IN THE COURT OF CRIMINAL APPEALS
OF TEXAS
NO. AP-76,284 & AP-76,285
EX PARTE LAWRENCE JAMES NAPPER, Applicant
ON APPLICATION FOR A WRIT OF HABEAS CORPUS
FROM HARRIS COUNTY
K ELLER, P.J., delivered the opinion of the Court in which M EYERS, W OMACK,
K EASLER, and H OLCOMB, JJ., joined. C OCHRAN, J., joined except section II B 2. P RICE,
J OHNSON, and HERVEY, JJ., concurred.
Applicant was convicted of aggravated sexual assault and aggravated kidnapping. Some of
the evidence supporting the convictions involved DNA testing conducted by the Houston Police
Department (HPD) Crime Lab. After widespread problems were discovered with the HPD Crime
Lab, the present case was subjected to further investigation, including additional DNA testing.
Applicant has filed an application for a writ of habeas corpus based upon this further investigation.
He alleges, among other things, that agents of the State consumed the entire DNA sample in bad
faith, that a state witness perjured himself or gave false testimony, and that defense counsel was
ineffective for failing to discover the problems with the lab’s testing and its analysis of test results.
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We conclude that, despite problems with the lab, applicant’s claims are without merit.
I. BACKGROUND
A. Before Trial
1. The Kidnapping
On February 11, 2001, six-year-old “E.T.” was kidnapped. One of E.T.’s friends was ten-
year-old Remington Allen. While E.T.’s mother worked that day, Remington’s grandmother cared
for E.T., his nine-year-old brother “Junior,” and his ten-year-old sister Denetta. Remington, Junior,
and their friend Carlos went to a nearby park. Denetta and E.T. walked with them, but crossed the
street to go to a store. Denetta went inside the store. E.T. may have accompanied her, but at some
point he was outside again. While Remington, Junior, and Carlos played at the park, they saw a man
drive up in a car and tell E.T. to “come here.” Remington told E.T. not to get in the car.
The trial testimony of the children diverged somewhat at this point. Remington testified that
the man got out of the car and acted like he was picking something up. Remington also testified that
he saw the man hand E.T. some money when E.T. got into the car. However, on cross-examination,
Remington agreed that he never saw the man. Junior testified that he saw the man inside the car and
that the man had a mustache and was wearing sweats. On cross-examination, Junior agreed that he
did not remember much about the car or the man inside the car because he did not see the man.
Junior further testified that he did not know if the man ever got out of the car. E.T. testified that the
man tried to get him to take money and then got out and put him in the car.
Remington, Junior, and E.T. all testified that the car sped away quickly once E.T. was in it.
Junior and Remington chased the car. Remington picked up his scooter and threw it at the car, but
the car did not stop. The children remained at the park for “a little bit” to see if the man would bring
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E.T. back. The children then went to “Momma Ruth’s” place, which was close by, but no adults
were home, so they went back up the street to Remington’s grandmother’s house. At first,
Remington’s grandmother did not believe the children’s story about E.T. being kidnapped, but once
she became convinced, she called the police.
At trial, Remington described the car as a “burgundy-like” Oldsmobile with a white top.
When asked whether the wheels were shiny, he responded negatively. Junior testified that the car
was dark green with a blue top, and scratches at the top. Both Remington and Junior testified that
they had picked out a car in a videotape lineup, but they were not asked which car they picked.
Houston Police Officer D.D. Thompson was dispatched to the scene at 3:12 p.m. and arrived
at 3:19 p.m. According to Officer Thompson, the children described the kidnapper’s vehicle as an
Oldsmobile—some said a Monte Carlo. He explained that the “children couldn’t pinpoint exactly
what make and model it was.” The descriptions and the colors given by the children were not
consistent. The car was variously described to him as a two-door or a four-door, as dark blue or dark
green, with a rusty top or a black top or a vinyl top, and with chrome wheels. Officer Thompson
dispatched a description that included model years from 1980 to 1990.
Sergeant Larry Hoffmaster testified that Junior described the car as a mid-sized gray car with
chrome rims and with damage to the front around the headlights. Sergeant Hoffmaster further
testified that the children were taken to a police sketch artist to make a composite drawing of the
suspect. The general broadcast for the suspect indicated a “skinny black male,” but Sergeant
Hoffmaster acknowledged that applicant was not skinny. When asked if he developed any suspects
whose vehicles were black or dark in color, Sergeant Hoffmaster said no.
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2. Aftermath
E.T. was returned to the neighborhood the next day. He was crying, and his face was bruised
and swollen. E.T., who is African-American, described his kidnapper as having skin color that was
a little darker than his own.1 E.T. described the man as having no facial hair, wearing eyeglasses,
wearing a black hat, and wearing a purple jacket with green (or a purple and green jacket) and
matching purple pants. E.T. described the car as a dark navy blue in color, like his tennis shoes, with
a brown interior, and with a black console between the front two seats.
E.T. related that the man offered him money, and when E.T. got closer, the man pulled him
into the car. The kidnapper took E.T. to a house that had a brown couch in the front room and a
television next to the bed in the bedroom. He tied E.T.’s arms and legs to the corners of the bed.
E.T. also said that the man rubbed “orange grease” on his body. The man told E.T. that “if I tell
anybody he’s going to kill me.” When asked if he had been touched inappropriately, E.T. “clammed
up” and started “tearing up.” When asked by another officer what happened after he was tied to the
bed, E.T. became extremely upset, crying and breaking down into hysterics.
E.T. was taken to the hospital the day he was returned. Pursuant to instructions from Chemist
Reidun Hilleman at the HPD Crime Lab, Officer Lorenzo Verbitskey swabbed E.T.’s face.
Verbitskey let the resulting two swabs air dry in his office. He then delivered the swabs to Hilleman.
Hilleman also received anal and oral swabs and clothing. Hilleman gave the swabs to Mary Childs-
Henry, a forensic biologist at the HPD Crime Lab who analyzed body fluids and conducted serology
testing. Childs-Henry extracted two tubes of DNA from each of the face swabs (four tubes in all).
1
On cross-examination, a police officer testified that applicant’s skin was lighter than the
complainant’s skin as depicted in photographs, but the officer noted that photographs “very often
change the tone of a black person.”
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For each swab, one of the tubes contained a sperm fraction and the other tube contained an epithelial
fraction of the genetic material. She then discarded the original swabs.
E.T. subsequently made an outcry to his aunt, Tangela Harding: E.T. described his kidnapper
as wearing a baseball hat, wearing eyeglasses, and having a short haircut. The house had two rooms,
and they went up some stairs to get into the house. The man said he was going to pull out his thing
(Tangela understood E.T. to be referring to his penis) and wanted E.T. to put it in his mouth. When
E.T. said no, the man started slapping him. So E.T. complied, his mouth started hurting, and the man
“wet his face.” This outcry was relayed to the police on February 14th. That same day, E.T. was
taken to have two composite sketches done of his kidnapper—one with eyeglasses and one without.
Joseph Chu, a chemist at the HPD Crime Lab, received the four tubes of DNA that had been
derived from the face swabs. Chu’s typing of the DNA was completed on February 20th. Chu
effectively consumed the entire sample in all four tubes during testing.2 He determined that the
sample was a mixed sample and that DNA patterns within the sample showed that a portion of the
sample was consistent with E.T.’s DNA. He did not at that time have any information regarding the
identity of any other contributor.
On February 23rd, E.T. told Officer Shawn Valenta that the kidnapper referred to his house
as “his friend’s house.” E.T. described the house as wood frame, with about four concrete steps, and
a number “2” on the front of the building. Applicant was not in custody at the time E.T.
communicated this information.
Later that day, police received a Crime Stoppers tip implicating applicant. Sergeant
2
All of the sample was consumed except for microscopic residue adhering to the walls
of the tubes.
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Hoffmaster obtained a photograph of applicant and compared it to the composite; he could not
eliminate applicant as a suspect based upon a comparison of the two. Sergeant Hoffmaster
discovered that applicant had an outstanding parole warrant and went to applicant’s house at 8602
Alsuma.3 The house matched the description given by E.T.: a white wood frame home with a
concrete sidewalk leading to two concrete steps in the front and the number 2 in the address. The
address was on the mailbox and above the door to the house. The car parked in front of the house
was a 1982 Buick Regal, with white vinyl over dark gray. The interior of the car was brown with
gray. There was no grille in the front and there was damage around the headlights.
Applicant was arrested on the parole warrant at 10:00 p.m. that day. On February 24th, the
police obtained a search warrant for applicant’s house, car, and body. Police discovered that
applicant’s house had two rooms that were in use: a living room and a bedroom.4 The living room
contained only one piece of furniture: a brown sofa. In the bedroom was a four-poster bed with a
headboard and a footboard, a television on a stand beside the bed, and a nightstand beside the bed.
On the nightstand was a bottle of orange cocoa butter lotion. A Houston Oilers cannister and purple
pants were also found in the house. A dark baseball cap and a multicolored windbreaker with dark
sleeves and a purple inlay was recovered from the vehicle.
The next day, Sergeant Hoffmaster recorded a videotaped lineup that included applicant. He
also recorded a video lineup that included applicant’s car and four other cars. Before the video
lineup of applicant was shown, witnesses were told to view the entire videotape and see if they
3
According to the habeas court’s finding number two, the house was approximately eleven
miles away from the site of the kidnapping.
4
The house contained another bedroom that was being used to store property belonging to
applicant’s brother.
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recognized anyone, “and if they didn’t recognize anyone they should tell us that, that it was okay to
do that.” In addition, they were told to view the entire tape before saying anything or making any
decisions. When the suspect-lineup video panned on applicant (in the number three position), a big
smile came upon E.T.’s face, but E.T. continued to watch the rest of video. As soon as he was asked
if he recognized anyone, E.T. immediately pointed to applicant and said, “That’s the man that took
me to his friend’s house.” E.T. indicated that he was positive in his identification. E.T. also
identified applicant’s car in the vehicle lineup.
On February 28th, Chu received applicant’s reference sample for DNA testing. It was found
to be consistent with the remaining portion of the DNA from the face swabs.
On March 15th, E.T. told Officer Valenta that applicant had placed his private part in his
mouth and peed in his mouth. When asked what he meant by private part, E.T. pointed to his penis.
3. HPD’s DNA Test Results
The following table summarizes the results obtained from Chu’s testing of the face-swab
DNA contained in the four tubes and from the victim’s and applicant’s reference samples:5
5
The table is taken from Michael R. Bromwich, FINAL REPORT OF THE INDEPENDENT
INVESTIGATOR FOR THE HOUSTON POLICE DEPARTMENT CRIME LABORATORY AND PROPERTY ROOM ,
Report at 190 (June 13, 2007) (allelic table of STR Results Obtained by Mr. Chu) and is contained
in the habeas record. The loci D3S1358, D8S1179, D21S11, D18S51, D5S818, D13S317, D7S820
have been abbreviated to D3, D8, D21, D18, D5, D13, and D7 respectively. In the table, “EF” stands
for “epithelial fraction” and SF stands for “sperm fraction,” and explanatory references to that effect
in the table have been omitted.
The parties and the habeas court rely upon portions of the Bromwich Report in the instant
habeas proceedings, and in finding 55, the habeas court cites to the report and to its website address.
As will be discussed below, the Bromwich Report made a number of general observations about the
DNA/Serology section of the Crime Lab. The portions of the report containing these observations
are not included in the habeas record, though they are available at the website listed in finding 55,
and the habeas court may have made reference to these portions when it referred in finding 41 to
certain general practices of the HPD Crime Lab that were “subjects that the Bromwich Investigation
would also underscore in its report five years later.” We have in the past held that an appellate court
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Sample D3 VW A FGA AMEL D8 D21 D18 D5 D13 D7
Napper 16 17 18.2, 21 XY 14, 15 29, 32.2 16, 20 10, 13 11, 12 8, 10
Swab #1 12, 13
15, 16 17, 19 19, 22 XY 14 28, 31.2 12, 18 11, 14 8, 10
EF 10
Swab #1 18.2, 21 18, 32.2 12, 13 11, 14
15, 16 17, 19 XY 14, 15 16, 20 8, 10
SF 19, 22 29 10 12
Swab #2
15, 16 17, 19 -- XY 14 28, 31.2 -- 12, 13 11, 14 --
EF
Swab #2 18.2, 21 28, 31.2 12, 18 12, 13 11, 14
15, 16 17, 19 XY 14, 15 8, 10
SF 19, 22 29, 32.2 16, 20 10 12
Victim 15, 16 17, 19 19, 22 XY 14 28, 31.2 12, 18 12, 13 11, 14 8, 10
With respect to the results for the four swab samples displayed in the table, the alleles unique
to applicant (possessed by applicant but not by the victim) are displayed in bold.6 As can be seen
from the table, the epithelial samples did not yield particularly useful results. One of the epithelial
samples yielded results at all ten of the loci covered by the test, matched the victim’s DNA profile
at all ten loci, and matched ten alleles from applicant that were distributed across seven loci.7 But
only one of the alleles matching applicant was foreign to the victim.8 The other epithelial sample
may consider evidence that was not formally admitted if it is treated as admitted by the trial court.
Kissinger v. State, 501 S.W.2d 78, 79 (Tex. Crim. App. 1973); Richardson v. State, 475 S.W.2d 932,
933 (Tex. Crim. App. 1972); see also Texas Health Enters. v. Texas Dep't. of Human Servs., 949
S.W.2d 313 (Tex. 1997). Given the reliance by the parties and the habeas court and the ready
availability of the entire report at the website recited in the habeas court’s findings, we rely upon the
Bromwich Report in its entirety.
6
Id. at 190 (text and allelic table).
7
Id. (allelic table).
8
Id.
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yielded results at only seven of the ten loci, matched the victim’s profile at those seven loci, and
matched seven alleles from applicant that were distributed across six loci.9 But none of the alleles
in the second epithelial sample that matched applicant were foreign to the victim.10
The sperm samples yielded far better results. Both samples yielded results at all ten loci. The
first sample matched the victim’s DNA profile at nine of the ten loci, matched all of applicant’s
alleles except one, and matched eight alleles from applicant (distributed across six loci) that were
foreign to the victim.11 The second sample matched the victim’s applicant’s profiles in their entirety
and matched nine alleles from applicant (distributed across six loci) that were foreign to the victim.12
With respect to all of the samples, all of the alleles foreign to the victim were alleles that matched
applicant’s profile.13
9
Id.
10
Id.
11
Id. The “D21” locus in the allelic table appears to contain some information contrary to
Bromwich’s characterizations. It displays the alleles “18, 32.2” on one row and “29” on the next
row. Id. Although Bromwich stated that all alleles foreign to the victim are consistent with
applicant’s DNA profile, id. at 190, no “18” is contained in the victim’s or applicant’s profile at this
locus. Id. (allelic table). The victim’s profile contains a “28” at this locus and the other three
samples include a “28” in the results, id., so the “18” may have been a typographical error. Also,
the report purports to indicate in boldface type all of the alleles matching applicant that were foreign
to the victim, id. at 190, but “32.2” does not appear in boldface, id. (allelic table), though it matches
applicant’s profile and is foreign to the victim’s profile. If, as seems probable, the “18” should be
a “28,” it is also probable that the “32.2” should be a “31.2”—an allele possessed by the
victim—which would follow what appears to be Bromwich’s convention of placing alleles belonging
to the same individual on the same row if those alleles are unique to that individual. The body of
this opinion assumes these were indeed typographical errors. If that assumption is incorrect, then
the results match applicant’s profile in its entirety and contain a single allele foreign to both the
victim and applicant.
12
Id.
13
Id. at 190.
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4. Trial Preparation
On April 23, 2001, defense counsel Steven Greenlee filed a motion to preserve/motion for
independent analysis of semen and fibers—which included a request to hire a defense DNA expert
at county expense to conduct the independent analysis and to testify at trial. That motion was
granted. The prosecutors, Di Glaeser and Denise Nassar, had an open file policy and were prepared
to fully cooperate with the defense regarding matters of discovery. Glaeser called the HPD Crime
Lab to arrange for the delivery of DNA material for independent testing by the defense. Chu told
her that there was no DNA material left because it had all been used up in the HPD Crime Lab’s
analysis. Glaeser conveyed this information to Greenlee. After discovering that there was no DNA
material left to test, Greenlee decided not to hire a DNA expert.
At a pretrial hearing, applicant complained that his attorney had not done any investigation.
He claimed that Greenlee had not disclosed to him copies of files, DNA, police reports, warrants,
or anything else. Applicant complained that Greenlee “has no experience or knowledge about DNA
to question any DNA expert officially.” Applicant made numerous other complaints about his
attorney that we need not detail here. The trial judge explained that applicant was free to hire his
own attorney if he could do so, but he was not free to choose his court-appointed counsel.
