . . . I need to ask you
some questions, sir--
PETITIONER: No.
THE COURT: – to make certain that I understand what you wish to do,
sir.
PETITIONER: No. F*** you and your questions.
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THE COURT: If you choose not to answer my questions, that’s fine.
I’m going to ask them sir. My job is to make sure you
are treated fairly and I’m going to do the best that I can
to make sure that you’re treated fairly and that justice is
rendered to you.
....
THE COURT: . . . I’m here to try to make sure that your rights are
protected and that your desires are made known, and if
you choose not to cooperate, there’s nothing I can do
about that. . . . There’s been a motion that was filed for
post-conviction and then you filed a pro se petition on
October 5th which indicated that you only wanted to go
forward on certain issues and I’m trying to get some
understanding, sir, on what you wish to do.
On the petition that you filed pro se in October .
. . do you wish the Post-Conviction Defender’s Office to
represent you or do you desire to represent your own
interests?
PETITIONER: I’ve got no answer, if that’s what you’re waiting on.
....
PETITIONER: I waived my right to be at this hearing. Don’t want to be
here. Want to be back at the prison. I got better things
to do with my time than be in this f***ing courthouse.
THE COURT: All right. I understand that . . . but there is some conflict
of whether or not we should go forward on your petition
that you’re presenting.
PETITIONER: I ain’t got nothing to do with it. I’m out of it.
THE COURT: Do you want the Post-Conviction lawyers to represent
you or do you want to represent yourself, sir?
PETITIONER: It’s up to y’all. I ain’t got nothing to do with it. I’m out
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of it.
The Petitioner then responded to inquiry by the State as to his desires regarding his
post-conviction petition, stating:
. . . I don’t want them raising any issues without first having authorization
from me to raise individual, particular issues. That was the purpose of it. I
don’t want them raising mental health and all that crap unless they’ve got to
go through me to get my permission to do so first. If they are just given
absolute freedom to file anything they want on my behalf, where the hell does
it stop?
The lower court granted the Petitioner an additional sixty days in which to submit an
amended petition for post-conviction relief. Specifically, the court noted that “[t]he Court’s
view is you’ve known about this since, at the best, July so it’s not 60 days to file an amended
petition. You’ve been aware that a petition would be needed at least since July, so just let
the record clearly state the Court’s thought on that as well.” On November 14, 2006, the
post-conviction court entered an order setting the evidentiary hearing for January 29, 2007.
On January 3, 2007, counsel for the Petitioner filed an amended petition for post-
conviction relief. The amended petition primarily focused upon issues regarding the claim
of ineffective assistance of counsel. On January 10, 2007, the Petitioner again appeared
before the post-conviction court. The Petitioner’s counsel, Kelly Gleason, stated that
although an amended petition was filed, she was of the opinion that the amended petition was
not prepared “in an ethical and competent manner.” Ms. Gleason then submitted a second
request for an extension of time, noting that the Office of the Post-Conviction Defender was
short staffed and the number of pending post-conviction cases being handled by their office.
During this hearing, the post-conviction court addressed the Petitioner regarding a
letter sent to the court. The court restated the contents of the Petitioner’s letter:
Now, for my main reason of writing, when I sent the petition which I was
brought to court on, it was misunderstanding as to what my intent was and that
it is my fault because I worded it wrong. Since appearing in court on
November 4, 2006, I have been thinking about everything and with a great deal
of contemplation, I have decided that I do want to withdraw my petition for
post-conviction relief and I am requesting that I be brought before the Court
to do it as soon as possible. I am asking you to allow me to state for the record
certain things that will help the Court to understand why things have went the
way they have since my trial in September, 2003.
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The Petitioner stated that he did not wish his counsel to proceed with the amended petition.
The Petitioner indicated that he understood that he would not be able to proceed with a new
post-conviction petition if his petition for post-conviction relief was dismissed. He further
indicated that he consulted with his counsel before making this statement to the court. The
Petitioner addressed the court as follows:
I pretty much said what I had to say in the letter. I want to withdraw it and I
think there’s – the issues of why I allowed it to continue as long as it has, they
might ought to be made a part of the court record in case somebody tries to
raise it later on, on a federal level or something, to say that I’m mentally
unstable or that I make my decisions based on emotion or whatever. And I’d
like to address the mental health issue today to get that out of the way, solve
everything this one time and get it over with.
Regarding his mental health, the Petitioner stated:
The Court . . . I’d filed a motion in 2003 and requested that my psychiatric
evaluation and my IQ testing be videotaped and scaled by the Court. The
Court sealed those videos and I’m willing to allow the Court to open those
videos and allow [the prosecutor] and whoever else wants to see them, to view
them, and I’ll stand on that evaluation. I refuse any further mental health
evaluation or testing.
....
I don’t like taking tests. I don’t mind talking to people but I don’t like taking
tests and I’m not going to take another one. The Court has my testing on video
for that purpose.
The Petitioner’s counsel asserted that, at that time, she was unprepared to argue the issue of
the Petitioner’s competency and stated that the Petitioner had a long history of being
diagnosed with various severe mental illnesses. The Petitioner’s counsel requested that the
court set a future hearing to conduct proceedings under Rule 28, Rules of the Tennessee
Supreme Court.
Further discussion between the court and the Petitioner revealed that the Petitioner
was not forced to seek to withdraw his post-conviction petition, was not promised anything
in return for withdrawing his petition, was not on any type of psychotropic medication, and
was not under the influence of anything that would alter his thinking. The Petitioner made
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the following commentary:
I’m clear. I want to comment on something that she said, though, about the
signing of the July petition for the post-conviction relief. I agreed to sign that
for one reason and one reason only. I received a visit every week. I get
visitors – well, I was getting visitors every week and the warden at River Bend
said that my visitor was not going to be allowed to visit me on death watch.
So – And that was clearly contradicting what the TDOC website says about
anyone who is on approved visitor list will be allowed to visit the individual
on death watch. So I agreed to stall long enough to get it set up to where my
visitor would be able to visit me on death watch just like anybody else’s and
that was the only reason. Now my visitation problem is solved. I don’t have
to worry about that no more. So that was the whole reason behind signing the
post-conviction anyhow.
The Petitioner stated that he did not review the amended petition for post-conviction relief
because he planned to withdraw the petition. He explained that “[m]y visitation issue was
resolved so there was no need for me to read it.” The Petitioner further indicated that he no
longer desired to be represented by the Office of the Post-Conviction Defender, did not want
other counsel appointed to represent him, and did not want to continue the post-conviction
hearing.
In light of the Petitioner’s responses to questioning, the post-conviction court denied
the motion to continue the post-conviction evidentiary hearing, finding that there had been
ample time for the matter to move forward. The court took the Petitioner’s request to
withdraw the petition for post-conviction relief and the accompanying competency issue
under advisement. Counsel for the Petitioner requested permission to seek interlocutory
review of the lower court’s denial of a continuance, which was granted by the court.
On January 16, 2007, the lower court entered an order, making the following findings
of fact and conclusions of law:
. . . [The court] is satisfied that petitioner does not desire to proceed with his
post-conviction petition, understands the significance and consequences of
withdrawing his post-conviction petition[]; and is knowingly, intelligently and
voluntarily seeking to withdraw his petition. . . .
Petitioner indicated that he spoke with counsel about his desire to forego these
proceedings and is aware that withdrawing his petition will preclude filing
future petitions for post-conviction relief and will result in the court setting a
new execution date. Petitioner further indicated that he was not under the
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influence of any medication or substance that could possibly interfere with his
ability to make a clear decision. Finally, petitioner explained to the court that
he initially agreed to file a post-conviction because he was having problems
receiving visitors at the prison. He told the court that, at the time of filing the
petition, he was on “death watch” due to his impending execution date and that
he wanted more time to “straighten out” his visitation arrangements. He
contends that now his visitation has been arranged, there is no longer a need
to continue with his post-conviction. Thus, this court finds that first three
requirements of subsection (A) of the Rule appear to have been met. . . .
. . . [T]his court is constrained by the mandates of Rule 28. . . . [B]efore this
court can grant petitioner’s request, it must also find that the petitioner is
competent to decide whether to withdraw the post-conviction petition. . . .
. . . Thus, on January 29, 2007, post-conviction counsel should be prepared to
present any proof which they contend demonstrates there is a genuine issue
with regard to petitioner’s competency to withdraw his post-conviction
petition.
The Petitioner proceeded with his interlocutory appeal to this court. By order entered
January 25, 2007, this court stayed proceedings in the lower court pending disposition of the
interlocutory appeal. On June 12, 2007, this court denied the application for interlocutory
appeal and vacated the stay of proceedings in the lower court.
The Petitioner authored a letter to the post-conviction court, acknowledging the Court
of Criminal Appeals’ decision regarding the interlocutory appeal. The Petitioner further
wrote:
I have not changed my mind, I still DO NOT wish to proceed with a post-
conviction appeal therefore please keep that in mind for the next hearing you
schedule in my case.
On August 6, 2007, the Petitioner sent a pleading to the post-conviction court, the prosecutor,
Kelly Gleason, the Attorney General’s Office, and the Tennessee Supreme Court addressing
issues regarding the post-conviction petition. Specifically, the Petitioner enumerated the
following facts:
• In July 2006, the Petitioner was having problems with visitation and the
type of visits he would be receiving on “death watch.” The Petitioner’s
execution date was scheduled for August 15, 2006, and he did not have
the time to resolve these problems. Accordingly, the Petitioner “told
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Ms. Gleason that in order to STALL for time to prepare and resolve the
problems. . . I would sign the paper for permission to file post-
conviction appeals.” (emphasis in original.) The Petitioner further
related to Ms. Gleason that the visitation issue was the only reason he
was signing a petition for post-conviction relief and that he would
withdraw his petition for post-conviction relief when the visitation was
resolved.
• In November 2006, the Petitioner still had not resolved his visitation
issues. At this time, the Petitioner did not wish to withdraw his
petition, but this was only due to the unresolved visitation issues. The
Petitioner, however, took issue with the direction his appointed counsel
was taking in the matter.
• Several weeks after the November 2006 hearing, the Petitioner’s
visitation issues were resolved. The Petitioner notified the court that
he wished to withdraw his request to seek post-conviction relief.
• On January 10, 2007, the Petitioner stated in open court that he did not
wish to pursue post-conviction relief and that the visitation issues, the
sole reason for his initial filing, were resolved.
• The Petitioner disputed Kelly Gleason’s assertion to the appellate
courts that the Petitioner was “constantly changing [his] mind based on
[his] mood.” The Petitioner asserts that Ms. Gleason was aware of the
Petitioner’s intent upon his signing of the original petition.
• The Petitioner asserted that, since he did not sign the actual petition for
post-conviction relief, the court should never had accepted the petition.
Moreover, since the Petitioner did not sign the petition, there is no issue
regarding the withdrawal of the petition.
• The Petitioner should not have to go through any type of mental health
evaluation since he never signed the petition for post-conviction relief.
The Petitioner maintained that he would rely upon the 2003 mental
health evaluation. The Petitioner asserted that he would not take any
more tests, stating “the idea that a man has to take and pass a test to be
executed is insane because all one has to do is fail the test in order to
avoid execution.”
• The Petitioner disputed Ms. Gleason’s assertions that he received head
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injuries from a motorcycle accident.
On August 29, 2007, the post-conviction court conducted proceedings relative to the
determination of the Petitioner’s competency to withdraw his post-conviction petition. The
post-conviction court addressed the Petitioner concerning correspondence received by the
court and the prosecutor. Specifically, the post-conviction court delineated the following
documents authored by the Petitioner:
• October 5, 2006: a motion to ban the Office of the Post-Conviction
Defender from raising issues other than those raised on direct appeal.
• December 5, 2006: a letter to the court clarifying the Petitioner’s
position regarding the case.
• June 22, 2007: a letter to the court acknowledging that the Court of
Criminal Appeals had lifted the stay and that the Petitioner did not wish
to proceed with his post-conviction petition.
• July 29, 2007: a letter to the prosecutor acknowledging that the Court
of Criminal Appeals had lifted the stay and that the Petitioner did not
wish to proceed with his post-conviction petition.
The post-conviction court acknowledged that the Petitioner had indicated in a series
of letters that he wished to withdraw his petition for post-conviction relief. In response to
questioning regarding his satisfaction with his representation by the Office of the Post-
Conviction Defender, the Petitioner stated:
I don’t have a problem with Ms. Gleason. She’s a fine lawyer. I informed her
back in July of last year that there were some issues concerning my visitation
on death watch and I agreed to sign the petition for post-conviction relief long
– to just stop everything that was going on, give me time to solve the problems
that were up about the visitation on death watch. And I told her specifically,
when those problems are resolved and I know they’re resolved, I will withdraw
my petition for post-conviction relief. That has never been a question about
it. I stated that to her up front. So it shouldn’t come as a surprise.
When I found out that my visitation problems were resolved in late
November, I wrote the Court and told that I wanted to withdraw the petition
for post-conviction relief. I told her the same thing over the telephone, and it
shouldn’t have been a shock.
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The Petitioner further maintained that, since November 2006, he had repeatedly advised his
attorneys that he wished to withdraw his petition for post-conviction relief.
Ms. Gleason informed the court that the Petitioner had not been steadfastly interested
in dismissing his petition, rather his intent fluctuated depending upon his moods or his wants.
She also related an episode during which the Petitioner smeared feces in his cell. The
Petitioner responded to Ms. Gleason’s characterization, stating:
Number one, the visitation issue she’s talking about, it was with a longtime
fiancee, on again, off again. The question surrounding the visitation was, she
was visiting me every week at Brushy Mountain. I was told that she would not
be able to visit me while I was on death watch. In order for her to visit on
death watch, I told her – the woman in question – that I will stall long enough
to resolve the issue and get approval for you to visit while on death watch
‘cause it was important to her and I was willing to do that. I done it.
In November we did split up. . . . We’re still friends and she’ll do
anything in the world for me. So it’s nothing to do with I’m heartbroken or
distraught. . . . We split up 15 times over ten years. So the whole issue was,
was the visitation. Well, obviously, since we split up, there’s no issue of
visitation on death watch. So the problem was resolved by her. . . .
