UNITED STATES COURT OF APPEALS
TENTH CIRCUIT
ROBERT WILLIAM CLAYTON,
Petitioner-Appellant,
v. No. 98-5154
GARY GIBSON, Warden of the
Oklahoma State Penitentiary; DREW
EDMONDSON, Attorney General for
the State of Oklahoma,
Respondents-Appellees.
ORDER ON PETITION FOR REHEARING
Filed December 22, 1999
Before BRORBY, BRISCOE, and MURPHY, Circuit Judges.
This matter is before the court on appellant’s Petition for Rehearing with a
Suggestion for Rehearing En Banc. We also have the appellee’s response. Upon
consideration, the panel grants limited rehearing, withdraws the prior panel
opinion, and issues the attached revised opinion in its place. The opinion is
revised by deleting the third and fourth sentences of the last paragraph on page 13
of the November 15, 1999 slip opinion. The rehearing petition is otherwise
denied.
The Suggestion for Rehearing En Banc was circulated to all the active
judges of the court. 1 No active judge having called for a poll, the Suggestion for
Rehearing En Banc is denied.
Entered for the Court,
Patrick Fisher, Clerk of Court
By:
Keith Nelson
Deputy Clerk
1
Judge Robert H. Henry is recused.
-2-
F I L E D
United States Court of Appeals
Tenth Circuit
PUBLISH
DEC 22 1999
UNITED STATES COURT OF APPEALS
PATRICK FISHER
Clerk
TENTH CIRCUIT
ROBERT WILLIAM CLAYTON,
Petitioner-Appellant,
v. No. 98-5154
GARY GIBSON, Warden of the
Oklahoma State Penitentiary; DREW
EDMONDSON, Attorney General for
the State of Oklahoma,
Respondents-Appellees.
APPEAL FROM UNITED STATES DISTRICT COURT
FOR THE NORTHERN DISTRICT OF OKLAHOMA
(D.C. No. 96-CV-173-K)
James L. Hankins, of Hankins Law Office, Enid, Oklahoma, (Jeremy B. Lowrey,
Sheridan, Arkansas, with him on the brief) for the appellant.
Robert L. Whittaker, Assistant Attorney General of Oklahoma (W.A. Drew
Edmondson, Attorney General of Oklahoma, with him on the brief), Oklahoma
City, Oklahoma, for the appellees.
Before BRORBY, BRISCOE, and MURPHY, Circuit Judges.
BRISCOE, Circuit Judge.
Petitioner Robert William Clayton was convicted of first degree murder and
was sentenced to death. He appeals the denial of his 28 U.S.C. § 2254 petition
for habeas corpus. We affirm.
I.
Rhonda Timmons, the victim in this case, resided with her husband Bill
Timmons at the South Glen Apartments in Tulsa, Oklahoma. On June 25, 1985,
as Bill Timmons was returning home for lunch around 12:30 p.m., he noticed
towels and a pillow near the back door to the apartment, where Rhonda Timmons
had evidently been sunbathing. The door was unlocked and when he entered the
apartment, he noticed blood “everywhere.” He found his wife’s dead body near
the crib of the Timmons’ baby. Rhonda Timmons had been stabbed twelve times
in the chest, neck, side, and arms, and she sustained numerous bruises and blunt
force injuries to her head and body. The baby was in the crib and was not hurt.
Clayton was a groundskeeper at the South Glen Apartments. Shortly before
noon on June 25, he told the head groundskeeper he was going to rest in the tool
shed during his lunch break. However, between 12 and 12:30 p.m., Clayton
arrived at the home of Helen Syphurs, the mother of one of his roommates, Tony
Hartsfield. Clayton’s hand was injured and he was breathing heavily. He told
Syphurs he injured his hand while resisting two male robbers. He took a shower,
wrapped himself in a towel, and placed his clothing in a paper bag. Clayton
-2-
notified his employer by telephone that he would not be returning to work that
day. Clayton shared a house with Hartsfield and Don and Sharon Reinke, who
were Hartsfield’s brother-in-law and sister. Syphurs drove Clayton home and
Clayton repeated his story to Sharon Reinke. He stated his clothing was bloody
and put the clothing in the washing machine. A blood-stained sock was later
found on the floor near the washing machine and testing revealed the blood on the
sock was Type AB, the same as Rhonda Timmons’ blood. Clayton repeated his
story to Hartsfield and to Don Reinke when they returned home. Police arrived
around 3:30 p.m. and escorted Clayton to the police station for questioning. As
he left the house, Clayton asked Hartsfield not to tell the police about a folding
knife that Clayton routinely carried. The police found the knife in the backyard
the following day. Although the blood traces on the knife were too minute for
testing, an expert testified at trial that the knife could have been used to inflict
Rhonda Timmons’ injuries.
Clayton was advised of his Miranda rights at police headquarters and he
twice confessed to killing Rhonda Timmons. His first confession was ruled
inadmissible by a magistrate judge because tape recordings indicated Clayton did
not fully understand his constitutional rights. Clayton is retarded and has an IQ
of 68, placing him in the bottom two percent of the population. Clayton’s second
confession, which occurred after he was provided counsel but outside counsel’s
-3-
presence, was admitted at trial.
A jury convicted Clayton of first degree malice aforethought murder and
recommended the death sentence. Clayton was sentenced to death. His
conviction and sentence were affirmed in Clayton v. State , 840 P.2d 18 (Okla.
Crim. App. 1992), and his application for post-conviction relief was denied in
Clayton v. State , 892 P.2d 646 (Okla. Crim. App. 1995). Clayton filed his 28
U.S.C. § 2254 petition for habeas corpus, asserting numerous claims of
constitutional error. The district court denied the petition and issued a certificate
of probable cause on all claims presented in the petition.
II.
