Marco Darrin Lomax v. State of Maryland, No. 1857, Sept. Term 2021. Opinion by
Arthur, J.
UNIFORM POSTCONVICTION PROCEDURE ACT—SUBPOENA FOR
EVIDENCE IN A POSTCONVICTION PROCEEDING
In a post-conviction proceeding, Maryland Rule 4-265(b)(1) allows either party,
including the petitioner, to issue subpoenas “commanding a witness to appear to testify”
at the post-conviction hearing and “designat[ing] the relevant documents, recordings,
photographs, or other things, not privileged, that are to be produced by the witness.”
In this case, the petitioner was convicted in part because of the testimony of a police
officer who was himself later convicted of federal racketeering charges for his role in the
“Gun Trace Task Force.” In a post-conviction proceeding, the petitioner issued a
subpoena to an Assistant State’s Attorney, requesting, among other things, the production
of “Brady material” and Baltimore City Police Department Internal Affairs records that
existed at the time of trial. On the State’s motion, the trial court quashed the subpoena on
the ground that a petitioner could not subpoena what the State “should have” produced at
trial.
The Appellate Court of Maryland reversed the judgment in part. A person who has been
convicted and is either confined or on parole or probation may commence a post-
conviction proceeding to establish that the State secured the conviction without
complying with its disclosure obligations under Brady v. Maryland, 373 U.S. 83 (1963).
When a post-conviction petitioner adequately alleges that the State secured a conviction
without complying with its obligations under Brady, the petitioner may issue a subpoena
requiring a State witness to produce the materials that Brady obligated the State to
disclose before the conviction was obtained. Any other conclusion would tend to insulate
an unconstitutional conviction from collateral attack and would reward the State for
violating a petitioner’s right to due process of law.
An adequate allegation requires more than a conclusory allegation or an assertion of law;
it entails a clear statement of the facts necessary to establish a likely Brady violation.
Petitioner adequately alleged that the State secured his conviction without complying
with its Brady obligations.
CRIMINAL LAW—INSPECTION OF CONFIDENTIAL RECORDS
Petitioner served an Assistant State’s Attorney with a subpoena requiring her to appear at
a post-conviction hearing and to produce Brady material, including Internal Affairs
(“IAD”) records for three Baltimore City police officers. At the time of the subpoena,
section 4-311 of the General Provisions Article (“GP”) of the Maryland Code (2014,
2019 Repl. Vol.), required a custodian to deny a request for the inspection of IAD records
because they were considered to be “personnel records.” Under the governing law at the
time of the petitioner’s trial and at the time of the hearing on his post-conviction petition,
a criminal defendant could obtain IAD records only by demonstrating a “need to inspect”
the records and persuading the court, after an in-camera review, that they might reveal or
lead to admissible evidence. The court quashed the subpoena for the IAD records.
The Appellate Court of Maryland held that the court did not err in quashing that aspect of
the subpoena. At the time of the hearing on the post-conviction petition, persons facing
criminal charges might gain access to otherwise confidential IAD records in order to
exercise their confrontation and due process rights. But because a person who has been
convicted of a crime does not have the same confrontation and due process rights as a
person who is merely facing criminal charges, the protection for IAD records, should, if
anything, have been greater in a post-conviction case than in a criminal case.
GP § 4-311 was amended, effective October 1, 2021, to state that, in general, “a record
relating to an administrative or criminal investigation of misconduct by a police officer,
including an internal affairs investigatory record, a hearing record, and records relating to
a disciplinary decision, is not a personnel record for purposes” of the statute. At present,
therefore, a custodian may, but need not, deny a request for the inspection of IAD
records. In view of the change of law, the court, on remand, may permit the petitioner to
issue another subpoena for the IAD records.
UNIFORM POSTCONVICTION PROCEDURE ACT—INEFFECTIVE
ASSISTANCE OF COUNSEL
Under section 7-102(b) of the Criminal Procedure Article (“CP”) of the Maryland Code
(2001, 2018 Repl. Vol.), a petition for post-conviction relief may be pursued only if “the
alleged error has not been previously and finally litigated or waived in the proceeding
resulting in the conviction or in any other proceeding that [he] has taken to secure relief
from [his] conviction.” Under CP § 7-106(b)(1)(i)(3), “an allegation of error is waived
when a petitioner could have made but intelligently and knowingly failed to make the
allegation . . . on direct appeal[.]”
In this case, the petitioner attempted to raise the issue of ineffective assistance of counsel
because his trial counsel made the decision not to present surveillance footage from the
scene of the crime at his trial, because trial counsel failed to highlight exculpatory
information in the victim’s medical records, and because trial counsel failed to object to
the State’s contrary interpretation of the medical records in closing.
Petitioner had previously raised the issue about surveillance footage in a motion for a
new trial. Petitioner contended that his trial counsel was ineffective because he did not
employ the video; the trial court rejected that contention; and petitioner failed to
challenge the ruling on direct appeal. Therefore, he has waived the contention. But, even
if he had not waived the contention, the Appellate Court of Maryland found no error,
because the record reflects that trial counsel made a reasonable, strategic decision not to
use the video which the trial court described as “a visually poor piece of evidence.”
The Appellate Court of Maryland also found no error in counsel’s decision not to use the
ambiguous medical records or in failing to object to the State’s interpretation of the
medical records, because the evidence could support multiple interpretations.
Circuit Court for Baltimore City
Case Nos. 111025040-42
REPORTED
IN THE APPELLATE COURT
OF MARYLAND*
No. 1857
September Term, 2021
______________________________________
MARCO DARRIN LOMAX
v.
STATE OF MARYLAND
______________________________________
Kehoe,
Berger,
Arthur,
JJ.
______________________________________
Opinion by Arthur, J.
______________________________________
Pursuant to the Maryland Uniform Electronic Legal Materials
Act (§§ 10-1601 et seq. of the State Government Article) this
document is authentic.
Filed: July 26, 2023
2023-07-26
14:35-04:00
Gregory Hilton, Clerk
* At the November 8, 2022, general election, the voters of Maryland ratified a
constitutional amendment changing the name of the Court of Special Appeals of
Maryland to the Appellate Court of Maryland. The name change took effect on
December 14, 2022.