And the issue in March . . . what she fails to realize and what she
doesn’t know because I didn’t tell her, there were several other inmates
involved in that issue and it was a form of protest against certain actions at
Brushy Mountain. . . . There’s been no other issues like that and it was
adopted from an Irish incident that occurred in one of the IRA prisons and we
just took something from them and duplicated it at Brushy Mountain as a form
of protest.
I’ve not changed. I can produce a witness right now that will tell you
that what I told you a moment ago that when I signed the post-conviction
papers in July, my intent was to stall long enough to resolve the visitation
problem and the witness will tell you that’s been my stated goal from July until
now. It’s not changed. She visits with me very regular, so she’s had the
opportunity to talk to me face-to-face and see that I’m rational and I have
conversations where I do not rattle, intelligent conversations about the Bible
and history and music and many other subjects.
On December 3, 2007, the lower court entered an order regarding correspondence
from the Petitioner expressing his desire to withdraw his petition for post-conviction relief
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and to terminate further review of his post-conviction claims. The order recounted the
procedural history in this matter. The order further related the Petitioner’s correspondence
with the court, including: (1) the October 5, 2006 letter in which the Petitioner requested that
the court prevent appointed counsel from raising any issues other than those issues raised on
direct appeal; (2) the December 5, 2006 letter in which the Petitioner complained about the
method of transportation from Brushy Mountain Correctional Center to Hardeman County
and further indicated that he wished to withdraw his petition for post-conviction relief; (3)
the June 22, 2007 letter acknowledging the Court of Criminal Appeals’ order vacating the
stay of proceedings and asserting that the Petitioner did not wish to proceed with a post-
conviction petition; and (4) the July 29, 2007 letter indicating that the Petitioner only signed
the petition for post-conviction petition in order to resolve issues regarding visitation and that
since the visitation issues were resolved, he no longer wished to pursue post-conviction
relief. The lower court determined that “a genuine issue exists as to competency.” The court
ordered “a full competency evaluation of [the] petitioner” and ordered that both the State and
the Petitioner submit to the court a list of mental health professionals to perform an
evaluation of the Petitioner’s competency to withdraw his petition for post-conviction relief.
The court further ordered:
. . . should petitioner wish to continue with post-conviction review, he should
inform this court of his intentions in writing. Counsel shall inform petitioner
that a decision to proceed with post-conviction will be final. Should petitioner
decide to proceed, this court will not entertain any subsequent request to
withdraw his post-conviction petition.
On January 23, 2008, the post-conviction court entered an order appointing Dr. John
Hutson, a clinical psychologist, and Dr. Peter Brown, a clinical psychiatrist, to evaluate the
Petitioner to determine if he is competent to waive post-conviction review. On February 6,
2008, the post-conviction court entered an order granting the Petitioner’s request for an
extension of time in which to perform a mental health evaluation of the Petitioner.
On June 30, 2008, the Petitioner sent the post-conviction court a letter requesting that
the court remove Kelly Gleason, Alison E. Roberts, and the Office of the Post-Conviction
Defender from his case. The Petitioner further requested that he be permitted to proceed pro
se. The Petitioner stated that he has been consistent in his desire not to proceed with his
post-conviction petition. The Petitioner asserted that he has been declared competent by
every mental health professional who has evaluated him since 2003. The Petitioner further
declared that he was found competent by a mental health professional in March 2008.
Additionally, the Petitioner stated:
. . . this court has the opportunity to dramatically shorten this process by
granting my request to have the post-conviction defenders [sic] office removed
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from my case and allowing me to represent myself; should this court fail to
grant my request it would only add needless delays, because if the post-
conviction defender’s office is allowed to continue representing me they will
appeal the dismissal of my petition for post-conviction relief[.]
On July 8, 2008, the Petitioner again wrote to the post-conviction court. The
Petitioner reiterated his position to not proceed with his post-conviction petition and other
allegations as stated in the June 30, 2008, letter. Contemporaneously, the Petitioner filed a
motion relating this request. In the motion, the Petitioner stated that:
The petitioner believes that the appointed counsel does NOT have his best
interest in mind or at heart, they are anti-capital punishment and their ONLY
interest is preventing any individual from being executed no matter the crime;
Their interest in the individual and his/her life stops once the individual no
longer faces the possibility of being executed. . . . Truthfully, I do not care
about what is in the best interest of everyone else, at this time I only care about
what is in my best interest and I believe that only I, not some attorney with an
agenda or a god complex, can do what is in my best interest which is why this
court should grant this motion.
On July 24, 2008, the post-conviction court entered an order concluding that Dr. Brown was
unable to expeditiously perform an evaluation of the Petitioner. The court ordered strict time
limits for completing the evaluations. On August 1, 2008, the post-conviction court
appointed Dr. Bruce Seidner to evaluate the Petitioner’s competency.
During a competency hearing November 14, 2008, Dr. Seidner, a licensed clinical
psychologist, testified that he was appointed by the court in August 2008, to evaluate the
Petitioner’s competency to withdraw his petition for post-conviction relief. Dr. Seidner
reported that he met with the Petitioner on August 27 and 28, 2008. He utilized the PAI,
which is a self-report inventory, and administered a test of malingering called the VIP. Dr.
Seidner also administered the Wisconsin Card Sort Test and the Wechsler Adult Intelligent
Scale, 3rd Edition. As a result of this testing, Dr. Seidner opined that the Petitioner “presents
as really quite capable.” Dr. Seidner determined that the Petitioner was not struggling with
depression and talked about the Petitioner’s self-responsibility and self-interests. Dr.
Seidner concluded that there was no impairment of the Petitioner’s capacity.
The Petitioner’s counsel elicited responses from Dr. Seidner delineating the
differences between a psychologist and a neuropsychologist. Dr. Seidner acknowledged that
Dr. Pamela Auble was a neuropsychologist and had administered different tests during her
evaluation of the Petitioner in 2003. Dr. Auble did not conclude that the Petitioner was not
competent. Dr. Seidner noted, however, that while he was not a neuropsychologist, there was
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no trauma or brain disease evident from Dr. Auble’s evaluation in 2003, which would
necessitate the need for evaluation by a neuropsychologist in 2008.
Dr. Seidner related that, upon contacting Brushy Mountain on August 25, 2008, he
was advised by the unit manager that the Petitioner refused to take any tests and requested
no-contact visitation. Dr. Seidner explained that while he did meet with the Petitioner, they
were separated by a glass partition. Dr. Seidner related that the Petitioner was operating at
a fourth grade level. He also related that the Petitioner’s score indicated a high risk for
suicide. However, Dr. Seidner rejected any conclusion that the Petitioner was “extremely
depressed and suicidal.” While he conceded that he had noted that the Petitioner wanted to
commit “suicide by State,” Dr. Seidner also acknowledged that the Petitioner had stated that
“he’s not suicidal.” Dr. Seidner explained the apparently-conflicting statements:
[The Petitioner] does not want to live on death row. Suicide is an unfortunate
and . . . rather permanent solution to a temporary problem. There are people
who have a permanent problem and there’s no solution. . . . He’s been
sentenced to death . . . and he has weighed his self interests in terms of
challenging this and what he would get, which is continued decline and a life
on death row[,] which he has rejected. . . .
Dr. Seidner further noted that Dr. Keith Caruso made the distinction clear in his 2003
report when he discussed that the Petitioner was unhappy about his situation. Dr. Seidner
acknowledged the Petitioner’s history of contradictions and history with the criminal justice
system. Dr. Seidner related that the Petitioner went to trial in 2003, rather than pleading
guilty. The Petitioner then attempted to abandon his appeals. In 2005 and 2006, the
Petitioner made statements that he was not filing a petition for post-conviction relief. In
2006, he made statements to the media that he was looking forward to his execution. He then
filed a petition for post-conviction relief, which he later asked the judge to dismiss. Dr.
Seidner described the Petitioner as dismissive of psychiatrists and psychologists. He stated
that the Petitioner described himself as manipulative. Dr. Seidner conceded that the
Petitioner’s father committed suicide and that the Petitioner had a very dysfunctional
childhood. Additionally, he acknowledged a history of mental illness in both his paternal and
maternal family members.
Dr. Seidner reported that the Petitioner described his current living conditions as
“sensory deprivation – breaks people mentally and physically . . . it’s torture.” Dr. Seidner
had no knowledge that another inmate in the Petitioner’s unit had committed suicide and that
only two other death row inmates were housed at Brushy Mountain. Dr. Seidner was
questioned regarding the Petitioner’s destruction of two television sets and treasured personal
items. Dr. Seidner noted that this behavior was “not impulsivity;” rather, the actions were
“egregious and dramatic manipulation.” Dr. Seidner remarked that the Petitioner “knows
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exactly what he is doing.”
Dr. Seidner acknowledged that on July 15, 1981, a report indicated that “Stephen
Hugueley directs destructiveness to himself, head banging, cutting and low impulse control.”
He acknowledged that on January 15, 1983, when the Petitioner was fourteen years old, a
report indicated that the Petitioner was transferred from one juvenile institution to another,
noting that the Petitioner “attempts to inflict self injury and self mutilation.” While a
juvenile, the Petitioner was medicated with Mellaril, Haldol, Thorazine, Elavil, and
Sinequan, all of which are classified as antidepressants. Dr. Seidner also acknowledged a
psychiatric report from November 23, 1983, documenting at least two incidents of self-
injurious behavior after which the Petitioner requested to be isolated. At this time, the
Petitioner also indicated that he had huffed inhalants, had engaged in chronic substance
abuse, heard voices telling him to do things, thought about suicide, and was depressed and
angry. On December 9, 1983, the Petitioner was placed in medical isolation because he tried
to hang himself twice with a sheet. At this time, the Petitioner reported family problems and
that voices told him to kill his mother. In a report dated June 8, 1984, the Petitioner was
certified as severely emotionally disturbed, a finding necessary to qualify for special
education services. Four days later, following a disagreement with a girlfriend, the Petitioner
was admitted to the hospital following ingestion of several pills with alcohol. On November
25, 1984, a report indicated at least six incidents of self-inflicted wounds resulting from the
Petitioner’s swallowing thumb tacks. Dr. Seidner acknowledged that the Petitioner was
admitted to the hospital on February 26, 1986, and again on February 28, 1986, from
overdoses of Sinequan. He noted, however, that the reports indicated that these overdoses
were “not being anything more than a gesture and manipulative.”
Dr. Seidner stated that a CAT scan of the Petitioner on July 25, 1986, revealed an
osteolytic lesion on the right rear juncture of the frontal and temporal lobes. On October 31,
1986, the Petitioner was admitted to the Tennessee State Prison hospital with a history of
recurrent auditory hallucinations. The Petitioner had surgery to remove the tumor. On
February 23, 1987, the Petitioner complained of blackouts and weakness in his left arm and
leg.
On August 16, 2007, Dr. Pamela Auble provided an affidavit in which she stated that
she performed a neuropsychological evaluation of the Petitioner, as authorized by the trial
court in 2003. She noted that the Petitioner had a long history of psychiatric illness,
including major depression, suicide attempts, and hallucinations. Dr. Auble concluded that
the Petitioner’s ability to engage in abstract reasoning was variable. She noted that a medical
record indicated that a right frontal tumor was removed in 1986, without damage to the
Petitioner’s brain. Due to symptoms in his left arm and leg and the Petitioner’s self-report
of frequent headaches, Dr. Auble recommended medical imaging of the brain to rule out a
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recurrence of the tumor. Dr. Auble further noted that “[c]ompetency is not static, but rather
a function of the individual’s present state.” Dr. Auble concluded that she was unable to
“venture an opinion on [the Petitioner’s] present competency” because she had not seen him
in four years.
Dr. Seidner remarked that Dr. Auble did not state that the Petitioner lacked
competence. Rather, Dr. Auble noted that she observed signs that could potentially be a
problem. Dr. Seidner stated that Dr. Auble found a deficit in motor speed and finger tapping
and related these deficits to the tumor which was removed.
The Petitioner’s counsel introduced an affidavit establishing that Dr. Seidner’s
medical license expired on September 30, 2008. Dr. Seidner conceded that he had apparently
failed to send a check for his licensing fee. The Petitioner’s counsel then moved the court
to strike both Dr. Seidner’s report provided to the court on October 31, 2008, and his entire
testimony. Dr. Seidner responded that he was still on faculty at the University of Tennessee
and was still an expert in any number of matters for the court. He further stated that he could
rectify this problem “online during a break.” An affidavit submitted on December 1, 2008,
by Melody Spitzas, the records custodian relating to licensure for psychologists in Tennessee,
reflected that Dr. Seidner’s license expired on September 30, 2008. Dr. Seidner renewed his
license online on November 15, 2008. The affidavit further reflected that “there is a board
policy that gave Dr. Seidner a ninety (90) day grace period after his license expired during
which he could renew without penalty.”
On August 20, 2007, Dr. Keith Caruso, through affidavit, stated that he evaluated the
Petitioner in June 2003. Dr. Caruso recommended a CT scan due to the removal of a tumor
when the Petitioner was eighteen years old. Dr. Caruso concluded that the Petitioner met the
criteria for several disorders, including Intermittent Explosive Disorder. Dr. Caruso added
that the Petitioner suffers from instability in his relationships, affect, impulse control, anger
modulation, and sense of personal identity. The Petitioner has a history of suicidal ideation
and self-injury and is prone to paranoid ideation and transient psychotic symptoms under
stress. The competency of individuals such as this can wax and wane depending upon the
circumstances. Dr. Caruso noted that he could not offer an opinion as to the Petitioner’s
present competency because he has not seen him in more than four years but stated that it
would be prudent to reassess his current competency based upon prior evaluations.
On January 8, 2009, the post-conviction court entered an order dismissing the petition
for post-conviction relief. The order reflected the procedural history of this matter, including
the Petitioner’s letters to the court expressing his desire to withdraw the petition for post-
conviction relief. Specifically, the post-conviction court entered the following findings of
fact and conclusions of law:
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At an initial status hearing . . . this court inquired whether it was petitioner’s
desire to persist with his motion to withdraw his post-conviction petition.
