NOT RECOMMENDED FOR FULL-TEXT PUBLICATION
File Name: 10a0611n.06
No. 09-3533
UNITED STATES COURT OF APPEALS
FOR THE SIXTH CIRCUIT
FILED
EUGENE ROBERT ANDERSON, ) Sep 14, 2010
) LEONARD GREEN, Clerk
Petitioner-Appellee, )
)
v. )
) ON APPEAL FROM THE
REGINALD WILKINSON, ) UNITED STATES DISTRICT
DIRECTOR, ) COURT FOR THE SOUTHERN
) DISTRICT OF OHIO
Respondent-Appellant, )
)
OHIO REHABILITATION & ) OPINION
CORRECTION DEPT.; THOMAS )
McBRIDE, WARDEN; MOUNT )
OLIVE CORRECTIONAL CENTER, )
)
Respondents. )
)
Before: GUY, MOORE, and GRIFFIN, Circuit Judges.
KAREN NELSON MOORE, Circuit Judge. Petitioner-Appellee Eugene Robert Anderson
filed a petition for a writ of habeas corpus in the U.S. District Court for the Southern District of
Ohio, arguing that the sentences he received pursuant to a criminal conviction in Ohio state court
violated Blakely v. Washington, 542 U.S. 296 (2004). The district court granted his petition on the
grounds that Anderson received several non-minimum, maximum, and consecutive sentences, all
of which required the state trial court to resolve factual questions not submitted to a jury. The State
of Ohio now appeals, arguing that Anderson’s sentences do not violate Blakely, and that, even if they
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did, any error with respect to the non-minimum, non-maximum sentences was harmless. For the
reasons stated below, we AFFIRM the district court’s judgment.
I. BACKGROUND
A. Ohio’s Prior and Current Sentencing Regimes
Prior to July 1, 1996, Ohio had an indeterminate sentencing regime under which trial judges
would set a minimum and maximum prison sentence, and a parole board would determine the actual
release date. See State v. Foster, 845 N.E.2d 470, 484 (Ohio), cert. denied, 549 U.S. 979 (2006).
There were, however, certain exceptions. In particular, under the pre-1996 sentencing framework,
any defendant convicted of a third-degree felony could be sentenced to a term of only “one, one and
one-half, or two years.” Ohio Rev. Code § 2929.11(D)(1) (1996). If the defendant previously
committed a crime of violence, inflicted “physical harm,” or threatened to inflict “physical harm”
with a “deadly weapon,” however, then an indeterminate sentence of two to ten, two and one-half
to ten, three to ten, or four to ten years was required. Id. § 2929.11(D), (B)(6).
In 1996, Ohio opted instead for a determinate sentencing regime which worked as follows.
The sentence the trial court imposed depended upon the “degree” of the felony. For each degree, the
sentencing range from which a trial judge could select was determined by statute. For instance, if
a defendant was convicted of a third-degree felony, the trial judge could sentence that defendant to
a term of “one, two, three, four, or five years.” Ohio Rev. Code § 2929.14(A)(3) (2003). The trial
judge’s discretion was limited, however, even within the prescribed sentencing range. In particular,
if the defendant was not serving and had never served a term of imprisonment, the trial judge was
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required to impose “the shortest prison term authorized for the offense” (a minimum sentence), id.
at § 2929.14(B), unless it found “on the record that the shortest prison term [would] demean the
seriousness of the offender’s conduct or [would] not adequately protect the public from future crime
by the offender or others.” Id. § 2929.14(B)(2). Furthermore, if the trial judge wished to “impose
the longest prison term authorized for the offense,” (a maximum sentence), it generally had to find
that the defendant “committed the worst form[] of the offense,” or “pose[d] the greatest likelihood
of committing future crimes.” Id. § 2929.14(C). Finally, a trial judge was also required to make
certain findings in order to impose consecutive sentences. Id. § 2929.14(E)(4).
In 2006, however, the Supreme Court of Ohio found § 2929.14(B), § 2929.14(C), and
§ 2929.14(E)(4) to be in violation of Blakely. See Foster, 845 N.E.2d at 494. In the remedial portion
of its opinion, the court chose to sever these provisions. Id. at 496–99. As a result, trial judges in
Ohio now have broad discretion and may select any sentence within the range prescribed under
§ 2929.14(A).
