Illinois Official Reports
Supreme Court
People v. Smith, 2014 IL 115946
Caption in Supreme THE PEOPLE OF THE STATE OF ILLINOIS, Appellee, v.
Court: WILLIAM SMITH, Appellant.
Docket No. 115946
Filed December 4, 2014
Held A postconviction petitioner convicted of murder by accountability did
(Note: This syllabus not show the prejudice requisite to the granting of leave to file a
constitutes no part of the successive postconviction petition where his new claim was that his
opinion of the court but attorneys on direct appeal and on the first petition were ineffective in
has been prepared by the failing to assert that there was no trial evidence that he had been armed
Reporter of Decisions despite a prosecutorial opening statement that there would be, but
for the convenience of where this inconsistency was pointed out by defense counsel at
the reader.) closing, the jury was instructed that arguments are not evidence, and
the State acknowledged defendant’s lack of armament in explaining
accountability principles.
Decision Under Appeal from the Appellate Court for the First District; heard in that
Review court on appeal from the Circuit Court of Cook County, the Hon.
William G. Lacy, Judge, presiding.
Judgment Affirmed.
Counsel on Michael J. Pelletier, State Appellate Defender, Alan D. Goldberg,
Appeal Deputy Defender, and Brian W. Carroll, Assistant Appellate
Defender, of the Office of the State Appellate Defender, of Chicago,
for appellant.
Lisa Madigan, Attorney General, of Springfield, and Anita Alvarez,
State’s Attorney, of Chicago (Alan J. Spellberg, Michelle Katz, and
Michele Grimaldi Stein, Assistant State’s Attorneys, of counsel), for
the People.
Justices JUSTICE KILBRIDE delivered the judgment of the court, with
opinion.
Chief Justice Garman and Justices Freeman, Thomas, Karmeier,
Burke, and Theis concurred in the judgment and opinion.
OPINION
¶1 Defendant, William Smith,1 appeals from a judgment of the circuit court of Cook County
denying him leave to file a successive pro se petition for relief under section 122-1(f) of the
Post-Conviction Hearing Act (Act) (725 ILCS 5/122-1(f) (West 2008)). The issue in this case
focuses on the interpretation of section 122-1(f) of the Act. The trial court denied defendant
leave to file a successive postconviction petition, finding that he failed to meet the
cause-and-prejudice test. The appellate court affirmed. 2013 IL App (1st) 111069-U. We
allowed defendant’s petition for leave to appeal (Ill. S. Ct. R. 315 (eff. July 1, 2013)). We
affirm the judgments of the appellate court and the circuit court of Cook County.
¶2 BACKGROUND
¶3 Defendant and codefendant, Marlan Barber, along with three other men (the group), were
indicted on charges of first degree murder and aggravated discharge of a firearm in the 1998
shooting death of 14-year-old Deon Alexander. Defendant and Barber were tried
simultaneously by two different juries before the same judge in severed trials. During opening
statements, the prosecutor told the jury that it would “present the testimony of several young
men” who saw defendant immediately prior to the shooting emerge from a gangway while
holding a gun, and that one of the young men identified defendant in a lineup as one of the
people who had a gun prior to the shooting.
¶4 At trial, Steven Small testified that on November 12, 1998, at 7 p.m., he and his friends,
Deon Alexander (the victim), Darryl Jones, and Daniel Hudson, were standing near the corner
of 57th and Peoria Streets. Small indicated that he and Deon Alexander were 14 years old on
1
The record indicates that defendant’s legal name is Ricky Harris.
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the night of the shooting. Small stated that a group of older boys stood on the sidewalk about
three to four houses down, or about 20 feet away from where Small and Hudson were standing.
Small saw a cream colored station wagon with black tinted rear windows drive onto the street.
The station wagon stopped on Peoria Street, and five or six men exited the car and started
arguing with the older boys who were standing down the street. Eventually, a woman came out
of her house and told the group to stop fighting. The men who had been in the car said they
would be back, threw a bottle at the boys on the sidewalk, returned to the station wagon, and
drove north on Peoria Street.