Petitioner responded that he wished to forego any further appeal of his
conviction and sentence and stated that he was aware of the consequences of
his actions. Petitioner indicated that he never intended to pursue post-
conviction review. He stated that he had consented to the filing of his post-
conviction petition in order to allow him time to resolve problems he was
having with his visitation rights at the prison. He stated that those matters had
been resolved; thus, he no longer wished to move forward with the pending
litigation.
Again, prior to the start of the actual hearing to determine if a “genuine
issue” as to competency existed, the court again inquired whether petitioner
desired to withdraw his post-conviction petition and petitioner again indicated
his desire to withdraw the petition. . . . Petitioner’s responses were coherent
and showed not only a clear understanding of the post-conviction process; but,
also demonstrated a remarkable ability to manipulate and bend the system to
accommodate his needs and desires. . . .
....
At the “genuine issue” hearing, counsel for petitioner was permitted to
present proof which she argued demonstrated there was a “genuine issue” as
to petitioner’s competency to withdraw his post conviction petition. . . . She
informed the court that petitioner had a history of mental illness and brain
damage. . . . [She] did reveal an incident in March of 2007, where petitioner
was disciplined for smearing feces on the walls of his cell. . . .
....
. . . The court allowed the petitioner to address counsel’s assertions on the
record and petitioner indicated that he could produce witnesses who would
testify that he is rational and could say that he has not changed his mind on the
issue of withdrawing his post-conviction petition. With regard to the incident
alluded to by [petitioner’s counsel] regarding petitioner being disciplined for
smearing feces on the walls of his cell, petitioner explained that such action
was a form of protest over what he and other inmates perceived as
mistreatment by the guards. . . . He claimed his actions were a form of civil
disobedience aimed at forcing changes in prison policy. . . .
....
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. . . [T]his court found . . . a genuine issue existed as to whether petitioner is
competent to withdraw his post-conviction petition. . . . Thus, pursuant to
Rule 28, this court ordered the parties to submit a list of mental health experts
who could perform a timely evaluation of the petitioner’s present competence.
The post-conviction court related that the court appointed Dr. Hutson, a clinical
psychologist, and Dr. Brown, a psychiatrist, to evaluate the Petitioner for competency. Dr.
Hutson timely submitted a report in which he indicated that he found the Petitioner was
competent to waive post-conviction review. The court later learned that Dr. Hutson had
mistakenly been compensated with funds from the Tennessee District Attorney General’s
Conference. Although the court found the State made no attempt to influence Dr. Hutson’s
opinion, the court ruled that Dr. Hutson’s report would be disregarded. Dr. Brown failed to
begin the evaluation six months after appointment and indicated that he would need an
additional seven months. In light of the delay, the court appointed Dr. Seidner to evaluate
the Petitioner. Dr. Seidner found the Petitioner competent to withdraw his petition for post-
conviction review. Notwithstanding, “out of an abundance of caution,” the post-conviction
court scheduled an evidentiary hearing as to competency of the Petitioner.
Regarding the status of Dr. Seidner’s license, the post-conviction court found that Dr.
Seidner’s license was never suspended since he paid his fee within the sixty-day grace period
provided in Tennessee Code Annotated section 63-11-218.1 The court thus found that “Dr.
Seidner’s failure to timely pay the renewal fee did not affect the validity or legitimacy of his
testimony in any way and did not compromise his status as a properly appointed expert under
[Tennessee Supreme Court Rule] 28 or the Tennessee Rules of Evidence.” The post-
conviction court continued to provide a summary of the Petitioner’s medical and psychiatric
history relating that:
At the age of ten, petitioner set his house on fire and was evaluated by mental
health professionals of Northwest Tennessee Mental Health Center. While in
juvenile custody, the petitioner’s I.Q. was evaluated and he was found to have
a full scale I.Q. of 78. Three years later, Petitioner was diagnosed as
“socialized aggressive”. . . . In 1983, he was given the Standford-Binet I.Q.
test and was found to have an I.Q. of 77. Later that year, he was evaluated by
Tom Biller, Ed.D. . . . Biller found petitioner has “deeply rooted antisocial
tendencies.” In 1986 the petitioner killed his mother and was diagnosed with
“sociopathic personality disorder.” He was later referred to Midtown Mental
1
Although the affidavit of Melody Spitzas states that Dr. Seidner had a ninety-day grace period to
renew his licence, Tennessee Code Annotated section 63-11-218 provides for a sixty-day grace period. This
discrepancy was not resolved by the post-conviction court.
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Health Institute (MTMHI), where he was found competent to stand trial.
In August of 1986 doctors discovered a benign tumor on the right side
of petitioner’s skull. At the same time, petitioner was diagnosed with
substance abuse and antisocial personality disorder. Notes from MTMHI
indicate that the “CT abnormality had nothing to do with [petitioner’s]
thinking.” Later in 1986, the petitioner had surgery to remove the tumor in his
front/parietal bone. Notes from Meharry Hubbard Hospital indicate that
follow up testing revealed a small tumor in the right posterior bone: however,
petitioner refused further surgery. A later EEG showed normal functioning
and “no evidence of brain damage.” Additionally, a later CT scan was
negative for tumor.
Tennessee Department of Correction records indicate that the Petitioner
has been previously diagnosed with intermittent explosive disorder and
antisocial/narcissistic personality disorder. In January of 2002, petitioner
killed a prison counselor. In 2003 . . . Petitioner was evaluated by Pamela
Auble, a clinical neuropsychologist. Dr. Auble found that petitioner’s
“estimated intelligence fell within the average range.” . . . Dr. Auble indicated
that she had ruled out depressive disorder and psychotic disorder. However,
she found petitioner may be suffering from antisocial personality disorder and
indicated she could not rule out borderline personality disorder. Finally, Dr.
Auble found petitioner had no “widespread compromise in functioning.” . . .
Her reports indicate that, at the time, petitioner had a full scale IQ of 98. She
noted that “the tumor that was removed in 1986 . . . without damage to the
brain.”
During this period, petitioner was also evaluated by Dr. Keith Caruso,
a clinical psychologist. . . . [I]n 1995, petitioner was diagnosed with
Delusional Disorder, Persecutoriy Type. . . . Dr. Caruso states that he found the
petitioner’s thought processes “were linear, logical and goal-directed.” . . . Dr.
Caruso stated that the petitioner later indicated that he was not suicidal; but,
had “no intention of living 30 to 40 years in prison.” Dr. Caruso found “no
evidence of delusions or perceptual disturbance.” . . .
Dr. Caruso concluded that the petitioner suffered from Intermittent
Explosive Disorder, which he described as “a severe mental disease;”
however, he found the petitioner was competent to stand trial.
Based upon this evidence, the court declined to find that the Petitioner’s then-current
comments or desires indicated that he suffered from a mental disease or defect in the form
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of chronic severe depression. In addition, the court did not conclude that the Petitioner was
suicidal or suffered from some other disorder or defect that might affect his ability to make
a rational choice to withdraw from further post-conviction review of his conviction and
sentence. The court continued to find that:
Even if this court were to find petitioner does indeed suffer from a
mental disease or defect either in the form of chronic, severe depression; brain
abnormality or injury; or some other psychological malady, because this court
finds that such mental disease or defect does not prevent petitioner from
understanding his legal position, the court would nonetheless find petitioner
is competent to withdraw his post conviction petition.
. . . [T]his court finds petitioner has a broad grasp of the legal ramifications of
his decision. [T]he petitioner has demonstrated a detailed understanding of the
sentence he faces, the ramifications of withdrawing his current petition for
post-conviction relief, and the legal procedures associated with such a
decision.
The lower court further noted that the “petitioner appears particularly adept at manipulating
the system to suit his purpose. Thus, his choices appear both cogent and rational.” Finally,
the lower court determined that “even if it were to presume petitioner suffers from some
mental disease or defect, any such affliction has not compromised petitioner’s ability to make
a rational choice amongst the legal options available to him.”
On February 9, 2009, the Petitioner, through counsel, filed a notice of appeal. On
May 24, 2010, the Petitioner’s counsel filed an appeal on his behalf raising numerous
challenges to the process by which the post-conviction court found him to be competent and
asserting that this finding was erroneous. On July 6, 2009, the Petitioner wrote a letter to the
State threatening that the State’s failure to provide him with “daily” telephone contact with
his attorneys would result in his “attempt to proceed with post-conviction appeals.” The
Petitioner further asserted that he would throw a “monkey wrench” into the process if his
request was not honored. His motion for such telephone access was later denied by this
court.
On August 10, 2009, the Petitioner signed an affidavit stating that “as I have informed
my attorneys, I want to resume post-conviction proceedings and pursue all legal claims from
my conviction and death sentence.” On August 14, 2009, the Petitioner, through counsel,
filed a motion to remand his appeal back to the lower court in light of the Petitioner’s “desire
to resume his post-conviction proceedings and pursue all legal avenues to challenge his
conviction and sentence.”
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In his motion to remand, the Petitioner acknowledged that, “pursuant to Pike v. State,
164 S.W.3d 257 (Tenn. 2005), a post-conviction petitioner has thirty days to reinstate his
post-conviction petition after the court has allowed the petitioner to withdraw it” and
conceded that his request to reinstate his petition for post-conviction relief was filed too late
under this standard. Nonetheless, the Petitioner requested this court to waive the thirty-day
Pike deadline in the interests of justice and judicial economy. The Petitioner asserted that
strict adherence to the Pike deadline did not respect him as an individual, especially “where,
as here, th[e] individual is brain-damaged and living in an inherently coercive environment
which substantially impacts his ability to make voluntary decisions.” The Petitioner also
raised complaints about the post-conviction court’s repeated denials of his requests to appoint
a neuropsychologist. This court called for a response to the Petitioner’s motion to remand
from the State.
On August 20, 2009, the Petitioner filed a pro se petition for habeas corpus relief in
federal court, seeking to have his conviction and sentence declared unconstitutional.
Thereafter, the Petitioner filed a motion to supplement his motion to remand with the
pleadings filed in federal court, asserting that the pleadings exemplified his desire to pursue
all available legal remedies. This court granted the Petitioner’s motion. Soon thereafter, by
order dated November 24, 2009, this court ordered that “in the interests of judicial economy,
the Petitioner’s motion to remand shall be heard contemporaneously with argument on the
merits of the Petitioner’s Rule 3 appeal of the lower court’s January 8, 2009, order finding
Petitioner Hugueley competent and dismissing his petition for post-conviction relief.”
On June 2, 2010, this court heard oral argument on both matters. Following careful
review of the record, factual and legal issues, and the applicable law, we hereby deny the
Petitioner’s motion to remand and affirm the judgment of the post-conviction court in all
respects.
I. Petitioner’s Motion to Remand to the Post-Conviction Court
In his motion to remand, the Petitioner urges this court to hold that the thirty-day
limitation period established by the Tennessee Supreme Court in Pike for a defendant to
revoke a request to withdraw a post-conviction petition has been tolled in his case because
he suffers from brain damage and mental illness and because his decision to withdraw his
petition was made while in an “inherently coercive” environment.” See State v. Huddleston,
924 S.W.2d 666, 670 (Tenn. 1996) (“Without question, incarceration for any period of time
is inherently coercive. The custodial environment has been described as carrying a badge of
intimidation though not physical which is equally destructive of human dignity.”) (internal
quotations omitted). In this regard, the Petitioner draws our attention to Groseclose ex rel.
Harries v. Dutton, 594 F. Supp. 949, 956 (M. Dist. Tenn. 1984), which held that a
combination of the Petitioner’s pre-existing mental illness and the conditions of his
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confinement rendered him incapable of making a knowing, voluntary, and competent
decision to waive further appeals of his death sentence.
However, because the mental health and competency of virtually any petitioner
seeking to revoke a request to withdraw his or her post-conviction petition will be at issue
and because any such petitioner will invariably be incarcerated, the Petitioner’s seemingly
case-specific request for tolling is, in fact, tantamount to a request that this court replace the
bright-line rule established by the Tennessee Supreme Court in Pike with a more flexible
standard of our own devising. This we cannot and will not do.
In Pike, the Tennessee Supreme Court addressed the issue of whether a capital
defendant could reinstate post-conviction proceedings after voluntarily withdrawing a
petition for post-conviction relief. 164 S.W.3d at 262. The Petitioner in that case, Christa
Gail Pike, stood convicted of first degree murder and had been sentenced to death for the
killing of a fellow student at the Job Corps Center in Knoxville. Her conviction and sentence
were affirmed on appeal, and the United States Supreme Court denied her petition for a writ
of certiorari. State v. Pike, 978 S.W.2d 904 (Tenn. 1998), cert. denied, 526 U.S. 1147
(1999). On June 3, 1999, Pike timely filed a petition for post-conviction relief. During a
hearing on June 25, 2001, Pike advised the trial court of her desire to withdraw her petition
for post-conviction relief and to set an execution date. On September 4, 2001, Pike
submitted a letter to the trial court reiterating her desire to withdraw her post-conviction
petition and to schedule an execution date. At an October 2001 hearing, the trial court
concluded that Pike had the right to withdraw her post-conviction petition as long as she was
competent. Pike, 164 S.W.3d at 260. The trial court appointed Dr. William Kenner to
conduct a psychiatric evaluation and later conducted an evidentiary hearing to determine
Pike’s competency. Following that hearing, “[t]he trial court found that Pike had freely and
voluntarily decided to withdraw her petition and to waive post-conviction review. The trial
court commented [that] Miss Pike has the right as a competent individual . . . to make a
decision about her case, whatever [anyone else may] feel about that decision, and [granted]
her . . . motion to withdraw her appeals.” Id. (internal quotations omitted).
Twenty-nine days after the trial court granted Pike’s request to withdraw her petition,
she performed an about-face, attempted to revoke her withdrawal, and sought to have her
post-conviction petition reinstated. The post-conviction court denied her request, and this
court affirmed. Thereafter, the Tennessee Supreme Court granted permission to appeal and
reversed.