In 2013, appellant Marco Darrin Lomax was convicted of attempted murder,
largely on the basis of the testimony of three Baltimore City police officers. One of those
officers was Detective Daniel Hersl, who was later convicted of racketeering, robbery,
and other federal offenses as a result of his role in the infamous Gun Trace Task Force or
“GTTF.”
In a post-conviction proceeding in 2021, Lomax claimed, among other things, that
the State had withheld exculpatory information in violation of Brady v. Maryland, 373
U.S. 83 (1963). In an effort to establish that claim, Lomax served an Assistant State’s
Attorney with a subpoena commanding her to produce “Brady material,” including
Internal Affairs files for Hersl and the other officers who testified at Lomax’s trial, from
the date of the offense through the date of the subpoena.
On the State’s motion, the Circuit Court for Baltimore City quashed the subpoena.
The court reasoned that a post-conviction petitioner has no right to “discovery” and that a
subpoena could not compel the State to provide “something that should have been
provided” at the petitioner’s criminal trial. The court later denied Lomax’s petition for
post-conviction relief, which included his Brady claim and two unrelated claims alleging
ineffective assistance of counsel.
We granted Lomax’s application for leave to appeal. For the reasons discussed
below, we reverse in part. We hold that, when a post-conviction petitioner makes a well-
founded assertion that the State violated its Brady obligations, the petitioner may use a
subpoena to compel the State to produce the exculpatory information that it was obligated
to produce at trial.
FACTUAL AND PROCEDURAL BACKGROUND
The Evidence at Trial
Testimony of Detective Daniel Hersl
At Lomax’s criminal trial, Hersl testified that on January 6, 2011, at
approximately 7:30 p.m., he and Detective John Burns, Detective Howard Ilgenfritz, and
one other officer were working in a plainclothes capacity on patrol, in an unmarked
police car, on Harford Road in Baltimore City. While driving by a carry-out restaurant in
the 2300 block, Hersl noticed 10 to 15 people standing around out front. Hersl slowed
down. As he passed by, he observed a tall person with long braids, wearing a black mask
and leather jacket, approach a man and shoot him multiple times. According to Hersl, the
person fired four to five gunshots from a silver gun.
Once the gunfire stopped, Detective Ilgenfritz, the front-seat passenger, got out of
the unmarked cruiser and ran towards the front of the store. Hersl drove the cruiser in a
“circle around the block” to provide backup for Ilgenfritz.
As Hersl pulled up to the intersection of Sherwood Avenue and Cliftview Avenue,
he looked to his left and saw Detective Ilgenfritz running down the middle of the street,
pointing at a silver Nissan speeding away down Cliftview Avenue. Hersl followed the
Nissan, based on what he called his “police intuition” that Ilgenfritz’s gesture meant that
the shooter was in that vehicle.
Hersl chased the Nissan at a high rate of speed in a series of turns through the
neighborhood and was, in his words, “at least two small city blocks behind them.” Hersl
lost sight of the Nissan at one point, but later observed what he called an “identical” car
2
parked on the 600 block of Gutman Avenue. Hersl admitted that he could not
definitively identify the parked car as the same as the one that he had pursued because he
never got close enough to read the license plate or see how many people were in the
vehicle. Still, citing his “police intuition through training and experience,” he insisted
that he “knew” and had “no doubt” the two were the same.
Hersl observed two men, whom he identified as Lomax and Ravanna Cornish, get
out of the Nissan. Lomax threw a silver object underneath the car. Lomax and Cornish
both ran from the scene, and Lomax threw a black object with his right hand. Further
along, Cornish threw down a set of keys. Following a foot chase, Lomax was arrested
without resistance. Cornish was detained a few blocks away.
Once Lomax was in custody, Hersl returned to the parked car. He found a silver
handgun underneath the car and a black ski mask nearby. The handgun was a six-shot,
.357 revolver, containing three live cartridges and three spent cases.
Testimony of Detective Howard Ilgenfritz
Detective Ilgenfritz was in the front seat of Hersl’s unmarked car at the time of the
shooting. He saw several people standing in front of the carry-out restaurant, as well as
several people scattering from the area. He heard four to five gunshots and then got out
of the car. He ran to the scene and saw two men sprinting away towards Cliftview
Avenue. One man was of average height, had a heavy build, and wore a tan jacket and
blue jeans. The other was very tall, had a thin build, and wore a black ski mask, a black
jacket, and blue jeans.
3
Detective Ilgenfritz ran after the men and saw them get into a silver, four-door
Nissan. The Nissan pulled away, and Ilgenfritz continued to run after the vehicle.
Ilgenfritz saw Hersl in his unmarked cruiser and pointed out the Nissan for Hersl to
follow. After Lomax and Cornish had been detained, Ilgenfritz identified the Nissan as
the one he saw the men enter while he was chasing them.
Testimony of Detective John Burns
Detective Burns was seated in the rear driver’s-side seat of Hersl’s unmarked
police cruiser at the time of the shooting. As he was observing a large group of people
lingering outside of the carryout restaurant, Detective Burns saw the shooter discharge a
silver firearm at the victim, who collapsed on the sidewalk. He identified the shooter as a
tall male with long braids, wearing a black mask and a black jacket. Burns saw the
shooter and another man flee from the scene, running southbound on Harford Road
towards Cliftview Avenue. Burns ran to the scene of the shooting to render aid to the
victim, Alonzo Tunnell.
Testimony of Alonzo Tunnell
Alonzo Tunnell testified that he was shot six times, in his neck, left leg, left
shoulder, right shoulder, and right buttocks. Tunnell also testified that he did not see who
shot him, nor did he see a gun or anyone with a gun. However, he did acknowledge that
he told detectives during an interview that he had seen someone with a mask and a gun.
Testimony of Devante Monroe
Devante Monroe was with Tunnell before the shooting and when he was shot. At
trial, Monroe testified that he did not see the shooter or remember any other details of the
4
crime. However, in a recorded statement taken on the day after the shooting, Monroe
told investigators that he and Tunnell were walking to the store together when he noticed
a Black male in a black ski mask coming from Cliftview Avenue. He said that the man
was wearing a black hoodie and carrying a silver revolver with a brown handle in his
right hand. Upon seeing the man, Monroe yelled, “Yo, he got a gun,” and took off
running. He heard approximately five gunshots. Once the gunfire ceased, Monroe
looked back over his shoulder and saw the shooter run down Cliftview Avenue.