Clayton’s petition is not subject to the standards embodied in the
Antiterrorism and Effective Death Penalty Act, which applies only to petitions
filed after April 24, 1996. See Lindh v. Murphy , 521 U.S. 320 (1997). Clayton’s
petition was filed on March 5, 1996. We therefore review Clayton’s petition
under pre-Act law.
Our function in a habeas case is limited to insuring individuals are not
imprisoned in violation of the Constitution. See Herrera v. Collins , 506 U.S. 390,
400 (1993). We therefore presume the historical factual findings of the jury and
the state district court are correct and defer to a state’s interpretation of its law.
See Jackson v. Shanks , 143 F.3d 1313, 1317 (10th Cir. 1998). We review the
-4-
federal district court’s factual findings for clear error and review all legal issues
de novo. See id.
III.
Competency
Clayton contends his due process rights were violated when his competency
was retrospectively determined six years after his trial and under a burden of
proof later found unconstitutional in Cooper v. Oklahoma , 517 U.S. 348 (1996).
Before trial, the state court ordered that Clayton be examined to determine
if he was competent to stand trial. Although Dr. Samuel Sherman examined
Clayton and found him competent, the court apparently did not hold a post-
examination competency hearing as required by then-existing state law. On direct
appeal, the Oklahoma Court of Criminal Appeals remanded the case and directed
the court either to forward proof that a hearing had been held or to conduct a
retrospective hearing if feasible. The trial court first conducted a hearing to
determine if a retrospective competency hearing was feasible. Based upon the
availability of evidence pertaining to Clayton’s pretrial competency, the court
determined a retrospective competency hearing was feasible. On September 12,
1991, a jury found that Clayton was competent at the time of his trial on March 1,
1986. On appeal, the Oklahoma Court of Criminal Appeals found there was
sufficient evidence of Clayton’s competency to render a retrospective hearing
-5-
meaningful. Clayton , 840 P.2d at 25. Clayton argues the six-year time lapse, the
poor quality and lack of written records, and the sketchy memory of important
witnesses precluded a fair retrospective determination of his competency at the
time of trial.
Although retrospective competency hearings are disfavored, they are
permissible “whenever a court can conduct a meaningful hearing to evaluate
retrospectively the competency of the defendant.” Moran v. Godinez , 57 F.3d
690, 696 (9th Cir. 1994); see Drope v. Missouri , 420 U.S. 162, 180-83 (1975).
“A ‘meaningful’ determination is possible where the state of the record, together
with such additional evidence as may be relevant and available, permits an
accurate assessment of the defendant’s condition at the time of the original state
proceedings.” Reynolds v. Norris , 896 F.3d 796, 802 (8th Cir. 1996). A court
should consider (1) the passage of time, (2) the availability of contemporaneous
medical evidence, including medical records and prior competency
determinations, (3) any statements by the defendant in the trial record, and (4) the
availability of individuals and trial witnesses, both experts and non-experts, who
were in a position to interact with defendant before and during trial, including the
trial judge, counsel for both the government and defendant, and jail officials. See
Reynolds , 86 F.3d at 802-03; Moran , 57 F.3d at 696 .
Applying these factors, we find no constitutional error in the state court’s
-6-
determination that a retrospective competency hearing was feasible. While the
time gap between Clayton’s trial and the competency determination is troubling,
“[t]he passage of time is not an insurmountable obstacle if sufficient
contemporaneous information is available.” Reynolds , 86 F.3d at 803; see Bruce
v. Estelle , 536 F.2d 1051, 1057 (5th Cir. 1976) (determining nine-year gap
between trial and competency hearing did not alone vitiate opportunity for
meaningful hearing); Barefield v. New Mexico , 434 F.2d 307, 309 (10th Cir.
1970) (finding “mere lapse of time before a competency hearing” does not
invalidate findings made as a result of that hearing).
The trial court had before it Dr. Sherman’s pretrial report finding Clayton
competent to stand trial. Although the report was admittedly brief, it nonetheless
constituted a contemporaneous medical determination. “[M]edical reports
contemporaneous to the time [of trial] greatly increase the chance for an accurate
retrospective evaluation of a defendant’s competence.” Moran , 57 F.3d at 696;
see United States v. Mason , 52 F.3d 1286, 1293 (4th Cir. 1995) (finding
competency determination possible where “the defendant’s treating physicians
have already conducted an inquiry into the defendant’s competence and formed an
opinion as to his competence at the time of the first phase of his trial”).
In addition, numerous witnesses who interacted with Clayton before and
during trial were available to testify at the competency hearing, including the trial
-7-
judge, clinical psychologists, the jail physician, and Clayton’s trial counsel. 1
Clayton does not dispute the availability of these witnesses, but counters with the
feasibility hearing testimony of Dr. Robert Nicholson, a clinical psychologist with
significant experience in competency evaluations. Dr. Nicholson testified that the
time gap and the poor quality of the contemporaneous written records made it
impossible for him to evaluate Clayton’s competency at the time of trial. While
Dr. Nicholson’s testimony has probative value, it is not sufficient to establish that
a retrospective competency hearing was not feasible, particularly given the
finding of competency prior to trial and the availability of numerous witnesses
who were familiar with Clayton at the time of trial. We conclude Clayton was not
deprived of due process by having his competency determined retrospectively.
See Walker v. Attorney General , 167 F.3d 1339, 1347 n.4 (10th Cir. 1999) .
Clayton also contends the trial court employed an unconstitutional burden
of proof at his competency hearing by requiring him to prove his competence by
clear and convincing evidence. In Cooper , the Supreme Court ruled that use of
the clear and convincing evidence standard in a competency hearing violated due
process. 517 U.S. at 369. Because Cooper was decided after Clayton’s direct and
post-conviction appeals, he presented this issue for the first time in his federal
1
Except for the trial judge and one of the clinical psychologists, all of
these individuals testified at the retrospective competency hearing.