The Pike Court held that post-conviction review of death sentences was not
mandatory, see id. at 262, and that such review could not be carried out over the objection
of a competent death-sentenced inmate, see id. at 264. The court then considered the
circumstances under which a competent waiver of post-conviction review might be revoked.
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The court observed that there was no then-existing procedure regarding such revocations.
Id. at 265-66. However, the court recognized that it possessed the inherent power to fashion
appropriate rules of procedure and elected to fashion such a rule to govern withdrawals of
waivers of post-conviction review. Id. at 266. The court held that “a death-sentenced inmate
whose request to waive post-conviction has been granted must be allowed thirty days from
the trial court’s order dismissing the petition to revoke the waiver.” Id. at 266-67 (footnote
omitted).
The Pike decision is silent with respect to whether, and under what circumstances, this
thirty-day period may be tolled. However, if such tolling is permitted, it would certainly not
be for circumstances so ubiquitous as to render the general rule meaningless. The facts the
Petitioner urges on us in support of tolling – his “coercive” incarceration and mental health
issues – would apply to virtually every petitioner who might seek to withdraw a waiver. If
we were to hold they serve to justify a tolling of the Pike thirty-day period without more, we
would essentially render the Pike rule a nullity and, instead, be forced to review each request
to withdraw on a case-by-case basis to determine if we believed tolling was appropriate and,
if so, for what time period. If the Tennessee Supreme Court had intended for lower courts
to review these requests on a flexible case-by-case basis, it could simply have held so in Pike.
Rather, the Pike Court adopted a bright-line thirty-day rule.
We believe the Pike Court made clear that the rule being established therein was
“limited in scope.” Id. at 267. When it granted relief to Ms. Pike, the court emphasized that
she had not previously waived or attempted to waive post-conviction review, explaining that
“[h]ad she done so, a very different case would have been presented.” Id. The court further
instructed that its “holding does not afford, and should not be applied to afford,
death-sentenced inmates a means by which to manipulate and to delay the judicial process.”
Id. For this court to hold that the Pike rule has been tolled on the facts of this case would be
to completely disregard these cautionary instructions. It would expose the rule to extreme
misuse at the hands of death-sentenced inmates, who will always be able to mount an
argument that their incarceration robbed them of their free will and that the post-conviction
court erred in finding them competent notwithstanding their claims of suffering from mental
ailments.
We note that the Petitioner threatened to proceed with his post-conviction appeals and
throw a “monkey wrench” into the judicial process if he was not provided with daily
telephone calls to his counsel. In his letter to the Attorney General’s office dated July 6,
2009, the Petitioner specifically demanded that he be permitted to speak via telephone to his
counsel one to two hours per day and to his friends and family for an unspecified amount of
time on a daily basis. The Petitioner maintained that if the matter was not resolved
“EXACTLY” as outlined in the letter by July 23, 2009, he would seek to “resume [his]
appeals.” The deadline passed without the Petitioner’s demands being met. Shortly
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thereafter, on August 10, 2009, the Petitioner signed an affidavit stating that he wished to
resume his post-conviction proceedings.
Accordingly, by the Petitioner’s own admission, his decision to resume post-
conviction proceedings may be understood as a part of the Petitioner’s continuing course of
conduct of attempting to manipulate the system and protest the conditions of his
incarceration. The Petitioner initially sought post-conviction relief so he could continue
visitation with his then girlfriend. He spread feces on the wall of his jail cell to protest
conditions at the jail. The Petitioner now seeks to protest the limitation placed by the prison
on his telephone use by seeking to resume post-conviction proceedings. Such a manipulation
of the system runs afoul of the Tennessee Supreme Court’s ruling in Pike and presents the
very situation that the Pike Court cautioned against.
The limited holding in Pike created a “single thirty-day period to unilaterally revoke
an initial waiver of post-conviction review” by capital defendants. In the present case, the
lower court entered an order on January 8, 2009, dismissing the petition for post-conviction
relief. Under the rule in Pike, the Petitioner had until February 7, 2009, to file a revocation
of the waiver. The Petitioner did not do so. This court defers to and is bound by the rulings
of the Tennessee Supreme Court. We decline the invitation to expand the thirty-day period
in which revocation of the initial waiver is permissible. Accordingly, the Petitioner’s motion
to remand the matter to the lower court to resume post-conviction proceedings is DENIED.
II. The Petitioner’s Claim that the Post-Conviction Court Did Not Provide a Full
and Fair Competency Hearing and Erred in Finding that He Was Competent to
Withdraw His Post-Conviction Petition
Tennessee Supreme Court Rule 28, section 11 delineates procedures which trial courts
must follow when a death-sentenced inmate seeks to withdraw a post-conviction petition and
to waive post-conviction review. When a death-sentenced petitioner seeks to withdraw a
post-conviction petition, the trial court must address the petitioner in open court and ascertain
that the petitioner: (1) does not wish to proceed with the post-conviction proceedings; (2)
“understands the significance and consequences of withdrawing the post-conviction
petition”; (3) “is knowingly, intelligently, and voluntarily, without coercion, withdrawing the
petition”; and (4) is competent to make the decision to withdraw the petition. Tenn. Sup. Ct.
R. 28, §11(A).
The standard for determining a petitioner’s competency to withdraw a post-conviction
petition and waive further post-conviction proceedings is: “whether the petitioner possesses
the present capacity to appreciate the petitioner’s position and make a rational choice with
respect to continuing or abandoning further litigation or on the other hand whether the
petitioner is suffering from a mental disease, disorder, or defect which may substantially
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affect the petitioner’s capacity.” Id. at (B)(1). Competency to withdraw a post-conviction
petition and waive post-conviction relief is presumed. Id. at (B)(2). However, if a genuine
issue regarding the petitioner’s present competency arises, the trial court shall enter an order
appointing one or two mental health professionals from lists submitted by the State and the
petitioner’s counsel. Id. The appointed mental health professionals are to evaluate the
petitioner to determine competency and file written evaluations within ten days of the
appointment unless good cause is shown for later filing. Id.
If a genuine issue regarding the petitioner’s present competency exists after the mental
health professionals have filed their evaluations, the trial court shall hold an evidentiary
hearing to determine the petitioner’s competency. Id. at (B)(3). Following the hearing, the
trial court shall enter an order granting or denying withdrawal of the petition, which shall
include detailed findings of fact. Id.
The Petitioner raises numerous challenges to the process that he was afforded at his
competency hearing, as well as its result. Specifically, the Petitioner claims that the post-
conviction court erred by: (1) failing to provide appropriate expert assistance; (2) failing to
provide sufficient time to prepare for the competency hearing; (3) denying the Petitioner
equal protection of the law; (4) placing the burden on him to show incompetency by clear and
convincing evidence; (5) considering the testimony and report of Dr. Seider, whose
evaluations allegedly failed to meet the Daubert/McDaniel criteria and who, the Petitioner
asserts, did not possess a valid license within the meaning of state law; (6) finding that the
Petitioner was competent to effect a waiver; and (7) finding that the Petitioner’s waiver was
knowing, voluntary, and intelligent. After a careful review of the record, we reject each of
these arguments and uphold the ruling of the post-conviction court.
A. The Petitioner’s Claims that He Was Denied Access to Mental Health
Experts
The Petitioner maintains that the post-conviction court violated his due process right
to a full and fair hearing by denying him access to an “independent” and medically-
appropriate mental health expert. The Petitioner takes issue with the post-conviction court’s
denial of his requests for neurological imaging, as well as funding for a psychiatrist, a
neuropsychologist, and a pharmacologist. These experts were requested both for purposes
of an evidentiary hearing on the petition for post-conviction relief and for purposes of
determining the Petitioner’s competency to withdraw the petition for post-conviction relief.
After careful review, we hold that the post-conviction court did not violate the Petitioner’s
due process rights by denying funding for the requested experts and services.
The post-conviction court found that the Petitioner had no constitutional right to
expert assistance in preparing for his competency hearing and that he was not entitled to
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funding for his requested experts pursuant to Tennessee Supreme Court Rules. Under Rule
15, section 5(b)(1), counsel must make “every effort” to locate and retain experts within 150
miles of the court. The post-conviction court denied funding for a neuropsychologist,
neuropsychiatrist, and pharmacologist because counsel failed to sufficiently set forth their
efforts to locate experts within 150 miles of the court. With respect to the Petitioner’s
request for a pharmacologist, the court also determined that a psychiatrist or
neuropsychologist should have sufficient expertise to address any issues that might arise
regarding psychiatric drugs. The court denied the request for brain-imaging because current
brain imaging technology would not have been available to the Petitioner’s trial counsel. The
court further found that any evidence that might be gleaned from the use of such imaging
would not be relevant to an ineffective assistance of counsel claim. However, the court did
not address the need for neurological imaging with regard to ascertaining the Petitioner’s
competency.
After the court found that a genuine issue as to the Petitioner’s competency existed,
the court requested counsel for both parties submit recommendations to the court for use as
experts, as required by Tennessee Supreme Court Rule 28, section 11(B)(2). Although that
rule permits the court to designate a single expert from among the recommendations, the
post-conviction court initially chose two: Dr. John Hutson, a psychologist recommended by
the State; and Dr. Peter Brown, a psychiatrist recommended by the Petitioner’s counsel.
Pursuant to Rule 28, section 11(B)(2), the court initially ordered the experts to produce a
report in ten days. The post-conviction court later extended this deadline many times for
“good cause shown,” as section 11(B)(2) permits. The court ultimately rejected the report
of the State’s recommended expert, Dr. Hutson, because he was mistakenly compensated by
the District Attorney General’s Conference, thereby creating a potential appearance of
impropriety. The court also later removed Dr. Brown, after he failed to begin his competency
evaluation of the Petitioner for more than six months, notwithstanding numerous court orders
to the contrary.
Thereafter, the court appointed Dr. Seidner, a psychologist suggested by the State, to
complete the Petitioner’s competency evaluation. To challenge Mr. Seidner’s report, the
Petitioner filed a motion requesting funding for the services of Dr. Pamela Auble, a
neuropsychologist who had previously evaluated the Petitioner in 2003. While admitting that
Dr. Auble was located slightly more than 150 miles from the court, the Petitioner maintained
that Dr. Auble’s services were necessary in light of the evaluation submitted by Dr. Seidner.
Dr. Auble estimated it would take her four months to complete her competency evaluation.
The court denied this request, finding that there was no entitlement to funding for an expert
whose sole role was to assist a petitioner’s counsel in evaluating or challenging the findings
of a court-appointed expert.
The Petitioner contests the lower court’s denial of expert assistance at all stages of the
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competency proceeding, asserting that the denial violates clearly established law and his
rights to due process. The Petitioner argues that the court unreasonably applied the law to
the competency proceedings by denying him access to expert assistance and the opportunity
to present contrary expert testimony at the competency hearing. He contends that “[a]
hearing where only one opinion is presented is not adversarial or fundamentally fair.”
The Petitioner’s argument hinges on his assertion that he is constitutionally entitled
to an expert to rebut the findings of the court-appointed expert. In support of this claim, he
relies upon Ake v. Oklahoma, 470 U.S. 68, 77 (1985), and Panetti v. Quarterman, 551 U.S.
930 (2007). Neither case establishes such a putative constitutional right that the Petitioner
wishes to assert. Ake requires only that a criminal defendant have access to a “competent
psychiatrist who will conduct an appropriate examination and assist in evaluation,
preparation, and presentation of the defense.” Ake, 470 U.S. at 83. While Ake held that the
failure to provide a mental health evaluation at the trial level violates due process, it did not
establish a right to the examination conducted by an expert of the defendant’s choosing. See
id. Rather, the Ake Court clearly stated that an indigent defendant has no “constitutional right
to choose a psychiatrist of his personal liking or to receive funds to hire his own.” Id.
While Panetti establishes a defendant’s right to be heard and present rebuttal evidence
with respect to an court-appointed expert’s competency determination, it likewise does not
create a constitutional guarantee of funding for a rebuttal expert of the Petitioner’s choosing.
In Panetti, the court confronted the situation of an inmate who had made a motion seeking
a competency hearing supported by letters and declarations from a psychologist and a law
professor, both of whom opined that the inmate was not competent to be put to death.
Panetti, 551 U.S. at 938. The trial court ordered that the inmate be examined by two mental
health experts, as required by the applicable state statute. Id. at 939. These experts reported
that they believed the petitioner was competent to be executed. Id. at 940. The trial court
advised the petitioner’s counsel that the competency determinations had been submitted and
that counsel had ten days to make any additional motions. The petitioner’s counsel did so,
“criticiz[ing] the methodology and conclusions of the court-appointed experts,” seeking
funds for an independent expert, and requesting a competency hearing. Id. at 941. These
objections notwithstanding, the court simply closed the case. Id.
Relying on Ford v. Wainwright, 477 U.S. 399 (1986), the Panetti Court held that it
was constitutional error for the state court to “fail[ ] to provide petitioner with an adequate
opportunity to submit expert evidence in response to the report filed by the court-appointed
experts.” Id. at 951. In particular, the Panetti Court read Justice Powell’s concurrence in
Ford as clearly establishing the principle that due process requires that prisoners who have
made a substantial showing that they are not competent to be executed must be provided with
a “constitutionally adequate opportunity to be heard.” Id. at 952. This includes, “at a
minimum, that a court allow a prisoner’s counsel the opportunity to make an adequate
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response to evidence solicited by the state court.” Id.
The Petitioner’s reliance upon these cases to establish a constitutional right to
appointment and funding for the experts of his choosing is misplaced. Taken together, Ake
and Panetti establish the minimum constitutional safeguards with respect to the provision of
expert assistance in cases where the defendant is seeking constitutionally-entitled judicial
review. It is well established that the Petitioner has no constitutional right to post-conviction
review of his conviction at all. See Pike, 164 S.W.3d 262-64. Likewise, the Petitioner has
no constitutional right to counsel or right to effective assistance of counsel during post-
conviction proceedings. House v. State, 911 S.W.3d 705, 712 (Tenn. 1995). We decline the
Petitioner’s invitation to overlook the express absence of each of these rights to suddenly
create an ancillary constitutional right at a competency hearing to the mental health experts
and testing of his choosing.