The Physical Evidence
Investigators found Lomax’s fingerprints on the silver Nissan and on items inside
that vehicle. Investigators also found DNA consistent with Lomax’s on the vehicle, the
.357 revolver, and the ski mask. A firearms examiner testified that the three cartridge
cases found in the .357 revolver were fired from that weapon, but she could not offer any
information about when or where the weapon had been fired. Lomax’s hands were tested
for gunshot residue after the shooting, and the results were negative.
Jury Findings and Sentencing
On May 24, 2013, after a seven-day trial, a jury found Lomax guilty of six
criminal offenses related to the shooting of Tunnell: (1) attempted first-degree murder;
(2) use of a handgun in the commission of a crime of violence; (3) possession of a
firearm after having been convicted of a disqualifying crime; (4) unlawfully wearing,
carrying, or transporting a handgun; (5) conspiracy to commit first-degree murder; and
(6) conspiracy to use a handgun in the commission of a crime of violence. The court
5
subsequently granted Lomax’s motion to vacate the conspiracy convictions, because his
co-defendant had been acquitted of the conspiracy charges.
Lomax, through new counsel, filed a motion for a new trial. At a hearing on the
motion, Lomax presented video footage taken from a surveillance camera outside the
entrance to a liquor store, located at the corner of Cliftview Avenue and Harford Road,
near the scene of the shooting. Lomax argued that his trial attorney was ineffective in
that he failed to inform him of the existence of the video until after his conviction. On
July 31, 2014, the court denied Lomax’s motion for new trial.
On December 1, 2014, Lomax was sentenced to 25 years’ incarceration. He filed
an appeal, but did not pursue it.
Hersl and the GTTF
In February 2017, a federal grand jury indicted Hersl and six other Baltimore City
police officers “for their participation in a racketeering conspiracy and substantive acts of
racketeering, in violation of the Racketeer Influenced and Corrupt Organizations Act
(‘RICO’), 18 U.S.C. § 1962, as well as other related crimes.” United States v. Taylor &
Hersl, 942 F.3d 205, 210 (4th Cir. 2019). These officers, who were members of the
GTTF, “were charged with robbing citizens during the course of their police service,
taking money, jewelry, and other items.” Id. “They were also charged with committing
fraud in obtaining overtime pay from the Police Department.” Id. Five of the seven
officers pleaded guilty. Id. Hersl and another officer “went to trial and were convicted of
RICO conspiracy, in violation of 18 U.S.C. § 1962(d); substantive acts of RICO, in
6
violation of 18 U.S.C. § 1962(c); and Hobbs Act robbery, in violation of 18 U.S.C. §
1951.” Id.1
The GTTF scandal came on the heels of a Justice Department report, which found
reasonable cause to believe that the Baltimore City Police Department had engaged in a
pattern or practice of conduct that violated the First and Fourth Amendments of the
United States Constitution, as well as federal anti-discrimination laws. U.S. Dep’t of
Justice, Civil Rights Div., Investigation of the Baltimore City Police Department (Aug.
10, 2016), https://perma.cc/MN5A-DWV8. The Justice Department report led to a
federal consent decree, which remains in place today.
The GTTF scandal engendered an enormous amount of publicity, including two
books2 and an HBO miniseries based on one of the books.3
In addition to the publicity surrounding the GTTF as a unit, many news articles
were published about Hersl’s own wrongdoing. They include: Justin Fenton, Baltimore
Man Served Time for Having Gun He Says was Planted by A Corrupt City Police Officer.
Now He Wants His Record Cleared, Baltimore Sun (June 29, 2018); Justin Fenton, FBI
had Recording Device in Police Car when Baltimore Gun Unit Fled Scene of Crash After
Chase, Baltimore Sun (Jan. 30, 2018); Justin Fenton, Rapper Young Moose sues
1
Detectives Burns and Ilgenfritz were not members of the GTTF and were not
charged with or convicted of any crimes.
2
Justin Fenton, We Own this City: A True Story of Crime, Cops, and Corruption
(Random House 2021); Baynard Woods & Brandon Soderberg, I Got a Monster: The
Rise and Fall of America’s Most Corrupt Police Squad (St. Martin’s Press 2020).
3
We Own This City (HBO television broadcast 2022).
7
convicted Gun Trace Task Force officer Hersl, others, Baltimore Sun (Mar. 10, 2021).
At least one article predates the GTTF scandal: Mark Puente, Some Baltimore Police
Officers Face Repeated Misconduct Lawsuits, Baltimore Sun (Oct. 4, 2014).
In a report dated January 19, 2021, the American Civil Liberties Union revealed
that Hersl had received 130 internal affairs or “IAD” complaints between 2015 and 2019.
American Civil Liberties Union of Maryland, Chasing Justice: Addressing Police
Violence and Corruption in Maryland, at 19 (Jan. 19, 2021), https://perma.cc/GFG9-
EK4D. According to the report, multiple complaints were “sustained” (i.e., found to be
valid). Id. at 20.
Meanwhile, in October of 2019, the Commissioner of the Baltimore City Police
Department and the Baltimore City Solicitor commissioned an independent investigation
of the systemic and structural issues that contributed to the GTTF scandal. Judge James
K. Bredar, the United States District Judge who is supervising the consent decree
between Baltimore City and the Department of Justice, approved the independent
investigation. The investigation was conducted by Michael Bromwich of Steptoe &
Johnson, a former federal prosecutor and former Inspector General for the Department of
Justice. Bromwich issued his report on January 13, 2022. Steptoe Investigative Team,
Anatomy of the Gun Trace Task Force Scandal: Its Origins, Causes, and Consequences
(Jan. 2022), https://perma.cc/FP4N-D6GM (the “Bromwich Report”). The report
revealed that the scope of the corruption was widespread, and that the Baltimore City
Police Department has historically fallen short in creating and maintaining a culture of
lawful and ethical behavior.