B. Facts with Respect to Anderson
1. Conviction and Sentencing
In 2002, Anderson was convicted of three counts of pandering obscenity involving a minor,
thirty-six counts of pandering sexually oriented matter involving a minor, twenty counts of
complicity in pandering sexually oriented matter involving a minor, fourteen counts of illegally using
a minor in nudity-oriented materials, twenty-eight counts of complicity in illegally using a minor in
nudity-oriented material, one count of using property without authorization, one count of corrupting
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a minor, and five counts of promoting prostitution. At the sentencing hearing, the trial judge
imposed a sentence for each of the individual counts. The post-1996 sentencing regime governed
all of Anderson’s convictions except for the corrupting-a-minor conviction and one of the
promoting-prostitution convictions, both of which fell under the pre-1996 framework. Anderson’s
combined prison sentence was seventy-five years and four months along with a consecutive
indeterminate sentence of two to ten years (for the corrupting-a-minor conviction) and another
consecutive indeterminate sentence of two to fifteen years (for the promoting-prostitution
conviction).
It is unnecessary here to detail the specific sentence that the trial court assigned to each of
Anderson’s convictions. There are a few key points to note, however. First, every individual
sentence imposed under the post-1996 sentencing regime exceeded the minimum prescribed under
§ 2929.14(A) and several constituted the maximum allowed. Furthermore, numerous sentences were
imposed consecutive to one another. Finally, the corrupting-a-minor offense for which Anderson
was convicted was a third-degree felony, meaning the two-to-ten-year sentence he received under
the pre-1996 sentencing regime exceeded the presumptive range.
Therefore, the trial court was required to make certain factual findings, which it proceeded
to do after announcing the sentence. First, the trial judge determined that, with respect to all the
convictions in the record, minimum sentences “would not be adequate to protect the public nor to
punish this offender.” Dist. Ct. Dkt. (“Doc.”) 6-6 at 40 (Sent. Order at 17). This finding was based
upon the number of victims, the characteristics of those victims, the duration of Anderson’s conduct,
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the methods Anderson employed to lure his victims, the size and nature of Anderson’s pornography
collection, the physical and psychological harm the victims suffered, and the fact that Anderson
knew he was supporting the pornography industry.
With respect to the counts for which the trial court imposed a maximum sentence, the trial
court found that Anderson committed the “worst forms of the offense.” Id. at 42-44 (Sent. Order at
19-21). The court further determined that Anderson “pose[d] the greatest likelihood of recidivism”
given his “long term interest in juvenile pornography” and his “long-term involvement with multiple
victims in the crimes involving sexual contact with victims.” Id. at 44 (Sent. Order at 21). In
making its “likelihood of recidivism” finding, the court also incorporated by reference the findings
it made in its earlier determination that Anderson was a “Sexual Predator.” Id. The sexual-predator
determination was itself based upon a variety of factors, one of which was Anderson’s prior
conviction for contributing to the delinquency of a minor in 1971.
Finally, the trial court proceeded to render the findings necessary to impose consecutive
sentences (the specifics of which are not relevant here). At no point, however, did the court make
any findings with respect to the two-to-ten-year sentence for the conviction for corrupting a minor.
2. State Appeals and Habeas Proceedings
Anderson subsequently appealed his sentence to the Ohio Court of Appeals, raising a variety
of arguments not relevant to the instant case. The Ohio Court of Appeals affirmed Anderson’s
conviction. Anderson then appealed to the Ohio Supreme Court, and while that appeal was pending,
the U.S. Supreme Court decided Blakely. The Ohio Supreme Court, however, denied leave to
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appeal, and the U.S. Supreme Court denied Anderson’s petition for certiorari. Anderson also moved
to reopen his appeal based, in part, upon his appellate counsel’s failure to raise a Blakely objection,
but the Ohio Court of Appeals denied this motion.
Anderson then raised a Blakely claim in a post-conviction petition for relief in state court.