-8-
habeas petition. 2
The federal district court denied relief on the ground that
Clayton had procedurally defaulted this claim by failing to raise it on direct
appeal. Although the court acknowledged Cooper was decided after Clayton’s
state court proceedings were final, it reasoned that under the 1995 amendments to
Oklahoma’s post-conviction statute this fact did not excuse Clayton’s failure to
challenge the evidentiary standard on direct appeal.
Generally, it is a prerequisite to habeas relief that a petitioner exhaust his
remedies in state court. See 28 U.S.C. § 2254(b)(1). The exhaustion requirement
is not jurisdictional, however, and may be waived by the state or avoided by the
petitioner if an attempt to exhaust would be futile. See Demarest v. Price , 130
F.3d 922, 933-34 (10th Cir. 1997). Both exceptions apply here. The state has
expressly waived the exhaustion requirement by conceding Clayton has
“exhausted his state remedies as to this factual claim.” Record, Doc. 10 at 46. In
addition, the Oklahoma Court of Criminal Appeals ruled unequivocally that a
Cooper claim is barred if not presented on direct appeal or submitted in a first
application for post-conviction relief, even if the direct appeal and post-
2
Respondent has not asserted, and we do not consider, whether Cooper is
retroactively applicable to cases where the direct appeal was final before Cooper
was decided. See Goeke v. Branch , 514 U.S. 115, 117 (1995) (holding court need
not entertain a Teague v. Lane , 489 U.S. 288 (1988), defense if state has not
raised it); Schiro v. Farley , 510 U.S. 222, 229 (1994) (indicating state can waive
the Teague defense by not raising it).
-9-
conviction processes were final before Cooper was decided. See Walker v. State ,
933 P.2d 327, 338-39 (Okla. Crim. App. 1997). Further presentation of the claim
to the Oklahoma courts thus would be futile. See Wallace v. Cody , 951 F.2d
1170, 1171 (10th Cir. 1991).
Having deemed Clayton’s claim exhausted, we next must consider if
Clayton’s claim is procedurally barred. 3
A claim that has been defaulted in state
court on an adequate and independent state procedural ground will be considered
on federal habeas review only if a petitioner can demonstrate cause and prejudice
to excuse the default or establish failure to consider the merits of the claim will
result in a fundamental miscarriage of justice. Rogers v. Gibson , 173 F.3d 1278,
1290 (10th Cir. 1999). To be adequate, a state’s procedural rule must have been
firmly established and regularly followed when the purported default occurred.
Walker , 167 F.3d at 1344.
Here, the 1995 amendments to Oklahoma’s post-conviction statute supplied
the basis for the procedural bar finding. The amendments sharply limit a
petitioner’s ability to bring claims in a new post-conviction application that were
not raised on direct appeal or in a prior post-conviction application, including
3
A procedural default analysis is necessary because Clayton’s challenge is
a procedural competency claim, which is subject to waiver, rather than a
substantive competency claim, which is not subject to waiver. See Rogers v.
Gibson , 173 F.3d 1278, 1289 (10th Cir. 1999).
-10-
new claims based on an intervening change in law. Id. at 1345. We consistently
have held, when considering Cooper claims, that the 1995 amendments do not
constitute an “adequate” state law ground for procedural default purposes if they
did not exist at the time of the default. See Rogers , 173 F.3d at 1290; Walker ,
167 F.3d at 1345. In this case, the district court ruled Clayton’s default occurred
when his direct appeal became final in 1992, three years before the effective date
of the 1995 amendments. “A defendant cannot be expected to comply with a
procedural rule that does not exist at the time, and should not be deprived of a
claim for failing to comply with a rule that only comes into being after the time
for compliance has passed.” Walker , 167 F.3d at 1345. In these circumstances,
Clayton’s procedural competency claim is not barred by his failure to raise it on
direct review or in his post-conviction application. We therefore consider
Clayton’s claim on the merits.
Clayton is entitled to relief on his procedural competency claim only if “the
state trial court ignored evidence that, viewed objectively, raised a bona fide
doubt as to [Clayton’s] competency to stand trial.” Id. (citing Drope , 420 U.S. at
180-81). A defendant will be deemed competent to stand trial if at the time of
trial he had “sufficient present ability to consult with his lawyer with a reasonable
degree of rational understanding--and . . . a rational as well as factual
understanding of the proceedings against him.” Dusky v. United States , 362 U.S.
-11-
402 (1960). Although not limited to these factors, a court conducting a
competency inquiry should consider defendant’s demeanor at trial, any evidence
of irrational behavior by defendant, and perhaps most important, any prior
medical opinions regarding competency. Walker , 167 F.3d at 1346. In addition,
where, as here, defendant’s competency was determined under an unconstitutional
standard, the jury’s finding of competency is not entitled to a presumption of
correctness. Id. at 1345.
In arguing a bona fide doubt exists as to his competency at the time of trial,
Clayton relies primarily on the competency hearing testimony of his trial counsel,
Ronald Wallace, and of Dr. Nicholson. Wallace testified that before and during
trial, he questioned Clayton’s competency, specifically wondering if Clayton was
capable of understanding the proceedings and assisting counsel. Although
Wallace thought Clayton’s comprehension was limited to understanding he was in
an adversarial proceeding, Wallace declined to characterize his concerns as
“serious.” At the feasibility hearing, Dr. Nicholson, for the most part, reiterated
his testimony that Clayton’s competency at the time of trial could not be
determined accurately given the dearth of contemporaneous records.
In contrast to the ambivalent testimony of Wallace and Dr. Nicholson is the
unequivocal testimony of three doctors who either evaluated or observed Clayton
at the time of trial. Dr. Goodman, who examined Clayton twice before trial,
-12-
testified that Clayton was lucid and did not have difficulty recalling events or
relating an account of the crime. Although he conceded Clayton might have an
underlying personality disorder, he was satisfied that Clayton’s sanity would not
be an issue at trial. Dr. Barnes, the jail physician, examined Clayton physically
and responded to Clayton’s claims of illness. He testified that Clayton had no
physiological problems that would have affected his competency at trial. Dr.