8
The Post-Conviction Petitions and Subpoena for IAD Records
In 2017, Lomax, representing himself, filed a petition and a supplemental petition
for post-conviction relief under the Uniform Postconviction Procedure Act (“UPPA”),
Maryland Code (2001, 2008 Repl. Vol., 2016 Supp.), §§ 7-101 to -301 of the Criminal
Procedure Article (“CP”). In July 2017, Lomax retained counsel, who moved to
postpone the post-conviction hearing, in part to investigate Hersl’s background and
activities. In November 2017, counsel obtained the court’s permission to withdraw
Lomax’s petitions, without prejudice.
In August 2019, Lomax, representing himself again, moved to reopen his post-
conviction case. In November 2019, counsel entered an appearance on Lomax’s behalf.
In January 2020, Lomax, through counsel, filed an amended petition for post-conviction
relief.
As subsequently amended, Lomax’s petition contained three allegations of error.
First, it alleged that the State had violated its obligations under Brady v. Maryland, 373
U.S. 87 (1963), by withholding exculpatory information pertaining to the credibility of
Hersl, Detective Burns, and Detective Ilgenfritz. Second, the petition alleged that
Lomax’s trial counsel had rendered ineffective assistance because he failed to object to
an assertion by the State in closing argument and failed to highlight a medical record that,
Lomax said, refuted the State’s assertion. Third, and finally, the petition alleged that trial
counsel also rendered ineffective assistance because he failed to use the surveillance
video from the liquor store near the scene of the shooting.
9
On July 31, 2020, Lomax served an Assistant State’s Attorney with a subpoena
requiring her to appear at the hearing on his post-conviction petition and to produce the
following documents: “Brady material, including impeachment information, including
but not limited to police Internal Affairs files for Daniel Hersl, John Burns, [and] Howard
Ilgenfritz, from 1/11/2011 to present.”
The State moved to quash the subpoena. In support of its motion, the State argued
that the individual prosecutor and the State’s Attorney’s Office were not the custodians of
records for the Baltimore City Police Department; that the IAD files were privileged
under the Maryland Public Information Act (the “PIA”);4 that the State must disclose
IAD files only in active criminal proceedings, which this was not, and only when a court
finds that there is a reasonable probability that a review of the records would result in the
discovery of admissible evidence;5 that Lomax, in any event, had not shown a reasonable
probability that the IAD records would result in the discovery of admissible evidence;
and that the subpoena was overly broad, in that it extended to records that did not exist at
4
At the time of the subpoena, Maryland Code (2014, 2019 Repl. Vol.), § 4-311 of
the General Provisions (“GP”) Article, required a custodian to deny a request for the
inspection of IAD records because they were considered to be “personnel records.”
Maryland Dep’t of State Police v. Dashiell, 443 Md. 435, 458-59 (2015); see also Glass
v. Anne Arundel County, 453 Md. 201, 244 (2017); Montgomery County v. Shropshire,
420 Md. 362, 383 (2011). As discussed below, GP § 4-311 was amended, effective
October 1, 2021, to state that, in general, “a record relating to an administrative or
criminal investigation of misconduct by a police officer, including an internal affairs
investigatory record, a hearing record, and records relating to a disciplinary decision, is
not a personnel record for purposes” of the statute. At present, therefore, a custodian
may, but need not, deny a request for the inspection of IAD records. See GP § 4-351(a).
5
See, e.g., Fields v. State, 432 Md. 650 (2013).
10
the time of Lomax’s criminal trial. The State did not assert that it lacked any responsive
information or that it had produced everything that Brady required it to produce at
Lomax’s criminal trial.
In response, Lomax argued that the State’s Attorney’s Office had “constructive”
possession of information pertaining to the credibility of its witnesses6 and that the
statutory protection for IAD files did not apply to exculpatory information outside of the
IAD files themselves. He claimed that he could make the requisite showing to overcome
the protection for the IAD files. He supported his claim with a number of documents,
including court orders requiring the disclosure of Hersl’s IAD records in other cases;
documents pertaining to Hersl’s criminal convictions, including documents containing
allegations that Hersl had submitted false arrest reports; and a newspaper article
containing an allegation that Hersl and Detective Burns had planted evidence.7 Lomax
disputed the State’s assertion that his criminal conviction extinguished his right to Brady
material: a “Brady violation,” he argued, “does not disappear just because the State has
managed to conceal the violation until after it obtains a conviction.”
Proceedings to Quash Lomax’s Subpoena for “Brady Material”
On March 22, 2021, the circuit court held a hearing on the State’s motion to quash
Lomax’s subpoena.
6
See, e.g., Robinson v. State, 354 Md. 287, 309 (1999).
7
Justin Fenton, Baltimore man served time for having gun he says was planted by
a corrupt city police officer. Now he wants his record cleared, Baltimore Sun (June 29,
2018).
11
In support of its motion, the State argued that, “at its core,” Lomax’s subpoena
was “a pretrial discovery motion,” but that the Maryland Uniform Postconviction
Procedure Act did not permit discovery. The State argued that the circuit court, sitting as
a post-conviction tribunal, lacked “fundamental jurisdiction,” to reopen pre-trial
discovery in post-conviction petitions. Citing District Attorney’s Office for the Third
Judicial District v. Osborne, 557 U.S. 52 (2009), and Washington v. State, 450 Md. 319
(2016), the State argued that Lomax’s Brady rights ended upon his conviction.8 Thus, the
State argued, Lomax may have had the right to obtain IAD records at his trial, but did not
have the right to obtain them in a post-conviction proceeding. The State also argued that
Lomax had “waived” the right to obtain the confidential IAD records because he did not
ask the trial court to review them in order to determine whether the State should be
required to produce them at his criminal trial.9
8
As discussed in greater detail later in this opinion, Osborne held that the Due
Process Clause of the Fourteenth Amendment does not require a State to make evidence
available for DNA testing to a person who has been convicted of a crime. District
Attorney’s Office for Third Judicial District v. Osborne, 557 U.S. at 69; id. at 72.
Washington held that the Due Process Clause of the Fourteenth Amendment and the
analogous provision of the Maryland Declaration of Rights do not invalidate a statute that
denied access to DNA testing to a person who had been convicted of conspiracy to
commit murder, but granted access to those convicted of statutorily-defined crimes of
violence. Washington v. State, 450 Md. at 339-41. Both cases proceed from the premise
that, once defendants have been convicted of a crime, they have “only a limited interest
in postconviction relief.” District Attorney’s Office for the Third Judicial District v.