B. Trial
1. State’s Case
The evidence outlined in part A, subparts 1 and 2, of this opinion was presented at trial. In
addition, testifying by closed-circuit television, E.T. related the events of his kidnapping. He
testified that his kidnapper wore a purple jacket, purple sweat pants, eyeglasses, and a blue hat. E.T.
described the car that he was pulled into as being light brown inside. E.T. said that he was taken to
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a white, wood house with the numbers 2, 1, and 6 on it. He further testified that he went up concrete
stairs to get into the house. Inside the house was a brown couch and a black television. E.T. said
that the kidnapper tied him to the bed, with his “feet back” and his “hands in the front.” When
asked, “Did he tie you to parts of the bed with clothes?” E.T. answered, “Yes.” E.T. testified that
the television was on the side by the bed. With the help of anatomically correct dolls, E.T. testified
that the kidnapper put his “private” in E.T.’s mouth. The kidnapper subsequently gave E.T. a bath,
but did not wash his face. The next day, the man took E.T. back to the store where he had been
abducted, and E.T. then went to Remington’s grandmother’s house.
E.T. testified that he had previously pointed out the man who kidnapped him on a video
lineup. When shown photographs of applicant’s purple jacket and pants, E.T. testified that they
looked like the ones his kidnapper had worn. E.T. also testified that applicant’s house and concrete
steps, depicted in photographs, looked like the place the kidnapper had taken him to, and E.T.
pointed to circles on the sidewalk that he remembered seeing. E.T. also testified that a brown couch
and a Houston Oilers cannister that were depicted in photographs were items he had seen in the
kidnapper’s house. However, when the camera panned around the courtroom and E.T. was asked
to identify his assailant, he did not do so.
The State questioned Childs-Henry and Chu regarding their roles in subjecting the face-swab
samples to DNA analysis. The focus of the State’s questioning was on the semen fraction of the
DNA samples.
Childs-Henry testified regarding her role in extracting DNA material from the face swabs for
analysis. Although the quantity of the sample was small, she determined that enough DNA was
present for analysis. On cross-examination, defense counsel questioned Childs-Henry concerning
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the DNA extraction protocol. Childs-Henry could not say how many steps were in the extraction
protocol that she followed.
When asked whether an entire DNA sample could be consumed by testing, she responded
that such a thing could happen “if you are a sloppy chemist” or “if there’s not enough sample.”
When asked whether the sample was large enough not to have been completely consumed by testing,
Childs-Henry responded affirmatively, and she responded that the sample in this case was not
entirely consumed. “So there’s a DNA sample left?” defense counsel asked. “Yes, there is,” she
responded. “And this was after Mr. Chu had done his analysis?” defense counsel queried further.
“Yes,” Childs-Henry replied.
Chu testified regarding his role in analyzing the DNA sample after it had been extracted.
Chu explained that he had a Master’s degree in Chemistry, that he completed in-house training as
well as outside agency training on DNA analysis, and that he had to pass a proficiency test twice
each year on federal guidelines. Chu had been working eight years in the DNA section of the HPD
Crime Lab.
Chu testified that he conducted the STR method of DNA analysis. He determined that the
DNA was a mixture of two individuals. One half was consistent with E.T.’s DNA, he explained,
while the other half was consistent with applicant’s. “Statistically,” the DNA results from the face
swab material “matched” applicant. The odds of a random match with an individual other than
applicant was about the human population of the planet. Chu later testified that he could be about
99.999 percent sure DNA from that swab sample was applicant’s, or about a one-in-1.3 trillion
possibility of a random match with another individual. Chu also testified that he conducted a cross
analysis of the DNA from both swabs to make sure that they were consistent with each other.
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On cross-examination, Greenlee questioned Chu regarding whether any DNA material was
left for independent analysis. Chu said that no evidence was left for re-analysis. “Very unfortunately,
this case it’s very small amounts,” he said, “I have to consume.” Chu also testified that there were
ways to determine whether the sample was contaminated. There were strict guidelines in the
laboratory to monitor contamination; controls in the DNA test itself would indicate whether
contamination was present. So, if a mistake were made, Chu testified, it would show up.14 “In this
case we don’t have any contamination in the laboratory to cause misleading results,” he explained.
Greenlee’s cross-examination of Chu covered approximately six pages of the trial record.
2. Defense’s Case
Reverend James Ginns testified that applicant was his nephew and that he, applicant, and
applicant’s brother had keys to applicant’s residence, but applicant was the only person who lived
there on February 11th. Although this evidence suggested that two other persons had access to
applicant’s home, no attempt was made to implicate either of these two individuals in the crime.
David Savage, applicant’s cousin, testified that applicant came to Savage’s grandmother’s
house on February 11th to have Savage work on the stereo in applicant’s car. Applicant arrived at
the house between 10:30 and 11:00 a.m. Savage’s grandmother lived on Newbury Street, which was
in a part of town that was close to the Southmore location from which E.T. was abducted. Savage
testified that applicant left between 2:30 and 3:00 p.m. But Parole Officer Joel Butler later testified
that Savage told him that applicant left at about 1:30 p.m. Savage testified that he remembered that
day because he saw applicant on television the day after E.T. was taken. A prosecutor would later
14
Chu acknowledged that he could not say with 100 percent certainty that a mistake would
show up.
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argue to the jury that, because applicant was not a suspect until February 23rd, Savage must have
recognized applicant on February 12th from the composite drawing.15
Darlene Savage, David Savage’s mother, said applicant left around 3:00 or 3:30 p.m., but she
later said she thought he left before she did, and she left between 2:30 and 3:30 p.m. On cross-
examination, she said that applicant left after 2:00 p.m. and then said she did not really remember.
Applicant’s brother, Ronnie, testified that applicant came by his house between 3:30 and 4:00
p.m. Ronnie further testified that applicant was alone, and did not stay long, because he had to go
back home. Ronnie stated that he went over to applicant’s house about five or ten minutes later and
stayed thirty to forty-five minutes. Ronnie did not see a child in the house or in applicant’s car.
Ronnie returned to applicant’s house at around 6:00 p.m., stayed for about ten minutes, and still did
not see a child in applicant’s house or car, despite the fact that he walked through the entire house.
On cross-examination, Ronnie said that his second visit lasted thirty to forty minutes. But
Ronnie told Officer Valenta, in a February 27th conversation, that he went to applicant’s house at
5:00 p.m. on February 11th, as was his usual routine, and that he went there only once. Ronnie told
Parole Officer Paul Ford that, when he left applicant’s house, applicant was asleep. Ronnie testified
that he saw his brother’s car when he left for work, between 5:00 and 6:00 a.m. on February 12th, but
he had told Officer Valenta that he had seen the car at around 6:30 or 6:35 a.m.
Against his professional judgment, Greenlee called applicant’s parole officers, Butler and
Ford, to the witness stand because applicant insisted that he do so. Greenlee discussed his
15
Specifically, the prosecutor recounted Savage’s testimony as follows: “Well, I remember
when I went to work the next day all the police were there and they were talking about it, and the TV
was on and I saw my cousin. Folks, that’s February 12. Lawrence Napper’s name was never
mentioned until February 23, 2001. Why did he see his cousin on TV? The composite. He
recognized his cousin on TV on February 12, 2001.”
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reservations with the trial court, but applicant insisted that calling these witnesses was essential to
establishing an alibi by showing that he was on electronic monitoring. Applicant also expressed the
opinion that he would have to “come behind” these witnesses and testify, even though he knew that
doing so would enable the jury to learn his prior criminal record. Applicant reiterated his prior
frustrations with his attorney, referred to what he considered to be an earlier request to represent
himself, and indicated that he personally needed to question some of the witnesses “because all the
facts of this case is not being brought out by my attorney, and he will not do it himself.”
The parole officers testified that applicant was on parole for rape and aggravated rape.
Applicant was on the highest level of supervision – the Super Intensive Supervision Program (SISP).
This program included electronic monitoring. For a while, applicant was on GPS monitoring. At
that time, only twenty-five people in the entire state were on that kind monitoring. Applicant was
taken off GPS monitoring on December 12, 2000, and placed on a more traditional form of
electronic monitoring, which recorded only whether applicant was at home. Applicant was required
to report to his parole officer once a week, every Wednesday.
Under SISP, restrictions were placed on where applicant could go and when he could be
there, and curfews were imposed. Where applicant could go and when he could be there depended
upon the weekly schedule made out by his parole officer. On February 11th, applicant was allowed
to leave the house at 10:00 a.m. to go to church until noon, and then he was allowed to go to his
friend Ben’s until 5:30 p.m. Newbury Street was not a place that he was allowed to go that day.
On February 18, 2001, a parole warrant issued against applicant for a curfew violation.
Applicant told his parole officer that he was delayed in getting home that day because of a flat tire,
and he showed a tire in his car with a screwdriver sticking out of it as proof. The warrant was in the
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TCIC system, but applicant’s parole officers chose to investigate the warrant, and a decision was
later made to withdraw it, but applicant was arrested on the warrant before it was withdrawn.
Finally, applicant testified. Applicant denied having anything to do with E.T.’s abduction
and sexual assault. Applicant confirmed that he was on parole for aggravated rape. Applicant said
that he received permission from his parole officer to go to Newbury Street, but the parole officer
just would not admit it. Defense counsel asked, “You heard Mr. Butler testify; is that correct?”
Applicant responded, “I heard him lie, yes.” When asked by defense counsel when he informed
Butler that he would be visiting the Newbury residence on February 11th, applicant first responded
that he would have told him on the 21st, when he visited the parole office. When Greenlee explained
that the time frame had to be before Sunday, February 11th, applicant responded that he gave notice
the Friday before, February 9th. Applicant further testified that he had no regularly scheduled
reporting day—he just had to report every week. When confronted with the fact that Ford and Butler
said it was every Wednesday, applicant retracted his earlier statement and confirmed that he was
required to report every Wednesday. Then applicant claimed that he told Butler about going to the
Newbury address on February 7th. When asked what his schedule was like on that Sunday, applicant
replied, “Oh, it’s different times, different Sundays that I am doing different things on different days.
What particular Sunday are you asking me about?”
Greenlee further asked, “You heard [Butler] testify that your initial movement on Sunday was
restricted to going to church, did you hear that?” Applicant responded, “Yeah, I heard him say it,
but he’s lying. He’s lying. He knew I was going over there.” Defense counsel later asked, “It’s
your testimony you had authority or permission to go to Newbury?” Applicant replied, “That’s true.”
Applicant also testified that there was no damage to his car, and that the police department
NAPPER – 17
tore it up because they were the only ones that had access to the car. He testified that he left the
Newbury address at around 2:30 to 2:35. He said that he did not go straight home because he
stopped to get some gas, and then ran by Ronnie’s house.
When asked whether he was familiar with the Southmore and Live Oak, Southmore-288 area,
applicant responded that he was, because he had been there in November or December looking for
his “brother’s sister”16 who was on drugs. Applicant agreed that it was a restricted area and that he
was in violation of his parole. But then applicant claimed that it was not a parole violation to drive
through the area so long as he was on his way to go somewhere he was allowed to go. Applicant
stated that he went to the area many times looking for his brother’s sister.
On cross-examination, applicant conceded that he was in the area in October, November, and
December. When confronted with GPS records, applicant said that he did not know but may have
been in the Southmore area on multiple occasions at times referred to in the records, with the last
time being on December 10th. He said that he was taken off GPS two days later. The prosecutor then
asked, “I’m sure your parole officer will come in and tell us that you had permission to cruise
whatever area you wanted, is that correct?” Applicant responded, “He probably won’t. He won’t tell
you nothing else that was the truth.”
Applicant said that he told his parole officer that every Sunday from the middle of December
through his arrest he was going to his friend Ben’s on Sunday after church to work on his car. Later,
the prosecutor asked, “Would you agree with me, Mr. Napper, that there were many occasions when
16
When asked to explain his relationship to his “brother’s sister,” applicant testified, “Me
and Ronnie have the same mother and the same father, but me and his sister and other brother, they
don’t have the same, they just have the same daddies.” Applicant also testified that his “brother’s
sister” was not related to him in any way.
NAPPER – 18
you would deviate from your weekly schedule and do whatever you felt like doing?” Applicant
replied, “Well, what’s your definition of deviate, going another direction, or is that what you’re
saying?” Upon further questioning, applicant agreed that he could go only to church or to Ben’s on
Sunday unless he told his parole officer ahead of time or there was an emergency.
Applicant admitted to normally wearing a black baseball cap. When asked if he was taken
from his residence on February 23rd, applicant responded, “I was kidnapped. They didn’t have a
warrant.” With respect to whether there was body lotion in his bedroom, applicant said that his
brother had a lot of stuff there and applicant “might have run in his room, grabbed it, put it in there.”
When asked who purchased the lotion, applicant said his brother’s sister purchased it.
Applicant admitted that he had a prior aggravated rape conviction dated August 25, 1981,
but he claimed that he did not do it, that his attorney sold him out just like in the present case.
Applicant also admitted that he pled no contest to rape on September 4, 1981, but he claimed that
he did not commit that crime either. When asked about a rape conviction on September 13, 1979,
applicant claimed that he knew about only two rapes. When asked, “You remember being placed
on probation one time before for rape?” applicant responded, “I was told that was dismissed or
dropped.” Applicant admitted being convicted of indecent exposure on September 21, 1993. He
claimed that he was sitting inside his car peeing in a can, and he said he did not think he was guilty
of that offense either.
Applicant acknowledged that, according to his electronic monitor, he arrived home at 3:07
p.m. on February 11, 2001. Applicant protested that this effectively gave him an alibi because the
victim was picked up at 3:10 p.m. Applicant continued, “Parole officers know that. They won’t tell
you all of that. They told the news media that. I don’t know why they won’t tell the jury. That’s
NAPPER – 19
my reason for testifying.”
Applicant also testified that the children did not describe his car: “It’s not light green or red.
My car is dark. It’s gray. It’s not even black.” After admitting that several of E.T.’s descriptions
matched applicant’s house, applicant said, “You didn’t even put that in the indictment, that it was
at my house. [E.T.] was taken to an apartment before he come to my house. Y’all ain’t telling the
jury that.”17 Applicant denied telling Butler that Ronnie spent the night at his house on February
11th.
3. State’s Rebuttal
On rebuttal, Sergeant Hoffmaster testified that applicant looked different at trial than he did
when Hoffmaster first encountered him. Butler testified that applicant told him on February 27th that
Ronnie Napper came over to applicant’s house at 4:30 p.m. on February 11th and stayed all night.
Butler also testified that applicant never told him that he was not going to church that day or that he
wanted to go to the Savage residence. Butler further testified that applicant did not have permission
to be at the Newbury address, and he testified that David Savage told him that applicant left Savage’s
grandmother’s house at 1:30 p.m. Butler also testified that applicant had been instructed to take the
most direct route to his destination and was not authorized to travel around the Live Oak and
Calumet area for 30 minutes.
Finally, Butler testified that applicant told him that he did not do it. Butler replied that if
applicant did not do it, then DNA ought to show that he did not do it. Applicant responded, “Well
if it does, they are just setting me up.”
17
Defense counsel objected to this testimony from applicant as nonresponsive, and that
objection was sustained. Several other times, the trial judge sustained defense objections to
applicant’s nonresponsive testimony.
NAPPER – 20
4. Verdict and Judgment
The jury found applicant guilty of aggravated sexual assault and aggravated kidnapping. At
punishment, applicant testified and continued to maintain his innocence. After defense counsel
completed his questioning of applicant, applicant stated, “You sold me out Greenlee.” Greenlee then
rested the defense, and applicant stated, “I didn’t do it. I swear I didn’t do this.” While the jury was
in recess, applicant stated, “They framed me in this case. I will fight it the rest of my life. They
framed me.” When the jury was brought in, applicant further stated, “Y’all going to pay me. Fed
investigation, as soon as I get a chance y’all going to pay me. As soon as I can there’s going to be
a fed investigation.” Finding that applicant had committed two prior sex-related felonies, the jury
sentenced applicant to an automatic life sentence.18 When asked whether he had anything to say
before the trial judge pronounced sentence, applicant replied, “When they frame your family,
remember me. That’s all I have to say.”
C. After Trial
1. Motion for New Trial
Applicant gave notice of appeal, and the trial court appointed Bob Wicoff as appellate
counsel. Wicoff filed a motion for new trial on applicant’s behalf, claiming that applicant was
denied his right to represent himself at trial and that he received ineffective assistance of counsel.
In connection with the motion, applicant submitted an unsworn declaration in compliance
with the Texas Civil Practices and Remedies Code.19 Among other things, applicant pointed out that,
although Greenlee elicited testimony from applicant’s parole officers that applicant was on electronic
18
See TEX . PENAL CODE § 12.42(c)(2).
19
See TEX . CIV . PRAC. & REM . CODE § 132.001, et seq.
NAPPER – 21
monitoring on February 11, 2001, Greenlee failed to elicit any testimony from them that the
electronic monitoring confirmed applicant’s presence at home at 3:07 p.m. Applicant stated that this
was the reason that he had wanted to call these witnesses and that the failure to elicit this information
forced him to take the stand to testify about the matter. Wicoff also submitted an affidavit from
Butler, who expressed surprise at the fact that Greenlee failed to elicit this information from
him—leading Butler to wonder why defense counsel chose to call him as a witness.
Wicoff also filed a motion to hire a DNA expert at county expense, which was granted.