Sherman performed the pretrial examination of Clayton and found him to be
competent. Dr. Sherman described the procedures he typically performed in a
competency evaluation and testified that in 1986 he had found after evaluation
that Clayton was competent. He was unwilling to rule out the possibility that
Clayton had a mental disorder, but testified an individual can have a mental
disorder and be competent to stand trial.
Clayton points out that Dr. Sherman conceded at the hearing he had no
independent recollection of Clayton, had no records or files regarding the pretrial
examination, and could not identify the bases for his conclusion. Although
troubling, these problems ultimately pose issues of credibility. The evidence in
the record does not raise a bona fide doubt as to Clayton’s competency at the time
of trial.
Admissibility of statement
-13-
Clayton asserts he is entitled to habeas relief because his involuntary
statement to police was admitted at trial. He actually gave two statements to
authorities. After he was taken to the police station and advised of his Miranda
rights, he signed a waiver form and admitted killing Rhonda Timmons after she
made unwanted sexual overtures toward him. Clayton refused to repeat his story
for a tape recording without a lawyer present. Questioning ceased and a public
defender was dispatched to serve as Clayton’s attorney. The public defender
spoke with Clayton alone and, before he left, advised Clayton to remain silent and
requested that officers not reinitiate questioning in counsel’s absence. Counsel
left with the understanding that Clayton would be booked and returned to his cell.
In the course of filling out a booking information slip, Clayton was
identified as “Randy” rather than “Robert.” To resolve confusion, a police officer
asked Clayton his “true name.” Clayton provided his name, his date of birth, and
his social security number. Clayton then indicated he “had something he wanted
to get off his chest.” Trial tr. at 896. The officer reminded Clayton of his
counsel’s advice, but Clayton repeated his desire to make a statement and he
repeated his earlier story.
Clayton sought to suppress both confessions before trial. The trial court
ruled the first statement was inadmissible because Clayton did not understand his
rights and therefore could not voluntarily waive them. The court ruled the second
-14-
statement was admissible because Clayton voluntarily reinitiated communication.
On appeal, Clayton contends his counsel was ineffective for failing to
challenge the voluntariness of his confession based on his mental capacity. We
do not consider the merits of this argument. It is apparent from the record that
Clayton’s counsel did challenge the voluntariness of his confession by filing a
motion to suppress, which the court denied.
Clayton also contends his confession was not voluntary because the officers
improperly resumed questioning after he had invoked his right to counsel. This
contention is without merit. Interrogation of an accused must cease once the
accused invokes the right to counsel. Miranda v. Arizona , 384 U.S. 436, 474
(1966). Nonetheless, an accused may be interrogated further if, after invoking the
right to counsel, he voluntarily initiates further communication with the police
and waives his right to counsel. Edwards v. Arizona , 451 U.S. 477, 484-85
(1981). There is nothing in the record to indicate the questions to clarify
Clayton’s first name were designed, or reasonably likely, to elicit an incriminating
admission from Clayton. Questioning related to booking or other administrative
pretrial matters does not constitute “interrogation” for purposes of Miranda . See
Pennsylvania v. Muniz , 496 U.S. 582, 601 (1990). “Routine booking questions do
not constitute interrogation because they do not normally elicit incriminating
responses.” United States v. Parra , 2 F.3d 1058, 1068 (10th Cir. 1993). It was
-15-
Clayton who reinitiated communication. See United States v. Glover , 104 F.3d
1570, 1581 (10th Cir. 1997).
The act of reinitiating communication does not, by itself, suffice to
constitute a waiver of Clayton’s right to counsel. Instead, we must separately
determine if the statement was the “product of a free and deliberate choice rather
than intimidation, coercion, or deception, and . . . was made in full awareness of
the nature of the right being waived and the consequences of waiving.” Cooks v.
Ward , 165 F.3d 1283, 1288 (10th Cir. 1998). In making this determination, we
consider the totality of the circumstances and bear in mind “the necessary fact
that the accused, not the police, reopened the dialogue.” Oregon v. Bradshaw ,
462 U.S. 1039, 1046 (1983).
Clayton’s waiver clearly was effective. There is no evidence that his
change of heart was precipitated by any police impropriety or that it was
prompted by any promises or inducements. He had been advised twice of his
Miranda rights and after his first statement had invoked the specific right he
waived in making his second statement. Detective Parke testified at Clayton’s
preliminary hearing that Clayton was reminded of his counsel’s advice, but that
Clayton nonetheless insisted upon making a statement in counsel’s absence. This
evidence is more than sufficient to establish Clayton voluntarily, knowingly, and
intelligently waived his right to counsel. See Cooks , 165 F.3d at 1288-89.
-16-
Prosecutorial misconduct
Clayton contends prosecutorial misconduct deprived him of a fair trial.
Specifically, he alleges the prosecutor (1) informed the jury the district attorney’s
function was to “seek the truth”; (2) improperly characterized the burden of
proof; (3) purposefully aroused the passions and prejudices of the jury; (4) shaded
the truth during questioning and closing argument; and (5) commented on
Clayton’s invocation of his rights to counsel and to remain silent.
Prosecutorial misconduct warrants federal habeas relief only if, in light of
the proceedings as a whole, the conduct complained of “so infected the trial with
unfairness as to make the resulting conviction a denial of due process.” Donnelly
v. DeChristoforo , 416 U.S. 637, 643 (1974). “[I]t is not enough that the
prosecutors’ remarks were undesirable or even universally condemned.” Darden
v. Wainwright , 477 U.S. 168, 181 (1986).
Two of the alleged instances of prosecutorial misconduct occurred during
voir dire. First, the prosecutor asked a venire person to describe the function of
the district attorney’s office. When the juror responded, “Prove someone guilty,”
the prosecutor stated the “function of the District Attorney is to seek the truth.”