Osborne, 557 U.S. at 69; Washington v. State, 450 Md. at 336. According to Osborne,
“Brady is the wrong framework” for analyzing the extent of someone’s constitutional
liberty interest once they have “already been found guilty at a fair trial.” District
Attorney’s Office for Third Judicial District v. Osborne, 557 U.S. at 69.
9
See Fields v. State, 432 Md. at 668.
12
In response, Lomax argued that he was focusing on the IAD files, but was also
asking for anything bearing on the officers’ credibility. The State, he observed, had not
said whether it had any documents that were responsive to the subpoena. From the
State’s silence, he inferred that the State either had failed to look for responsive
documents or could not truthfully say that it had no responsive documents. He argued
that he was entitled to conduct what he called “discovery” in a post-conviction action
because Rule 4-406 allows a post-conviction petitioner to present evidence at a hearing,10
and Rule 4-265 allows a petitioner to use a subpoena to compel the production of
documents and the appearance of witnesses at a hearing.11 He distinguished Osborne on
10
Rule 4-406 provides as follows:
(a) When Required. A hearing shall be held promptly on a petition
under the Uniform Post Conviction Procedure Act unless the parties
stipulate that the facts stated in the petition are true and that the facts and
applicable law justify the granting of relief. If a defendant requests that the
court reopen a post conviction proceeding that was previously concluded,
the court shall determine whether a hearing will be held, but it may not
reopen the proceeding or grant the relief requested without a hearing unless
the parties stipulate that the facts stated in the petition are true and that the
facts and applicable law justify the granting of relief.
(b) Judge. The hearing shall not be held by the judge who presided
at trial except with the consent of the petitioner.
(c) Evidence. Evidence may be presented by affidavit, deposition,
oral testimony, or in any other form as the court finds convenient and just.
In the interest of justice, the court may decline to require strict application
of the rules in Title 5, except those relating to the competency of witnesses.
(d) Presence of Petitioner. The petitioner has the right to be
present at any hearing on the petition.
11
Rule 4-265 provides as follows:
13
(a) Definitions.
(1) Trial. For purposes of this Rule, “trial” includes hearing.
(2) Trial Subpoena. For purposes of this Rule, “trial subpoena”
includes hearing subpoena.
(b) Issuance. A subpoena shall be issued by the clerk of the court in
which an action is pending in the following manner:
(1) On request of a party, the clerk shall prepare and issue a
subpoena commanding a witness to appear to testify at trial. The request
for subpoena shall state the name, address, and county of the witness to be
served, the date and hour when the attendance of the witness is required,
and which party has requested the subpoena. If the request is for a
subpoena duces tecum, the request also shall designate the relevant
documents, recordings, photographs, or other tangible things, not
privileged, that are to be produced by the witness.
(2) On request of a party entitled to the issuance of a subpoena, the
clerk shall provide a blank form of subpoena which shall be filled in and
returned to the clerk to be signed and sealed before service.
(3) On request of a member in good standing of the Maryland Bar
entitled to the issuance of a subpoena, the clerk shall issue a subpoena
signed and sealed by the clerk, which the attorney shall fill in before
service.
(4) An attorney of record in a pending action who is a registered
user under Rule 20-101 may obtain from the clerk through MDEC, for use
in that action, an electronic version of a blank form of subpoena containing
the clerk's signature and the seal of the court, which the attorney may
download, print, and fill in before service.
(5) Except as provided in subsections (b)(3) and (b)(4) of this Rule,
a person other than the clerk may not copy and fill in any blank form of
subpoena for the purpose of serving the subpoena.
(c) Issuance of Subpoena Duces Tecum. A subpoena duces tecum
shall include a designation of the documents, recordings, photographs, or
other tangible things, not privileged, that are to be produced by the witness.
14
the ground that it held that a person who had been convicted of a crime did not have a
constitutional right to DNA testing; he argued that he was not asking for new tests, but
for the State to produce “material that it already has, what it already knows.” In response
to a question from the court, he agreed that the State could not produce what it did not
have (and thus that, at his trial in 2013, the State could not produce information that did
not come to light until 2017). He argued, however, that some of the alleged misconduct
occurred while he still had the right to move for a new trial—i.e., before his Brady rights
would, in his view, have been extinguished.
In its brief rebuttal argument, the State reiterated its contention that Lomax was
attempting to get what it called “pretrial discovery” in a post-conviction proceeding.
The court granted the State’s motion to quash. In announcing its ruling, the court
began by stating that its “decision only has to do with whether or not discovery will take
place in this particular case.” It noted that the UPPA contained no authorization for
discovery. It also noted that drafters of the uniform act have propounded an amended
version that permits discovery, but that the Maryland General Assembly has not adopted
that amendment. The court added:
(d) Filing and Service. Unless the court waives the time
requirements of this section, a request for subpoena shall be filed at least
nine days before trial in the circuit court, or seven days before trial in the
District Court, not including the date of trial and intervening Saturdays,
Sundays, and holidays. At least five days before trial, not including the
date of the trial and intervening Saturdays, Sundays, or holidays, the clerk
shall deliver the subpoena for service pursuant to Rule 4-266(b). Unless
impracticable, there must be a good faith effort to cause a trial subpoena to
be served at least five days before the trial.
15
There is no case law, there is no statute or rule to support the right to
discovery in post-conviction. Discovery, request for documents, and
particularly where it obligates the State . . . does not live in the post-
conviction statute, and there is no case law that give this court any guidance
whatsoever. There is no statute. There is no rule.
The court agreed that a post-conviction petitioner “could subpoena people” and
“bring in evidence.” In the court’s opinion, however, the subpoena power did not permit
a petitioner to subpoena information that the State had been obligated to produce at trial:
“it does not extend to the State’s obligation to provide you something that should have
been provided, or in your words, should have been provided in trial.” On the other hand,
the court opined that a petitioner could use a subpoena to compel the State to produce
information that it had produced at the trial, such as body-worn camera footage.