While that action was pending, he filed this petition for habeas relief in the U.S. District Court for
the Southern District of Ohio, again raising a Blakely claim in addition to other claims not relevant
to this appeal. The Ohio Court of Common Pleas subsequently dismissed Anderson’s petition for
post-conviction relief, finding that it was untimely. The Ohio Court of Appeals affirmed this
decision, and the Ohio Supreme Court declined to exercise jurisdiction over Anderson’s appeal.
Afterwards, the magistrate judge in the federal habeas proceeding recommended that Anderson’s
petition be dismissed. The magistrate judge determined that Anderson’s Blakely claim was
procedurally defaulted. Anderson objected to the magistrate judge’s findings with respect to the
Blakely claim, and the district court sustained Anderson’s objection. In particular, the district court
found that Anderson’s Blakely claim was not procedurally defaulted and that the state “trial court
justified imposition of maximum, consecutive, and non-minimum terms of incarceration based upon
judicial fact finding prohibited under Blakely.” Doc. 48 (Dist. Ct. Amend. Order (3/06/09) at 16).
As a result, the district court granted Anderson a conditional writ of habeas corpus pursuant to which
Anderson’s sentence was vacated. The State subsequently filed a motion to alter or amend the
judgment, and the district court denied this motion. The State appealed, and on September 8, 2009,
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a panel of this court granted the State’s motion to stay the district court’s judgment pending our
decision.
II. ANALYSIS
A. Standard of review
“In a habeas corpus proceeding, this Court reviews a district court’s legal conclusions de
novo and its factual findings for clear error.” Goff v. Bagley, 601 F.3d 445, 455 (6th Cir. 2010)
(internal quotation marks omitted). Because the Ohio state courts never addressed the merits of
Anderson’s Blakely claim, the Antiterrorism and Effective Death Penalty Act’s deferential standard
of review does not apply. Evans v. Hudson, 575 F.3d 560, 564 (6th Cir. 2009).1
B. Apprendi and Blakely
In Apprendi v. New Jersey, 530 U.S. 466 (2000), the Supreme Court held that “[o]ther than
the fact of a prior conviction, any fact that increases the penalty for a crime beyond the prescribed
statutory maximum must be submitted to a jury, and proved beyond a reasonable doubt.” Apprendi,
530 U.S. at 490. In Blakely, the Court clarified the meaning of the phrase “statutory maximum,”
explaining that this referred to the “maximum sentence a judge may impose solely on the basis of
the facts reflected in the jury verdict or admitted by the defendant.” Blakely, 542 U.S. at 303. With
these rules in mind, we proceed to analyze each of the sentences Anderson received.
1
On appeal, the State has expressly waived the procedural default defense it raised below.
See Appellant Br. at 19-20 n.5.
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C. Non-Minimum, Non-Maximum Sentences
The State challenges the district court’s finding that Anderson’s non-minimum, non-
maximum sentences were unconstitutional. The State does not dispute that the state trial court made
factual findings that were required for it to impose Anderson’s non-minimum sentences—namely,
its determination that non-minimum sentences “would not be adequate to protect the public nor to
punish this offender.” Doc. 6-6 at 40 (Sent. Order at 17). Nonetheless, the State advances two
arguments as to why habeas relief is nonetheless improper.
First, the State argues that Anderson’s non-minimum sentences did not violate Blakely
because “‘[c]onsideration of the egregiousness of a particular offender’s misconduct and a
determination of whether the length of a sentence will adequately protect the public are inquires that
have traditionally been reserved for a sentencing judge.’” Appellant Br. at 42 (quoting Davis v.
Eberlin, No. 5:06-CV-398, 2008 WL 618968, * 8 (N.D. Ohio Mar. 3, 2008)). In other words, the
State argues that the findings that Ohio Revised Code § 2929.14(B)(2) requires do not implicate
Blakely because they are the kind of findings that trial judges always traditionally have made.2 This
argument is without merit. As Anderson correctly observes, in Cunningham v. California, 549 U.S.
270 (2007), the Supreme Court emphatically stated that Apprendi established a “bright-line rule” that
did not allow for such exceptions. Cunningham, 549 U.S. at 291 (internal quotation marks omitted).
Indeed, in Villagarcia v. Warden, Noble Corr. Inst., 599 F.3d 529 (6th Cir. 2010), a panel of this
2
We note, however, that the State’s analysis in this regard consists of nothing more than a
block quote of an unpublished district court decision.