Wicoff later submitted an affidavit from Dr. Elizabeth Johnson, a forensic DNA expert who had
developed some widely utilized DNA analysis techniques.
Dr. Johnson concluded that the testimony of Childs-Henry and Chu reflected “a lack of
understanding” on their part “as to some of the fundamental aspects of body fluid identification,
DNA extraction and typing as well as interpretation of results.” Dr. Johnson further stated that she
had reviewed numerous HPD Crime Lab cases in which these individuals performed analyses and
she had detected serious errors in most of these cases, including the “unnecessary consumption of
the evidence due to poor extraction protocols and techniques . . . and erroneous interpretation of
data.” She also stated that re-testing was a critical part of the evaluation of a criminal case involving
DNA evidence and a necessary part of preparing an adequate defense. “Because DNA evidence can
have a tremendous impact on the outcome of a criminal case,” she explained, “it is generally
accepted in the relevant scientific community that re-testing needs to be performed whenever the
evidence permits this.” Dr. Johnson cited a National Research Council (NRC) recommendation that
“whenever feasible, investigative agencies and testing laboratories should provide for repeat testing.”
Dr. Johnson further observed that, in this case, “as in many other cases I have reviewed
NAPPER – 22
involving the Houston PD lab, the lab apparently consumed all of the critical evidence . . . without
notifying the prosecution of their intent to do so.” She explained that “[m]any laboratories” with
which she was familiar would “not consume limited samples without notification so that defense
counsel can have the opportunity to have the testing observed if duplicate testing is not possible.”
Although re-testing was not possible, Dr. Johnson stated that a qualified expert should have
reviewed the bench notes from the HPD Crime Lab to determine whether “an error in the analysis
was documented or if the data obtained were interpreted and testified to correctly.” Dr. Johnson
identified numerous questions that defense counsel should have asked Childs-Henry and Chu,
including “what were the relative proportions of major and minor DNA contributors and the
corresponding peak heights” and whether there could be an “alternative interpretation of the mixed
DNA profiles other than the approach utilized by Mr. Chu in which he determines the DNA profiles
in the evidence based on his knowledge of the victim’s and defendant’s reference DNA profiles” and
“whether it was appropriate of Mr. Chu to isolate the defendant’s profile out of a mixture and report
the frequency of the defendant’s DNA profile rather than calculating the combined frequency of all
possible donors to the mixed DNA profile obtained from the evidence.” Based upon a study
conducted in Connecticut, Dr. Johnson further explained that mixed samples were especially difficult
to interpret and that “often an analyst will ‘see’ a particular individual’s profile in a mixture by
comparing it to a defendant’s or victim’s profile and perform a biased analysis. This type of biased
analysis does not consider that the evidence profile in a mixed sample could be the result of the
profiles of individuals other than the defendant and the victim.” Dr. Johnson stated that this
information was a subject that should have been brought out in cross-examination. Dr. Johnson also
criticized defense counsel for failing to cross-examine the witnesses regarding the NRC
NAPPER – 23
recommendation or the practice of many laboratories to provide for repeat testing.
Dr. Johnson concluded that the expert testimony from Childs-Henry and Chu was “some of
the most poorly presented and cross-examined testimony that I have ever reviewed.” She found that
Greenlee’s “lack of knowledge . . . in the area of serology and DNA typing is apparent through his
extremely cursory and superficial cross examination.”
The State submitted an affidavit from Greenlee. After Greenlee became aware that there was
no DNA left to test, and after consulting with other attorneys, he decided “that the only purpose that
an expert would serve would be to review the procedures and methodologies used in the analysis by
the State’s experts.” Greenlee believed that he “could effectively argue the unfairness of no sample
being available to the defense to analyze” without the help of an expert. He further believed that,
“if there were some issues with regard to methodologies and procedures,” he “could get more
mileage out of this on cross-examination.” He also feared “the distinct possibility that our expert
would confirm the propriety of the State’s methodologies and procedures during the laboratory
testing, thereby reinforcing the validity of the DNA results.” Greenlee believed that he had
effectively cross-examined the witnesses involved in the DNA collection and testing.
With respect to the testimony of the parole officers, Greenlee said that applicant believed that
they would testify that there was not a valid parole warrant in effect at the time of his arrest.
Greenlee had counseled against calling the parole officers, but applicant had insisted that they be
called. Greenlee further stated that he did not spend much time on applicant’s time of arrival at
home on February 11th because “it would not eliminate [applicant] as being capable of committing
the offenses alleged.” This was so because applicant was “in an area not too far from the
kidnapping” that day and because intervening circumstances that took place prior to the police being
NAPPER – 24
called would have given applicant “more than enough time to travel from the kidnapping scene to
his residence.” Defense counsel believed that the weakest areas of the State’s case were the DNA
testing procedures and the victim’s inability to identify applicant in the courtroom. Greenlee
believed that, if jury were inclined to find guilt despite those weaknesses in the State’s case, then
they were not going to find the time of applicant’s arrival at home to be significant.
Greenlee also stated that applicant was very demanding and uncooperative, and he repeatedly
failed to take Greenlee’s advice. Finally, Greenlee pointed out that he used an investigator, filed
many motions on applicant’s behalf, reviewed reports, and spoke to witnesses.
2. Appeal
The trial court denied the motion for new trial, and applicant appealed. The sole issues on
appeal were claims of ineffective assistance of counsel. Applicant claimed that Greenlee was
ineffective because: (1) he did not elicit testimony from applicant’s parole officers regarding the fact
that the electronic monitoring system had indicated that applicant had returned home at 3:07 p.m.,
(2) he elicited damaging testimony from his parole officers regarding his prior convictions and
details of his previous level of surveillance while on parole, and (3) trial counsel’s performance was
deficient with respect to the DNA evidence.
The court of appeals affirmed.20 With respect to the electronic monitoring allegation, the
court responded that applicant was not prejudiced because the State elicited the 3:07 p.m.-arrival
information during its cross-examination of applicant.21 The court of appeals also found that
20
Napper v. State, Nos. 11-02-00017-CR & 11-02-00018-CR (Tex. App.–Eastland
December 19, 2002, pet. ref’d) (not designated for publication).
21
Id., slip op at 4.
NAPPER – 25
applicant’s 3:07 p.m. arrival time did not necessarily exclude him from being the kidnapper.22
Regarding the allegation about the testimony of the parole officers, the court of appeals found that
applicant had insisted on calling these witnesses after being warned of the potential dangers and that
defense counsel was not unreasonable in addressing, on direct examination, unfavorable facts that
“most likely would have been addressed by the prosecutors on cross-examination.”23 Finally, with
respect to the allegations regarding DNA evidence, the court of appeals concluded that Dr. Johnson’s
affidavit did “not allege any actual errors in Childs-Henry’s or Chu’s work which trial counsel failed
to discover or develop.”24 The appellate court also pointed to defense counsel’s cross-examination
of police officers regarding how the facial swabs were handled prior to the HPD Crime Lab’s receipt
of the evidence and to defense counsel’s emphasis on the fact that no sample remained for applicant
to test independently.25
A petition for discretionary review was subsequently filed and refused.
3. Additional Testing
In November of 2002, adverse publicity began to arise about the condition and practices of
the HPD Crime Lab.26 Within a month, the acting Chief of Police commissioned an outside review
of the lab’s DNA/Serology section.27 Based upon a preliminary oral report of the auditors, HPD
22
Id. at 4-5.
23
Id. at 6.
24
Id. at 8.
25
Id.
26
Bromwich, Report at 4.
27
Id.
NAPPER – 26
suspended the performance of all DNA analysis at the Crime Lab.28 In 2003, HPD and the Harris
County District Attorney’s Office began identifying cases in which some form of DNA analysis had
been performed by the lab.29 “This process evolved into a long-term re-testing project coordinated
among HPD, the District Attorney’s Office, and outside DNA laboratories.”30
One of the cases identified in this process was applicant’s. The seemingly empty tubes that
had contained DNA from the face swabs were forwarded by the HPD Crime Lab to ReliaGene
Technologies. The lab also forwarded what purported to be reference samples from E.T. and
applicant. ReliaGene used a buffer solution to re-suspend any DNA residue that might be left in the
tubes, and it tested the DNA at fourteen genetic loci, including the original ten loci tested by Chu.
Of the four tubes of DNA from the face swabs, only one tube—containing the epithelial fraction
from one of the face swabs—produced any results.
In May of 2004, ReliaGene reported that the major component of the DNA was not consistent
with E.T. or applicant, while the minor component contained two weak alleles that were consistent
with applicant. These two weak alleles were found in the additional loci not tested by Chu. After
these results, it was determined that the tube purporting to contain E.T.’s reference sample was not
the correct tube. On June 30, 2004, after a new reference sample was procured from E.T. and
analyzed, ReliaGene concluded that the major component of the face-swab DNA was indeed
consistent with E.T.’s DNA. The conclusion with respect to the two weak alleles matching applicant
was unchanged. No other DNA alleles foreign to E.T. were detected in the sample.
28
Id.
29
Id.
30
Id.
NAPPER – 27
In an affidavit later obtained in habeas corpus proceedings, Gina Pineda, Assistant Director
at ReliaGene, explained that she did not believe that the DNA extracts received by ReliaGene were
quantitatively the same as those tested by the HPD Crime Lab. Consequently, she would expect
ReliaGene to detect fewer alleles in its analysis, but for the results to remain consistent with what
the HPD Crime Lab had found. Her examination of the data indicated that, indeed, the results
obtained by the two testing laboratories were “not discrepant.” She also expected that, if a third
round of testing were performed, there would be a further progressive loss of alleles. Some of the
victim’s alleles might also become lost and “some allele drop-in may also be observed.”
In an August 2004 newspaper article, assistant district attorney Marie Munier was quoted as
saying about the ReliaGene results, “You can’t even do a statistical analysis (on the probability that
the DNA was Napper’s). I don’t know what it would be, but it wouldn’t be very much.”31
In 2005, during the instant habeas proceedings, the parties agreed to more testing, by Orchid
Cellmark. They acknowledged in writing that the testing was expected to consume all of the
evidence and agreed to waive the opportunity to have a representative observe or participate in the
testing.
In June of 2005, Orchid Cellmark reported that it was able to obtain results for the face-swab
tubes containing the epithelial fractions of DNA but was unable to obtain results for the tubes
containing the sperm fractions. The samples were analyzed at sixteen different loci, including the
ten loci tested by Chu and the four additional loci tested by ReliaGene. The samples for both
epithelial-fraction tubes were mixtures.
For one of the epithelial samples, Orchid Cellmark determined that the major profile matched
31
The article is in the habeas record.
NAPPER – 28
the victim, and the suspect could not be excluded as a possible donor of the minor alleles in the
mixture. Four alleles foreign to the victim were found (across four different loci), all of which
matched applicant’s DNA profile. One of these alleles was found at a locus that had been tested by
both HPD and ReliaGene but had not previously been found there. One of the alleles was confirmed
at one of the new loci that had been tested by ReliaGene. The other two alleles were found at new
loci tested only by Orchid Cellmark.
Orchid Cellmark determined that the other epithelial sample was a mixture of DNA from the
victim and an unknown individual. Five alleles foreign to both the victim and applicant were found,
and two loci yielded inconclusive results. In subsequent testing, Orchid Cellmark was able to
exclude as possible contributors to the foreign alleles A.G. Riddle, C. West, J. Chu, J.W. Belk, L.R.
Verbitskey, M. Childs-Henry, and R. Hilleman.
Orchid Cellmark provided statistical frequency calculations for the epithelial sample that
contained the four alleles that matched applicant’s DNA profile. According to Orchid Cellmark, the
approximate frequencies for unrelated individuals for all possible types included in the mixture,
making no assumptions regarding the number of DNA sources, are 1 in 255 for African-Americans,
1 in 3,427 for Caucasians, and 1 in 585 for Hispanics.
4. Bromwich Report
As a result of problems discovered with the HPD Crime Lab, a team headed by Michael R.
Bromwich was chosen to further investigate and evaluate the Crime Lab’s practices, both past and
present. The report, published on June 13, 2007, contained numerous scathing criticisms of the
Crime Lab’s serology/DNA section. “On the whole,” the serology/DNA section’s “work did not
meet the generally accepted forensic science principles that existed at the time and posed major risks
NAPPER – 29
of contributing to miscarriages of justice in extremely significant cases.”32
Bromwich attributed this failure to budgetary problems, incompetent leadership, and lack of
training for the DNA analysts. “[U]ntil the public crisis engulfed the Crime Lab, it was never
provided adequate financial support to hire and train the number of criminalists necessary to handle
the Lab’s ever-increasing workload.”33 The DNA section was in “shambles—plagued by a leaky
roof, operating for years without a line supervisor, overseen by a technical leader who had no
personal experience performing DNA analysis and who lacked the qualifications required under the
applicable Federal Bureau of Investigation (‘FBI’) standards, [and] staffed by underpaid and
undertrained analysts.”34 Training was one of the first areas in which funding was cut when the HPD
Crime Lab’s budget became tight.35 The lab was populated by civilian, as opposed to law
enforcement, employees, and as such, was marginalized within HPD.36 Until the 2002 audit, the
HPD Crime Lab did not submit to reviews by outside agencies and never sought to achieve
accreditation.37 As a result, HPD’s analysts became isolated from the rest of the forensic science
community.38 Although the person with supervisory control over the DNA section certified that
internal audits conforming to FBI quality assurance standards found that those standards were met,
32
Bromwich, Executive Summary at 4.
33
Id., Report at 26.
34
Id., Executive Summary at 10.
35
Id. at 8.
36
Id. at 7.
37
Id. at 10.
38
Id., Executive Summary at 10, Report at 32.
NAPPER – 30
the outside audit found to the contrary.39
Bromwich characterized the HPD DNA analysts as “woefully undertrained.”40 “The
problems we observed in the historical DNA cases,” he further explained, “are not attributable to
individual rogue analysts who departed from the Crime Lab’s approved practices. On the contrary,
the widespread and serious deficiencies in the historical Crime Lab were consistent with the Crime
Lab’s accepted and understood practices.”41 Consequently, “[f]lawed practices and embedded
misunderstandings . . . became accepted by analysts within the DNA/Serology Section as the correct
way of doing things. These misunderstandings infected the work of the Section’s analysts from the
analysis through the trial testimony.”42 Bromwich found “the same types of major issues across all
the Crime Lab’s DNA work, regardless of the analyst or the DNA typing system used.”43
One of the cases that Bromwich reviewed was applicant’s. Bromwich criticized Childs-
Henry for failing to properly document the procedures she used and for failing to use some of the
more definitive procedures for detecting and confirming the presence of semen.44 With respect to
Chu’s testing, Bromwich found that the “original DNA testing appears to have generated good
39
Id., Report at 50-51.
40
Id. at 32.
41
Id. at 122. And when DNA analysts did recognize problems and voice concerns to their
superiors, those concerns were often ignored. Id. at 41. For example, Chu recognized a problem
with evidence being shuffled between “too many chemists,” but this concern was dismissed by one
of his superiors. Id. His concern proved to be prescient in the Lynn Jones case, two years later. Id.
42
Id., Executive Summary at 10.
43
Id.
44
Id., Report at 189.
NAPPER – 31
quality and clear results from potentially very difficult forensic evidence samples.”45 The “overall
assessment” of Chu’s testing was that “he developed clean, interpretable profiles from the four
evidence samples he tested.”46
But, according to Bromwich, applicant’s case “illustrates two significant problems with the
Lab’s historical DNA work. First, the Crime Lab analysts utilized all of the readily testable sample
in this case,” and second, Chu used an inappropriate statistical analysis of the random match
probability.47 Regarding the first problem, Bromwich found that “it was unnecessary and
inappropriate for Mr. Chu to have tested the extracts from both swabs, thereby consuming the
available sample in this case.”48 Although Chu stated in an affidavit in the instant habeas
proceedings that he did not “consume all of the extract in this case out of carelessness or out of a
desire to prevent additional testing,” Bromwich concluded that “there was no need, and it was a
mistake, for him to consume both of the redundant ‘face-cheek’ swabs.”49 Doing so was “the
product of very poor laboratory practice.”50 This “misstep” was compounded by the fact that Childs-
Henry had “discarded the tubes containing the raw evidence (the swabs) after she performed the
DNA extractions.”51 And while “outside laboratories have been able to obtain some
45
Id., Executive Summary at 13.
46
Id., Report at 190.
47
Id., Executive Summary at 13.
48
Id., Report at 192.
49
Id. at 195.
50
Id. at 194-95.
51
Id. at 192.