Trial tr. at 414-15. While this comment was improper to the extent the district
attorney intended to suggest the government’s allegations necessarily were true,
the statement itself was a theoretically accurate description of a prosecutor’s
-17-
function and not the type of egregious statement that was even remotely likely to
infect the subsequent trial with unfairness. Second, the prosecutor asked a
prospective juror if the juror performed his job as a safety director “reasonably
well,” and further, if the juror had heard the prosecutor talking about the burden
of proof and understood “it is just one of reasonable doubt.” Id. at 53-54.
Clayton argues this colloquy informed the jury it could convict if it was
“reasonably well” satisfied of defendant’s guilt. Even assuming the prosecutor’s
statement did not accurately describe the government’s burden, it had no
constitutional effect on the trial. The court reminded the jury several times in
instructions that the government bore the burden of proving each element of the
offense beyond a reasonable doubt.
Clayton also contends that, in order to inflame the passions of the jury, the
prosecutor elicited testimony that Rhonda Timmons died while looking into the
crib at her baby. Notwithstanding Clayton’s contentions, a review of the record
reveals this was but one of several reasonable interpretations of the evidence.
Clayton also complains the prosecutor elicited graphic testimony of the victim’s
“sucking chest wound” and testimony that “sham” resuscitation efforts were
attempted because the victim’s husband was outside the apartment. The testimony
accurately depicted the victim’s wounds and was relevant to establish the cause
and manner of death. As for emergency resuscitation efforts, the witness testified
-18-
only that paramedics “at least owed it to [the victim’s husband] to try, since we
had no idea how long she had been down.” See id. at 630. While perhaps
unnecessary, these accurate statements did not render Clayton’s trial
fundamentally unfair. See Duvall v. Reynolds , 139 F.3d 768, 795 (10th Cir.
1998).
Clayton next contends the prosecutor misled the jury during closing
argument by improperly arguing that police found Clayton’s knife where Clayton
said it would be instead of where Hartsfield told police it would be. Clayton did
tell the police he thought his knife was at the house. Police found it in the yard
behind the house. Clayton also complains the prosecutor questioned a detective
in a manner that suggested bloody footprints were found at Clayton’s house. The
footprints actually were found in the apartment. Although the questioning of the
detective does shift without any apparent reason from one subject to another, a
reasonable juror listening to the entire testimony would have understood the
detective was referring to the apartment when he described the footprints. In any
event, any resulting confusion was slight and did not render the proceeding
unfair.
Finally, Clayton contends the prosecutor inappropriately commented on
Clayton’s invocation of his right to remain silent and his right to counsel.
Clayton did not present this argument in state court either on direct appeal or in
-19-
his application for post-conviction relief. It is not disputed that Oklahoma would
bar consideration of this precise claim on an independent and adequate state law
procedural ground if Clayton presented it in a second post-conviction application.
As such, Clayton’s claim is procedurally barred in the absence of a showing of
cause and prejudice, an excuse Clayton does not allege. 4
See Coleman v.
Thompson , 501 U.S. 722, 735 n.1 (1991); Steele v. Young , 11 F.3d 1518, 1524
(10th Cir. 1993).
Brady Claim
4
Clayton misunderstands our rules regarding exhaustion and procedural
bar. He reasons (1) he did not present his claim on direct appeal or in his
application for post-conviction relief; (2) Oklahoma’s consistently applied
procedural rules would preclude him from presenting the claim in a successive
application for post-conviction relief because it previously could have been
raised; and (3) because further filings in state court would be futile, the “futility”
exception to exhaustion applies and mandates his new claim be heard on federal
habeas review. Assuming the futility exception applies, it does not foreclose
application of the procedural bar, provided (1) Clayton had the opportunity to
present the issue in state court, but either chose not to or overlooked the issue
entirely, and (2) the state court would bar presentation of the issue on a state
procedural ground if presented in a new post-conviction application. See
O’Sullivan v. Boerckel , 119 S. Ct. 1728, 1734 (1999). Because these conditions
are met, the procedural bar applies.
In any event, Clayton’s contention is without merit. Testimony that
Clayton was advised of his rights is admissible to “lay a proper foundation for the
admission of any statements” later made by Clayton. United States v. De La Luz
Gallegos , 738 F.2d 378, 381 (10th Cir. 1984). “This is so because it is the jury
which must ultimately make the determination as to whether or not any
subsequent statements made by a defendant were voluntary and what weight to
give to such statements in their deliberations.” Id. at 381-82.
-20-
Clayton next argues the prosecutor failed to disclose exculpatory evidence,
in violation of Brady v. Maryland , 373 U.S. 83 (1963). Clayton is procedurally
barred from pursuing this claim for federal habeas review. He did not present this
argument in state court, either on direct appeal or in his application for post-
conviction relief. It is not disputed that Oklahoma would bar consideration of
this precise claim on an independent and adequate state law procedural ground if
Clayton presented it in a second post-conviction application. Again, Clayton does
not assert cause and prejudice in an effort to overcome this procedural bar.
Ake claim
Clayton argues the State deprived him of due process by denying his
request for expert psychiatric assistance at the penalty phase of his trial. 5
Before
trial, Clayton’s counsel filed a motion for appointment of a private psychiatrist.
Counsel stated that, based on conversations with various family members, he
questioned defendant’s sanity at the time of the alleged crime. After arguments,
the court found the defendant failed to demonstrate that his sanity at the time of
the offense was a significant factor at trial, as required by Ake v. Oklahoma , 470
5
Several times in his appellate brief, Clayton also refers to the denial of
expert psychiatric assistance during the guilt phase of trial. To the extent these
general references are intended to constitute a separate appellate issue, they are
inadequate to show Clayton’s sanity was likely to be an issue during the guilt
phase. See Liles v. Saffle , 945 F.2d 333, 335-36 (10th Cir. 1991).