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circuit recently found a sentence under § 2929.14(B)(2) to be unconstitutional and in doing so
rejected a virtually identical argument to the one that the State advances here. Villagarcia, 599 F.3d
at 536.3
The State also argues that, even if Anderson’s non-minimum sentences violate Blakely, any
error was harmless. “Failure to submit a sentencing factor to the jury . . . is not structural error,” and
therefore such errors actually must prejudice a defendant in order to warrant reversal. Washington
v. Recuenco, 548 U.S. 212, 222 (2006). In a habeas proceeding, this means that relief will be granted
only if the error “had substantial and injurious effect or influence in determining the jury’s verdict.”
Villagarcia, 599 F.3d at 536 (internal quotation marks omitted).
The State appears to argue that any error here was harmless because the state trial court’s
findings with respect to the severity of the offense and the need to “protect the public” were
essentially “based upon the numerous facts found by the jury.” Appellant Br. at 41. This is
irrelevant, however. Even if the trial court drew upon jury-made factual findings, as Anderson
correctly argues, the ultimate question of whether non-minimum sentences were needed “to protect
the public [and to] to punish” Anderson, Doc. 6-6 at 40 (Sent. Order at 17), was never submitted to
the jury, and the State has made no effort at explaining why the jury likely would have reached the
3
The State argues in its response to the citation that Anderson filed pursuant to Federal Rule
of Appellate Procedure 28(j) that Villagarcia has no effect upon this case because Villagarcia did
not deal with maximum sentences under Ohio law. Nonetheless, the State’s brief also challenges
Anderson’s non-minimum, non-maximum sentences, with respect to which Villagarcia is
dispositive.
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same conclusion as did the trial court.4 Therefore, we fail to see how any Blakely error with respect
to Anderson’s non-minimum sentences was harmless.
D. Non-minimum, maximum sentences
The State also argues that Anderson’s non-minimum, maximum sentences do not violate
Blakely. In justifying its decision to impose maximum sentences, the state trial court found that
Anderson committed the “worst form” of certain offenses, Doc. 6-6 at 42-44 (Sent. Order at 19-21),
and that he “pose[d] the greatest likelihood of recidivism.” Id. at 44 (Sent. Order at 21). The State
argues that the “likelihood of recidivism” finding alone was sufficient to impose a maximum
sentence and that such a finding does not implicate Blakely. Even assuming that the “likelihood of
recidivism” finding was sufficient, however, we still conclude that this question should have been
submitted to a jury.
The State first argues that the “likelihood of recidivism” finding did not violate Blakely
because it was based upon jury-found facts. As discussed above, however, even if the state trial
court’s recidivism finding were based upon jury-found facts, the question that is relevant here
—whether there is a likelihood of recidivism—was never submitted to the jury.5
The State also argues that the trial court’s “likelihood of recidivism” finding falls within
Apprendi’s “prior conviction” exception. In Apprendi, the Court acknowledged that findings with
4
At oral argument, the State explicitly stated that it was not arguing that the jury would have
found that there was a likelihood of recidivism had the issue been submitted to it.
5
To the degree that the State argues that Anderson’s maximum sentences were harmless, we
reject this argument for the reason stated in Section II.C.
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respect to prior convictions did not implicate the Sixth Amendment. Apprendi, 530 U.S. at 490.
Nonetheless, the Court emphasized that the exception for prior convictions was a “narrow” one. Id.
Although the Court suggested that it might be inclined to eliminate the exception altogether in a
future case, it nonetheless found such an exception to be tolerable, in part because of the “procedural
safeguards attached to any ‘fact’ of prior conviction.” Id. at 488.
Despite its narrow scope, however, the “prior conviction” exception includes not just the fact
that a conviction occurred but also “subsidiary findings,” United States v. Burgin, 388 F.3d 177, 185
(6th Cir. 2004), cert. denied, 544 U.S. 936 (2005) (internal quotation marks omitted), such as
whether two convictions stem from offenses which occurred on separate occasions. Id. at 182–87.