¶5 A short time later, Small saw some men walking toward where he was standing, across the
street on the sidewalk. Small heard gunshots and then saw the station wagon drive past on
Peoria Street. Small stated that he saw the station wagon twice on the street that night: once
prior to the argument and again as the shots went off. Small later identified defendant in a
lineup as one of the individuals who got into the station wagon after the argument on the street.
¶6 Small admitted he was reluctant to come to court and that a petition for contempt had been
filed against him for his failure to respond to subpoenas. Small identified defendant in court as
the person he previously identified in the lineup on the night of the shooting. Small further
identified the station wagon from photograph exhibits presented by the State.
¶7 Daniel Hudson testified that he knew one of the older boys who was standing several
houses away as “Joval.” Hudson stated that a “gang of guys” drove up in a brown station
wagon, got out, and began arguing with the older boys and Joval. Hudson stated that Barber
approached Joval and Joval said to him, “if you swing, you better knock me out.” The guys got
back into their car and drove away after Barber said, “We’ll be back.” A few minutes later,
Hudson saw the station wagon drive slowly back down Peoria Street. This time, only one or
two persons occupied the car. As the station wagon passed Hudson and his friends, he heard
gunshots but did not see the source of the gunshots. Hudson ran to get away and heard the
victim, Deon Alexander, fall behind him. Hudson also identified the State’s photograph
exhibits of the station wagon as the car he saw on the night of the shooting.
¶8 Chicago police officer John Paulson testified that he found eleven 9-millimeter cartridge
cases and five .45-caliber cartridge cases on the 5700 block of Peoria Street. Beth Patty, an
expert in firearms identification, testified that the .45-caliber cartridge cases were all fired from
the same gun and that the 9-millimeter cartridge cases were also fired by the same weapon.
Medical examiner Dr. John Denton testified that the victim died as a result of a gunshot that
severed his aorta.
¶9 Assistant State’s Attorney Ron DeWald testified that defendant was in custody when he
arrived at police headquarters around 9 p.m. on November 13, 1998. DeWald read defendant
his Miranda rights and ensured that defendant understood his rights. According to DeWald,
defendant said he was willing to speak with DeWald and opted to provide a handwritten
statement. Defendant told DeWald that he was treated fine by the police and that he was fed
and allowed to use the restroom. After DeWald wrote out the statement, defendant read every
page, signed the pages, and made and initialed corrections.
¶ 10 The evidence presented at trial included defendant’s statement detailing his participation in
the group’s plan to shoot two people. The plan required defendant to drive the group to retrieve
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two guns and then approach the intended victims while other members of the group would
shoot them. Defendant’s statement was read to the jury.2
¶ 11 The jury found defendant guilty of first degree murder and aggravated discharge of a
firearm based on a theory of accountability. He was sentenced to concurrent terms of 28 and 15
years’ imprisonment.
¶ 12 On appeal, defendant contended that: (1) the trial court improperly denied his motion to
quash arrest and suppress evidence; (2) he was not properly found accountable for first degree
murder and aggravated discharge of a firearm; and (3) he was denied a fair trial when, during
the rebuttal closing argument, the prosecutor commented on the failure of certain State’s
witnesses to testify as she had indicated they would in her opening argument. The appellate
court affirmed the trial court’s judgment on direct appeal. People v. Smith, No. 1-02-0721
(2003) (unpublished order under Supreme Court Rule 23).
¶ 13 On September 10, 2004, defendant filed a pro se petition for postconviction relief, alleging
ineffective assistance of trial counsel for failing to investigate his claim that he suffered from a
mental disability and asserting that his sentence was unconstitutional. Defendant alleged that
he informed his counsel that he was diagnosed as mentally retarded. Defendant claimed he did
not understand his Miranda rights and, although he responded affirmatively to understanding
those rights, “one of the traits of petitioner’s particular mental deficiency is that petitioner
would often agree or give responses that he thought others wanted to hear, whether it is correct
or not.” Defendant attached documentation from the Social Security Administration indicating
defendant was found disabled due to mental retardation, with current verbal IQ of 72;
performance IQ of 79; and full-scale IQ of 74. Defendant asserted that this information would
have been relevant to his “understanding of his right to remain silent, and the statement he
allegedly made upon arrest,” and that it would have “enlightened the court” as to his fitness to
stand trial, his ability to assist trial counsel, and his ability to “fully understand[ ] what was
happening at trial.”