Absent the creation of a new constitutional right, due process merely requires the post-
conviction court to follow the procedures established by state rules. Our review of the record
indicates that it did so. Rule 13, section 5, Rules of the Tennessee Supreme Court, allows
for the funding of experts in capital post-conviction proceedings involving indigent
defendants. Tenn. Sup. Ct. R. 13, § 5(a)(1). Before any such funding is granted, however,
the court must determine whether there is a particularized need for the requested services and
if the hourly rate charged for the services is reasonable in that it is comparable to rates
charged for similar services. Tenn. Sup. Ct. R. 13, § 5(c)(1). Particularized need in the
context of capital post-conviction proceedings is established when a petitioner shows, by
reference to particular facts and circumstances of the petitioner’s case, that the services are
necessary to establish a ground for post-conviction relief and that the petitioner will be
unable to establish that ground for post-conviction relief by other available evidence. Tenn.
Sup. Ct. R. 13, § 5(c)(3).
The language of Rule 13, section 5(c)(1), (3) precludes funding of experts for counsel
representing a capital defendant seeking to voluntarily forego post-conviction review.
Rather, Rule 13, section 5(c)(3) only permits funding of experts in the capital post-conviction
context when such expert services are necessary to establish a ground for relief. Under the
procedure in Rule 28, section 11 for withdrawing a petition for post-conviction relief, the
Petitioner was not entitled to the assistance of his own expert. The Petitioner’s only right
under Rule 28, section 11 was to submit a list of recommended experts to the court, which
counsel for the Petitioner did. The post-conviction court was free to select and grant or deny
funding for any particular expert sought by the defense. We can discern no manner in which
the post-conviction court erred in this regard.
B. The Petitioner’s Claim that the Post-Conviction Court Violated Due
Process by Failing to Grant a Continuance to Provide Additional Time to
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Prepare for the Competency Hearing and that, by Failing to Provide an
Additional Continuance to Allow More Time for the Psychiatrist, He
Recommended to the Court to Complete His Report
The Petitioner raises two due process challenges to the post-conviction court’s denial
of post-conviction counsel’s requests for continuances. First, the Petitioner claims that the
trial court’s failure to provide additional time for the Petitioner’s recommended psychiatrist,
Dr. Peter Brown, to complete his evaluation improperly deprived him of the services of a
qualified expert. Second, the Petitioner argues that the post-conviction court denied the
Petitioner sufficient time to prepare for his competency hearing, thus denying his due process
right to the “opportunity to be heard ‘at a meaningful time and in a meaningful manner’” as
required by Mathews v. Eldridge, 424 U.S. 319, 333 (1976) (quoting Armstrong v. Manzo,
380 U.S. 545, 552 (1965)). Neither argument has merit.
The decision to grant or deny a continuance generally rests in the sound discretion of
the trial court. State v. Hester, 324 S.W.3d 1, 35 (2010). A “court’s denial of a continuance
will be reversed only if it appears that the . . . court abused its discretion to the prejudice of
the defendant.” State v. Odom, 137 S.W.3d 572, 589 (Tenn. 2004). A judge does not “abuse
his discretion” by denying a continuance unless the denial deprived the defendant of a fair
hearing. See id. Any petitioner seeking due process relief from the denial of a continuance
bears the burden of establishing actual prejudice by showing that the result of the proceeding
would have been different had the request for a continuance been granted. See id. The
Petitioner has not shown that the post-conviction court’s denial of either continuance
deprived him of a fair hearing or demonstrated any actual prejudice with respect to either
claim.
“A trial court abuses its discretion when it applies incorrect legal standards, reaches
an illogical conclusion, bases its decision on a clearly erroneous assessment of the evidence,
or employs reasoning that causes an injustice to the complaining party.” Hester, 324 S.W.3d
at 35. The record reflects that the post-conviction court committed none of these errors.
Rather, the court gave Dr. Brown more than sufficient time to complete an evaluation of the
Petitioner’s competency and that, in response to the court’s generosity, Dr. Brown failed to
diligently commence and complete his evaluation of the Petitioner. Indeed, at one point –
already long past the reasonable deadline for completing the competency report – the defense
team and Dr. Brown sought to delay the beginning of the evaluation so Dr. Brown could
leave the country for several weeks. The post-conviction court was well within its discretion
in denying the request.
The record reflects that the court provided the defense team with every reasonable
opportunity to have a report prepared by the expert of their choosing. Pursuant to Tennessee
Supreme Court Rule 28, section 11, the post-conviction court permitted both the State and
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the Petitioner’s counsel to submit lists of proposed experts. It then appointed a single expert
from each list: Dr. John Hutson from the State’s list and psychiatrist Dr. Peter Brown from
the Petitioner’s list. The post-conviction court’s initial order, as directed by Rule 28, section
11 provided the experts ten days from January 23, 2008, to submit their evaluations as to the
Petitioner’s competency. At the time of appointment, the Petitioner’s counsel immediately
requested an extension of time for Dr. Brown to complete his evaluation. The court granted
an extension until March 6, 2008. On February 14, 2008, counsel for the Petitioner advised
the court that Dr. Brown was still unable to complete the evaluation. Dr. Brown, in fact, had
yet to take any steps to even begin his evaluation. The court granted Dr. Brown another
extension, this time until June 30, 2008, to complete the evaluation.
At the time it provided the extension until June 30, 2008, the court explicitly advised
the parties that if Dr. Brown’s evaluation was not completed by that date, the court would
proceed without it. Nonetheless, on June 30, 2008, Dr. Brown had not only failed to
complete the evaluation, he had failed to take any steps to begin his evaluation.
Part of Dr. Brown’s purported reason for his delay was post-conviction team’s
insistence that Dr. Brown needed to perform additional medical testing and needed the
assistance of a neuropsychologist. The post-conviction court denied these requests and made
clear they should not serve as any excuse for additional delay. By order entered May 13,
2008, relating to its appointment of experts, the court noted that it had specifically rejected
the contention of the Petitioner’s counsel that Dr. Brown needed to perform additional
medical testing on the Petitioner or needed the assistance of a neuropsychologist in order to
fully assess the Petitioner’s competency. (T.R. Vol. 6, p. 766). The court made clear that
Dr. Brown had available to him “prior neurological testing and the reports of two
neuropsychologists, who previously evaluated the Petitioner, as well as an extremely
extensive, previously prepared, social history of petitioner,” and could rely on these extensive
prior evaluations in making his assessment. The court also repeated its conclusion from its
prior order that Dr. Brown could conduct a sufficient evaluation of the Petitioner using these
tools, as well as the tools available within his field and area of expertise.
Regarding the Petitioner’s final request for additional time for Dr. Brown to complete
his evaluation, the post-conviction court stated the following:
The court finds incredulous Ms. Gleason’s contention that she was confused
as to whether Dr. Brown should begin his evaluation. This court’s February
6, 2008, order clearly stated that “Dr. Brown should use the tools available
within his field and area of expertise to conduct his examination of petitioner.”
The court went on to state that Dr. Brown had “been given thirty days in which
to personally evaluate petitioner and conduct additional psychological
testing.” The concluding paragraph of the court’s order stated:
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This court grants counsel’s request for more time to conduct the
mental health evaluation of the petitioner. Each of the
appointed experts will have until March 6, 2008, to complete
their evaluations and submit their reports to this court.
. . . [T]his court does not see how the order could have been any clearer. . . .
[T]his court is not inclined to grant a lengthy delay to now begin an evaluation
that should have begun over two months ago.
(Emphasis in original.)
On May 19, 2008, the lower court entered an amended order reflecting that counsel
for the Petitioner had informed the court that Dr. Brown was unable to complete an
evaluation of the Petitioner until late August 2008. In this regard, the court noted:
concern over what appears to be a developing pattern of delay on the part of
petitioner’s counsel. Certainly, due to the complex nature of capital litigation,
there will be inevitable delays; however, orchestrated delays will not be
tolerated by this court. This court finds it important to note that the petitioner
in this matter has continued from his initial appearance before this court to the
present time to express his desire to have this matter resolved. He has been
adamant in his desire to withdraw his post-conviction petition and forego
further review of his claim; and, although he understands that certain
procedures must be followed, he has on several occasions expressed frustration
at the delay of these proceedings.
This order also plainly stated that should Dr. Brown be unable to complete his evaluation in
comport with the order, the court would rely solely upon Dr. Hutson’s evaluation, which was
later discarded for other reasons.
During this time period, the Petitioner filed numerous pro se pleadings affirming his
desire not to participate in the judicial process and not to proceed with his post-conviction
appeals. These pro se pleadings, including those filed on May 18, June 24 and July 8, 2008,
were extremely articulate and meticulously thought-out. For example, in these pleadings, the
Petitioner pointed out that Rule 28, section 11 only required that the Petitioner be evaluated
by one mental health expert. The Petitioner asserted that he had been found competent by
Dr. John Hutson and stated that this finding should suffice. He pointed out that Dr. Hutson’s
finding was consistent with numerous previous evaluations by mental health experts finding
him competent. In the same pleadings and letters, the Petitioner simultaneously and
consistently requested that the court remove the Office of the Post-Conviction Defender from
his case and permit him to proceed pro se.
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Finally, on July 24, 2008, as the court entered an order removing the evaluation of the
State’s proposed expert, Dr. Hudson, from consideration due to issues arising from his
payments, the court also removed Dr. Brown. The court explained:
[This court] can not trust that Dr. Brown will be able to expeditiously perform
an evaluation of petitioner and this court is not willing to delay this proceeding
further in hopes that Dr. Brown may be able to, at some future date uncertain,
accomplish what this court was under the impression it had already ordered
him to do. Thus, this court is left with no alterative but to begin this process
anew.
The court, therefore, ordered the State and post-conviction counsel to provide a new list of
mental health professionals by July 29, 2008. The court further related that the mental health
professional must be able to complete the evaluation by August 25, 2008. The court
scheduled the competency hearing for August 28, 2008. In doing so, the court noted that the
Petitioner “who has consistently expressed a desire to withdraw his post-conviction petition,
will undoubtedly be frustrated by this court’s ruling.” The court ultimately appointed
psychologist Dr. Seidner, who completed a report within three months of his appointment.
Dr. Brown was provided numerous extensions by the post-conviction court, yet failed
time after time to commence his evaluation of the Petitioner. Dr. Hutson, who was appointed
contemporaneously with Dr. Brown, completed his evaluation within three months of his
appointment, on March 3, 2008. Likewise, Dr. Seidner completed his evaluation within three
months of appointment. Dr. Brown, however, had not begun his evaluation of the Petitioner
some six months after appointment. The post-conviction court was more than generous in
its extension of time for completing evaluations of the Petitioner. Under these
circumstances, we cannot conclude that the post-conviction court abused its discretion in
failing to afford Dr. Brown additional time to begin a competency evaluation.
We also can find no fault with the post-conviction court’s refusal of the request of the
Petitioner’s counsel for an extension of time to prepare for the competency hearing after
receiving Dr. Seidner’s report. Post-conviction counsel had a full eleven days to prepare to
challenge Dr. Seidner’s report. Moreover, post-conviction counsel was aware of and should
have been preparing for the competency hearing for the better part of a year. During this
entire time, post-conviction counsel had access to prior competency evaluations, medical
reports, and the Petitioner’s statements and written pro se motions. We do not believe that
eleven days was insufficient to prepare for the cross-examination of Dr. Seidner.
Post-conviction counsel complains that Dr. Seidner’s handwritten notes and audio
tapes of his interview with the Petitioner came even later than the written report. Counsel
states that the doctor’s handwriting was “difficult to read,” and the quality of the audio was
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poor. These types of obstacles will often beset attorneys during complex litigation, and
courts frequently expect attorneys to adapt, cope with, and ultimately surmount them.
However, it was well within the post-conviction court’s discretion to deny the continuance.
As discussed above, the post-conviction court was confronted with what appeared to be an
ongoing pattern of delay on the part of the Office of the Post-Conviction Defender. The
court did not apply incorrect standards, reach an illogical conclusion, or make a clearly
erroneous assessment of the evidence when it decided to finally put an end to such delay.
Thus, the post-conviction court did not abuse its discretion by denying the Petitioner’s
requests for continuances. See Hester, 324 S.W.2d at 35.
Furthermore, the Petitioner has not and cannot show that the “denial of the
continuance either deprived [him] of a fair [hearing], or caused an outcome that would not
have occurred had the continuance been granted.” Id. With respect to the motion for
additional time to complete Dr. Brown’s report, the Petitioner has made no showing that, had
Dr. Brown completed his evaluation of the Petitioner, Dr. Brown would have concluded that
the Petitioner was not competent to withdraw his post-conviction petition. Likewise, post-
conviction counsel points to no new arguments or evidence that have been discovered since
the competency hearing concerning Dr. Seidner, his methods, or his competency report,
which counsel would have been able to discover and use to challenge the Petitioner’s
competency if only the post-conviction court had granted the request for additional time.
Thus, post-conviction counsel cannot show that an extension of time would have benefitted
the Petitioner or that it would have changed the entire outcome of the hearing. By virtue of
failing to carry his burden of establishing actual prejudice resulting from the denial of either
continuance, the Petitioner is not entitled to relief.
C. The Post-Conviction Court Did Not Deny The Petitioner Equal Protection
of the Law
The Petitioner claims that by denying his requests for additional mental health experts
and by denying his additional requests for continuances, the post-conviction court treated him
differently from other similarly situated individuals and, thereby, denied him equal protection
of the law. The Petitioner cites to the Fourteenth Amendment to the United States
Constitution and Article I, section 8, of the Tennessee Constitution, which requires that the
State provides equal protection in the sense that “all persons similarly circumstanced shall
be treated alike.” Doe v. Norris, 751 S.W.2d 834, 841 (Tenn 1988) (internal quotation
omitted). Where, as here, a protected class such as race or gender is not involved, “[t]o
withstand equal protection review, [government action] that distinguishes between [different
classes of individuals] must be rationally related to a legitimate governmental purpose.” City
of Cleburne v. Cleburne Living Center, 473 U.S. 432, 446 (1985). “When the basic
classification is rationally based, uneven effects upon particular groups within a class are
ordinarily of no constitutional concern.” Personnel Administrator of Mass. v. Feeney, 442
-34-
U.S. 256, 272 (1979).