The Hearing on the Post-Conviction Petition
Lomax proceeded on his post-conviction petitions on two grounds. First, Lomax
claimed that the State violated Brady by failing to disclose information relating to the
credibility of Hersl, Detective Burns, and Detective Ilgenfritz. Second, he raised two
separate claims of ineffective assistance of counsel. Specifically, he asserted that trial
counsel was ineffective in failing to use the victim’s medical records to show that the
weapon retrieved in this case could not have been used in the shooting. He also asserted
that trial counsel was ineffective in failing to use surveillance video from a nearby
business to dispute details relied on by the prosecution.
Brady Violation
In support of his Brady claim, Lomax managed to assemble a few scraps of
evidence even without a subpoena. He alleged that, between 2007 and 2010, Baltimore
16
City settled three lawsuits against Hersl, two of which alleged the use of excessive force,
and one of which alleged a false arrest. He showed that, between 2013 and 2016,
Detective Burns was the subject of several IAD complaints for false arrest and excessive
force. He also showed that, in approximately 2018, Detective Burns was accused of
planting a gun on one man and stealing money from him in 2014 and of robbing another
man in 2015. Finally, he showed that, between 2015 and 2019, Detective Ilgenfritz was
the subject of at least three IAD complaints for false arrest, “general” misconduct, and
“neglect.”
The court found that the State did not violate Brady in failing to disclose the
settlements involving Hersl. The court reasoned that the settlements were neither
exculpatory nor impeachment evidence, nor were they material in Lomax’s criminal trial.
The court also reasoned that, even if the settlements fell within the definition of
exculpatory or impeachment evidence, Lomax had failed to demonstrate that he was
prejudiced by the State’s failure to disclose them. In support of that conclusion, the court
cited what it called the “overwhelming” evidence against Lomax.
The court went on to find that the State had not violated Brady in failing to
disclose the IAD complaints and other allegations against Detective Burns and the
complaints against Detective Ilgenfritz. The court explained that none of those
allegations were made until Lomax’s trial and sentencing were complete.12 The State, the
12
In fact, at least two of the allegations against Detective Burns appear to concern
events that occurred before Lomax’s sentencing.
17
court observed, cannot commit a Brady violation by failing to disclose information that
did not come to light until after the trial was over.
Ineffective Assistance of Counsel
A. Medical Records
In support of his second claim, that counsel rendered ineffective assistance,
Lomax argued that trial counsel failed to highlight exculpatory information in the
victim’s medical records and failed to object to the State’s contrary interpretation of the
records in closing.
According to Lomax, there are ambiguities within the records themselves
regarding how many bullet holes were in the victim’s body following the shooting. Two
pages indicate that there were five holes (including exit wounds), while other sections
indicate that there were a greater number of holes. Lomax contended that these other
sections prove that the victim must have been hit by more than three bullets. This
information, he argued, bolstered his claim that the six-shot revolver recovered by the
police could not have been the gun used to shoot the victim, as there were still three
bullets in the chamber when it was recovered.
The court held that trial counsel did not perform deficiently by not using the
medical records to dispute the number of shots fired. In support of that conclusion, the
court observed that, based on the victim’s testimony that he was shot six or more times,
counsel “vehemently argued” that the six-shot revolver could not have been the gun used
18
in the shooting.13 In other words, counsel argued that the six-shooter could not have been
the weapon used by the assailant; he simply used evidence other than the ambiguous
medical records to do so.
The court similarly held that counsel did not perform deficiently in not objecting
to the State’s interpretation of the records during closing. The court reasoned, first, the
trial court had “correctly” overruled an objection by the co-defendant’s counsel to the
State’s characterization of the medical records during closing. In addition, the court
reasoned that, because of the ambiguities within the medical records, the evidence could
support multiple interpretations. Thus, the court concluded that it would have been a
deficient strategy for trial counsel to object to something that was not objectionable.
B. Surveillance Video
Lomax next argued that trial counsel’s performance was deficient because he
failed to use the surveillance video of the area near the crime scene recovered from a
liquor store. The footage was of great importance, Lomax argued, because it did not
show anyone matching his height or description, nor did it show the suspects turning
right before Detective Ilgenfritz gave chase, as he testified.
This issue was first raised during the hearing on Lomax’s motion for a new trial on
April 28, 2014. At that hearing, the trial judge called the video a “visually poor piece of
evidence” that presented “an incomplete and rather unclear recording of events near the
13
The victim actually testified that he was shot six times, not six “or more” times.
The reference to six “or more” shots appears to have been an embellishment by trial
counsel.
19
scene of the shooting.” The trial court observed that because the video is taken from an
elevated position, it is impossible to determine the heights or facial features of anyone.
Furthermore, the video stalls and skips in time and is of poor quality overall. Of
significance, at approximately 19:31:32, the video shows people who appear to be
startled and running away from the camera (perhaps as a result of the gunshots); then,
however, the video skips to 19:33:07, where it shows several people running back toward
the camera.
Upon its review of the video, the circuit court agreed with the trial court’s
observations that the video was a visually poor piece of evidence and an incomplete
version of the events that occurred on the day of the crime. Thus, the court concluded
that trial counsel was not unreasonable in determining that the video would have no
value.
On June 16, 2021, by written opinion, the circuit court denied Lomax’s petition for
post-conviction relief on both grounds. Lomax filed an application for leave to appeal,
which we granted.
QUESTIONS PRESENTED
On appeal, Lomax presents three questions, which we have condensed.