NAPPER – 32
results”—“mixed results”—from testing the unseen residue in the tubes, those results “do not
approach the strength” of “Chu’s original results.”52 Notably, the Bromwich Report observed,
“Neither laboratory has been able to confirm the alleles consistent with Mr. Napper’s DNA profile
that Mr. Chu detected in the sperm fractions of each of the swabs, which captured most of the
consistency between evidence profiles and Mr. Napper’s DNA profiles.”53
Turning to Chu’s statistical analysis, Bromwich initially criticized statements made by Chu
in a March 30, 2001 report.54 There, Chu characterized the DNA material as a “mixture” consistent
with the victim and with applicant.55 Chu went on to state, “Given the population on the face of the
earth and eliminating the probability of identical twins, the DNA profile statistically matches only
Lawrence Napper.”56 Bromwich criticized these statements as “contradictory” and called Chu’s
statistical statement “incorrect and misleading.”57
Further, Bromwich’s examination of Chu’s file revealed that Chu had based his statistical
calculation of the random match probability upon applicant’s known profile, “which was the
usual—and extremely flawed—practice in the Crime Lab.”58 In another portion of his report,
Bromwich explained that, while calculating the random match probability of a single DNA profile
52
Id.
53
Id. at 194.
54
Id. at 191.
55
Id.
56
Id.
57
Id.
58
Id.
NAPPER – 33
was “relatively simple and straightforward” and can “provide the most discriminating information
about whether a particular individual could be the source of the biological evidence,” the same could
not be said of a mixed sample containing DNA from more than one person.59 When a DNA profile
contains DNA from more than one person, “it is much more difficult to provide compelling
statistical evidence that a particular person’s DNA was found in an evidence sample.”60 Random
match probabilities related to a mixture “may result in frequency estimates that indicate that a
relatively large proportion of the human population could have contributed to the biological
evidence.”61 A frequency estimate based upon a suspect’s known reference sample “is completely
irrelevant to the strength of the DNA evidence when the DNA profile is a mixture.”62 Nevertheless,
despite the inappropriateness of calculating a random match probability using a defendant’s known
profile, “the Crime Lab virtually always calculated its reported frequency estimates” in this fashion.63
When setting out an allelic table, Bromwich bolded the alleles that were unique to applicant’s
profile (matching applicant but foreign to the victim),64 indicating that it was those unique alleles
from which a random match probability must be calculated. Based on Chu’s STR data, Bromwich
calculated the accurate random match probability as “1 in 232,000 in the African American
population, 1 in 1,920,000 in the Caucasian population, and 1 in 7,430,000 in the Hispanic
59
Id. at 140.
60
Id.
61
Id.
62
Id.
63
Id. at 141.
64
Id. at 190.
NAPPER – 34
population.”65 He characterized these statistics as “relatively strong results given the nature of the
sample in this case,” but “a far cry from the sole source, unique match that Mr. Chu reported.”66
5. Habeas
Wicoff filed a habeas application on applicant’s behalf. In addition to the evidence above,
the habeas court obtained affidavits from Glaeser, Greenlee, Childs-Henry, Chu, and Johnson.
Applicant submitted affidavits from two attorneys–Cunningham and Downey. The court conducted
an evidentiary hearing, at which Greenlee testified. And the habeas court received various pieces
of documentary evidence.
The facts conveyed by Glaeser’s affidavit have already been discussed.
In his affidavit, Greenlee stated that applicant’s response to the criminal charges “was an
adamant denial of the charge.” Before trial, Greenlee believed there would be three main pieces of
evidence at trial: DNA evidence, evidence relating to the bottle of orange lotion, and evidence
relating to applicant’s electronic monitoring. Greenlee believed he had effectively shown on cross-
examination that there was not a clear set of procedures, methodologies, and practices regarding how
the DNA material was analyzed.
In her affidavit, Childs-Henry stated that she “did not observe the vials of extract after they
were transferred to Chu” and had “no way of knowing what amount of liquid, if any, actually
remained in the vials once Chu had completed his analysis.” Realizing that this statement conflicted
with her trial testimony, Childs-Henry explained that she had trained under the RFLP variant of
DNA analysis and was unfamiliar with the STR procedure at the time of trial. She had just assumed
65
Id. at 191.
66
Id.
NAPPER – 35
there would be sample left based on her RFLP training because there was generally sample left after
RFLP testing. After reviewing her trial testimony, Childs-Henry stated that she realized that the
defense attorney was asking whether she knew for a fact that liquid DNA extract still existed and
that, in reading over her answers, she could only assume that, while she was being cross-examined
by defense counsel, she “did not understand the intent behind his questioning.” She further stated
that it was not her intent to be misleading or untruthful but that her statement that there was DNA
sample left was “unintentionally incorrect.”
Chu’s affidavit contained his statement, recounted above, that his consumption of all of the
DNA material was not from carelessness or a desire to prevent additional testing. He said he did not
expect to be able to develop a profile from the sample because the concentration of DNA was so low.
He also stated that in such cases, it is not uncommon to consume all of the liquid extract in testing.
He also said that, when asked whether there was any DNA left to test, he interpreted the question,
under “the common language and words of art used in our lab,” to mean whether there was any
liquid extract remaining—not whether it was possible to obtain DNA test results from residue that
might have been left in the tubes. His statement to Glaeser and his subsequent testimony at trial
accorded with that understanding and was not an attempt to hide or withhold anything from the
defense.
Dr. Johnson’s affidavit responded to the DNA test results from ReliaGene. She believed that
the two alleles that matched applicant’s DNA had to be analyzed separately for the purpose of
establishing a random match probability. One of the alleles was present in 14.5 percent of African-
Americans, 16.5 percent of Caucasians, and 10.29 percent of Hispanics. The other allele was present
in 30 percent of African-Americans, 32.5 percent of Caucasians, and 39.23 percent of Hispanics.
NAPPER – 36
She also expressed dismay at HPD’s initial error in forwarding an incorrect reference sample to
ReliaGene. “This type of serious error is typical of the work performed at the HPD lab based on my
review of many cases,” she said, “and it calls into question the validity and reliability of re-testing
any DNA that was originally extracted by the HPD lab.” She stated that it was “highly likely given
the sloppy work performed by HPD, that even if the foreign alleles detected in the face swab extract
originated from Mr. Napper’s DNA, that it could be a result of contamination within the HPD lab.”
Dr. Johnson also criticized the statistical frequency estimate offered by Chu at trial (that the
DNA from the swabs statistically matched applicant’s profile). She contended that the estimate was
“completely unsupported scientifically” and was “patently false.” She further stated that a “mixture
of DNA cannot possibly statistically match only one person” and “attempts to discern the individual
profiles in a mixture of DNA is very difficult.”
In his affidavit, Cunningham opined that Greenlee’s cross-examination of Chu was
“inadequate” and “demonstrated the dangers of trying to question an expert if you have no training
in his area of expertise.” Cunningham faulted Greenlee for failing to hire a consulting expert.
Cunningham believed that a consulting expert was necessary to help defense counsel understand the
subject better, to shed light on the statistical calculation made by Chu, and to enable defense counsel
to know what to request during discovery—e.g., bench notes, worksheets, and other documents used
by the State’s expert during testing. Cunningham also believed that a consulting expert would have
reached the same conclusion as Bromwich regarding the inappropriateness of consuming all of the
evidence. In addition, Cunningham opined that a testifying expert “can always make more headway”
with regard to criticizing another expert’s testimony than counsel can through cross-examination.
Cunningham also stated that, when Childs-Henry testified at trial that some DNA sample still
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existed, defense counsel should have moved for a continuance to have testing done by his own
expert. Cunningham also said that the HPD Crime Lab should have notified the prosecutor’s office
before conducting testing that testing would consume all of the evidence. This would allow the
prosecutor’s office to alert the defense, who could have had an expert present at testing, or have the
samples separated for independent testing. When faced with the HPD Crime Lab’s failure to have
done so, Cunningham would have filed a motion to suppress the DNA results.
Downey’s affidavit stated that DNA “is an extremely difficult area of science to simply self-
teach.” He believed that an attorney with no prior experience with DNA analysis acts deficiently by
failing to enlist the help of a consulting expert. He stated that a consulting expert could have helped
defense counsel understand the proper standards of testing and provide valuable impeachment if the
State’s expert did not take the proper measures. He made the same points as Cunningham regarding
the usefulness of a consulting expert with respect to the State expert’s statistical analysis and with
respect to discovery, and he also believed that Greenlee should have moved for a continuance after
Childs-Henry’s testimony. Like Cunningham, he believed that the HPD Crime Lab should have
notified the prosecutor’s office before conducting the testing and that reasonably competent counsel
would have moved to suppress the DNA results.
At the evidentiary hearing, Greenlee testified that the State had a compelling case without
the DNA evidence. Greenlee saw three “linkages” between applicant and the crime: (1) DNA, (2)
E.T.’s description of applicant’s house, “which was on point,” and (3) the “unique orange lotion”
found in the house. Nevertheless, Napper’s defense was that he did not do it.
When asked about his prior experience, Greenlee acknowledged that he had no degree in the
field of forensic training and that, before applicant’s trial, he had never taken any continuing legal
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education classes on DNA, had never presented a DNA expert as a witness, and had never cross-
examined a DNA expert. When asked whether he had ever used a consulting expert, Greenlee said,
“Well, I don’t differentiate between consulting and using them as an expert witness. If I’m going
to call somebody as an expert witness, I’m going to consult them. . . . From a semantic standpoint,
it seems to me they’re the same kind of person.” When asked, “[I]f the State were relying on the
testimony of an expert in an area that you were totally unfamiliar with, might you call someone to
educate yourself through that expert so that you could more effectively handle the State’s case
yourself,” Greenlee responded, “Not necessarily, because I can read.” After Greenlee had discussed
securing literature on fingerprint analysis as an example of self-teaching, Wicoff asked if DNA was
more complex than fingerprints. Greenlee answered, “I’m not equipped to make that distinction.”
When asked if he thought he could obtain “lab notes or worksheets or electronic data from
DNA testing” through discovery, defense counsel replied that he believed that worksheets and lab
notes would be protected by the work-product privilege, but electronic data should be available.
When asked if he received an electropherogram, defense counsel said, “No,” but he “saw a breakout
of all of the alleles.” When asked if he saw an allelic table, defense counsel said, “I believe I did,”
but then stated, “it’s been eight years,” when Wicoff pointed out that “HPD doesn’t do allelic
tables.”
Greenlee also stated that he did not think he needed prior training with respect to reading the
DNA information because it was “relatively straightforward.” When asked whether a testifying
expert would have enhanced his strategy of emphasizing the unfairness of not having DNA available
for testing by the defense, Greenlee said, “Not necessarily,” because the expert testimony might have
been unfavorable, and he did not have the benefit of hindsight. “Because,” Wicoff asked, “you never
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checked with a consulting expert?” Greenlee said that he “didn’t feel the need to.”
When asked why he did not obtain testing after Childs-Henry testified that some DNA
sample remained, Greenlee said that they later learned that Childs-Henry “was simply mistaken.”
When asked what he understood by the statement that no material was left for analysis, Greenlee
replied, “That whatever material was taken from the little boy . . . there was nothing left for me to
conduct an independent analysis on.”
Greenlee also testified that he thought the defense was helped by Childs-Henry’s testimony
that a “sloppy chemist” would consume the entire sample. And he testified that the defense was
seriously hurt by applicant’s own testimony, that the damage caused by that outweighed the DNA
evidence and was the “deciding factor” in the case.
The habeas record also contains documents from the FBI and the National Research Council
(NRC) regarding standards for DNA testing. In the FBI document, Standard 7.2 states: “Where
possible, the laboratory should retain or return a portion of the evidence sample or extract.”67 The
NRC’s Recommendation 3.3 states:
Whenever feasible, forensic samples should be divided into two or more parts at the
earliest practicable stage and the unused parts retained to permit additional tests. The
used and saved portions should be stored and handled separately. Any additional
tests should be performed independently of the first by personnel not involved in the
first test and preferably in a different laboratory.68
In the commentary, the NRC states, “We recognize that no amount of care and proficiency testing
can eliminate the possibility of error. However, duplicate tests, performed as independently as
67
FBI, DNA Advisory Board, QUALITY ASSURANCE STANDARDS FOR FORENSIC DNA
TESTING LABORATORIES, Standard 7.2 (1998).
68
National Research Council, NRC II Recommendations, Recommendation 3.3.
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possible, can reduce the risk of error enormously. The best protection that an innocent suspect has
against an error that could lead to a false conviction is the opportunity for an independent retest.”69
II. ANALYSIS
In habeas corpus proceedings, this Court is the ultimate factfinder, but we usually defer to
the habeas court’s fact findings if they are supported by the record.70 With this standard of review
in mind, we turn to the three claims upon which we filed and set this application.
A. Youngblood Claim
1. The Parties’ Arguments and the Habeas Court’s Findings
Applicant contends that Chu and Childs-Henry “intentionally, recklessly, and in bad faith
consumed and destroyed available evidence.” He notes the Bromwich Report’s criticism of Chu for
effectively consuming the entire sample and of Childs-Henry for discarding the original swabs.
The habeas court recommends that relief be granted on this ground under Arizona v.
Youngblood71 and Illinois v. Fisher.72 Under those cases, the court concludes that a defendant is
entitled to relief if it is shown that the State acted in bad faith in destroying potentially useful
evidence.
The habeas court concludes that the DNA material in this case constituted “potentially useful
evidence” because the DNA test results might have exonerated applicant. Citing Professors Dix and
Dawson, the court says that showing bad faith requires establishing that “law enforcement officials
69
Id. (introductory comment to Recommendation 3.3).
70
Ex parte Chabot, 300 S.W.3d 768, 772 (Tex. Crim. App. 2009).
71
488 U.S. 51 (1988).
72
540 U.S. 544 (2004).
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were actually aware their action or inaction would result in the loss of what they recognized would
be evidence.”73 Under this standard, the court concludes that the lab workers acted in bad faith.
In support of its conclusion, the habeas court cites three items. First, it contends that Article
38.39 of the Texas Code of Criminal Procedure (requiring the preservation of evidence containing
biological material) had already been enacted and was to take effect on April 5, 2001. The court
further states that “it does not make sense, nor does this Court find it to be credible, that employees
of the Houston Police Department Crime Lab would have been unaware of the statute which was
about to take effect, or that they would not have fully realized that the evidence that they were testing
precisely fit what the statute so obviously sought to preserve.” Second, the court points to FBI and
NRC standards that call for retaining a portion of DNA evidence for re-testing, if possible. Finally,
the court states that it was the “customary practice in the criminal district courts of Harris County
. . . that where there is danger of evidence being consumed in testing . . . for a forensic lab to alert
the prosecutor, who may then alert both the defense counsel and the trial court . . . and obtain an
acknowledgment signed by all parties that consumption of the evidence may occur.” As an example,
the court cites “Appendix 4” as showing how this practice was followed by the Orchid Cellmark Lab
during the instant habeas proceedings.74
We asked the parties to submit briefs concerning whether the DNA samples that were
destroyed constituted “potentially useful evidence” under Youngblood. Relying upon Fisher,
73
See George E. Dix and Robert O. Dawson, 42 TEXAS PRACTICE , 2nd ed., §22.63 (2001).
74
The document in that appendix appears to be a draft that was signed by the prosecutor but
not by defense counsel or the court. It is dated “2004,” it does not specify most of the items that were
tested, and it does not specify who would conduct the testing. As discussed above, in 2005, the
parties signed an authorization for Orchid Cellmark to conduct testing.
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applicant contends that the Supreme Court’s definition of “potentially useful evidence” is broad,
applying even if the potential for exculpatory results is low.75 Applicant also argues that further
testing has provided results that are actually exculpatory, showing that the link between applicant
and the DNA material is “almost non-existent.” He supports this argument with the following
claims: (1) that assistant district attorney Munier concluded that the statistical link to applicant in
this case “wouldn’t be very much,” (2) that ReliaGene’s report observed that only two out of
fourteen loci revealed a link to applicant and the two matches were “weakly detected,” (3) that
Orchid Cellmark concluded that the DNA profile obtained from “the epithelial fraction of the tubes
of DNA extract” was a mixture of DNA from the victim and an unknown individual, and (4) that
Orchid Cellmark’s statistical analysis was that 1 in 255 individuals could be the source of the DNA
profile developed from the epithelial fraction. Applicant asks, “[I]f accurate testing was not possible
at ReliaGene due to the diminished state of the DNA extract, then how were they able to obtain a
full DNA profile from such evidence?” Applicant contends that the State cannot dismiss the re-
testing as unreliable with respect to applicant when it produced a full genetic profile for the victim.
The State contends that the DNA samples were not potentially useful because subsequent
testing results (by both ReliaGene and Orchid Cellmark) include applicant as a possible donor of the
genetic material. The State claims that the difference between Chu’s results and the results obtained
in re-testing involved the number of alleles detected and could be readily explained by the
quantitative difference in the samples compared. Consequently, the State contends, the evidence
consumed by the HPD Crime Lab was not potentially useful because further testing of the remnants
75
See 540 U.S. at 548 (referring to substance as “potentially useful evidence” where the
claim was that “a fifth test” might produce exculpatory results) (emphasis in original).
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of that evidence continues to affirm applicant’s guilt.