For purposes of this argument, the Petitioner compares his treatment to that of the
class of Tennessee “capital petitioners who sought to dismiss pending post-conviction
petitions.” This “class” is apparently comprised of only two members – Ms. Pike and Mr.
Reid. See State v. Reid, 197 S.W.3d 694, 701 (Tenn. 2006); Pike, 164 S.W.3d at 260. The
Petitioner alleges there are significant differences between the time and resources he was
given and the time and resources provided to the other “class” of similarly situated
individuals comprised of Ms. Pike and Mr. Reid. For example, in preparation for his
competency hearing, Mr. Reid was appointed a neuropsychiatrist and a psychiatrist, which
was later assisted by a neuropsychiatrist at the psychiatrist’s request, whereas the Petitioner
was evaluated by a clinical psychologist after his selected court-appointed psychiatrist failed
to complete a timely report. The Petitioner also claims that, in Reid, the court made an
exception to the traditional requirements in Tennessee Supreme Court Rule 13 for obtaining
experts and provided “six to seven months” for the expert to complete his report in Pike.
Important differences exist between the Petitioner’s case and the cases of Mr. Reid
and Ms. Pike. The issue in Reid was the determination of competency to proceed in a post-
conviction action. Reid, 197 S.W.3d at 696. The initial hearings in Pike occurred prior to
the Tennessee Supreme Court’s November 21, 2002 order, which added section 11 to
Tennessee Supreme Court Rule 28. Pike, 164 S.W.3d at 260 n.3. In both cases, the trial
courts allowed six or more months for the court-appointed experts to complete their reports.
However, in the present case, Dr. Brown failed to so much as begin his evaluation almost
seven months after having been instructed to do so, in open defiance of numerous
instructions and contrary language from the court. Due to the numerous delays by Dr. Brown
and post-conviction counsel, the post-conviction court was forced to take some sort of action
to advance the matter at the behest of the Petitioner, who requested numerous times that
counsel be removed from representing him and complained about the delays. As a licensed
psychologist, Dr. Seidner had all the necessary tools to evaluate the Petitioner’s competency
and, if he felt it was necessary, could have requested additional assistance from a different
mental health specialist as the court-appointed expert in Reid did. After using his
professional judgment and the many tools at his disposal, including prior evaluations of the
Petitioner by neuropsychiatrists, he did not believe any additional experts were necessary in
order for him to reach a conclusion. In short, the differing histories in each case would
render any comparison of the Petitioner’s treatment to that of Mr. Reid or Ms. Pike nothing
more than apples to oranges.
Regardless, the Petitioner’s equal protection claim must fail as a matter of law because
the Petitioner’s putative “class” is too small to use for any sort of meaningful equal
protection analysis. The Petitioner has defined one class for purposes of his argument as
Tennessee capital petitioners who sought to dismiss pending post-conviction petitions, a class
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apparently comprised of only two members. The other class includes only himself. These
“classes” are comprised of so few members as to defy even meaningful statistical analysis,
much less equal protection analysis.
The Petitioner has cited no authority, and we can find none, where a court has applied
equal protection analysis to provide additional legal protections to a defendant or criminal
based on the treatment of two other defendants or criminals. Furthermore, if the legal
treatment of the initial defendants to undergo any particular sort of judicial process could be
said to develop a “class” of similarly-situated individuals for equal protection purposes, then
whatever treatment the courts selected for these initial cases would, as a necessary incident,
establish constitutionally-required minimum safeguards for all such defendants. Such an
outcome would contravene numerous concerns of public policy, including the fact that it
would provide judges with a strong incentive not to use rigorous processes or grant any
leniency in such early cases out of a fear of constitutionally tying judges’ hands in cases that
might arise in the future. We decline the Petitioner’s invitation to start down such a perilous
path.
D. The Post-Conviction Court Applied the Appropriate Burden of Proof at
the Competency Hearing
The Petitioner asserts that the lower court applied an erroneous standard of proof at
the competency hearing by requiring the Petitioner’s counsel to prove the Petitioner’s
incompetency by clear and convincing evidence. The Petitioner contends that this burden
of proof violates due process guarantees under both the Tennessee and United States
Constitutions. Instead, the Petitioner asserts that neither party should bear the burden of
proof and that the court’s determination should be made using the “greater weight of
evidence standard.” The issue of whether the post-conviction court “applied the correct
burden of proof is a question of law that we review de novo with no presumption of
correctness.” Dellinger v. State, 279 S.W.3d 282, 293 (Tenn. 2009).
The lower court recognized that Tennessee Supreme Court Rule 28, section 11 failed
to provide guidance regarding the “type, quality, and quantity of proof necessary to establish
[a] petitioner’s incompetence or conversely his competence.” The lower court analyzed the
holdings of Pike and Reid and the cases upon which they relied. The lower court concluded
that the post-conviction defender bore the burden of proving by clear and convincing
evidence that the Petitioner was incompetent to withdraw his petition. The lower court
reasoned:
[C]ompetency to withdraw a petition is closely related to competency to
proceed. Although the consequences of withdraw[al] are great, in that a
withdraw[al] of post conviction may preclude any subsequent appellate review
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of the claims contained in the petition, the ramifications of an adverse ruling
as to competency to withdraw a properly filed post conviction petition are no
greater than the consequences of an adverse competency determination for
purposes of tolling the statute of limitations for filing a petition for post
conviction relief. If it is determined that a late filing petitioner is competent,
then he/she will be precluded from presenting his/her claims. The same is not
necessarily true for a petitioner who seeks to withdraw his/her petition. In the
context of competency to withdraw a petition, if a petitioner is found
competent, he/she may waive presentation of their claims. However, pursuant
to Rule 28, such a petitioner has thirty days to revoke such a waiver; and, thus,
a petitioner has a remedy of sorts for an adverse determination as to
competency not available to a petitioner who has failed to timely file his/her
petition.
. . . [T]here is no constitutional right to post conviction review. Thus, this
court finds the clear and convincing standard should apply to determining
petitioner’s competency to withdraw his post-conviction petition. It is against
this backdrop that the court has evaluated the three prong analysis . . . adopted
by Pike.
The Petitioner disputes the post-conviction court’s application of the clear and
convincing standard. He asserts that the clear and convincing standard violates his right to
due process. The Petitioner contends that the competency determination should be made by
the “greater weight of the evidence.” He alleges that, once a court makes the initial
determination that a genuine issue of competency has arisen, the initial presumption of
competency dissolves and the simple weight of the evidence at the evidentiary hearing should
guide the court’s decision. The Petitioner maintains that the issue of competency should be
treated as a non-adversarial issue in which the State, the petitioner, and the court all share an
interest in protecting incompetents.
This court undertakes the determination of the appropriate burden of proof with great
solemnity, recognizing the severity and irreversibility of a sentence of death. In Rees v.
Payton, 384 U.S. 312 (1966), the United States Supreme Court addressed whether a death
row inmate, alleged to be incompetent by counsel, should have been allowed to withdraw his
petition for a writ of certiorari from the denial of habeas corpus relief. The Supreme Court
directed the district court to determine whether the inmate had the “capacity to appreciate his
position and make a rational choice with respect to continuing or abandoning further
litigation or on the other hand whether he [was] suffering from a mental disease, disorder,
or defect which may substantially affect his capacity in the premises.” Rees, 384 U.S. at 314.
Tennessee Supreme Court Rule 28, section 11(B)(1) parallels the Rees test but “is limited .
. . to the unique circumstances involved when a petitioner in a capital case seeks to withdraw
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an already-filed post-conviction petition and waive further post-conviction relief.” Reid, 197
S.W.3d at 701 n. 7; see also State v. Kiser, 284 S.W.3d 227, 244 n. 12 (Tenn. 2009).
Under the terms of Rule 28, section 11(B)(2), Rules of the Tennessee Supreme Court,
a capital petitioner is presumed competent to withdraw a post-conviction petition and waive
post-conviction relief. Thus, in order to conclude that a petitioner is not competent to make
that choice, the lower court must be presented with evidence that overcomes the presumption
of competency. While Rule 28, section 11 fails to delineate the burden of proof necessary
to establish incompetency, Tennessee Code Annotated section 40-30-110(f) provides that at
a post-conviction evidentiary hearing, “[t]he petitioner shall have the burden of proving the
allegations of fact by clear and convincing evidence.” Reid, 197 S.W.3d at 703. Indeed, in
Reid, our supreme court adopted “the civil standard for mental incompetency adopted in State
v. Nix . . . to competency determinations during post-conviction proceedings.” Id.
In Reid, the defendant did not raise the issue of competency during the trial of his
case. Id. at 697. However, in two other criminal murder trials, Reid did argue that he was
not competent to stand trial. Id. His argument failed. Id. Reid’s execution date was
scheduled for April 29, 2003. Id. His counsel filed a motion asking the Tennessee Supreme
Court to stay the execution to provide Reid a full year in which to decide whether to file a
petition for post-conviction relief. Id. Counsel expressed concern as to Reid’s competence
to decide to forego post-conviction review. Id. The Tennessee Supreme Court denied the
motion for a stay, acknowledging that Reid had been found competent to stand trial. Id. On
April 28, 2003, hours before his execution, Reid filed a pro se petition for post-conviction
relief. Id. The Office of the Post-Conviction Defender was appointed and later filed an
amended petition and a motion asking the trial court to declare the Petitioner incompetent.
Id. The lower court entered an order adopting the Nix standard for mental incompetence and
declared that the Reid would bear the burden of proving incompetence by clear and
convincing evidence. Id. at 697-98
The Tennessee Supreme Court addressed the issue of the standard for determining
competency at the post-conviction level. In doing so, the court noted that a defendant has
a constitutional right to be competent to stand trial. A defendant also has a constitutional
right to competency to be executed. Reid, 197 S.W.3d at 699-700. The court recognized that
the constitutional requirements of competency do not imply a coordinate right on collateral
review. Id. at 700. The court noted that post-conviction procedures are not constitutionally
required and that many of the rights applicable at trial are no longer attached. The court
determined that there is no constitutional right to competent counsel in post-conviction
proceedings. Id. at 700.
Notwithstanding this conclusion, our supreme court recognized that due process
concerns may nonetheless be implicated in the post-conviction context. In State v. Nix, 40
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S.W.3d 459 (Tenn. 2001), our supreme court announced a standard of mental incompetence
that must be satisfied before due process requires the tolling of the statute of limitations.
Noting that there was no constitutional right to collaterally attack a conviction, the Nix Court
adopted the following standard: a petitioner is incompetent if “he is unable either to manage
his personal affairs or to understand his legal rights and liabilities.” Nix, 40 S.W.3d at 463.
The Reid Court noted that “[d]ue process requires only that a petitioner be provided
an opportunity for the presentation of claims at a meaningful time and in a meaningful
manner. The civil standard of competence is sufficient to meet that requirement.” Reid, 197
S.W.3d at 702. The court adopted a rule that placed the burden on the petitioner to make a
threshold showing that he is incompetent to proceed in a post-conviction action. Id. at 703.
The court then referred to the burden of proof pronounced in the Post-Conviction Act, i.e.,
clear and convincing, rejecting Reid’s argument that neither party should be held to a burden
of proof in competency proceedings at the post-conviction level. Id. The court similarly
rejected Reid’s advancement of the preponderance of the evidence standard, holding that
“[t]he preponderance standard applies to the issue of competency to stand trial and the issue
of competency to be executed. As we explained above, however, these constitutional rights
are distinguishable from competency to proceed in a post-conviction action. Id. at 704.
(citations omitted).
The Petitioner argues that the clear and convincing standard is unconstitutional,
violating his rights to due process. The Petitioner cites to Cooper v. Oklahoma, 517 U.S.
348, 369 (1996), in which the United States Supreme Court invalidated an Oklahoma statute
that required defendants to prove their incompetency to stand trial by clear and convincing
evidence. In reaching its holding, the Court observed that forty-six states and the federal
government either required the prosecution to establish a defendant’s competency or required
defendants to establish incompetency by a preponderance of the evidence. Cooper, 517 U.S.
at 360-62. The Court further emphasized that the “clear and convincing evidence standard
affects a class of cases in which the defendant has already demonstrated that he is more likely
than not incompetent.” Id. at 364.
The Petitioner also relies upon Howell v. State, 151 S.W.3d 450 (Tenn. 2004), arguing
that mental retardation is closely analogous to the question of competency. In Howell, the
court addressed the burden of proof where a petitioner raised for the first time the issue of
mental retardation to avoid capital punishment. Howell, 151 S.W.3d at 453. The Howell
Court noted that the standard at trial is a preponderance of the evidence. Id. at 464. The
court likewise noted that the right not to be executed is the same for defendants at both the
trial level and the post-conviction level. Id. at 465. The court therefore held that, although
at odds with the standard set forth in Tennessee Code Annotated section 40-30-117, the proof
of mental retardation at the post-conviction level is likewise by a preponderance of the
evidence. Id. To do otherwise would render the statute unconstitutional in its application.
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Id. As noted by the Reid Court, the reasoning behind the standard announced in Howell is
clearly distinguishable from the question presented regarding competency. Reid, 197 S.W.3d
at 704. Again, the Reid Court focused upon the fact that there is no constitutional right to
competency during post-conviction proceedings. Id. Moreover, the court noted the
differences between the issue of competency to stand trial and the issue of competency to
proceed in a post-conviction action. Id. at 704-05. The Reid Court rejected the due process
argument and imposed the statutorily-imposed clear and convincing standard. Id. at 705.