-21-
U.S. 68 (1985).
In Ake , the Supreme Court held that “when a defendant has made a
preliminary showing that his sanity at the time of the offense is likely to be a
significant factor at trial, the Constitution requires that a State provide access to a
psychiatrist’s assistance on this issue if the defendant cannot otherwise afford
one.” Id. at 74. To demonstrate a denial of due process under Ake at the penalty
phase, a petitioner must establish both that the state presented evidence in the
sentencing phase that petitioner posed a continuing threat to society and that
petitioner’s mental condition was likely to be a significant mitigating factor.
Rogers , 173 F.3d at 1285.
Clayton presented this issue for the first time in his post-conviction
application. The Oklahoma Court of Criminal Appeals ruled he had waived the
issue by failing to raise it on direct appeal. Because this ruling was based on an
independent and adequate state law ground, we may not consider the claim on
federal habeas review unless Clayton can “demonstrate cause for the default and
actual prejudice as a result of the alleged violation of federal law.” See Ross v.
Ward , 165 F.3d 793, 798 (10th Cir. 1999). In ultimately concluding Clayton
could not establish prejudice, the federal district court ruled that Clayton sought
to excuse his default by alleging ineffective assistance of appellate counsel.
Although this contention, if proven, would constitute sufficient “cause” to excuse
-22-
Clayton’s default, our review of the habeas petition filed in district court does not
reveal such allegation. Nor may Clayton’s appellate brief fairly be read as
asserting such claim. Clayton does assert, in conjunction with his Ake claim, that
trial counsel was constitutionally deficient in failing to present additional
mitigating evidence during the penalty phase of the trial. However, Clayton does
not assert his appellate counsel was ineffective for failing to raise the Ake issue
on direct appeal. As such, Clayton’s Ake claim is procedurally barred.
Even assuming Clayton has established “cause” sufficient to excuse his
procedural default, the record is barren of evidence of any prejudice. First, in
addition to finding Clayton posed a continuing threat to society, the jury found the
murder was “especially heinous, atrocious, or cruel.” Because most, if not all, of
the evidence relating to the continuing threat aggravator properly would have
been admitted and considered by the jury in considering the “especially heinous,
atrocious, or cruel” aggravator, the Ake error, if any, would be harmless. See
Rogers , 173 F.3d at 1286; Johnson v. Gibson , 169 F.3d 1239, 1246 (10th Cir.
1999). Second, Clayton did present testimony concerning his mental condition
during the penalty phase. Dr. Diane Williamson, a psychologist who examined
Clayton before trial, testified that his IQ was 68. She stated his performance on a
“word recognition, spelling and arithmetic skills” test placed him at a third or
fourth grade level, and other tests indicated that his “reality skills” were poor.
-23-
She further testified that he was “very limited in his abilities to maintain
interpersonal relationships,” was emotionally immature, was very dependent on
others, and had difficulty controlling his impulses and tendencies. Trial tr. at
1051. In short, the tests revealed themes of violence, helplessness, and an
inability both to solve problems and to engage in “literal, concrete modes of
thinking.” Id. at 1053.
Clayton acknowledges this testimony but argues at least one juror would
have voted for life rather than death had a mental health expert been made
available to the defense. He does not explain what testimony another mental
health expert could have offered and how that testimony would have differed
from the testimony that was presented. Dr. Williamson’s testimony constituted
powerful mitigating evidence based on Clayton’s mental condition. Given the
strength of this evidence, and the jury’s decision to impose the death sentence,
Clayton cannot establish that the additional testimony of a mental health expert
appointed pursuant to Ake would have persuaded at least one juror to vote for life
instead of death.
“Especially heinous, atrocious or cruel” aggravating circumstance
Clayton next asserts his death sentence must be vacated because the
“especially heinous, atrocious or cruel” aggravating circumstance found by the
-24-
jury was supported only by “bogus” expert testimony that was erroneously
admitted at trial. Clayton challenges the testimony of Kenneth Ede, a forensic
chemist who at the time of trial worked part-time for the police department. At
trial, he was qualified as an expert in serology. Ede testified that the blood on the
sock found near the washing machine was Type AB, a type different than
Clayton’s but the same as that of the victim. He further testified that pubic hairs
recovered from the same sock were consistent with pubic hairs taken from
Clayton. Finally, he testified that, based on the nature of the blood splatters at the
scene, the victim was assaulted two or three times in two or three different
locations in the apartment. The prosecution used his blood splatter testimony
primarily as support for its second stage argument that the murder was “especially
heinous, atrocious, or cruel.”
In his application for post-conviction relief, Clayton challenged Ede’s
qualifications to testify as a blood splatter expert. Clayton filed affidavits from
law enforcement officials and agencies indicating Ede had overstated his “blood
splatter” qualifications and disavowing Ede as a “blood splatter” expert. The
Oklahoma Court of Criminal Appeals agreed and ruled Ede’s testimony should
not have been admitted. The court nonetheless found the error harmless because
the testimony of the state medical examiner and the physical evidence of a “blood
trail” through the apartment supported the jury’s finding. The federal district
-25-
court agreed. On appeal, Clayton argues there is no evidence outside of Ede’s
testimony from which a rational jury could find the presence of the “especially
heinous, atrocious, or cruel” aggravator beyond a reasonable doubt.
The “especially heinous, atrocious or cruel” aggravating circumstance is
properly found if the death was preceded by torture or serious physical abuse, “as
evidenced by conscious physical suffering.” Duvall , 139 F.3d at 793. Here, the
state medical examiner testified that the victim suffered blows to her head and
numerous stab wounds to her chest and neck; that neither the stab wounds nor the
blunt force injuries, all of which occurred before death, were sufficient to cause
death instantaneously; and that wounds inflicted to the victim’s neck before death
were caused by a ligature of some sort, most likely her bikini top.