Some of the habeas court’s findings may be relevant to whether the DNA samples were
potentially useful. In finding 37, the court recites Orchid Cellmark’s conclusion that applicant
“cannot be excluded as a possible donor of the minor alleles in the mixture,” as “meaning that, as
with ReliaGene’s testing, there was only a weak link to Napper in the epithelial fraction of one of
the face/cheek swabs.” In finding 38, the habeas court recites Orchid Cellmark’s conclusion that the
“DNA profile obtained from the epithelial fraction of the tubes of DNA extract . . . is a mixture,
including the victim and an unknown individual” as meaning that “the link to Napper was so weak
that the other contributor to the epithelial fraction was labeled ‘an unknown individual.’”
2. Preservation of Error
Ordinarily, a defendant is barred from raising a claim on habeas corpus if he could have
raised the claim at trial and on direct appeal, but did not.76 Although applicant was aware that the
DNA material had been consumed during testing, he raised no Youngblood complaint at trial or on
direct appeal. Trial counsel Greenlee did not know that consuming the entire DNA sample was
improper, but that fact could have been discovered at the time of trial. However, some facts that are
potentially relevant to the claim arose after trial: public discovery of the extensive problems with the
HPD Crime Lab and the subsequent DNA testing conducted by ReliaGene and Orchid Cellmark.
In his habeas application, applicant also claims that Greenlee’s failure to move for suppression of
the DNA test results on the basis of HPD’s consumption of the DNA sample constituted ineffective
assistance of counsel. Under these circumstances, we find it appropriate to address the merits of
applicant’s Youngblood claim without first addressing the question of procedural default.
76
Ex parte Pena, 71 S.W.3d 336, 337-38 (Tex. Crim. App. 2002).
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3. The Law
a. Supreme Court Cases
In Youngblood, the defendant complained about the State of Arizona’s failure to preserve
semen samples from the victim’s body and clothing.77 Noting that the State’s good or bad faith is
irrelevant when the State fails to disclose exculpatory evidence, the Supreme Court nevertheless held
that a different standard applies “when we deal with the failure of the State to preserve evidentiary
material of which no more can be said than that it could have been subjected to tests, the results of
which might have exonerated the defendant.”78 Quoting California v. Trombetta,79 the Supreme
Court concluded that different treatment was justified in part because “[w]henever potentially
exculpatory evidence is permanently lost, courts face the treacherous task of divining the import of
materials whose contents are unknown and, very often, disputed.”80 Consequently, when the
destruction of potentially useful evidence is at issue, the defendant must show “bad faith” on the part
of the State in destroying the evidence in order to show a violation of due process.81 This rule
confines the police’s obligation to preserve evidence “to that class of cases where the interests of
justice most clearly require it, i.e., those cases in which the police themselves by their conduct
indicate that the evidence could form a basis for exonerating the defendant.”82 Turning to the facts
77
448 U.S. at 52.
78
Id. at 57.
79
467 U.S. 479 (1984).
80
Youngblood, 488 U.S. at 57-58 (quoting Trombetta, 467 U.S. at 486).
81
Id. at 58.
82
Id.
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of the case, the Supreme Court explained that the “failure of the police to refrigerate the clothing and
to perform tests on the semen samples can at worst be described as negligent.”83 Because there was
no suggestion of bad faith on the part of the police, there was no violation of due process.84
The Supreme Court noted two distinctions between the case before it and Trombetta: “In the
present case, the likelihood that the preserved materials would have enabled the defendant to
exonerate himself appears to be greater than it was in Trombetta, but here, unlike in Trombetta, the
State did not attempt to make any use of the materials in its own case in chief.”85 In a footnote to
that sentence, the Supreme Court extensively discussed the requirements of Trombetta and then
stated: “The presence or absence of bad faith by the police for purposes of the Due Process Clause
must necessarily turn on the police’s knowledge of the exculpatory value of the evidence at the time
it was lost or destroyed.”86
In Trombetta, the defendant complained about the failure to preserve breath samples for re-
testing by the defense after the samples were obtained by a breathalyzer machine and produced
inculpatory results.87 The Supreme Court rejected the defendant’s claim for three reasons. First, the
authorities did not destroy the breath samples “in a calculated effort to circumvent the disclosure
requirements established by Brady v. Maryland88 and its progeny” but acted “in good faith and in
83
Id.
84
Id.
85
Id. at 56.
86
Id. at 56 n.*.
87
See 467 U.S. at 487-90.
88
373 U.S. 83 (1963).
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accord with the normal practice.”89 The Court observed that the record contained no allegation “of
official animus towards the respondents or a conscious effort to suppress exculpatory evidence.”90
Second, the evidence did not have exculpatory value that was apparent before it was destroyed.91
“Although preservation of breath samples might conceivably have contributed to respondents’
defenses, a dispassionate review of the Intoxilyzer and the California testing procedures can only
lead one to conclude that the chances are extremely low that preserved samples would have been
exculpatory.”92 Third, the evidence was not of “such a nature that the defendant would have been
unable to obtain comparable evidence by other reasonably available means.”93 There were a limited
number of ways in which the machine could malfunction—faulty calibration, extraneous interference
with machine measurements, and operator error—and the defendants could raise these issues on
cross-examination after examining the machine and the weekly calibration results.94
After Youngblood, the Supreme Court decided Fisher, which involved a complaint about the
destruction of a substance alleged to be cocaine.95 Four tests by a police crime lab confirmed that
the substance was cocaine.96 The Court held that the substance “was plainly the sort of ‘potentially
89
Trombetta, 467 U.S. at 488.
90
Id.
91
Id. at 489.
92
Id.
93
Id.
94
Id. at 490.
95
Fisher, 540 U.S. at 545.
96
Id.
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useful evidence’ referred to in Youngblood, not the material exculpatory evidence addressed in
Brady” because “[a]t most, respondent could hope that, had the evidence been preserved, a fifth test
conducted on the substance would have exonerated him.”97 The defendant did not show bad faith
because “police testing indicated that the chemical makeup of the substance inculpated, not
exculpated, respondent” and “it is undisputed that police acted in ‘good faith and in accord with their
normal practice.’”98 Reversing an Illinois appellate court, the Supreme Court held that the existence
of a pending discovery request does not eliminate the necessity of showing bad faith.99
b. “Potentially Useful Evidence”
Applicant’s reliance on Fisher for the proposition that the term “potentially useful evidence”
is broad is somewhat misplaced. None of the Supreme Court’s cases, including Fisher, purport to
provide a stand-alone definition of the term “potentially useful evidence.” Rather, the Court’s cases
appear to contrast evidence that is at best “potentially useful” with “material, exculpatory” evidence
under Brady. When evidence is at best “potentially useful,” then the defendant must at least show
“bad faith.” That does not really answer the question of when the potential exculpatory value of
evidence is so attenuated that even a showing of bad faith will not afford a basis for relief.
Professors Dix and Dawson suggest that the “possibility” of exculpation is not enough—that
the defendant “must apparently show at least a substantial or considerable likelihood the evidence,
if preserved, would have tended to show his innocence.”100 A few isolated cases from other
97
Id. at 548 (emphasis in original).
98
Id.
99
Id.
100
Dix and Dawson, §22.64.
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jurisdictions have held that evidence is not even potentially useful when the potential exculpatory
value of the evidence is “mere speculation,”101 when the allegedly exculpatory fact was legally
irrelevant to the crime charged,102 when the allegedly exculpatory fact would not really provide an
exculpatory inference,103 when the exculpatory relevance of the evidence was not shown,104 when
the chance that the evidence would exonerate the defendant was “virtually nil,”105 or when other
evidence conclusively established that testing would not yield an exculpatory result.106
c. “Bad Faith”
More effort has been expended trying to determine the meaning of “bad faith.” As Dix and
Dawson acknowledge, “Precisely what constitutes ‘bad faith’ is not clear.”107 The suggestion by the
101
United States v. Jobson, 102 F.3d 214, 219 (6th Cir. 1996) (no evidence that destroyed
dispatch tape had contained any exculpatory information); Grady v. State, 2008 WY 144, P33, 197
P.3d 722, 732-33 (2008).
102
United States v. Williams, 577 F.3d 878, 882-83 (8th Cir. 2009) (firearm did not have to
be operational to support conviction under firearm charge, so evidence that firearm may not have
been operational was not potentially exculpatory).
103
United States v. Smith, 534 F.3d 1211, 1224 (10th Cir. 2008) (serial numbers would not
have proven defendant’s innocence but shown only “that perhaps she handled her money differently
than a typical drug dealer”); Torres v. Mullin, 317 F.3d 1145, 1161 (10th Cir. 2003) (proving
fingerprint did not belong to defendant had no exculpatory value because fingerprint could have been
made by a number of people who lived in or visited the home).
104
Williams v. United States, 881 A.2d 557, 565 (D.C. App. 2005) (defendant did not
demonstrate how revolver owned by drug rival would have been exculpatory).
105
Wenzel v. State, 306 Ark. 527, 533, 815 S.W.2d 938, 941 (1991) (DNA testing by the FBI
of vaginal swabs containing semen).
106
State v. Dulaney, 493 N.W.2d 787, 791 (Iowa 1992) (plasma sample showed alcohol
concentration consistent with blood sample, so no valid claim that further testing of blood sample
could yield exculpatory results).
107
Dix and Dawson, §22.63.
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habeas court in this case that the test for bad faith is whether the officials “were actually aware their
action . . . would result in the loss of . . . evidence” miscomprehends Professors Dix and Dawson’s
thoughtful discussion. Dix and Dawson state that a defendant “must apparently prove at least that
law enforcement officials were actually aware their action or inaction would result in the loss of what
they recognized would be evidence.”108 They do not say that such awareness is necessarily enough.
If awareness that evidence would be destroyed were enough, by itself, to constitute bad faith, then
officials could never conduct a test that would consume all of the evidence, even if doing so were
necessary to achieve probative results. Dix and Dawson suggest that Trombetta articulates at least
two situations in which bad faith would be shown: when the prosecution acts with “official animus”
toward the defendants or acts with “a conscious effort to suppress exculpatory evidence.”109
A review of federal circuit courts and state courts of last resort in other jurisdictions reveals
that they generally require a showing along those two lines. Some courts have expressly adopted the
Trombetta formulation as the definitive test of bad faith.110 Other courts have focused on one or both
of the Trombetta situations, characterizing bad faith as involving improper motivation or malice,111
108
Id.
109
Id.
110
Jobson, 102 F.3d at 218; United States v. Chaparro-Alcantara, 226 F.3d 616, 624 (7th Cir.
2000); Stuart v. State, 127 Idaho 806, 816, 907 P.2d 783, 793 (1995); State v. Lindsey, 543 So. 2d
886, 891 (La. 1989).
111
United States v. Garza, 435 F.3d 73, 75 (1st Cir. 2006) (Defendant must show
“independent evidence that the [government] was somehow improperly motivated.”); United States
v. Thompson, 130 F.3d 676, 686 n.17 (5th Cir. 1997) (no demonstration of malice in tape’s
destruction); Gausvik v. Perez, 345 F.3d 813, 818 (9th Cir. 2003) (The defendant must “put forward
specific, nonconclusory factual allegations that establish improper motive.”); Collins v.
Commonwealth, 951 S.W.2d 569, 573 (Ky. 1997) (Defendant “cannot substantiate any ill motive or
intention on the part of the Commonwealth in failing to collect the towel.”); Murray v. State, 849
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or defining bad faith as an intent to deprive the defendant of access to (exculpatory or potentially
exculpatory) evidence.112 Various jurisdictions have also indicated that bad faith is not established
by a mere showing that the government agent was grossly negligent,113 engaged in intentional
So. 2d 1281, 1286 (Miss. 2003) (quoting Black’s Law Dictionary: “bad faith” means the “conscious
doing of a wrong because of dishonest purpose or moral obliquity; it is different from the negative
idea of negligence in that it contemplates a state of mind affirmatively operating with furtive design
or ill will”).
112
Featherstone v. Estelle, 948 F.2d 1497, 1505 (9th Cir. 1991) (finding that destruction of
lineup photo was not in bad faith because “it was not deliberately done to deprive petitioner of access
to relevant evidence”); People v. Seaton, 26 Cal. 4th 598, 656-57, 28 P.3d 175, 209 (2001) (no
showing that police believed the unpreserved blood evidence would have exculpated defendant or
“that their purpose was to deny him the opportunity to use the evidence to exculpate himself”);
United States v. Day, 697 A.2d 31, 35-36 (D.C. App. 1997) (“Nothing in the record on appeal hints,
even remotely, that the police destroyed the car so that [defendant] could not examine it, or have it
viewed by an expert.”); Dufour v. State, 905 So. 2d 42, 68 (Fla. 2005) (quoting Guzman v. State, 868
So.2d 498, 509 (Fla. 2003): “Under Youngblood, bad faith exists only when police intentionally
destroy evidence they believe would exonerate a defendant.”); Guzman, 868 So. 2d at 510 (no
showing that “any State actor intentionally deprived [defendant] of evidence which the State actor
believed to be exculpatory”); Dulaney, 493 N.W.2d at 791 (no evidence State “intentionally
destroyed” blood sample “in an effort to deprive [defendant] of evidence”); State v. Berkley, 567
A.2d 915, 918 n.3 (Me. 1989) (collusion designed to prevent independent testing would establish
bad faith); State v. Bailey, 677 N.W.2d 380, 393 (Minn. 2004) (“no suggestion that the State
destroyed or released items ‘to avoid discovery of evidence beneficial to the defense’”); Murray, 849
So. 2d at 1286 (bad faith where “destruction was intentional and indicates fraud and a desire to
suppress the truth”); State v. Hernandez, 2005 ND 214, P31, 707 N.W.2d 449, 461 (2005) (defining
“bad faith” to mean “the evidence was deliberately destroyed by or at the direction of a State agent
who intended to thwart and to deprive the defense of information.”); State v. Bousum, 2003 SD 58,
P16, 663 N.W.2d 257, 263 (2003) (adopting North Dakota’s definition of “bad faith”); Drury v.
State, 2008 WY 130, P19, 194 P.3d 1017, 1023 (2008) (In determining bad faith, “we must take into
account the State’s knowledge of the potential exculpatory nature of the evidence.”).
The Supreme Court of North Dakota has indicated that, although not constituting “bad faith,”
if there were shown to be a “systemic disregard” of the “State’s duty to zealously protect evidence
in its possession” so that “haphazard handling and destruction of evidence . . . is commonplace,”
then “prophylactic measures, such as an adverse-inference instruction” may be justified. City of
Bismarck v. Holden, 522 N.W.2d 471, 475 (N.D. 1994) (ellipsis in original).
113
Garza, 435 F.3d at 75 (citing United States v. Femia, 9 F.3d 990, 995 (1st Cir. 1993));
United States v. Branch, 537 F.3d 582, 590 (6th Cir. 2008).
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conduct,114 did not follow proper procedures,115 exercised poor judgment,116 or performed sloppy
work.117 Bad faith was held to be absent when government agents did not suspect that the evidence
they destroyed was or might have been exculpatory,118 when destruction of the evidence was due to
lack of training119 or ignorance of a recently passed law,120 when the government agent believed his
114
Garza, 435 F.3d at 75 (“While the evidence was destroyed as a result of Quinn’s
conscious and deliberate decision, intentionality is not enough to show bad faith.”); Bailey, 677
N.W.2d at 393 (“destruction of the evidence was ‘intentional’” but was not in bad faith).
115
Garza, 435 F.3d at 76 (no bad faith even though “it was not the ‘normal’ procedure to
destroy evidence in cases that were still open”); United States v. Deaner, 1 F.3d 192, 200 (3d Cir.
1993) (“[W]e have not held that an improper procedure in and of itself implies bad faith. While it
may permit such an inference, it does not syllogistically imply the presence of bad faith as a matter
of deductive logic.”); Guzman, 868 So. 2d at 509 (“bad faith does not turn on whether law
enforcement officers followed established procedures”); State v. Lamae, 268 Kan. 544, 551, 998
P.2d 106, 111 (2000) (failure of the DEA to follow its guidelines, though troubling, not enough to
show bad faith).
116
Lovitt v. True, 403 F.3d 171, 187 (4th Cir. 2005) (court clerk exercised “serious error in
judgment” in destroying evidence); Murray, 849 So. 2d at 1286 (bad faith is “not simply bad
judgment or negligence”); State v. Hanna, 123 Wn.2d 704, 714, 871 P.2d 135, 140 (1994) (failure
to preserve and retain evidence may have reflected “poor judgment” but was based on a reasonable
belief that the evidence would not be relevant to either party).
117
Carreno, 363 F.3d at 888 (Sloppy work is not tantamount to bad faith.).
118
United States v. Stevens, 935 F.2d 1380, 1388 (3d Cir. 1991) (test that destroyed the
evidence “might have inculpated or exculpated” the defendant but “no one knew,” thus nothing
suggested government agents “suspected that the saliva/semen sample . . . could form a basis for
exonerating” the defendant); Jobson, 102 F.3d at 218 (“no evidence that anyone in the Detroit Police
Department or the U.S. Attorney’s office suspected that the tape was exculpatory”); Carreno, 363
F.3d at 888 (“no evidence government knew, or even suspected, that” deported witness “would
testify in [the defendant’s] favor”).