¶ 14 Defendant also attached a signed affidavit from his mother and designated Social Security
payee, Rochella Harris. Harris stated that defendant was diagnosed as mentally retarded at a
young age, that defendant is “easily influenced” and “has the tendency of trying to please
others and will do and say what they want him to, for their approval,” and that people often “try
to take advantage of him.”
¶ 15 Defendant’s petition was advanced to the second stage of review and postconviction
counsel was appointed to represent defendant in the proceedings. On February 26, 2009,
counsel filed a Rule 651(c) (Ill. S. Ct. R. 651(c) (eff. Dec. 1, 1984)) certificate indicating he
consulted with defendant, he reviewed the case, and that an amended petition was not
necessary because defendant adequately set forth his claims in his pro se petition. The trial
court granted the State’s motion to dismiss the petition, finding defendant failed to make a
substantial showing that his constitutional rights were violated. The appellate court affirmed
the dismissal on appeal. People v. Smith, 2012 IL App (1st) 101479-U.
¶ 16 On March 8, 2011, defendant filed a motion for leave to file a successive postconviction
petition, along with a successive petition. Defendant claimed he received: (1) ineffective
assistance of appellate counsel who, on direct appeal, failed to raise the issue of improper
2
Defendant’s statement was not included in the record submitted to this court.
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comments by the prosecutor during opening statements; and (2) inadequate representation by
postconviction counsel, who failed to amend his initial pro se petition to include a claim of
ineffective assistance of appellate counsel. Defendant maintained that he was impeded in
raising those claims in his initial petition because of his low IQ. For support, defendant
attached a 1997 letter from the Social Security Administration stating that he was “found to be
disabled with an onset of 9/01/78 due to mental retardation.” The trial court denied defendant
leave to file his successive postconviction petition, finding that he failed to meet the
cause-and-prejudice test.
¶ 17 On appeal, defendant contended that the circuit court erred in denying his motion for leave
to file a successive postconviction petition. Defendant argued that the standard applicable to
first-stage dismissals of postconviction petitions should be applied to successive petitions in
determining whether a defendant has demonstrated cause and prejudice.
¶ 18 The appellate court affirmed. 2013 IL App (1st) 111069-U. The appellate court determined
that a defendant must make a “more exacting” showing of cause and prejudice to merit leave to
file a successive petition. The appellate court held that defendant was required to satisfy both
prongs of the cause-and-prejudice test.
¶ 19 The appellate court found that defendant failed to satisfy the prejudice prong. The court
noted that both of defendant’s claims stemmed from his allegation that he was prejudiced by
the prosecutor’s reference during opening statements to testimony placing a gun in defendant’s
hand on the night of the shooting, when that testimony was not later presented at trial. The
appellate court concluded that the misstatement by the prosecutor was not deliberate and that
defendant was not prejudiced by the misstatement because the trial court twice instructed the
jury that an opening statement is not evidence. The appellate court, therefore, held that the trial
court did not err in denying defendant leave to file his successive postconviction petition. This
court allowed defendant’s petition for leave to appeal. Ill. S. Ct. R. 315 (eff. July 1, 2013).
¶ 20 ANALYSIS
¶ 21 On appeal, defendant contends that the circuit court erred in denying his motion for leave
to file a successive postconviction petition. The issue in this case is the interpretation of section
122-1(f) of the Act. 725 ILCS 5/122-1(f) (West 2008). We review this issue of statutory
construction de novo. People v. Davison, 233 Ill. 2d 30, 40 (2009).
¶ 22 The Act provides a method for criminal defendants to assert that “in the proceedings which
resulted in his or her conviction there was a substantial denial of his or her rights under the
Constitution of the United States or of the State of Illinois or both.” 725 ILCS 5/122-1(a)(1)
(West 2008). “A proceeding under the Act is a collateral attack on the judgment of conviction.”
People v. Wrice, 2012 IL 111860, ¶ 47.