Similarly, the prior-conviction exception encompasses findings with respect to the “nature and
character of prior convictions,” United States v. Barnett, 398 F.3d 516, 524 (6th Cir.), cert.
dismissed, 545 U.S. 1663 (2005), including whether a prior conviction is a “crime of violence” under
§ 2K2.1(a)(2) of the U.S. Sentencing Guidelines (“U.S.S.G.”), United States v. Hollingsworth, 414
F.3d 621, 623 (6th Cir. 2005), or a “violent felony” under 18 U.S.C. § 924(e). James v. United
States, 550 U.S. 192, 213–14 (2007); Barnett, 398 F.3d at 524–25. As Anderson correctly observes,
however, the trial court here did not make a finding simply with respect to the nature of Anderson’s
1971 conviction for contributing to the delinquency of a minor, but rather it drew an inference from
that conviction (as well as other facts) and ultimately concluded that there was a “likelihood of
recidivism.”
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The question then becomes when (if ever) do recidivism findings fall under the prior-
conviction exception. Anderson argues that the prior-conviction exception never encompasses
recidivism findings because recidivism findings go beyond the mere fact of a conviction. This is too
broad an assertion, however. Although Anderson cites out-of-circuit case law to the contrary, the
Sixth Circuit has held that the question of whether there is a “likelihood that the defendant will
commit other crimes” for purposes of § 4A1.3 of the U.S. Sentencing Guidelines need not, at least
in all cases, be submitted to a jury, even if the sentencing occurred while the Guidelines were still
mandatory.6 See United States v. Smith, 474 F.3d 888, 891–92 (6th Cir. 2007), abrogated on other
grounds by Gall v. United States, 552 U.S. 38 (2007), as recognized in United States v. Tate, 516
F.3d 459, 470 (6th Cir. 2008). In Smith, the district judge “considered the [defendant’s] history in
an attempt to discern the likelihood that [the defendant’s] criminal lifestyle [would] continue,”
Smith, 474 F.3d at 892 (internal quotation marks omitted), and the panel held that this “determination
[fell] under a ‘traditional, if not the most traditional, basis for a sentencing court’s increasing an
offender’s sentence.’” Id. (quoting Apprendi, 530 U.S. at 488).
Nonetheless, just because a recidivism finding may sometimes fall within the prior-conviction
exception does not mean that it always will. The key inquiry, rather, is whether a recidivism finding
is actually based upon a prior conviction. In this regard, it is important to note that U.S.S.G. § 4A1.3
6
It should be noted, however, that Smith was a post-Booker case that involved the application
of the advisory Guidelines, meaning the panel was not required to address the scope of the prior
conviction exception, a fact observed by the concurrence. See Smith, 474 F.3d at 895–96 (Gibbons,
J., concurring).
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differs from Ohio Revised Code § 2929.14(C), and, as a result, the Smith case is distinguishable.
Under § 4A1.3, the focus is largely upon the defendant’s criminal history and prior adjudications.
See U.S.S.G. § 4A1.3(a)(2). Indeed, in Smith, the district court’s finding that there was a likelihood
of recidivism was based primarily upon its determination that the defendant’s criminal history was
“extensive and egregious.” Smith, 474 F.3d at 892 (internal quotation marks omitted). A finding
such as this presents less of a constitutional concern because it does not deal with “fact[s] that
pertain[] to the commission of the offense for which the defendant is presently charged, but rather
. . . fact[s] that pertain[] to a previous offense.” Id. (internal quotation marks omitted).
Ohio Revised Code § 2929.14(C), by contrast, does not focus upon a defendant’s criminal
history or prior adjudications. Indeed, as Anderson points out, in the present case, the state trial
court devoted barely any attention to Anderson’s 1971 conviction in determining that Anderson was
a sexual predator, and when it found that Anderson “pose[d] the greatest likelihood of recidivism”
for purposes of § 2929.14(C), the trial court only indirectly referenced that conviction by
incorporating its previous sexual-predator findings. Doc. 6-6 at 44 (Sent. Order at 21).7 In other
words, the 1971 conviction appears to have played little role in the trial court’s analysis, the bulk of
which rested upon Anderson’s “long term interest in juvenile pornography” and his “long-term
involvement with multiple victims in the crimes involving sexual contact with victims.” Id. Thus,
the trial court relied primarily upon facts unrelated to any prior conviction and more associated with
7
In a previous portion of its opinion, the trial court also made a passing reference to “the
defendants’ [sic] record” in listing reasons for a likelihood of recidivism. See Doc. 6-6 at 32 (Sent.