119
United States v. Ramos, 27 F.3d 65, 71-72 (3d Cir. 1994) (due to inadequate training,
government agent affiliated with the DEA believed he was following office procedure in destroying
notes); United States v. Houston, 548 F.3d 1151, 1155 (8th Cir. 2008) (officers not trained to
download video evidence).
120
Lovitt, 403 F.3d at 187 n.3; Lovitt v. Warden, 266 Va. 216, 242, 585 S.E.2d 801, 816
(2003).
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tactics were lawful,121 or when the evidence was destroyed before the government agent was notified
that it might have exculpatory value, before the defendant was a suspect, or before the defendant
expressed a desire to have the evidence preserved.122 Knowing the evidence is obviously relevant
to, or even determinative of, guilt or innocence has been held to be insufficient to show bad faith.123
The government’s ability to preserve the evidence has also been held not to be dispositive.124
But courts have found bad faith where government agents hid or concealed the evidence until
it was destroyed,125 destroyed the evidence after being expressly notified by the defense of its
121
Gausvik, 345 F.3d at 818.
122
United States v. Beckstead, 500 F.3d 1154, 1159-60 (10th Cir. 2007) (Government
destroyed the evidence before the defendant had opportunity to notify the officials that the alleged
drug lab and its chemicals were potentially exculpatory and it was unlikely that further testing of the
lab would produce exculpatory results); United States v. Bohl, 25 F.3d 904, 910 (10th Cir. 1994)
(discussing United States v. Richard, 969 F.2d 849 (10th Cir. 1992) where government destroyed
boxes of marijuana and the defendant did not show that the government knew he wanted them
preserved for trial); Sharp v. State, 286 Ga. 799, 802, 692 S.E.2d 325, 329 (2010) (State unaware
of exculpatory value of condom that was lost “before [defendant] was arrested or identified as a
suspect”); State v. Eason, 133 N.H. 335, 342, 577 A.2d 1203, 1207 (1990) (when police destroyed
what they thought was an animal carcass, they did not know victim had been murdered, much less
that the defendant murdered him).
123
Monzo v. Edwards, 281 F.3d 568, 580 (6th Cir. 2002) (“It is not enough that the police
knew that semen samples could be determinative of guilt or innocence if preserved or tested.”); State
v. Osakalumi, 194 W. Va. 758, 765, 461 S.E.2d 504, 511 (1995) (even though police acted
negligently in disposing of a couch [with a bullet hole] that “was so obviously a part of a pending
police investigation,” court could not say their actions were motivated by bad faith).
124
Beckstead, 500 F.3d at 1161.
125
Yarris v. County of Delaware, 465 F.3d 129, 133, 142-43 (3d Cir. 2006) (plaintiff’s
petition alleged that detectives refused a request to deliver slides to coroner but kept them in a paper
bag under a desk until the biological material rotted and became useless for DNA testing); Stuart,
127 Idaho at 816, 907 P.2d at 793 (“There is a clear recognition that concealment is one method of
proving that the exculpatory value of the evidence was known to the government prior to its
destruction.” Prosecution concealed the existence of a tape recording of a phone call that would
have led to phone logs that were later destroyed.).
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potential exculpatory value,126 destroyed the evidence after a dismissal of the case (and then re-
instituted proceedings),127 or where government agents refused to show up in court for an inquiry into
their good or bad faith.128 The Tenth Circuit has formulated a five-factor test that considers whether:
(1) the government received explicit notice of the evidence’s potentially exculpatory nature, (2) the
claim was backed up with objective, independent evidence rather than being conclusory, (3) the
evidence was in the government’s control at the time of notice, (4) the evidence was central to the
case, and (5) there is any innocent explanation for the evidence’s destruction.129
Several courts have explained Youngblood’s “bad faith” requirement as substituting for
Brady’s requirement that evidence be exculpatory.130 Essentially, an inference that the evidence was
probably exculpatory can be drawn from a government agent’s bad faith conduct.131
126
United States v. Cooper, 983 F.2d 928, 931 (9th Cir. 1993) (“The equipment’s value as
potentially exculpatory evidence was repeatedly suggested to government agents.” Parole officer
and alleged drug lab’s landlord reported lab’s claims of legitimacy during pre-seizure investigation.
Law enforcement agents knew lab was ostensibly configured to make a legal substance rather than
methamphetamine before destroying the lab’s equipment.); Bohl, 25 F.3d at 911 (“[G]overnment was
explicitly placed on notice that” defendants “believed the tower legs were potentially exculpatory”
before government destroyed the evidence. And assertion of potentially exculpatory value was not
merely conclusory but was backed up by objective, independent evidence.).
127
State v. Jackson, 302 S.C. 313, 316, 396 S.E.2d 101, 102 (1990).
128
State v. McGrone, 798 So. 2d 519, 523 (Miss. 2001) (defense counsel subpoenaed police
officers for two separate hearings, but the officers never appeared).
129
Smith, 534 F.3d at 1224-25.
130
State v. Youngblood, 173 Ariz. 502, 506, 844 P.2d 1152, 1156 (1993); State v. Craig, 490
N.W.2d 795, 797 (Iowa 1992). See also Wenzel, 306 Ark. at 533, 815 S.W.2d at 941 (quoting
Youngblood’s statement that its standard was directed to “those cases in which the police themselves
by their conduct indicate that the evidence could form a basis for exonerating the defendant”).
131
See authorities cited in previous footnote.
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4. The Present Case
a. Potential Usefulness of the Evidence
The habeas court and the parties have arrived at some erroneous conclusions because they
have treated the DNA evidence as a monolithic whole, instead of considering each of the four DNA
samples separately. The habeas court made this mistake when it interpreted Orchid Cellmark’s
reference to an “unknown individual” as an indication that the link between applicant and the DNA
evidence was weak. Although ReliaGene was able to obtain results from only one of the epithelial
samples, Orchid Cellmark was able to obtain results from both epithelial samples. For both samples,
Orchid Cellmark detected a primary DNA profile that matched the victim. One of the samples also
contained some minor alleles matching applicant’s profile. The other epithelial sample contained
minor alleles that did not match either the victim or applicant. These alleles belonged to another
individual (or individuals), whose identity was, of course, “unknown.” Subsequent testing was done
to attempt to rule in or rule out individuals who were involved in DNA testing as a possible source
of contamination. Notably, Orchid Cellmark was able to rule out the persons from HPD who were
originally involved in collecting and testing the material: Verbitskey, Hilleman, Childs-Henry, and
Chu did not contribute the “unknown person’s” DNA.
Although an unknown person’s DNA was detected in one of the epithelial samples, that fact
does not have any tendency to exculpate applicant. Because the epithelial samples are composed of
cells that are easily shed, such as skin cells, the DNA in question did not necessarily come from the
perpetrator—it could have come from anyone who had recent contact with the victim. It is also
possible that the extraneous alleles are the result of contamination, or the “allele drop-in” (referred
to by Pineda) that might occur as a result of repeated testing. Had the sperm samples yielded an
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“unknown person’s” DNA, that fact might have been significant, but that is not what happened.
The same fallacy of treating the DNA results as a monolithic whole also underlies the State’s
and applicant’s competing positions regarding why the outside labs’ test results differ from those
obtained by HPD. Although the State contends that the difference in results is due to the quantitative
decline of the sample, applicant questions how that can be, when the outside labs were able to obtain
a complete profile matching the victim. The answer to applicant’s question is simple once the
samples are treated separately: The epithelial samples have consistently matched the victim
throughout all of the testing but have never provided strong results with respect to the perpetrator.
Chu’s STR testing detected a single allele in one of the epithelial samples that was “unique” to
applicant’s profile (i.e. not possessed by the victim). Chu’s testing of the other epithelial sample
revealed no unique alleles. The one unique allele that was detected was one of nine unique alleles
possessed by applicant that was subject to testing.
The outside labs actually detected a greater number of alleles unique to applicant’s profile.
ReliaGene detected two of twelve tested-for unique alleles, while Orchid Cellmark detected four of
fourteen tested-for unique alleles. Although the habeas record does not contain a statistical
calculation for the random match probability of the single unique epithelial allele detected by Chu,
it seems likely that the four of fourteen unique alleles detected by Orchid Cellmark yields a stronger
link to applicant than the one of nine unique alleles detected in HPD’s testing.
Even if that one unique allele detected by Chu somehow carried special statistical
significance that provided a stronger link to applicant than the four unique alleles detected by Orchid
Cellmark (and the two detected by ReliaGene), that would not make the Orchid Cellmark (or
ReliaGene) results exculpatory. ReliaGene’s and Orchid Cellmark’s failure to detect the unique
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allele detected in Chu’s testing is easily explained, as the State points out, by the quantitative decline
of the sample. Although Chu had access to a liquid extract for his testing, ReliaGene and Orchid
Cellmark were forced to use a buffer solution to re-suspend possible trace amounts of DNA attached
to the walls of seemingly empty tubes.
Because the epithelial DNA was originally derived from cells from the skin of the victim’s
face, one would expect the victim’s cells in the epithelial sample to be, by far, the most abundant,
explaining the outside labs’ ability to obtain a full DNA profile matching the victim, even from the
trace amounts of DNA. Chu’s ability to detect only one foreign allele suggests that the epithelial
samples contained only a small amount of DNA extraneous to the victim. So it is not surprising that
this single foreign allele would be lost after the massive decline in the quantity of the sample.
Likewise, Orchid Cellmark’s failure to detect one of the alleles detected by ReliaGene could have
resulted from the further decline in the sample caused by the second round of tests.
If the testing of the three labs is considered together, a stronger link to applicant is
established. Each lab detected at least one unique allele that was not detected by the others. Such
results could be explained by the loss of some alleles caused by a quantitative decline in the sample,
combined with the detection of additional alleles through progressively more sensitive techniques
(or perhaps by chance). If all of the detected alleles that correspond to the tested loci are considered
without regard to which lab detected them, then there were six alleles unique to applicant out of
fourteen that he possessed that were subjected to tests. We do not know if a statistical calculation
could be done that incorporated all three labs’ results. We simply point out that the discovery of
diverse alleles unique to applicant by the three labs tends to inculpate applicant. So, the further
testing of the epithelial samples seems to have produced a stronger inculpatory inference than the
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epithelial samples originally provided.
It is nevertheless true that the epithelial results do not approach the strength of Chu’s results
for the sperm samples. The outside labs were not able to obtain any results for the sperm samples.
The failure to obtain results is not exculpatory in itself; it might simply mean that the samples had
degraded to the point where re-testing could not produce any results. But with respect to the strength
of the test results, the parties and the habeas court have failed to appreciate the differences between
the sperm samples and the epithelial samples. It is true that ReliaGene and Orchid Cellmark
produced results that are much weaker statistically than some of the results obtained by Chu.
Applicant sees this difference in the strength of the results as indicating that the DNA evidence
shows the link to applicant to be less substantial than previously thought, while the State chalks up
this difference to the loss of alleles caused by a quantitative decline in the sample. Neither position
is correct. The difference in the statistical strength of the results is a consequence of the fact that
different samples are at issue. Chu relied upon the sperm samples at trial, and Bromwich’s statistical
calculation of 1 in 232,000 was undoubtedly based upon the sperm samples. The results obtained
by the outside labs were for the inferior epithelial samples. For the epithelial samples, it appears that
the outside labs obtained stronger results than Chu obtained, and discovered additional alleles
possessed by applicant that were not previously discovered in the HPD testing. Although we do not
entirely agree with the State’s reasoning, we agree that the subsequent test results tend to confirm
applicant’s guilt.
In assessing whether the consumed DNA material constituted “potentially useful” evidence,
we consider the likelihood that a defense expert would have produced exculpatory results if given
the opportunity to test sperm and epithelial portions of the original liquid DNA extract. We conclude
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that the likelihood of an exculpatory result is small, though not zero. Although Bromwich criticized
Childs-Henry’s lack of documentation and would have preferred that she run more definitive tests
for semen, he did not suggest that she obtained an incorrect result, or that any flaw existed in her
analysis that would have undermined the validity of Chu’s results. As we have explained, Bromwich
found that Chu had “developed clean, interpretable profiles” that were “good quality and clear results
from potentially difficult forensic evidence samples.” Bromwich calculated a 1 in 232,000 random
match probability for the African-American population that was “relatively strong” given the nature
of the sample. We also note that it is virtually impossible for applicant’s DNA to have contaminated
the original test results because the swab DNA was typed before applicant was even a suspect.
Nevertheless, in a city the size of Houston, a 1 in 232,000 probability raises the possibility
that a handful of people might perhaps be included in the DNA results. A defendant in applicant’s
position would hope that testing by a defense expert would detect additional alleles inconsistent with
the defendant’s DNA profile. And given the now-tarnished reputation of the HPD Crime Lab, a
defendant might even hope that a defense expert would obtain dramatically different results,
revealing some unknown malfeasance by the lab.
The re-testing by ReliaGene and Orchid Cellmark tend to undercut any such hopes, as the
re-testing has produced results consistent with applicant’s DNA. But, while contamination of the
original HPD test results with applicant’s DNA is a virtual impossibility, it is possible that
contamination could have occurred later, in time to skew the re-testing results. Dr. Johnson believed
that to be a possibility, Orchid Cellmark’s “unknown person” result for one of the epithelial samples
may be an example of contamination, and the HPD Crime Lab’s act of forwarding an incorrect
reference sample to ReliaGene hardly inspires confidence. The possibility of contamination may
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also be increased somewhat by the fact that the tubes were seemingly empty, with relevant Crime
Lab personnel believing that the evidence had been consumed, so the HPD Crime Lab may not have
had as much incentive to maintain the integrity of the evidence.
Given the paucity of authority and the brevity of the pronouncements regarding whether
evidence is even “potentially useful,” we are not certain whether an inquiry into potential usefulness
would include looking at other evidence at trial tending to show that the defendant was guilty and,
therefore, that DNA testing by a defense expert would not likely yield exculpatory results. The
background portion of this opinion outlines the substantial, persuasive evidence of applicant’s guilt
aside from the DNA test results, and we will discuss this evidence in connection with the ineffective
assistance of counsel claim later in this opinion. This inculpatory evidence would further support
a conclusion that the likelihood of exculpatory results from defense DNA testing was slim.
Nevertheless, we refrain from deciding whether the consumed DNA evidence in this case
meets a threshold showing of potential usefulness. That the likelihood of exculpatory results was
slim is a factor that may be taken into account when assessing the existence or absence of bad faith.
Where exculpatory results were unlikely, an inference can be drawn that the DNA analyst was
probably not acting with the intent to deprive the defendant of exculpatory evidence when he
destroyed the sample. A threshold showing of potential usefulness may be a worthy concept to apply
in a future case; we simply decide here to move on to the question of bad faith.
b. “Bad Faith”
The habeas court’s finding of “bad faith” is based in part upon what we have already
recognized to be an inaccurate definition. “Bad faith” is more than simply being aware that one’s
action or inaction could result in the loss of something that is recognized to be evidence. As the
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cases we have discussed show, bad faith entails some sort of improper motive, such as personal
animus against the defendant or a desire to prevent the defendant from obtaining evidence that might
be useful. Bad faith cannot be established by showing simply that the analyst destroyed the evidence
without thought, or did so because that was the common practice, or did so because the analyst
believed unreasonably that he was following the proper procedure.
No evidence in this case suggests that Childs-Henry or Chu acted in bad faith. Chu
specifically stated in his affidavit that his consumption of the evidence was not the result of a desire
to prevent additional testing. The habeas court was not required to believe that affidavit, but to find
bad faith, a finder of fact must do more than simply disbelieve proffered evidence of good faith:
There must be some evidence from which an inference of bad faith can be drawn. There is no such
evidence here. Neither analyst has been shown to have any animus against applicant—applicant was
not even a suspect at the time testing was conducted. Nor is there any evidence that the analysts
were aware of any impropriety in their own conduct, such as a history of falsifying test results.132
The Bromwich Report explained that the failures in the HPD Crime Lab were the result of a lack of
training and of the isolation of the DNA section of the Crime Lab from the forensic community, not
the actions of “rogue analysts.”
The habeas court gave three reasons for finding bad faith. First, it concluded that the analysts
must have been aware of a law that was enacted but not yet effective. But the history of Article
38.39 reveals that the statute was not enacted until after the HPD Crime Lab’s DNA testing in this
132
Cf. Boyle v. Johnson, 93 F.3d 180, 185-87 (5th Cir. 1996) (referring to accusations that
Ralph Erdmann had falsified autopsies and committed perjury in prior cases); State v. Clifford, 328
Mont. 300, 321 n.4, 121 P.3d 489, 503 n.4 (2005) (referring to Erdmann and Fred Zain as examples
of experts who misstated, altered, or falsified results).
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case. The legislation was originally introduced on January 17, 2001.133 The bill passed the Senate
on February 19, 2001, and passed the House in an amended version on March 22, 2001.134 After the
bill was sent to a conference committee, it passed both houses of the Legislature on April 3, 2001.135
The bill was signed by the Governor on April 5, 2001, and made effective immediately.136 As we
explained earlier, the DNA from the swab samples was typed on February 20, 2001. We find no
basis for the habeas court’s conclusion that the analysts were aware of this impending legislation.