¶ 23 Section 122-1(f) of the Act addresses successive postconviction petitions, as follows:
“(f) Only one petition may be filed by a petitioner under this Article without leave
of the court. Leave of court may be granted only if a petitioner demonstrates cause for
his or her failure to bring the claim in his or her initial post-conviction proceedings and
prejudice results from that failure. For purposes of this subsection (f): (1) a prisoner
shows cause by identifying an objective factor that impeded his or her ability to raise a
specific claim during his or her initial post-conviction proceedings; and (2) a prisoner
shows prejudice by demonstrating that the claim not raised during his or her initial
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post-conviction proceedings so infected the trial that the resulting conviction or
sentence violated due process.” 725 ILCS 5/122-1(f) (West 2008).
¶ 24 When construing a statute, this court’s primary objective is to give effect to the
legislature’s intent. People v. Greer, 212 Ill. 2d 192, 208 (2004). “[S]ection 122-1(f) was
clearly intended by the General Assembly to codify the cause-and-prejudice test adopted by
this court in People v. Pitsonbarger, 205 Ill. 2d 444, 459 (2002), and thus evinces an intent to
limit the filing of both successive and frivolous postconviction petitions.” People v. Tidwell,
236 Ill. 2d 150, 156 (2010).
¶ 25 Defendant contends that section 122-1(f) should be interpreted “such that the
determination of whether to grant leave to file a successive petition occurs in conjunction with
the first-stage proceedings, and that leave should be granted where the pleadings make an
arguable showing of cause and prejudice.” Defendant raises the same issue of the applicable
standard for successive postconviction petitions as was raised in People v. Evans, 2013 IL
113471. As this court observed in Evans:
“When it enacted section 122-1(f), the legislature grafted into the Act two new
requirements: the obtaining of leave to file a successive postconviction petition, and the
demonstration of cause and prejudice. In doing this, however, the legislature made no
provision for when or precisely how a successive postconviction petitioner satisfies
these requirements. For example, is cause and prejudice evaluated prior to the first
stage of postconviction proceedings, or in conjunction with the first stage of
postconviction proceedings? Does a successive postconviction petitioner
‘demonstrate’ cause and prejudice by adequately pleading it, or by actually proving it?
And if by actually proving it, what provision is there for the presentation of evidence?
Is cause and prejudice a one-sided question, or may the State contest a cause and
prejudice claim? These are just some of the questions that section 122-1(f) raises, and
the Act answers none of them. *** In light of this, we would invite the legislature to
seize the window of opportunity that this case provides and, sometime before the next
such case arrives on our docket, enact a more complete statutory framework for
successive postconviction practice. Because the next case will arrive, and when it does,
our analysis will be governed either by the legislature’s judgment or by our own. We
would prefer it be the legislature’s.” (Emphases in original.) Evans, 2013 IL 113471,
¶ 18.
¶ 26 In Evans, this court did not address the issues on the construction of section 122-1(f)
because we found the defendant’s alleged cause for failing to raise his claim earlier was
insufficient. In Evans, the defendant’s proffered “cause” was that he “just discovered” he
would be subject to a three-year mandatory supervised release (MSR) term following his
release from imprisonment. Defendant essentially claimed he was ignorant of the law. This
court stated, “[i]mportant as these arguments [on the construction of section 122-1(f)] are
[citation], we need not address either of them in this case. This is because, in his motion for
leave to file the successive petition, defendant asserts as ‘cause’ something that, as a matter of
law, can never be ‘cause.’ ” Evans, 2013 IL 113471, ¶ 12.
¶ 27 The arguments presented by defendant in this appeal are essentially the same as those
presented by the defendant in Evans. Regrettably, the legislature still has not provided any
guidance, and this lack of guidance has caused confusion and conflict in our courts. See People
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v. LaPointe, 365 Ill. App. 3d 914, 924 (2006) (holding that a section 122-1(f) motion “need
state only the gist of a meritorious claim of cause and prejudice”), aff’d on other grounds, 227
Ill. 2d 39 (2007); People v. Evans, 2011 IL App (1st) 100391-U, ¶ 13 (rejecting LaPointe, and
finding that a stricter standard applies to pro se successive petitions); People v. Smith, 2011 IL
App (1st) 091938-U, ¶¶ 15-17 (rejecting LaPointe); People v. McKinley, 2012 IL App (1st)
110513-U, ¶¶ 13-15 (rejecting LaPointe); People v. Edwards, 2012 IL App (1st) 091651,
¶¶ 21-22 (rejecting LaPointe); People v. Files, 2012 IL App (2d) 110012-U, ¶ 12 (noting
disagreement).