Order at 9). This finding, however, did not deal with § 2929.14(C) specifically.
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the conduct for which Anderson was convicted.8 For us to expand the Supreme Court’s “narrow”
exception for prior convictions to include findings such as these would require us to completely
unmoor the exception from its original foundation.
Therefore, the district court did not err in finding that Anderson’s non-minimum, maximum
sentences violated Blakely.
E. Indeterminate Sentences
The federal district court never addressed explicitly either of Anderson’s indeterminate
sentences. Nonetheless, the district court did vacate Anderson’s sentence in its entirety, presumably
determining that both indeterminate sentences were improper. Because the State’s principal brief
does not address the indeterminate sentences, the State has waived any argument in this regard. See
Madden v. Chattanooga City Wide Serv. Dep’t, 549 F.3d 666, 673 (6th Cir. 2008).
F. Anderson’s Consecutive Sentences
The State also challenges the federal district court’s determination that Anderson’s
consecutive sentences violated Blakely. In order to impose consecutive sentences, the trial court at
the time of Anderson’s sentencing was required to make factual findings similar to those required
8
In this respect, this case differs from State v. Lowery, 826 N.E.2d 340 (Ohio Ct. App. 2005),
a pre-Foster case upon which the State relies. In Lowery, the court found that the trial court’s
likelihood-of-recidivism finding fell within the prior-conviction exception. There, however, the trial
court explicitly relied upon the defendant’s “‘long history of criminal convictions.’” Id. at 351
(quoting trial court). Here, by contrast, the state trial judge never explicitly referenced Anderson’s
sole conviction in finding that Anderson was likely to commit future crimes for purposes of
§ 2929.14(C), and there is no indication that the conviction played an especially prominent role in
its analysis. Furthermore, because the question of whether Blakely applies is a question of federal
law, Lowery is not binding.
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to impose non-minimum and maximum sentences. The district court concluded that these findings
violated Blakely. In Oregon v. Ice, 129 S. Ct. 711 (2009), however, the Supreme Court held that
Blakely and Apprendi do not apply to consecutive sentences. Ice, 129 S. Ct. at 717. Therefore, the
district court erred when it concluded that the state trial court was prohibited from imposing
consecutive sentences. See Evans, 575 F.3d at 566 (concluding that, in light of Ice, argument that
consecutive sentences under Ohio law violated Blakey was “meritless”).
The State suggests that the district court’s writ should be modified such that the consecutive
nature of the sentences remains in place. As Anderson correctly points out, however, because the
district court vacated all of Anderson’s sentences, the State is essentially requesting an order to the
state courts to impose future sentences consecutively. The State cites no authority for imposing such
an order, and we think it wiser to permit the state courts to make a fresh determination as to whether
consecutive sentences are appropriate. As a result, the state trial court will have the opportunity to
consider any new developments under Ohio state law. In particular, we note that the Ohio Supreme
Court recently has accepted review in a case addressing the effect that Ice has upon Foster’s
invalidation of Ohio Revised Code § 2929.14 (E)(4). See State v. Hodge, 921 N.E.2d 245 (Ohio
2010). Regardless of how this issue should be resolved, nothing in our opinion precludes the Ohio
state courts from declining to impose consecutive sentences as a matter of state law.
G. Motion to Stay District Court’s Judgment
Finally, the State requests that we amend our earlier stay of the district court’s judgment in
order to provide the State with additional time to arrange for Anderson’s resentencing. Although
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circuit courts regularly grant stays pending an appeal, the State’s appeal has come to an end; any
further issues concerning the State’s ability to comply with the conditional writ are best left to the
district court to address in the first instance.9 We therefore deny the State’s motion, without
prejudice to the State’s presentation of the issue to the district court.
III. CONCLUSION
For the reasons stated above, we AFFIRM the district court’s judgment. Furthermore, we
DENY the State’s motion to amend our previous order granting a temporary stay of the district
court’s judgment.
9
To the degree that the State is arguing that the district court erred in not giving it additional
time, the State did not present such an argument in its briefs, thereby waiving the argument.
16