Regarding the FBI and NRC recommended standards, we agree that the HPD Crime Lab’s
analysts should have been aware of them. But given the lack of training and the isolation of the
crime lab from the forensic community, it is questionable whether the analysts were actually aware
of them. Even if they were, there is no evidence to suggest that they believed that the standards
regarding preservation of a sample would apply in this case.
When Childs-Henry discarded the original swabs, there were redundant samples of DNA.
Although it would have been better to retain the original swabs, the existence of redundant samples
would appear to satisfy the FBI and NRC guidelines.
The evidence is clear that, unlike Childs-Henry, Chu understood that his work would
consume all of the remaining sample. The habeas court cited Chu’s explanation that he had to
consume the sample due to the small amount of DNA, but Chu further testified at trial to conducting
133
Texas Legislature Online History, Bill: SB 3, Legislative Session: 77(R), Council
Document: 77R 1805 GWK-F.
134
Id.
135
Id.
136
Id.
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a cross analysis of the swabs, which could not have occurred unless he tested the material from both
swabs, which in turn would require consuming all of the sample. As the Bromwich Report explains,
Chu made a mistake in testing samples from both swabs. He should have saved one of the epithelial
samples and one of the sperm samples for later testing, which could have been conducted by another
DNA lab. But the Bromwich Report does not suggest that Chu’s failure to do so was anything other
than a mistake.
Finally, though we accept that the habeas court can, from its own recollection, recount
common practices within that court, we cannot accept the habeas court’s conclusion that the HPD
Crime Lab analysts must have been aware of a practice in Harris County regarding any notification
that evidence would be consumed in testing. As an example of this practice, the habeas court cited
the signed acknowledgment arising in the instant habeas proceedings regarding Orchid Cellmark’s
anticipated testing. This document, executed years after the public disclosure of serious problems
with the HPD Crime Lab, is not particularly probative of the practice followed before these
problems came to light. Further, given the trace amounts of DNA and ReliaGene’s use of a buffer
solution, ReliaGene’s testing could have destroyed any remaining sample. At the very least,
Pineda’s affidavit suggests that ReliaGene’s testing could have been expected to degrade the sample
further, resulting in a further loss of alleles for any subsequent testing. Yet, there was no
acknowledgment regarding ReliaGene’s anticipated testing.
Moreover, we see a practical problem with the idea that analysts should have notified the
prosecutor of the possible consumption of the evidence in this case. HPD’s DNA testing was
conducted, and the liquid extract was consumed, before there were any suspects. Whatever the
practice of the Harris County Criminal District Courts, there was no defense attorney for the District
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Attorney’s Office to notify at the time DNA testing was conducted. Given the lack of training
received by the HPD Crime Lab’s DNA analysts, nothing in the record suggests that Childs-Henry
and Chu were aware of any need to notify the District Attorney’s Office before consuming the
sample, especially since no prosecution was pending.
B. Perjury/False Testimony Claim
1. The Parties’ Arguments and the Habeas Court’s Findings
Applicant claims that Chu’s statistical frequency estimate constituted “false testimony” and
“possible perjury” by a prosecution witness in violation of the Fourteenth Amendment to the United
States Constitution. To support his claim, applicant relies upon statements in the Bromwich Report,
a letter from Orchid Cellmark, and statements made by Dr. Johnson in her habeas affidavit. From
the Bromwich Report, applicant cites statements that Chu’s statistical frequency estimate was
“incorrect and misleading” and based upon a practice that was “extremely flawed.” Applicant
characterizes Orchid Cellmark’s statistical frequency estimate of 1 in 255 for African-Americans as
“the true statistical frequency for black persons.” And applicant cites Dr. Johnson’s statements that
Chu’s trial testimony was “completely unsupported scientifically” and “patently false,” as well as
her statement that a mixture of DNA “cannot possibly statistically match only one person.”
Finding in the State’s favor on this claim, the habeas court concluded: “Because the State did
not knowingly use false or perjured testimony at trial, the applicant failed to show that he was denied
Due Process under the Fourteenth Amendment to the United States Constitution.”137
Applicant argues in his brief that “logic suggests that . . . if the DNA found on the evidence
137
The habeas court cited Ex parte Castellano, 863 S.W.3d 476, 480 (Tex. Crim. App.
1993); Mooney v. Holohan, 294 U.S. 103, 112 (1935); and Pyle v. Kansas, 317 U.S. 213, 216 (1942).
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was a mixture of more than one person’s DNA, then it could not have come from only one person.”
Applicant then echoes statements from the Bromwich Report and from Dr. Johnson to the effect that
Chu’s testimony was “contradictory, incorrect, misleading, completely inappropriate . . . , internally
contradictory . . . , unsupported scientifically” and “patently false.” Applicant contends that Chu,
an agent of the State, committed perjury and that the prosecutor unknowingly presented Chu’s false
testimony. Applicant also argues that the testimony was harmful because DNA is powerful evidence
and Chu’s scientific conclusion was dramatic and cast doubt on all of the defensive evidence as well.
Applicant also points to Orchid Cellmark’s 1 in 255 estimate and the Bromwich Report’s 1 in
232,000 estimate as differing from Chu’s claim that no one on Earth but applicant could have
committed the crime.
The State counters that Chu’s testimony was not perjury because no evidence shows that Chu
had an intent to deceive or knew that his statistical calculations were false. Characterizing Chu’s
calculations as “false” or “arguably false,” the State contends that applicant is required to show by
a preponderance of the evidence that the testimony contributed to his conviction or punishment and
that he did not do so. The State discusses a great deal of the evidence introduced at trial and
concludes that “ample evidence,” aside from Chu’s testimony, demonstrates applicant’s guilt.
2. Preservation of Error
Applicant made no complaint about the alleged falsity of Chu’s testimony at trial. There is
at least a question regarding whether applicant has forfeited his complaint as a result.138 This
question is complicated by the fact that the State has a continuing “duty to correct ‘false’ testimony
138
See Estrada v. State, 313 S.W.3d 274, 288 (Tex. Crim. App. 2010).
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whenever it comes to the State’s attention.”139 Without expressing any opinion on the preservation
of error question, we will address the merits.
3. The Law
How we categorize applicant’s claim is crucial to determining the standard of materiality or
harm to be applied.
(a) Knowing use of perjured testimony - direct appeal
A prosecutor who procures a conviction through the knowing use of perjured testimony
violates due process:
[Due process is violated] if a State has contrived a conviction through the pretense
of a trial which in truth is but used as a means of depriving a defendant of liberty
through a deliberate deception of court and jury by the presentation of testimony
known to be perjured. Such a contrivance by a State to procure the conviction and
imprisonment of a defendant is as inconsistent with the rudimentary demands of
justice as is the obtaining of a like result by intimidation.140
A conviction is considered to have been procured through the use of perjured testimony if the
perjured testimony is material. The standard of materiality for a prosecutor’s knowing use of
perjured testimony is the harmless error standard articulated in Chapman v. California:141 the
evidence is material (and harmful) unless it can be determined beyond a reasonable doubt that the
testimony made no contribution to the defendant’s conviction or punishment.142 This most favorable
139
Id. at 31.
140
Mooney, 294 U.S. at 112.
141
386 U.S. 18 (1967).
142
Ex parte Fierro, 934 S.W.2d 370, 372-73 (Tex. Crim. App. 1996).
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materiality or harm standard is available to a defendant on direct appeal.143
(b) Knowing use of perjury - habeas corpus
On habeas corpus, the standard of harm that must be satisfied to obtain relief may be more
burdensome to the defendant than the standard of materiality that must be satisfied to establish a due
process violation.144 In Ex parte Fierro, we determined that, where the habeas applicant “had the
opportunity to discover the basis of his claim in time to advance it at trial or in a motion for new
trial,” he must show “by a preponderance of the evidence that the error contributed to his conviction
or punishment.”145 In other words, we employed the normal standard on habeas review, with the
burden on the applicant.146
Where the habeas applicant lacked such an opportunity, we left open the possibility that he
might “avail himself of the Chapman harmless error standard.”147
(c) Unknowing use of perjured testimony - habeas corpus
We have recently held that due process may be violated by a prosecutor’s unknowing use
of perjured testimony.148 In Ex parte Chabot, the applicant had no prior opportunity to discover the
basis for his claim that DNA evidence proved that the State’s witness had perjured himself.149 In
143
Id. at 373.
144
Id. at 373-74.
145
Id. at 374-75, 374-75 n.10.
146
See id. at 372.
147
Id. at 375 n.10.
148
Chabot, 300 S.W.3d at 771-72; see also Ex parte Carmona, 185 S.W.3d 492 (Tex. Crim.
App. 2006).
149
Chabot, 300 S.W.3d at 770.
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discussing what harm standard to employ under those circumstances, we said, “[W]e see no reason
for subjecting the two types of errors [knowing versus unknowing use of perjured testimony] to
different standards of harm.”150 That is, the preponderance of the evidence standard applies, on
habeas review, to either the knowing or the unknowing use of perjured testimony.
Chabot did not settle the question left open in Fierro regarding whether a more favorable
standard of harm may apply to the knowing use of perjured testimony that the habeas applicant had
no prior opportunity to discover. Rather, Chabot does not appear to have taken into account the
caveat in Fierro, and so Chabot simply stands for the proposition that the preponderance of the
evidence standard is appropriate for the unknowing use of perjured testimony that the habeas
applicant had no prior opportunity to discover.151 It remains unsettled whether a more favorable
standard might be available to a defendant in the “knowing use” context.
(d) False testimony as opposed to perjured testimony
In Estrada v. State, we held on direct appeal that false testimony that was not perjury resulted
in a due process violation when there was “a fair probability that [the] death sentence was based
upon . . . incorrect testimony.”152 In that case, the State’s witness gave inaccurate testimony about
the prison classification system but was not aware of the inaccuracy.153 The jury sent out a note
150
Id. at 771.
151
The Second Circuit has suggested that the unknowing use of perjured testimony violates
due process if a stronger showing of materiality or harm is made than is required by the Chapman
standard. Sanders v. Sullivan, 863 F.2d 218, 225-26 (2d Cir. 1988).
152
313 S.W.3d at 287.
153
Id. at 286-87.
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regarding the very subject matter of this testimony.154 It was later determined that the testimony was
inaccurate, and the State confessed error on direct appeal.155 In sustaining the defendant’s
contention, we held that his complaint was not forfeited because the defendant “could not reasonably
be expected to have known that the testimony was false at the time that it was made.”156
(e) False testimony in the actual innocence context
Finally, we observe that our “actual innocence” jurisprudence could encompass a claim on
habeas that involved newly discovered evidence that a witness’s testimony was false.157 Under that
jurisprudence, the habeas applicant must show “by clear and convincing evidence that, presented
with both the inculpatory evidence at trial and the newly discovered or available evidence of
innocence, no reasonable juror would have convicted him.”158
4. The Present Case
To obtain the most favorable standard of materiality or harm that might possibly apply,
applicant must show that the State knowingly used perjured testimony and that he did not have an
opportunity to discover the perjury in time to present a claim at trial or in a motion for new trial (or
perhaps on appeal). No one has contended in this case that the prosecutors were aware that there was
154
Id.
155
Id.
156
Id. at 288.
157
See Ex parte Elizondo, 947 S.W.2d 202 (Tex. Crim. App. 1996) (recantation of trial
testimony).
158
Ex parte Chavez, 213 S.W.3d 320, 322 (Tex. Crim. App. 2006).
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any problem with Chu’s statistical frequency estimate.159 Nevertheless, we treat perjured testimony
as knowingly used if the witness was a member of the “prosecution team.”160 To obtain review under
the most favorable standard of materiality or harm, then, applicant must at least show: (1) that Chu
was a member of the prosecution team, (2) that Chu committed perjury, and (3) that applicant did
not have an opportunity to discover the perjury in time to present his claim at an earlier proceeding.
In Texas, the crime of perjury is committed if “with intent to deceive and with knowledge
of the statement’s meaning” a person makes a false statement under oath or unsworn declaration.161
In connection with a claim regarding the knowing use of perjured testimony, the First Circuit relied
upon federal law defining perjury as “the willful intent to provide false testimony, rather than as a
result of confusion, mistake, or faulty memory.”162 The Fifth Circuit, however, has eschewed “the
strict legal definition of perjury” and found “perjury” within the meaning of the prohibition against
its knowing use when witnesses “did not candidly respond to the defense counsel’s questions.”163
But regardless of the precise contours of the meaning of “perjury” for the purpose of
determining a due process violation, applicant has not demonstrated that Chu committed perjury in
this case. The habeas court found against applicant on this claim, so we review the evidence
deferentially in the State’s favor. Nothing in the record before us suggests that Chu intended to
159
The Supreme Court has suggested that the knowing use of “false” testimony is treated the
same as the knowing use of perjured testimony. United States v. Bagley, 473 U.S. 667, 678, 679 n.8
(1985) (discussing Napue v. Illinois, 360 U.S. 264 (1959)).
160
Fierro, 934 S.W.2d at 372 ns.2, 3.
161
T EX . PENAL CODE §37.02(a).
162
United States v. Tavares, 93 F.3d 10, 14 (1st Cir. 1996).
163
United States v. Carter, 566 F.2d 1265, 1270 (5th Cir. 1978).
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provide false testimony or to deceive, or that he was less than candid in his testimony. In other
words, we have no reason to believe that Chu thought his testimony was inaccurate. The Bromwich
Report indicates that Chu’s method of calculating the statistical frequency estimate, though
extremely flawed, was the HPD Crime Lab’s usual practice. The Bromwich Report did not suggest
that HPD analysts were committing perjury every time they testified to their usual calculations in
court. As we have pointed out, the report said that the problems with the HPD Crime Lab were due
to poor training and not to rogue analysts. There is ample support for a finding that Chu did not
commit perjury, consistent with the habeas court’s conclusion that the State did not knowingly use
perjured testimony. Because Chu did not commit perjury, applicant’s claim does not fall within
Fierro’s caveat regarding knowing-use-of-perjury claims that could not have been presented
previously. We again leave open that question.164
For habeas corpus proceedings involving the unknowing use of perjured testimony, the harm
standard would be preponderance of the evidence, as we have stated above. Applicant would not
be entitled to a more favorable standard for the unknowing use of false (but not perjured) testimony.
The preponderance of the evidence standard is less favorable to applicant than the standard employed
in analyzing an ineffective assistance of counsel claim under Strickland v. Washington.165 As
explained below, applicant fails to meet the prejudice prong of Strickland. This means that
164
It is at least questionable whether Chu was a member of the prosecution team and whether
applicant lacked the opportunity to discover the perjury at trial or in motion for new trial
proceedings. Given our conclusion that there was no perjury, we need not address these issues.
165
466 U.S. 668, 693 (1984) (“[A] defendant need not show that counsel’s deficient conduct
more likely than not altered the outcome in the case . . . . The result of a proceeding can be rendered
unreliable, and hence the proceeding itself unfair, even if the errors of counsel cannot be shown by
a preponderance of the evidence to have determined the outcome.”).
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applicant’s false evidence claim must also necessarily fail.
C. Ineffective Assistance of Counsel
1. The Parties’ Arguments and the Habeas Court’s findings
In his application, applicant contends that defense counsel Greenlee performed deficiently
in failing to hire a forensic or DNA expert. Applicant further claims that, had defense counsel hired
an expert: (1) Chu’s statistical analysis would have been revealed at trial as false, (2) the jury would
have been made aware that Chu violated the standard of care in his profession when he consumed
all of the DNA evidence, and (3) defense counsel would have been able to obtain the same type of
testing that was later conducted by ReliaGene and Orchid Cellmark. Applicant also contends that
Greenlee performed deficiently by failing to object to the DNA test results on the basis of Chu’s
consumption of the sample, by failing to move for a continuance after Childs-Henry testified that
there was liquid extract sample remaining so that DNA testing could then occur, and by failing to
adequately cross-examine Childs-Henry and Chu at trial.
In his brief, applicant also points to Greenlee’s lack of prior experience in DNA matters and
suggests that he could not possibly conduct a proper investigation without the help of an expert. He
also argues that there was no good reason for Greenlee to forgo an expert witness who could have
enhanced the defense trial strategy of emphasizing the unfairness of the lab’s consumption of all of
the DNA evidence. Applicant also contends that there were many areas of possible impeachment
of the State’s experts that were not raised at trial. Applicant also describes as “inexplicable”
Greenlee’s failure to move for a continuance when Childs-Henry indicated that DNA extract still
existed.
Regarding the prejudice prong of Strickland, applicant contends that, had counsel performed
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properly, the following information would have been learned and used at trial: (1) that Chu’s
statistical frequency estimate was illogical and false, (2) that the HPD Crime Lab’s consumption of
the entire sample was unnecessary and improper, (3) that the quality of Childs-Henry’s testing for
semen was poor, and (4) that obtaining DNA profiles from a mixture was fraught with difficulty.
Applicant contends that this information would have changed “the entire complexion of the case.”