Notwithstanding the nature of these injuries, there is a question as to
whether the victim endured “conscious physical suffering.” The state medical
examiner testified the stab wounds, while not likely to cause immediate
unconsciousness, would cause unconsciousness within a very short time.
However, the blunt force injuries to the head would almost certainly “produce
unconsciousness immediately.” Trial tr. at 886. The examiner was unable to
ascertain which blows occurred first, the stab wounds or the head injuries.
Clayton argues no rational jury could find from this testimony that the
victim was conscious after the first blow was struck. However, he ignores crucial
-26-
evidence in the record that is contrary to his position. As depicted by
photographs of the scene and by numerous witnesses, there was a trail of blood
from the door of the apartment to the bedroom where the victim’s body was
found. This trail of blood strongly suggests the victim was struck at the door to
the apartment and that she retreated to the bedroom while she was conscious and
under continual attack. Expert testimony is not required for a jury to conclude
from this evidence that the victim was alive and conscious when many of her
wounds were inflicted. There was sufficient evidence from which a rational jury
could find beyond a reasonable doubt that the victim’s death was preceded by
serious physical abuse as evidenced by conscious physical suffering. Application
of the “especially heinous, atrocious or cruel” aggravating circumstance therefore
was constitutional. See Cooks , 165 F.3d at 1290 .
Ineffective assistance of counsel
Clayton contends he was deprived of effective assistance of counsel at both
phases of his trial. To demonstrate constitutionally ineffective assistance of
counsel, Clayton must establish both that his counsel’s representation was
objectively deficient and that absent such deficiency there is a reasonable
probability the result at trial would have been different. See Strickland v.
Washington , 466 U.S. 668, 688, 694 (1984). Our scrutiny of counsel’s
-27-
performance is highly deferential and we indulge a strong presumption that
counsel’s conduct fell within the wide range of reasonable professional
assistance. Id. at 689. Counsel’s conduct is analyzed not through the distorting
lens of hindsight, but from counsel’s perspective at the time of the alleged error.
Id.
Guilt phase -- It appears the gravamen of Clayton’s claim is that his trial
counsel was ineffective for not utilizing an alternative perpetrator defense
strategy in which Hartsfield or Bill Timmons is portrayed as the killer. Clayton
bolsters this broad allegation with complaints of other, more direct instances of
ineffective assistance. He notes his counsel reserved and ultimately waived
opening statement, failed to conduct relevant cross-examination, failed to present
a case-in-chief, and made too short a closing argument.
Wallace specifically determined after preparing for trial “there was not any
way to present a defense that denied Mr. Clayton’s involvement in Rhonda
Timmons’ death, and that we simply had very little evidence to fight back with
about the issue of guilt.” Appendix at 3. Consequently, the primary defense
chosen (the state’s failure to satisfy its burden of proof) was not asserted strongly
during the guilt phase “in order to maintain credibility with the jury in the
mitigation phase.” Id. In light of the substantial, if not overwhelming, evidence
of Clayton’s guilt, we cannot characterize this strategy as unreasonable. See
-28-
Hatch v. Oklahoma , 58 F.3d 1447, 1459 (10th Cir. 1995) (“For counsel’s advice
to rise to the level of constitutional ineffectiveness, the decision . . . must have
been completely unreasonable, not merely wrong, so that it bears no relationship
to a possible defense strategy.”).
Further, there is not a shred of credible evidence, either direct or
circumstantial, linking Hartsfield or Bill Timmons to the murder. In fact, Clayton
mentions Bill Timmons almost as an afterthought. As for Hartsfield, Clayton
attempts to reconstruct by irrational inferences, innuendos, and half-truths a story
line linking Hartsfield to the scene of the crime, the possible murder weapon, and
the bloody sock found by the washing machine. Trial counsel was under no duty
to investigate this unreasonable alternative perpetrator theory.
Of the more direct claims of ineffectiveness, Clayton’s complaint that
counsel failed to make an opening statement is the only potentially viable
assertion. Indeed, there is no reasonable explanation in counsel’s affidavit for his
decision first to reserve opening statement and then to waive it entirely.
However, we consistently have held failure to make an opening statement does
not alone constitute ineffective assistance of counsel. See Stouffer v. Reynolds ,
168 F.3d 1155, 1163 (10th Cir. 1999) .
Even if Clayton could establish his trial counsel provided ineffective first
phase assistance, the evidence of Clayton’s guilt is overwhelming and precludes a
-29-
finding of prejudice. In addition to Clayton’s confession, the physical and
circumstantial evidence directly linked Clayton, and only Clayton, to the crime
scene and the murder.
Sentencing phase --Clayton also contends his counsel rendered ineffective
assistance during the sentencing phase by failing to adequately investigate and
present potentially mitigating evidence. In support of this contention, Clayton
submits the affidavits of eight family members and friends who state they would
have testified on behalf of Clayton during the penalty phase. Of these eight, none
were contacted by trial counsel and at least one was in the courtroom during trial.
The potential witnesses would in Clayton’s words have “testified that Robert
Clayton had good qualities as a person, that his life had value, [and] that he had
touched and affected the lives of other people in a positive way.” Aplt’s Br. at
94.
Trial counsel has a duty to investigate the existence of potentially
mitigating evidence, even if after investigation counsel makes a tactical decision
not to present some or all of any mitigating evidence discovered. Stouffer , 168
F.3d at 1167. “[A]n attorney must have chosen not to present mitigating evidence
after having investigated the defendant’s background, and that choice must have
been reasonable under the circumstances.” Brecheen v. Reynolds , 41 F.3d 1343,
1369 (10th Cir. 1994).
-30-
Even if trial counsel rendered deficient assistance by not contacting family
members during the course of conducting a second stage investigation, Clayton
still must show prejudice from this deficient performance. Prejudice is
established at the sentencing phase if there is a reasonable probability that, absent
counsel’s errors, “the sentencer--including an appellate court, to the extent it
independently reweighs the evidence--would have concluded that the balance of
aggravating and mitigating circumstances did not warrant death.” Davis v.