¶ 28 Section 122-1(f) contains no express provision for fully resolving the cause-and-prejudice
determination prior to proceeding with the three-stage postconviction process outlined in the
Act. Section 122-1(f) does not answer whether a successive postconviction petitioner must
demonstrate cause and prejudice by actively pleading it, or by actually proving it. If the
petitioner is required to prove cause and prejudice, section 122-1(f) does not provide a method
for presentation of evidence.
¶ 29 From a practical standpoint, if a petitioner is required to establish cause and prejudice
conclusively prior to being granted leave to file a successive petition, it may render the entire
three-stage postconviction process superfluous. Section 122-1(f) does not provide that a
petitioner is entitled to relief upon satisfaction of the cause-and-prejudice test. It only gives a
petitioner an avenue for filing a successive postconviction petition. The legislature clearly
intended for further proceedings on successive postconviction petitions.
¶ 30 The State cites People v. Edwards, 2012 IL 111711, to support its position that first-stage
standards are inapplicable when considering a motion for leave to file a successive
postconviction petition. Edwards involves the standard a petitioner who claims actual
innocence must meet in seeking leave to file a successive postconviction petition. Edwards
recognizes two exceptions to the bar against successive postconviction proceedings: (1) “when
a petitioner can establish ‘cause and prejudice’ for the failure to raise the claim earlier”; and (2)
under “what is known as the ‘fundamental miscarriage of justice’ exception.” Edwards, 2012
IL 111711, ¶¶ 22-23 (citing Pitsonbarger, 205 Ill. 2d at 459). In Edwards, this court observed
that Tidwell noted that “a petitioner seeking to institute a successive postconviction proceeding
must first obtain ‘leave of court.’ ” Edwards, 2012 IL 111711, ¶ 24 (quoting Tidwell, 236 Ill.
2d at 157). “We also made clear in Tidwell that it is the petitioner’s burden to obtain ‘leave’
before further proceedings on his claims can follow.” Edwards, 2012 IL 111711, ¶ 24 (citing
Tidwell, 236 Ill. 2d at 157). We recognized that “[d]efendant not only has the burden to obtain
leave of court, but also ‘must submit enough in the way of documentation to allow a circuit
court to make that determination.’ [Citation.] This is so under either exception, cause and
prejudice or actual innocence.” Edwards, 2012 IL 111711, ¶ 24. In Edwards, this court
rejected the defendant’s argument that first-stage standards should apply in evaluating his
successive postconviction petition claiming actual innocence, stating:
“First, applying the frivolous or patently without merit standard here would render
the ‘leave of court’ language in section 122-1(f) superfluous. We have repeatedly held
that statutes should be read as a whole and construed so that no part is rendered
meaningless or superfluous. E.g., People v. Jones, 214 Ill. 2d 187, 193 (2005).
Second, there is simply no basis in the statute for applying a first-stage analysis to a
successive petition. Section 122-1(f), which governs successive petitions, describes the
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‘leave of court’ requirement but makes no mention of the frivolous or patently without
merit standard, which is set forth in a separate provision, section 122-2.1(a)(2). The
legislature was clearly aware of the frivolous or patently without merit language in
2004, when section 122-1(f) was added, and could have incorporated it into that section
if it chose to do so. Where language is included in one section of a statute but omitted in
another section of the same statute, we presume the legislature acted intentionally and
purposely in the inclusion or exclusion.” (Emphasis in original.) Edwards, 2012 IL
111711, ¶¶ 26-27 (citing Chicago Teachers Union, Local No. 1 v. Board of Education
of the City of Chicago, 2012 IL 112566, ¶ 24; 2A Norman J. Singer & J.D. Shambie
Singer, Sutherland on Statutory Construction § 46:5, at 228-29 (7th ed. 2007) (“where
the legislature has employed a term in one place and excluded it in another, it should
not be implied where excluded”).