The State counters that Greenlee made strategic decisions with plausible bases after a
thorough investigation. The State points to various acts by defense counsel and his articulated
strategies. This discussion by the State essentially rehashes the habeas court’s findings.
The court found that Greenlee’s testimony at the evidentiary hearing was credible. The court
found that Greenlee had a good working relationship with the prosecutors, who provided him with
whatever information he requested, and had free access to the State’s files and evidence. It also
found that Greenlee had no reason to doubt Glaeser’s representation that the DNA evidence had been
consumed, with nothing left for an independent analysis. The court found that Greenlee’s decision
to proceed without an expert was based on a strategy of arguing to the jury the unfairness of being
denied an opportunity to conduct independent testing. The court found that this strategy was
formulated after a thorough investigation that included consulting at least one other defense attorney.
The court also pointed to Greenlee’s strategy of cross-examining the crime scene officer,
Verbitskey, to show that he was not qualified to collect the swabs from the victim’s cheek and may
have exposed the evidence to contamination. The court found that defense counsel’s cross-
examination of Childs-Henry was strategically designed to show that she was results-oriented, could
not describe the protocol and procedures she followed in performing the DNA extraction, and could
not confirm that she followed the proper steps in the proper order during the procedure. The court
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also found that Greenlee’s cross-examination of Childs-Henry elicited what Greenlee perceived to
be the beneficial testimony that only a “sloppy chemist” would consume all of the evidence in
performing a DNA analysis. And the court found that defense counsel cross-examined Chu with a
strategy toward “demonstrating that Chu had consumed all of the DNA evidence without regard for
the fact that the defense was denied an opportunity to conduct independent DNA testing.” The court
further found that Greenlee believed that his cross-examination succeeded in this purpose and that
he did not need a consulting expert to accomplish that end.
The court also found that defense counsel emphasized in closing argument that the defense
was unfairly denied the opportunity to conduct independent DNA testing and that the jury should not
accept the DNA results solely on the word of the State’s witnesses.
The court further found that defense counsel did not move to suppress the DNA test results
because he did not believe he had a valid legal basis for doing so. The court also found that Greenlee
was surprised by Childs-Henry’s testimony that there was DNA sample remaining, that Greenlee
explored this issue with the prosecutor and the State’s witnesses, and that Greenlee determined that
there was in fact no DNA sample left to test. And the court found that the problems with the HPD
Crime Lab did not become public knowledge until November 2002. The court further found that,
against counsel’s advice, applicant made an intelligent, knowing, and voluntary decision to testify.
The court found that Greenlee believed that the negative consequences of applicant’s decision to
testify outweighed the negative impact of the DNA evidence.
Based upon its own independent recollection of the trial, the court found that Greenlee’s
cross-examination of HPD Crime Lab personnel was “effective trial strategy in that it was
aggressive, probing, confrontational and effective” regarding an attack on the HPD Crime Lab
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protocol. The court also found that Greenlee’s decisions—not to retain a consulting expert, not to
pursue independent DNA testing, and not to seek a continuance—“were all made after a thorough
investigation and were reasonable trial strategy.” The court echoed this particular finding in its
conclusions of law, and the court also concluded that applicant failed to show that the trial court
would have committed error in denying a motion to suppress the HPD Crime Lab’s DNA test results.
2. Deficient Performance
Strickland prescribes a two-part test for determining whether a defendant has been
constitutionally deprived of effective assistance of counsel: (1) deficient performance, and (2)
prejudice.166 Deficient performance means that “counsel made errors so serious that counsel was not
functioning as the ‘counsel’ guaranteed the defendant by the Sixth Amendment.”167 To establish
deficient performance, “the defendant must show that counsel’s representation fell below an
objective standard of reasonableness.”168 When trial counsel does not conduct a complete
investigation, his conduct is “reasonable only to the extent that reasonable professional judgments
support the limitations on investigation.”169
Despite the habeas court’s findings, the record raises serous issues with respect to Greenlee’s
performance. One reason Greenlee gave for declining to hire an expert was that the expert might
validate the procedures followed by the HPD Crime Lab in this case. But defense counsel could
have initially hired an expert for consulting-only purposes, to be designated later as a testifying
166
466 U.S. at 687.
167
Id.
168
Id. at 688.
169
Wiggins v. Smith, 539 U.S. 510, 533 (2003) (internal quotation marks omitted).
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expert if the expert’s opinions turned out to be favorable. In Williams v. State, a case decided years
before applicant’s trial, we recognized that an indigent defendant was entitled to make his request
for funds to hire an expert witness in an ex parte hearing.170 The rationale underlying our holding
was the need to protect the confidentiality of the defendant’s work product.171 In Skinner v. State,
decided the same year as Williams, we explained that an expert’s “comments about the strengths and
weaknesses of the defense theory” were covered by the work product doctrine.172 Williams also
quoted a Fifth Circuit discussion that emphasized the need to treat monied and indigent defendants
equally:
The government should not be able to obtain a list of adverse witnesses in the case
of a defendant unable to pay their fees when it is not able to do so in the cases of
defendants able to pay witness fees. When an indigent defendant’s case is subjected
to pre-trial scrutiny by the prosecutor, while the monied defendant is able to proceed
without such scrutiny, serious equal protection questions are raised . . . .173
A defendant with the resources to hire his own expert could hire someone on a consulting-only basis
without the State ever discovering that he had done so.174 Under Williams and Skinner, an indigent
defendant has the same capability.
In choosing to forgo an expert, defense counsel elevated the importance of his own personal
170
958 S.W.2d 186, 194 (Tex. Crim. App. 1997).
171
Id.
172
956 S.W.2d 532, 538-39 (Tex. Crim. App. 1997).
173
Williams, 958 S.W.2d at 193 n.8 (quoting United States v. Meriwether, 486 F.2d 498,
505-506 (5th Cir. 1973)).
174
See Pope v. State, 207 S.W.3d 352, 365-66 (Tex. Crim. App. 2006) (citing Williams and
observing that a “simple solution” to the possibility that a prosecutor could comment on the
existence of a defense expert is that a party can “investigate first, consult second, designate third”).
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investigation of DNA science. We will not discount the possibility that an attorney with no prior
knowledge of DNA matters may become sufficiently knowledgeable through his own diligent sifting
of the scientific literature, without the aid of an expert. But it is apparent in this case that Greenlee
was not able to acquire sufficient knowledge on his own. Had he done so, he would have known that
the HPD Crime Lab failed to adhere to accepted practices when it consumed all of the DNA
evidence, and he would have understood that Chu’s statistical frequency estimate was probably
incorrect. Even without an expert of his own, Greenlee could have at least cross-examined Chu with
relevant scientific literature—such as the FBI and NRC standards—regarding the desirability of
retaining a portion of the DNA evidence for additional testing.175 Defense counsel could have
pointed out, through questioning and argument, that two of the tubes of DNA material were
redundant and did not have to be tested. That Greenlee did none of these things shows that he was
probably ill-equipped to research the field without expert assistance.
Even so, defense counsel should have conducted an investigation that was diligent enough
to reveal that he needed the help of an expert in preparing for trial and cross-examining witnesses.
In 2001, a variety of investigative tools existed that would have enabled Greenlee to determine that
he needed an expert witness, including: an informal pre-hiring consultation with an expert,
consultation with knowledgeable defense attorneys, continuing legal education, use of a medical
library, and use of the internet. Although Greenlee consulted other attorneys, we cannot conclude
that doing so was sufficient investigation in this case given the fact that Greenlee still lacked much
understanding of DNA science.
And expert testimony would probably have given a boost to the defense beyond what could
175
See TEX . R. EVID . 803(18) (“Learned Treatises” exception to the hearsay rule).
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have been accomplished through cross-examination. A live expert could have explained that the FBI
and NRC guidelines were not followed when Chu consumed virtually the entire sample in this case,
and an expert could have testified to the flaws in Chu’s statistical frequency calculation and given
a more accurate calculation of the random match probability. A defense expert’s testimony on these
subjects would have been likely to carry more weight with a jury than cross-examination alone.
Cross-examination may render unnecessary the presentation of one’s own expert, especially if the
cross-examination aggressively exploits learned treatises,176 but that did not happen in this case.
Greenlee did bring up the unfairness of consuming the DNA evidence, but Chu’s rejoinder
was that the sample size was so small that it had to be used up. The defense’s cross-examination of
Chu gave the jury no reason to think that Chu’s effective consumption of the entire sample was
anything other than an unfortunate but unavoidable circumstance.
The only evidence that potentially attacked Chu’s explanation was the testimony elicited
from Childs-Henry that the entire sample could be consumed if the chemist was sloppy. But Childs-
Henry also said that the entire sample could be consumed if it was too small, which was consistent
with Chu’s explanation. And while Childs-Henry indicated that the sample was large enough to have
some left for re-testing, the credibility of that assessment was undermined by her error in believing
that some sample still remained. Defense counsel did a creditable job of impeaching Childs-Henry
with her inability to explain her own procedures; her mistake regarding the existence of any
remaining sample, though a surprise, impeached her credibility as well.
However, we reject applicant’s contention that Greenlee was deficient in failing to move for
a continuance after Childs-Henry’s testimony that DNA material remained to be tested. The
176
See id.
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evidence at trial (as well as the habeas proceedings) was that Childs-Henry was simply mistaken in
her belief that there was liquid extract remaining. We do not think her testimony at trial fairly raised
the notion that there might be trace amounts of DNA adhering to seemingly empty tubes. To the
extent that her testimony suggested that there should have been DNA material remaining, that
conclusion was one that Greenlee should have drawn prior to trial, and we have already concluded
that Greenlee was deficient in that regard.
3. Prejudice
Having found deficient performance, we turn to the question of prejudice. The prejudice
prong of Strickland requires showing “a reasonable probability that, but for counsel’s unprofessional
errors, the result of the proceeding would have been different.”177 “A reasonable probability is a
probability sufficient to undermine confidence in the outcome.”178 It is not enough that counsel’s
errors could have had “some conceivable effect on the outcome of the proceeding,” but a defendant
does not have to show that counsel’s deficient conduct “more likely than not altered the outcome of
the case.”179 This usual standard for showing prejudice is not always sufficient, however. If the
proceeding was “rendered neither unreliable nor fundamentally unfair” by counsel’s deficient
performance, then the prejudice question can be answered in the negative to prevent the defendant
from obtaining a “windfall.”180
As we explained in connection with his Youngblood claim, applicant would not have been
177
466 U.S. at 694.
178
Id.
179
Id. at 693.
180
Lockhart v. Fretwell, 506 U.S. 364, 366 (1993).
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entitled to the suppression of the DNA test results. Had counsel conducted a proper investigation,
an attack might have been made on the quality of Childs-Henry’s testing, but there is no indication
that such an attack would do anything to undermine the validity of Chu’s results, which were based
upon his own testing. Defense counsel would have been able to introduce evidence that consuming
the entire sample was bad laboratory practice, but there is no indication that the test results
themselves flowed from any flawed practices. To the contrary, Bromwich characterized Chu’s work
as generating “good quality and clear results” and developing “clean, interpretable profiles.” And
a jury would still be confronted with the fact that the genetic typing occurred before applicant even
became a suspect—eliminating the possibility of contamination from applicant’s own DNA.
Had defense counsel conducted a proper investigation, he would have been able to introduce
evidence that Chu’s statistical frequency estimate was flawed, and he would have been able to
introduce a correct estimate in line with Bromwich’s calculations: e.g. a random match probability
for the African-American population of 1 in 232,000. A probability of 1 in 232,000 is still quite low,
although, with a city the size of Houston, it might allow for the possibility of a handful of other
people matching the test results.
But when a 1 in 232,000 random match probability is combined with the other evidence
introduced at applicant’s trial, there is no reasonable probability of a change in outcome. The victim
picked both applicant and his car out of separate lineups. Although the victim could not or did not
identify applicant via closed-circuit television at trial, the victim indicated that he was positive when
he picked applicant out of a pretrial lineup, and the circumstances surrounding that pretrial
identification (the victim’s smile when the camera panned on applicant) further reinforces the
identification. A composite sketch drawn from the victim’s descriptions was consistent with
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applicant’s appearance. The exterior and interior of applicant’s house, along with his yard, were
consistent with the descriptions given by the victim to law enforcement. Purple clothing found in
applicant’s house and car were also consistent with the victim’s prior descriptions, as was a dark
baseball cap recovered from applicant’s car. The color of the interior of applicant’s car was
consistent with the victim’s description, and the exterior of the car was damaged in a way that was
consistent with the victim’s brother’s description. And the bottle of orange cocoa butter lotion found
in applicant’s house matched the victim’s description of “orange grease” used by the perpetrator.
At trial, E.T. identified from photographs various items that looked like items he encountered
when he was kidnapped: the outside of applicant’s house, the brown couch, the purple clothes, and
a Houston Oilers cannister. E.T. pointed to circles on applicant’s sidewalk that he recognized.
Applicant’s defensive evidence was not helpful. His alibi was full of holes. Although
electronic monitoring established that applicant arrived home at 3:07 p.m., that arrival time did not
exclude him as the perpetrator. The family members who attempted to establish an alibi gave
testimony that was inconsistent with each other and with their own prior statements, resulting in
estimates for applicant leaving the Savage residence ranging from 1:30 to 3:30 p.m. The prosecution
effectively exploited David Savage’s testimony that he saw applicant on television on February 12th,
at which time applicant was not a suspect, but the composite drawing was being shown. Finally,
applicant himself stated that the victim was taken to an apartment “before he come to my house.”
It is not apparent how this could be taken as anything other than an inadvertent admission that the
child was at applicant’s house.
The jury also heard applicant’s refusal to acknowledge responsibility for any of the offenses
he had already been convicted of. And applicant’s testimony, some of which was evasive, showed
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his disregard for the geographical-limitation conditions of his parole and his numerous violations
of those conditions.
Applicant’s testimony also suggested his own consciousness of guilt, as he advanced
implausible explanations in an attempt to distance himself from evidence that tended to link him to
the crime: He denied owning the cocoa butter lotion—saying that he must have taken it from his
brother’s room and that it was owned by his brother’s sister. And applicant denied that his car was
damaged on February 11th, claiming that the police must have caused the damage while the car was
in their custody. And he accused parole officer Butler of lying about the conditions of his parole.
All of the evidence shows a very strong case against applicant, even when Bromwich’s criticisms
of the HPD Crime Lab’s conduct are taken into account.181
181
Although not argued by applicant, a position could perhaps be taken that applicant might
not have testified or might not have insisted on the parole officers’ testimony absent Greenlee’s
deficient performance on the DNA matters. Such an argument would not change our conclusion
with respect to prejudice for at least three reasons. First, even accepting Bromwich’s criticisms, and
even without the testimony of applicant or his parole officers, the evidence so strongly supports
conviction that we would not find a reasonable probability that the outcome would be different.
Second, effectively presenting Bromwich’s criticisms to the jury would not change the apparent need
for an alibi, so we cannot find a reasonable probability that applicant would have refrained from
testifying or would have refrained from insisting on the testimony of his parole officers. Third, even
if it could be shown that applicant would not have testified, it would be unclear whether he could
avoid the incriminating effects of his testimony under the prejudice prong of Strickland. The
Seventh Circuit and the Supreme Court of Indiana have suggested that, under Lockhart v. Fretwell,
a defendant’s own incriminating testimony, at least where it was gratuitous, can defeat a finding of
prejudice. United States v. Parker, 609 F.3d 891, 895-96 (7th Cir. 2010) (“Parker has only himself
to blame for admitting under oath to a quantity of drugs he now disputes.”); Smith v. State, 689
N.E.2d 1238, 1248 (Ind. 1997) (At sentencing, defendant testified that “he was no longer claiming
that he did not molest his daughter.” Having “admitted that his trial testimony to the contrary was
not truthful,” the defendant could not “on appeal make a credible argument that the result of his trial
was unjust and unreliable.”). No one forced applicant to testify that the complainant was taken to
his house, that the cocoa butter lotion found at his house was not his, that one of his parole officers
lied, that applicant had no regularly scheduled reporting date, or that he did not commit the sex
offenses for which he had been previously convicted.
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Finally, we conclude that the new test results from ReliaGene and Orchid Cellmark do not
alter the prejudice analysis in applicant’s favor. It is not a foregone conclusion that an “effective”
attorney would have sought further testing upon discovering the errors committed by the HPD Crime
Lab in this case.182 Even so, we have already explained, in connection with the Youngblood
discussion, that the test results from ReliaGene and Orchid Cellmark were not exculpatory, but rather
tended to incriminate applicant.
III. CONCLUSION
For the reasons outlined above, we reject applicant’s Youngblood, perjury/false statement,
and ineffective assistance of counsel claims.183 We deny relief.
Delivered: September 29, 2010
Publish
182
See Skinner v. State, 293 S.W.3d 196, 202-03 (Tex. Crim. App. 2009) (“counsel
explained that he did not ask for testing because he was afraid the DNA would turn out to be
appellant’s”).
183
Applicant also advanced two claims in his habeas application that we did not file and set:
a claim of actual innocence and a Brady claim. Various aspects of our discussion defeat these claims
as well. We reject these claims without further comment.