Executive Dir. of Dep’t of Corrections , 100 F.3d 750, 760 (10th Cir. 1996). In
assessing whether counsel’s deficient performance was prejudicial, we must bear
in mind the mitigating evidence introduced during the penalty phase, the
aggravating circumstances actually found by the jury, and the strength of the
State’s case. See Boyd v. Ward , 179 F.3d 904, 915 (10th Cir. 1999).
In light of the nature of the crime and the strength of the state’s case, there
is not a reasonable probability that the testimony of Clayton’s family and friends
would have altered the outcome of the sentencing phase. This is not a case where
no mitigating evidence was presented on behalf of Clayton. Dr. Williamson
testified at length in the sentencing phase regarding Clayton’s low IQ and mental
health. In addition, the jury found the presence of both the “continuing threat to
society” and the “especially heinous, atrocious or cruel” aggravating
circumstances. As regards the “especially heinous, atrocious or cruel” aggravator,
-31-
the testimony that family and friends considered Clayton to be a good person and
that his life had value would not have explained or justified the manner in which
Clayton committed the crime. By his own admission, Clayton inflicted blunt
force injuries to the victim’s head and body, stabbing her twelve times and
choking her with her bikini top, all while she fled from the door of the apartment
to the bedroom of her baby, where she collapsed and died. The nature of the
victim’s death reveals Clayton subjected her not to a single violent episode but a
sustained assault that left a trail of blood through the apartment. During the guilt
phase, the state introduced even more evidence of Clayton’s violent tendencies
and checkered past. It was established he had brutally assaulted and raped a
woman at knife point in Alabama in 1984 and, along with Hartsfield and
Hartsfield’s sister, had assaulted a man in Houston shortly before the victim in the
present case was murdered.
In short, while we are troubled that in preparing for the second phase of
trial Clayton’s counsel did not contact Clayton’s immediate family, we are firmly
convinced Clayton suffered no prejudice from counsel’s performance. The state’s
case was formidable and the evidence amply supported the imposition of both
aggravating circumstances. The general and cumulative mitigating testimony of
Clayton’s family and friends would not have made a difference. Cf. Cooks , 165
F.3d at 1296 .
-32-
Newly discovered evidence
Clayton lists in his appellate brief several revelations discovered by his
habeas counsel in interviews with trial witnesses ten years after his conviction. It
is unclear whether Clayton is presenting this allegedly “newly discovered
evidence” as an independent constitutional claim of actual innocence warranting
habeas relief as a mechanism by which to bypass a procedural bar, or as evidence
supporting his claim of ineffective assistance of counsel. Neither argument
previously was presented in state court.
Clayton characterizes the following as newly discovered evidence: (1)
Hartsfield confided to his sister that he may have killed a man in Texas; (2)
Hartsfield’s brother-in-law now denied being with Hartsfield on the morning of
the murder; and (3) Hartsfield’s sister contradicted her trial testimony by stating
the blood on Clayton’s clothing was dry when she saw it, that she witnessed
Clayton hide the knife, that Hartsfield asked her to “cover” for him, and that she
believed her husband was at work on the morning of the murder and not with
Hartsfield. Clayton offers an affidavit from an attorney attesting to what
Hartsfield’s brother-in-law said in an interview but does not offer an affidavit
from the brother-in-law. The transcript of a recorded conversation indicated that
Hartsfield’s sister could not fully recall if her husband was at work on the
morning of the murder and she did not understand Hartsfield’s request to “cover
-33-
him” to be a request to lie on his behalf. She also stated unambiguously that
Clayton’s clothing was bloody. Bearing in mind the actual state of the record, we
turn to Clayton’s newly discovered evidence claim.
In Herrera , the Supreme Court intimated strongly that newly discovered
evidence of actual innocence is not sufficient to warrant habeas relief absent an
independent constitutional violation in the underlying state criminal proceeding.
506 U.S. at 400. The Court nonetheless declined to completely foreclose the
possibility that a “truly persuasive demonstration of ‘actual innocence’ made after
trial [would] . . . warrant federal habeas relief,” instead cautioning that “the
threshold showing for such an assumed right would necessarily be extraordinarily
high.” Id. at 417. Typically, however, newly discovered evidence of actual
innocence may serve only to satisfy the fundamental miscarriage of justice
exception that excuses a petitioner’s procedural default and permits a court to
address an otherwise barred constitutional claim. Id. at 404.
Clayton’s newly discovered evidence claim does not satisfy the
extraordinarily high threshold set forth in Herrera and he asserts no separate
underlying constitutional violation. The evidence which he asserts as newly
discovered evidence barely aids his case and is merely impeaching evidence that
would not cause a rational person to doubt Clayton’s guilt. See Stafford v. Saffle ,
34 F.3d 1557, 1561 (10th Cir. 1994). Nor is Clayton’s newly discovered evidence
-34-
sufficient to invoke the fundamental miscarriage of justice exception, which
excuses a petitioner’s procedural default. Clayton has not made a colorable
showing of factual innocence, see Herrera , 506 U.S. at 404, and has not identified
an independent constitutional claim, other than ineffective assistance of counsel,
that we could review even if we found the miscarriage of justice exception
applicable. As for his vague and passing reference to ineffective assistance of
counsel, Clayton fails to identify how his counsel was ineffective in failing to
discover this evidence or how any deficient performance prejudiced him. It is a
virtual certainty that disclosure of this newly discovered evidence would not have
altered the outcome of Clayton’s trial.
Cumulative error
Clayton contends the cumulative effect of otherwise harmless errors
deprived him of a fair trial. This contention does not merit review given the lack
of any discernible constitutional error.
AFFIRMED.
-35-