1. Did the circuit court properly quash Lomax’s subpoena?
2. Did the circuit court properly conclude that trial counsel did not render
ineffective assistance?14
14
The questions from Lomax’s brief are:
1. Did the post-conviction court err in quashing Mr. Lomax’s subpoena?
20
DISCUSSION
I. The Brady Claim
A. Brady: An Overview
In the landmark case of Brady v. Maryland, 373 U.S. 83, 87 (1963), the United
States Supreme Court held that “the suppression by the prosecution of evidence favorable
to an accused upon request violates due process where the evidence is material either to
guilt or to punishment, irrespective of the good faith or bad faith of the prosecution.” The
category of “evidence favorable to an accused” includes both exculpatory evidence and
evidence that “the defense might have used to impeach the [State’s] witnesses[.]” United
States v. Bagley, 473 U.S. 667, 676 (1985); accord Kyles v. Whitley, 514 U.S. 419, 433
(1995); Conyers v. State, 367 Md. 571, 606 (2002); Wilson v. State, 363 Md. 333, 345-46
(2001); see also Byrd v. State, 471 Md. 359, 372 (2020) (stating that “Brady v. Maryland
and its progeny guarantee to a criminal defendant who stands trial the right to receive
material exculpatory and impeachment evidence in the possession of the State[]”);
Canales-Yanez v. State, 472 Md. 132, 158 (2021) (same). In United States v. Agurs, 427
U.S. 97, 107 (1976), the Court expanded Brady to require the prosecution to disclose
2. Did the post-conviction court err by adopting a clearly erroneous view of the
victim’s medical records and excusing trial counsel’s failure to inform the jury
about exculpatory facts in those records?
3. Did the post-conviction court err in finding that trial counsel’s decision not to
show a surveillance video was “not unreasonable”?
21
favorable evidence in the absence of a request by the accused. Accord Strickler v.
Greene, 527 U.S. 263, 280 (1999); see United States v. Bagley, 473 U.S. at 682.
Evidence is “material,” for purposes of Brady, “‘if there is a reasonable probability
that, had the evidence been disclosed to the defense, the result of the proceeding would
have been different.’” Strickler v. Greene, 527 U.S. at 280 (quoting United States v.
Bagley, 473 U.S. at 682); accord Conyers v. State, 367 Md. at 610-11; Wilson v. State,
363 Md. at 347; Ware v. State, 348 Md. 19, 47 (1997). “[A] ‘reasonable probability’” is
“‘a probability sufficient to undermine confidence in the outcome.’” United States v.
Bagley, 473 U.S. at 682 (quoting Strickland v. Washington, 466 U.S. 668, 694 (1984));
accord Conyers v. State, 367 Md. at 611; Wilson v. State, 363 Md. at 347 n.3; Ware v.
State, 348 Md. at 47.15 Under Brady, “[t]here is no distinction between exculpatory
evidence and impeachment evidence.” Ware v. State, 348 Md. at 37.
The Brady rule “encompasses evidence ‘known only to police investigators and
not to the prosecutor.’” Strickler v. Greene, 527 U.S. at 280-81 (quoting Kyles v.
Whitley, 514 U.S. at 438); accord Conyers v. State, 367 Md. at 602 (stating that “[f]acts
known to the police will be imputed to the State for Brady purposes”). “In order to
comply with Brady, therefore, ‘the individual prosecutor has a duty to learn of any
favorable evidence known to the others acting on the government’s behalf in this case,
15
The ordinary test of materiality does not apply if “the undisclosed evidence
demonstrates that the prosecution’s case includes perjured testimony and that the
prosecution knew, or should have known, of the perjury.” United States v. Agurs, 427
U.S. at 103. In that event, “the conviction” is “fundamentally unfair, and must be set
aside if there is any reasonable likelihood that the false testimony could have affected the
judgment of the jury.” Id. (footnote omitted); accord Conyers v. State, 367 Md. at 610.
22
including the police.’” Strickler v. Greene, 527 U.S. at 281 (quoting Kyles v. Whitley,
514 U.S. at 437). The individual prosecutor also has a duty to disclose “information
possessed by other prosecutors in the same office.” State v. Williams, 392 Md. 194, 211
(2006); see also id. at 223 (“in deciding the coverage area of the Brady obligation, it is
proper to consider the State’s Attorney Office as a single entity[]”). “When the core of
the State’s argument relies on the testimony of an essential witness, the State has a duty
to discover anything, and everything, that concerns that witness’s credibility and, thus,
potential for impeachment.” Id. at 210. Brady violations “include both the failure to
search for, and the failure to produce, such evidence.” State v. Williams, 392 Md. at 210
(citing In re Sealed Case, 185 F.3d 887, 892 (D.C. Cir. 1999)).
“To establish a Brady violation, the defendant must establish (1) that the
prosecutor suppressed or withheld evidence that is (2) favorable to the defense—either
because it is exculpatory, provides a basis for mitigation of sentence, or because it
provides grounds for impeaching a witness—and (3) that the suppressed evidence is
material.” Ware v. State, 348 Md. at 38; accord Canales-Yanez v. State, 472 Md. at 158.
Brady violations are a frequent subject of proceedings under the UPPA, the statute
under which Lomax proceeded. See, e.g., Harris v. Maryland, 407 Md. 503, 506 (2009);
State v. Williams, 392 Md. at 202; Conyers v. State, 367 Md. at 585; Wilson v. State, 363
Md. at 338.
At the time of Lomax’s trial and of the post-conviction hearing, IAD records were
treated differently from other Brady material. Because IAD records were deemed to be
23
confidential personnel records at that time,16 a criminal defendant could obtain them only
by demonstrating a “need to inspect” the records and persuading the court, after an in
camera review, that they might reveal or lead to admissible evidence. See generally
Fields v. State, 432 Md 650, 666-69 (2013).17
B. The Subpoena for “Brady Material”
The central question in this case is whether the circuit court erred in quashing
Lomax’s subpoena for “Brady material, including impeachment information, including
but not limited to police Internal Affairs files for Daniel Hersl, John Burns, [and] Howard
Ilgenfritz, from 1/11/2011 to present,” i.e., the date of the subpoena, July 31, 2020. As
the State observes in its brief, the subpoena, on its face, was overly broad in that it
purported to require the production of documents that did not even exist at the time of
Lomax’s trial. The State did not, however, request a protective order limiting the scope
of the subpoena to those materials that the State possessed at the time of trial. Instead,
the State moved that the court quash the subpoena in its entirety. The court granted the
motion.
16
See supra n.4.
17
It appears that, at around the time of Lomax’s trial, the Baltimore City State’s
Attorney’s Office used the police department’s internal affairs files “to identify
potentially unreliable officers” and had “developed software to run searches for the
officers who were involved in a case.” Bromwich Report, p. 130. “If the search turned
up allegations of misconduct that related to the integrity and credibility of the officer,
prosecutors would prepare a one paragraph summary for defense counsel.” Id.; see id., p.