¶ 31 In Edwards, this court also discussed the legislative history of section 122-1(f), and
concluded that the legislative history shows that section 122-1(f) was intended to make Illinois
law consistent with federal law and not apply the first-stage standards under the Act to
successive postconviction petitions. Edwards, 2012 IL 111711, ¶ 28. We further recognized
that “[a]nother reason for rejecting the first-stage standard is that treating successive petitions
the same as initial petitions *** ignores the well-settled rule that successive postconviction
actions are disfavored by Illinois courts.” Edwards, 2012 IL 111711, ¶ 29.
¶ 32 Edwards, however, only addressed the process for the fundamental miscarriage of justice
exception in a claim of actual innocence. Although this court made statements regarding the
cause-and-prejudice test, this court did not address the cause-and-prejudice exception provided
in section 122-1(f), as it was not at issue in Edwards. In fact, our subsequent decision in Evans
recognized that the issue of the legal standard applicable for a petitioner to demonstrate cause
and prejudice involved important deficiencies in the Act that we were unable to reach. The
precise issue raised in Evans and in this case was not raised or resolved in Edwards.
Nonetheless, we note that, in Edwards, this court stated that “[d]efendant not only has the
burden to obtain leave of court, but also ‘must submit enough in the way of documentation to
allow a circuit court to make that determination.’ ” Edwards, 2012 IL 111711, ¶ 24 (quoting
Tidwell, 236 Ill. 2d at 161).
¶ 33 Section 122-1(f) unambiguously requires a defendant to obtain leave of the trial court prior
to filing a successive postconviction petition. The trial court may grant leave to file a
successive postconviction petition under section 122-1(f) only if the petitioner demonstrates
cause for the failure to bring the claim in the initial postconviction proceedings and that
prejudice results from that failure. Section 122-1(f) further provides that “(1) a prisoner shows
cause by identifying an objective factor that impeded his or her ability to raise a specific claim
during his or her initial post-conviction proceedings; and (2) a prisoner shows prejudice by
demonstrating that the claim not raised during his or her initial post-conviction proceedings so
infected the trial that the resulting conviction or sentence violated due process.” 725 ILCS
5/122-1(f) (West 2008). Section 122-1(f) does not provide for an evidentiary hearing on the
cause-and-prejudice issues and, therefore, it is clear that the legislature intended that the
cause-and-prejudice determination be made on the pleadings prior to the first stage of
postconviction proceedings.
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¶ 34 As noted, section 122-1(f) was intended by the General Assembly to codify the
cause-and-prejudice test adopted by this court in Pitsonbarger, 205 Ill. 2d 444. Supra ¶ 24. In
Pitsonbarger, this court specifically held “that the cause-and-prejudice test is the analytical
tool that is to be used to determine whether fundamental fairness requires that an exception be
made to section 122-3 so that a claim raised in a successive petition may be considered on its
merits.” Pitsonbarger, 205 Ill. 2d at 459. We analogized the cause-and-prejudice test in the
context of a successive postconviction petition to the cause-and-prejudice test for ineffective
assistance of counsel articulated in Strickland v. Washington, 466 U.S. 668, 687 (1984).
Pitsonbarger, 205 Ill. 2d at 464. “To support a claim of ineffective assistance of counsel, a
defendant must allege facts demonstrating that his attorney’s representation fell below an
objective standard of reasonableness and that there is a reasonable probability that, but for
counsel’s errors, the result of the proceeding would have been different.” (Emphasis added.)
People v. Patterson, 192 Ill. 2d 93, 107 (2000) (citing Strickland, 466 U.S. at 687, 695).
Similarly, a defendant’s pro se motion for leave to file a successive postconviction petition will
meet the section 122-1(f) cause and prejudice requirement if the motion adequately alleges
facts demonstrating cause and prejudice.