The State asserts that “if the clear and convincing standard is adequate to ensure due
process in the context of both tolling and competency to proceed in post-conviction, it is
proper for purposes of voluntarily withdrawing a timely filed post-conviction petition.” We
agree. “Due process considerations do not mandate different levels of competency at
different stages of post-conviction proceedings.” Id. at 702. If a petitioner must establish
by clear and convincing evidence his incompetence to commence a post-conviction action,
there can be no constitutional bar to requiring the petitioner to establish by clear and
convincing evidence that he is incompetent to bring the matter to conclusion.
E. The Post-Conviction Court Did Not Err by Considering Dr. Seidner’s
Report and Testimony
Next, the Petitioner maintains that the lower court erred in considering Dr. Seidner’s
report and testimony since his evaluation methods failed to meet the Daubert/McDaniel
criteria. The Petitioner further asserts that when he issued his report and testified, Dr.
Seidner did not possess a valid license in full force and virtue to practice psychology, as
required by Tennessee Code Annotated section 63-11-201(b). Accordingly, he asserts that
consideration of Dr. Seidner’s testimony and report was improper.
At the competency hearing, the Petitioner’s counsel introduced an affidavit
establishing that Dr. Seidner’s medical license expired on September 30, 2008. Dr. Seidner
conceded that he had not apparently sent a check for his licensing fee. The Petitioner’s
counsel then moved the court to strike Dr. Seidner’s report provided to the court on October
31, 2008, and to strike his entire testimony. An affidavit submitted on December 1, 2008,
by Melody Spitzas, the records custodian relating to licensure for psychologists in Tennessee,
reflected that Dr. Seidner’s license expired on September 30, 2008. Dr. Seidner renewed his
license online on November 15, 2008. The affidavit further reflected that “there is a board
policy that gave Dr. Seidner a ninety (90) day grace period after his license expired during
which he could renew without penalty.” The lower court found that Dr. Seidner’s license
was not suspended but was in a grace period of payment of his license fee.
Tennessee Code Annotated section 63-11-218 provides in part,
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(a) Each licensed psychologist, or psychological examiner, or senior
psychological examiner or certified psychological assistant shall pay an annual
registration fee as set annually by the board, payable in advance, for the
ensuing year. As a condition of renewal, the board may require that the
licensee or certified person establish that the licensee or certified person has
satisfied any continuing education requirements established by board rule.
(b)(1) When any licensee or certified person shall fail to pay the annual fee
after the renewal fee becomes due and satisfy such continuing education
requirements for renewal as may be established by the board, as provided in
this section, the license or certificate of such person shall be automatically
revoked by the board without further notice or hearing, unless renewal is
completed and all fees paid prior to the expiration of sixty (60) days from the
date such renewal fees become due.
(Emphasis added). Dr. Seidner’s renewal was due on September 30, 2008. He paid his past
due license fee on November 15, 2008. Dr. Seidner was within the sixty-day grace period.
Accordingly, per the language of the statute, Dr. Seidner’s license was not revoked. Dr.
Seidner properly testified at the competency hearing. Moreover, Dr. Seidner’s evaluation
was conducted on August 27 and 28, 2008, well over a month before Dr. Seidner’s license
was scheduled to expire. The post-conviction court did not err in concluding that Dr.
Seidner’s license was valid at both the time of the evaluation and at the competency hearing.
The Petitioner is not entitled to relief on this issue.
The Petitioner also complains that the testimony of Dr. Seidner was inadmissible at
the competency hearing because it did not meet the requirements of McDaniel v. CSX
Transp., Inc., 955 S.W.2d 257 (Tenn. 1997), and Daubert v. Merrel Dow Pharmaceuticals,
Inc., 509 U.S. 579 (1993). The Petitioner contends that Dr. Seidner’s testimony fails to
comply with the requirements of McDaniel because: (1) Dr. Seidner did not consult with Dr.
Caruso and Dr. Auble before rendering an opinion; (2) Dr. Seidner did not request
neuropsychological testing or imaging; (3) Dr. Seidner did not secure appropriate conditions
for his evaluation; and (4) Dr. Seidner did not administer tests in accordance with the
prescribed methodology. The State asserts that the Petitioner’s challenges go not to the
admissibility of Dr. Seidner’s testimony but, rather, to the weight to be given to his
testimony.
Rules 702 and 703 of the Tennessee Rules of Evidence address the admissibility of
opinion testimony of expert witnesses. A court may admit expert testimony only if the
proponent demonstrates that: (1) the expert is qualified; (2) the evidence is relevant to the
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suit; and (3) the evidence is reliable. McDaniel, 955 S.W.2d at 264. Questions regarding
the admissibility, qualifications, relevancy, and competency of expert testimony are left to
the discretion of the trial court. Id. A trial court’s ruling on the admissibility of such
evidence may be overturned on appeal only if the discretion is exercised arbitrarily or abused.
State v. Stevens, 78 S.W.3d 817, 834 (Tenn. 2002).
The Petitioner contends that the post-conviction court should have excluded the
testimony of Dr. Seidner because Dr. Seidner failed to secure appropriate conditions for his
evaluation and failed to administer tests in accordance with the prescribed methodology.
Specifically, the Petitioner complains that Dr. Seidner conducted a non-contact interview
without seeking a contact visit with comfortable conditions. The Petitioner contends that Dr.
Seidner was unable to complete all of the subtests since he chose to conduct the evaluation
in a non-contact visitation room. He further maintains that Dr. Seidner, because of the non-
contact setting, completed the Petitioner’s responses on self-administered tests. He,
therefore, concludes that Dr. Seidner’s opinions lack sufficient indicia of scientific reliability
to be trustworthy within the meaning of Tennessee Rule of Evidence 703. Thus, he asserts
that Dr. Seidner’s testimony did not and could not substantially assist the court in making a
competency determination within the meaning of Tennessee Rule of Evidence 702. The
Petitioner urges this court to apply the non-exclusive factors identified by our supreme court
for preliminary determination of the reliability and trustworthiness of scientific evidence, as
set forth in McDaniel.
In McDaniel, the court held:
A Tennessee trial court may consider in determining reliability: (1)
whether scientific evidence has been tested and the methodology with which
it has been tested; (2) whether the evidence has been subjected to peer review
or publication; (3) whether a potential rate of error is known; (4) whether . . .
the evidence is generally accepted in the scientific community; and (5) whether
the expert’s research in the field has been conducted independent of litigation.
McDaniel, 955 S.W.2d at 265. The McDaniel Court characterized these factors as useful in
applying Tennessee Rules of Evidence 702 and 703. The supreme court has also said,
however, that “[the McDaniel ] factors are not mandated in every case in which expert
evidence is offered and should not be applied unless the factor or factors provide a
reasonable measure of the expert’s methodology.” Brown v. Crown Equip., 181 S.W.3d 268,
272 (Tenn. 2005). Likewise, the supreme court has said that “[t]he rigid application of the
McDaniel factors to all expert testimony is problematic because all expert testimony may not
‘fit’ within the factors.” Id. at 277.
As asserted by the State, the assessments employed by Dr. Seidner enjoy longstanding
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acceptance and use in the psychological community, both nationally and internationally. See
Coe v. State, 17 S.W.3d 193, 227 (Tenn. 2000) (holding that the MCMI3, SIRS, MMPI and
MMPI-2 have long been recognized as scientifically valid and reliable, thus meeting
requirements outlined in McDaniel and Van Tran)(citing State v. Blanton, 975 S.W.2d 269,
278 (Tenn. 1998); State v. Payne, 791 S.W.2d 10, 17 (Tenn. 1990)). Dr. Seidner was
qualified to administer the tests and to form an opinion as to the results of those tests.
Additionally, Dr. Seidner’s method of administering the tests, while not conforming to the
preferred method of evaluation, was due, in part, to the Petitioner’s refusal to participate in
a contact evaluation. On cross-examination, the Petitioner’s counsel had the opportunity to
question Dr. Seidner regarding the reliability of personality assessments administered in a
non-contact setting. Any consideration to the reliability of the testing in a non-contact setting
went to the weight of Dr. Seidner’s testimony and not the admissibility. Further, while the
Petitioner complains that Dr. Seidner failed to consult with other mental health experts, the
Petitioner ignores the fact that Dr. Seidner reviewed and relied upon the reports of Dr. Auble
and Dr. Caruso. We cannot conclude that the lower court abused its discretion in admitting
the testimony of Dr. Seidner.
F. The Petitioner Was Competent to Withdraw his Petition for Post-
Conviction Relief
The Petitioner asserts that the lower court erred in finding him to be competent under
the Rule 28, section 11 standard. The standard for determining competency of a petition to
withdraw a petition for post-conviction relief under Rule 28, section 11 is:
Whether the petitioner possesses the present capacity to appreciate the
petitioner’s position and make a rational choice with respect to continuing or
abandoning further litigation or on the other hand whether the petitioner is
suffering from a mental disease, disorder, or defect which may substantially
affect the petitioner’s capacity.
The post-conviction court’s finding of competency will be presumed correct unless the
evidence preponderates against the finding. Tenn. R. Sup. Ct. R. 28, §11(C).
Under the applicable standard, a petitioner is competent if he is not suffering from a
mental disease or defect. Rumbaugh v. Procunier, 753 F.2d 395, 398 (5th Cir. 1985).
Conversely, if the petitioner does suffer from some mental disease, the court must then
determine if that disease or defect prevents him from understanding his legal position and the
options available to him or whether the mental defect would prevent him from making a
rational choice among his options. Id. If the petitioner cannot understand his legal position
or otherwise make a rational choice among his options, then he is incompetent. Id.
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The Petitioner asserts that the post-conviction court erred by not finding that he
suffered from a mental disease or defect. The Petitioner claims that the evidence established
that he is brain-damaged, suffers from distorted reality perception, is impulsive, and has a
history of psychosis and severe mental illness. The Petitioner additionally asserts that the
evidence further established he had a pattern of engaging in self-harm and irrational thoughts.
Moreover, he contends that his ability to make rational choices has been severely curtailed
as a response to his environment in prison. The Petitioner cites the following incidents as
examples of his inconsistency and inability to make rational choices:
• In April 2002, the Petitioner said he would not accept any other
sentence than death but went to trial instead of pleading guilty in 2003.
• The Petitioner attempted to abandon his direct appeal in 2003, but then
wrote the judge asking that he appoint current counsel Kelly Gleason
to represent him.
• In 2005 and 2006, the Petitioner made public comments about not filing
a petition for post-conviction relief but filed one in 2006.
• On August 10, 2009, the Petitioner signed an affidavit asking to pursue
all legal avenues to challenge his conviction and sentence.
The Petitioner further contends that the conditions of his confinement were “sensory
deprivation” and “psychological torture.” Finally, the Petitioner contends that while he is
suicidal, the rule in Pike was never intended to “empower individual death-sentenced inmates
to invoke the power of the state to assist suicide.”
The Petitioner’s claims run directly contrary to the existing evidence, expert
testimony, and expert analysis. The post-conviction court carefully reviewed the testimony
and report of Dr. Seidner. The lower court also reviewed and relied upon prior reports from
Dr. Auble and Dr. Caruso. None of these experts diagnosed the Petitioner with a mental
disease or defect that could impair his ability to understand his position or to make a rational
choice with respect to abandoning or continuing his appeals. Both Dr. Caruso and Dr.
Seidner concluded that the Petitioner is willing to accept his death sentence, not because he
is suicidal but because he “has weighed his self interest in terms of challenging this and what
he would get, which is continued decline and life on death row, which he has rejected.”
The Petitioner has failed to show any serious flaw or defect in the methods used to
determine his competency. Dr. Seidner’s report indicated that he employed the following
methods in his evaluation of the Petitioner:
• Review of documents as listed and supplied by court order dated
August 1, 2008;
• Clinical interview on August 27, 2008, totaling 4.5 hours;
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• Personality Assessment Inventory (PAI) on August 27, 2008;
• Clinical interview on August 28, 2008, totaling 5.5 hours;
• Validity Indicator Profile (VIP) on August 28, 2008;
• Wisconsin Card Sorting Test: Computer version 4 (WCST) on August
28, 2008; and
• Weschler Adult Intelligent Test III (WAIS-III) on August 28, 2008.
Dr. Seidner used these methods to carefully and extensively develop an overall portrait of the
Petitioner’s mental health history and current mental competency. Dr. Seidner’s report
reflected that the Petitioner came from an egregiously conflicted and disturbed family system
where the Petitioner was placed in the middle of overwhelming loyalty conflict and a
campaign to malign and alienate the relationship with his biological father. The Petitioner’s
father committed suicide when the Petitioner was twelve years old. The Petitioner spent
most of his youth in the correctional system. The Petitioner viewed his mother as
preoccupied with her own life. The Petitioner viewed his time in juvenile facilities as
preparation for a lifetime in adult correctional facilities. The Petitioner’s family failed to
provide consistency, and the Petitioner maintained strong resentment toward his mother. The
Petitioner was an action-oriented and stimulation-seeking child who was aggressive and
destructive. These behaviors intensified into his adolescence and adulthood. The
Petitioner’s documented history of conduct disorder, underage drinking, and illicit drug use
includes multiple incidents of seriously assaulting peers starting at age seven, fire setting,
property damage, lying, and manipulation. Dr. Seidner noted that these behaviors reflect
poor impulse control.
Dr. Seidner also reported that the Petitioner’s medical history included a head injury.
The Petitioner denied that this injury interfered with his daily living, mood, or consciousness.
The Petitioner had a cyst removed from his brain shortly after his incarceration for the
murder of his mother. Dr. Seidner reflected that the removal of the cyst appears to have left
some effect on the speed and dexterity of his left hand. The Petitioner denied any substantive
effects. The Petitioner self-reported two heart attacks but denied any impairment as a result.
The Petitioner self-reported aches and pain and expressed concern about present and future
health and physical viability in prison. The Petitioner believed he will receive negligent
medical care in prison and cast doubt about his future quality of life. “Continued living in
jail is, in his view, adverse to his self interests.”