¶ 35 This court was clear, however, in Edwards, that the cause-and-prejudice test for a
successive petition involves a higher standard than the first-stage frivolous or patently without
merit standard that is set forth in section 122-2.1(a)(2) of the Act. Edwards, 2012 IL 111711,
¶¶ 26-27. To meet the cause-and-prejudice test for a successive petition requires the defendant
to “submit enough in the way of documentation to allow a circuit court to make that
determination.” Tidwell, 236 Ill. 2d at 161. “This is so under either exception, cause and
prejudice or actual innocence.” Edwards, 2012 IL 111711, ¶ 24. Consistent with our holdings
in Pitsonbarger, Tidwell, and Edwards, we conclude that leave of court to file a successive
postconviction petition should be denied when it is clear, from a review of the successive
petition and the documentation submitted by the petitioner, that the claims alleged by the
petitioner fail as a matter of law or where the successive petition with supporting
documentation is insufficient to justify further proceedings. See, e.g., Pitsonbarger, 205 Ill. 2d
at 463 (“a petitioner must establish cause and prejudice as to each individual claim asserted in
a successive petition”); Tidwell, 236 Ill. 2d at 161 (a defendant seeking leave to institute a
successive postconviction “must submit enough in the way of documentation to allow a circuit
court to make that determination”); Edwards, 2012 IL 111711, ¶ 24 (“leave of court should be
denied only where it is clear, from a review of the successive petition and the documentation
provided by the petitioner” that the petitioner’s claims fail as a matter of law).3
¶ 36 Here, defendant’s motion for leave to file a successive postconviction petition alleged: (1)
ineffective assistance of appellate counsel who, on direct appeal, failed to raise the issue of
improper comments by the prosecutor during opening statements; and (2) inadequate
representation by postconviction counsel, who failed to amend his initial pro se petition to
include a claim of ineffective assistance of appellate counsel. Defendant maintained that he
was impeded in raising those claims in his initial pro se postconviction petition because of his
low IQ. For support, defendant attached a 1997 letter from the Social Security Administration
stating that he was “found to be disabled with an onset of 9/01/78 due to mental retardation.”
3
The parties have not argued or briefed whether the trial court may consider the record in ruling on
a petition brought under section 122-1(f) of the Act. Accordingly, we do not address that issue.
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¶ 37 The appellate court determined that defendant did not satisfy the prejudice prong of the
cause-and-prejudice test. 2013 IL App (1st) 111069-U, ¶ 14. As this court recognized in
Pitsonbarger, to establish prejudice, defendant must show that the claim not raised in his initial
postconviction petition “so infected the entire trial that the resulting conviction or sentence
violates due process.” Pitsonbarger, 205 Ill. 2d at 464 (citing People v. Flores, 153 Ill. 2d 264,
279 (1992)). Defendant submits that his right to due process was violated by the prosecutor’s
comment that a witness would testify that he had a gun on the night of the shooting and that the
witness identified him in a lineup as one of the people who had a gun in his hand right before
the shooting. However, it is undisputed that the trial court twice instructed the jury that an
opening statement is not evidence and, following closing argument, advised the jury that
“[n]either opening statement nor closing arguments are evidence, any statement or argument
made by the attorneys which is not based on the evidence should be disregarded.” Moreover,
during closing argument, the prosecutor acknowledged that defendant did not have a gun on
the night of the incident, and then discussed the principles of accountability. Defense counsel
also pointed out in his closing argument the inconsistency between the State’s opening and
closing arguments. Thus, the jury was made aware during closing arguments that defendant did
not have a gun on the night of the incident, and defendant was convicted under a theory of
accountability. Accordingly, defendant’s claim that the prosecutor committed reversible error
due to his comments during opening statements could not have “so infected the entire trial that
the resulting conviction or sentence violates due process.” Pitsonbarger, 205 Ill. 2d at 464
(citing People v. Flores, 153 Ill. 2d 264, 279 (1992)). Thus, defendant failed to satisfy the
prejudice prong of the cause-and-prejudice test. Defendant’s underlying claim has no merit
and, necessarily, defendant’s postconviction counsel and appellate counsel cannot be
ineffective for failing to raise the meritless claim. Having concluded that defendant cannot
show prejudice, we need not address defendant’s claim of cause. We therefore affirm the lower
courts’ determinations that defendant failed to establish the prejudice prong of the
cause-and-prejudice test and, as a result, we affirm the trial court’s denial of defendant’s
motion for leave to file a successive postconviction petition.
¶ 38 CONCLUSION
¶ 39 For the foregoing reasons, we affirm the judgments of the appellate court and the circuit
court of Cook County.
¶ 40 Affirmed.
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