Dr. Seidner noted that there were occasional expressions of concern regarding whether
the Petitioner suffered from a psychiatric disorder but that the Petitioner has never
demonstrated stable, overt symptoms of such a disorder. The doctor noted that the Petitioner,
when enraged or when using mood altering substances, is “so wantonly out of control and
dangerous that a number of psychiatric conditions [could be] considered as a predicate of his
behavior.” However, Dr. Seidner noted that “[t]he record . . . returns again and again to the
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consistent fact pattern of a conduct disorder, under-socialized, aggressive type.” In other
words, Dr. Seidner concluded that the records do not reflect the consistent presence of a
major psychiatric disease that might account for his history of behavioral dysfunction.
To the contrary, Dr. Seidner found the Petitioner to be an individual capable of
thinking flexibly and effectively. He characterized the Petitioner as opinionated but
explained that his opinions were developed through reading, experience, and thought. Dr.
Seidner found no indication of a mood disorder, depression, excessive guilt, or internalizing.
The Petitioner described himself as bored and unhappy, but this characterization was in the
context of the limitations of his activity and relationships due to his high security needs. Dr.
Seidner could not detect any delusions, thought blocking, hallucinations, or thinking disorder.
The Petitioner denied feeling suicidal. The Petitioner viewed prison life as a natural
consequence of his actions for which he alone is responsible.
Dr. Seidner reported the following test results:
• Validity Indicator Profile. This test is a measure of consistency of
effort and an objective basis to judge the test-taking orientation and
validity of the Petitioner’s cognitive performance. Dr. Seidner opined
that the Petitioner began the testing with less effort than he ended. The
test was performed pursuant to the Petitioner’s wishes in a non-contact
setting. On the non-verbal subtest, Dr. Seidner did not see any
intentional suppression of ability. He determined that the VIP suggests
that the Petitioner’s testing on the Wisconsin Card Sort and the
Weschler are valid and reliable.
• Weschler Intelligence Scale III. Dr. Seidner concluded that, while
there may be some practice effect from the 2003 administration of the
test, the Petitioner demonstrated a very high level of intellect, rational
process, and cognitive competence. The Petitioner had a verbal IQ of
127 and a verbal comprehension index score of 136. Dr. Seidner
commented that because this was a non-contact visit, he was unable to
derive a performance IQ. Otherwise, no deficits were revealed by the
test.
• Wisconsin Card Sorting Test. This test was administered on a laptop
computer. The test is sensitive to brain damage and detects subtle
deficits that other measures frequently fail to identify. The Petitioner
completed all six of the sorting categories in eighty trials while
producing only eight errors, which is substantially better than
normatively anticipated. The results of the WCST demonstrate integrity
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in higher level problem solving, hypothesis generation and testing,
flexibility, and responsivity to feedback.
• Personality Assessment Inventory (PAI). The Petitioner has spent
twenty years in a maximum security setting. Thus, Dr. Seidner noted
that a traditional profile would be inappropriate. Dr. Seidner related
that elevated scores relating to depression, non-support, and propensity
toward suicide must be interpreted in the context of his present long
term incarceration.
Dr. Seidner found that the Petitioner’s development from conduct disorder to
antisocial personality disorder was a result of the choices the Petitioner has made. The
Petitioner did not demonstrate symptoms of an Axis I disorder with psychotic features or an
Axis I psychotic disorder such as schizophrenia. The Petitioner did not present symptoms
of an organic disorder. His history of self-destructiveness is a function of his antisocial
personality disorder and expressed through rage storms or volatility. Dr. Seidner opined that
the Petitioner is manipulative if he does not get what he wants. The doctor found that a prior
overdose was a result of his lack of impulse control, with little care for the consequences, and
a deep attraction to increasing the intensity of his experiences of excitement. The doctor
noted that when the Petitioner has punished or killed, the Petitioner asserted that it has been
with full intention and was a rational decision.
The Petitioner described himself as a “criminal with morals” and asserted that he has
pursued has own self-interest throughout his life. His decision to waive his post-conviction
appeals is consistent with what he believes is his best interest. The Petitioner is offended that
anyone would question his rationality, intelligence, or mental status. Dr. Seidner noted that
the Petitioner demonstrates a practical and technical understanding of the legal process. The
Petitioner rejected his counsel’s “anti-death penalty” position. He stated that, if he was not
on death row, his counsel’s support and advocacy would not be there. The Petitioner
expressed no remorse and felt no remorse for his killings. The Petitioner asserted that he
believed in God and in the Bible and viewed his execution as a natural consequence for his
behavior.
Dr. Seidner offered the following opinion in his written report:
Prong 1: Is the person suffering from a mental disease or defect?
Mr. Hugueley is diagnosed with an antisocial personality disorder and
his behavior is consistent with this disorder. It is not, however, a predicate of
any deficit in his rational process. It does not impair his appreciation of his
circumstances or options available to him. It does not challenge his autonomy
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or in anyway reduce the voluntary nature of his choices.
Prong 2: If the person is suffering from a mental disease or defect, does
that disease or defect prevent him from understanding his legal position
and the options available to him?
Mr. Hugueley has no mental disease or defect that prevents him from
understanding his legal position and options. His mental status and
performance on objective measures of intelligence, executive decision making
capacity, and personality testing demonstrate his rationality and high level of
flexible cognition that is not distorted by affect. He fully appreciates his
position and makes rational choices with respect to abandoning further
litigation.
Prong 3: If the person is suffering from a mental disease or defect which
does not prevent him from understanding his legal position and the
options available to him, does that disease or defect, nevertheless, prevent
him from making a rational choice among his options?
There is no observable or measurable impairment in Mr. Hugueley’s
rational process as it relates to his functioning in this litigation. He has the
demonstrated capacity to make rational, pertinent, and reasoned decisions. He
fully understands and anticipates the consequences of these decisions from
both a personal and legal perspective.
The records in the present case and in the Petitioner’s direct appeal indicate that the
Petitioner has a firm grasp of the legal process and the legal ramifications of his decisions.
The record further demonstrates the Petitioner’s willingness to use his knowledge of the legal
system to manipulate proceedings to further his own interests or agenda. The Petitioner is
currently serving a death sentence and two life sentences under severe prison restrictions
because of his violent history. The post-conviction court’s determination of competency is
supported by the fact that the Petitioner arrived at the competency hearing with a
presumption that he was competent. This presumption was bolstered by previous
determinations of competency. The record reflects that the post-conviction court had no
doubt as to the Petitioner’s competency but merely ordered the evaluation out of an
abundance of caution with consideration of the severity of the proceedings. With
consideration of the evidence and the applicable standard of review, we conclude that
sufficient basis exists to support the lower court’s finding that the Petitioner is competent to
withdraw his petition for post-conviction relief.
G. The Petitioner’s Waiver was Knowing, Voluntary, and Intelligent
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The Petitioner asserts that his decision to withdraw his petition for post-conviction
relief was not knowing, intelligent, and voluntary. First, he asserts that he was not
sufficiently advised of his rights in the colloquy required by Rule 28, section 11(A), Rules
of the Tennessee Supreme Court. Second, the Petitioner contends that the court failed to
conduct the requisite inquiry into the Petitioner’s understanding of the rights that he would
be abandoning and the consequences of withdrawal. Third, the Petitioner maintains that the
alleged waiver was a by-product of onerous conditions of confinement. The State responds
that Tennessee Supreme Court Rule 28, section 11 does not provide for appellate review of
this issue. Rather, the State contends that review is limited to the sole question of whether
the Petitioner was competent to withdraw his petition for post-conviction relief.
The plain language of Rule 28, section 11(C), Rules of the Tennessee Supreme Court,
limits appellate consideration to the issue of competency. Competency is delineated as one
of the four factors which must be found before permitting a capital defendant to withdraw
a post-conviction petition. Tenn. Sup. Ct. R. 28, §11(A)(1)-(4). The test for determining
competency is “whether the petitioner possesses the present capacity to appreciate the
petitioner’s position and make a rational choice with respect to continuing or abandoning
further litigation or on the other hand whether the petitioner is suffering from a mental
disease, disorder, or defect which may substantially affect the petitioner’s capacity.” Tenn.
Sup. Ct. R. 28, §11(B)(1). In addition to competency, the lower court must also determine
that the petitioner: (1) does not desire to proceed with any post-conviction proceedings; (2)
understands the significance and consequences of withdrawing the post-conviction petition;
and (3) is knowingly, intelligently, and voluntarily, without coercion, withdrawing the
petition. Tenn. Sup. Ct. R. 28, § 11(A)(1)-(3). While it appears to this court that although
the plain language of Rule 28, section 11(C) appears to specifically limit appellate review
to the issue of competency, we would be constrained to adopt such a circumscribed
interpretation with consideration of the nature of the right being relinquished, even though
that right is not constitutionally mandated.
This court has previously acknowledged that Rule 28, section 11 requires a
determination that a withdrawal of a capital post-conviction petition is knowingly,
voluntarily, and intelligently made and that the petitioner is competent to make such a
decision under the Rees standard. Christa Gail Pike v. State, No. E2002-00766-CCA-R3-
PD, 2004 WL 1580503, *18 (Tenn. Crim. App., at Knoxville, July 15, 2004), rev’d on
different grounds by, 164 S.W.3d 257 (Tenn. 2005). Thus, this court recognized two distinct
criteria: (1) the competency of the petitioner and (2) that the withdrawal of the petition is
knowing, voluntary and intelligent. While the right to seek post-conviction relief is statutorily
created and not constitutionally mandated, we cannot conclude that a legitimate reason exists
to distinguish the waiver of a statutorily created right from the waiver of a constitutionally
mandated right when given the severity of the punishment of death. Our position is bolstered
by the fact that Rule 28, section 11, Rules of the Tennessee Supreme Court, explicitly
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requires that the withdrawal of post-conviction review must be made knowingly, voluntarily,
and intelligently.
While Rule 28, section 11 does not expressly provide for appellate review of the
determination of whether the withdrawal of the petition is knowingly, voluntarily, and
intelligently made, we determine that such review is implicit with consideration of the nature
of the ultimate sentence. Indeed, when a sentence of death is imposed, the court has dual
interests. One, the court has the responsibility to see that the presumptively legal sentence
is carried out. Two, the court has a responsibility to ensure that society’s ultimate penalty
is not imposed except in appropriate cases and that the sentence is not arbitrary or the result
of mistake. See generally Gregg v. Georgia, 428 U.S. 153 (1976). The second prong does
not end upon the relinquishment of further review of the sentence. Thus, when a death row
inmate expresses the desire to waive collateral proceedings, the courts of this state have an
implicit obligation to assure that the waiver of collateral review is knowing, intelligent, and
voluntary.
In the present case, the lower court questioned the Petitioner about his expressed
intent to withdraw his petition for post-conviction relief. The Petitioner maintained that he
wished to withdraw his petition for post-conviction relief and that he understood the
ramifications of his withdrawal. The Petitioner indicated to the court, both orally and in
writing, his desire to withdraw his petition and indicated that he only signed the initial
petition in order to resolve some visitation issues. The Petitioner stated that he was not
coerced or forced into seeking to withdraw his petition; that he was not promised anything
to withdraw his petition; and that he was not under the influence of any medication that
would alter his thinking. The Petitioner complains that the post-conviction court erred by not
entering findings of fact and conclusions of law regarding the knowing and voluntary nature
of the withdrawal.
Rule 28, section 11(A), Rules of the Tennessee Supreme Court, requires the trial court
to enter an order “stating the court’s findings regarding items (1) through (4).” Following the
hearing on January 10, 2007, the post-conviction court entered an order on January 16, 2007,
finding that the Petitioner’s decision to withdraw his post-conviction relief petition was
knowing, intelligent, and voluntary. In the order, the court found that the Petitioner spoke
to his counsel regarding his desire to withdraw his petition and was aware that a withdrawal
would preclude future petitions for post-conviction relief and would result in the setting of
a new execution date. The court found that the Petitioner indicated that he was not under the
influence of any medication or substance that could possibly interfere with his ability to make
a clear decision. The court also found a genuine issue as to competency and ordered the
State and the Petitioner’s counsel to submit a list of mental health professionals.
In its January 8, 2009 order dismissing the Petitioner’s post-conviction petition, the
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court reiterated its previous findings. The post-conviction court, however, did not make
specific findings in the January 2009 order that the Petitioner’s decision continued to be
knowing, voluntary, and intelligent. Regardless, the post-conviction court made findings of
fact in the January 2009 order directly relating to whether the Petitioner’s decision to dismiss
his petition continued to be knowing, voluntary, and intelligent.
In the January 2009 order, the post-conviction court found that the Petitioner “has a
broad grasp of the legal ramifications of his decisions.” Dr. Siedner indicated in his report
that the Petitioner “demonstrates a practical and technical understanding of the legal
process.” The court found that through both his written correspondence and verbal
interaction, the Petitioner “has demonstrated a detailed understanding of the sentence he
faces, the ramifications of withdrawing his current petition for post-conviction relief, and the
legal procedures association with such a decision.” The lower court further found:
In addition to the breadth of understanding exhibited by the above excerpts
from petitioner’s written correspondence with the court, each time petitioner
appeared before this court, the court found petitioner to be both coherent and
impassioned in his requests and/or statements. It seems clear from petitioner’s
statements that he not only understands the ramifications of the choice he is
making; but, clearly understands the legal process involved in exercising such
a choice. Moreover, petitioner appears particularly adept at manipulating the
system to suit his purpose. Thus, his choices appear both cogent and rational.
Although the petitioner’s choices may be, as Dr. Caruso labeled them,
‘unconventional,’ such choices are the result of rational thought.
The court also found that “in its interactions with petitioner, petitioner appears to be able to
rationalize between the legal options available to him and has made a cogent choice to forego
further review of his post-conviction relief claims.” The record supports these findings of
the post-conviction court. Accordingly, the Petitioner’s decision to dismiss the post-
conviction relief petition was knowingly, voluntarily, and intelligently made.
CONCLUSION
Based upon a review of the record, we affirm the judgment of the post-conviction
court dismissing the Petitioner’s post-conviction relief petition.
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JOHN EVERETT WILLIAMS, JUDGE
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