132 (reporting that “[p]rosecutors would share a brief description of the alleged
misconduct of potential officer witnesses with defense counsel under a confidentiality
agreement”). Defense counsel would then have the opportunity to obtain an order
requiring the disclosure of the entire file. Id.
24
On appeal, Lomax’s characterization of his subpoena is quite different from the
subpoena that the circuit court considered. Lomax has tacitly abandoned his demand for
“Brady material . . . from 1/11/2011 to present,” i.e., the date of the subpoena, July 31,
2020. Instead, he now describes his subpoena as “a request for the State to produce
information it was required to produce at the time of trial.” “All” he now claims to seek,
“via subpoena, is evidence which should have been disclosed nine years ago.” And
although he highlighted his demand for IAD records in the circuit court, he now says that
this Court “need not determine whether” he “was entitled to disclosure of IAD records in
his post-conviction proceedings because [the records] are no longer privileged” as a result
of a statutory amendment that took effect on October 1, 2021.18
In view of Lomax’s recharacterization of his subpoena, the main issue in this case
has become whether a post-conviction petitioner can use a subpoena to obtain
exculpatory information that Brady obligated the State to produce, including exculpatory
information that the State may have wrongly failed to produce.
At the State’s instigation, the circuit court quashed Lomax’s subpoena on the
ground that a post-conviction petitioner could not obtain what it called “discovery.” The
court acknowledged that a petitioner can use a subpoena to compel the attendance of
witnesses and the production of evidence at the post-conviction hearing. The court also
acknowledged that a petitioner could use a subpoena to compel the State to produce
evidence that it had produced at trial. The court asserted, however, that a petitioner could
18
See n.4, above, for a description of the recent change in the law regarding the
status of IAD records.
25
not use a subpoena to compel the State to produce what “should have been provided” at
trial.
The State offers something less than a full-throated defense of the circuit court’s
rationale. According to the State, “[t]he court found that Lomax’s subpoena was an
attempt to obtain what amounted to discovery from the prosecutor.” (Emphasis added.)
Similarly, the State argues that the subpoena “demanded what amounts to discovery from
the prosecutor after” Lomax had been convicted and “the discovery obligation” under
Brady “had ended.” (Emphasis added.) At the same time, however, the State suggests
that Lomax could have subpoenaed “the prosecutor to produce her trial file (less
privileged materials) from the now[-]closed criminal prosecution so that he could
examine its contents to determine what was and was not disclosed to him prior to trial.”
And the State suggests that Lomax could have subpoenaed “the prosecutor to testify
about whether she was aware prior to or at trial of any internal affairs investigations
involving the three police officers.” Thus, the State, in contrast to the circuit court,
suggests that Lomax actually could use a subpoena “to determine” (i.e., to discover)
whether the State provided at least some of what it was obligated to provide at trial.19
In evaluating the merits of the circuit court’s ruling, we can agree that under the
UPPA a petitioner has no right to pretrial discovery as it is practiced in ordinary civil
A subpoena for the prosecutor’s file, however, would not necessarily determine
19
whether the State had produced all of the exculpatory information that it was required to
locate and produce, because that subpoena would not cover information known to another
prosecutor in the same office or information known to the police or another arm of the
prosecution. Strickler v. Greene, 527 U.S. at 281; State v. Williams, 392 Md. at 210-11.
26
litigation. By its terms, the statute does not authorize pretrial discovery; the statute is
based on a model act that has been amended to authorize pretrial discovery, but the
Maryland General Assembly has not adopted those amendments; and Chapter 400 of
Title 4 of the Maryland Rules, which “govern[s] . . . post conviction procedures,”20 does
not authorize anything resembling pretrial discovery in civil cases.21
But although a trial subpoena duces tecum bears a distant resemblance to one tool
of pretrial discovery—a request for the production of documents—a trial subpoena is not
a pretrial discovery device. It is a mechanism for compelling the attendance of witnesses
or the production of documents or other tangible things at a trial or hearing. It is
incorrect to equate the use of a trial subpoena with pretrial “discovery.”
Rule 4-265 concerns subpoenas in post-conviction proceedings, as well as other
proceedings. Rule 4-265(b) expressly authorizes the issuance of a “trial subpoena,” and
Rule 4-265(a)(1) states that the term “trial” includes a “hearing.” Rule 4-406(a) generally
requires a court to hold a “hearing” in a post-conviction action, and Rule 4-406(c)
permits the parties to present evidence at the hearing “by affidavit, deposition, oral
testimony, or in any other form as the court finds convenient and just.” The rules,
therefore, expressly authorize a post-conviction petitioner, like Lomax, to issue a
20
See Md. Rule 4-101.
21
As the State observes, however, the Maryland Rules once did allow for civil
discovery in post-conviction proceedings. Michael A. Millemann, Collateral Remedies
in Criminal Cases in Maryland: An Assessment, 64 Md. L. Rev. 968, 1008 (2005) (citing
State v. Giles, 239 Md. 458, 467-68 (1965), vacated on other grounds, 386 U.S. 66
(1967)).
27
subpoena for the post-conviction hearing that the court was required to hold. The court
erred in quashing the subpoena on the premise that it was an unauthorized effort to obtain
pretrial “discovery.”22
When the State says that Lomax’s subpoena “amounts to discovery from the
prosecutor,” the State appears to mean that the subpoena required the State to provide the
“discovery” that Brady obligated it to provide at Lomax’s trial. The State seems to agree
that Lomax could have used a subpoena to obtain at least some of that “discovery,”
because the State says that a petitioner could use a subpoena to require “the prosecutor to
produce her trial file (less privileged materials) from the now[-]closed criminal
prosecution so that he could examine its contents to determine what was and was not
disclosed to him prior to trial.” In the State’s view, however, the problem with the
subpoena appears to be that it required the State to ascertain whether the prosecutor had
produced everything that Brady required her to produce—which is not just the non-
privileged, exculpatory information in her own file, but also the exculpatory information
“‘known to the others acting on the government’s behalf in this case, including the
police,’” (Strickler v. Greene, 527 U.S. at 281 (quoting Kyles v. Whitley, 514 U.S. at
437)), as well as any exculpatory “information possessed by other prosecutors in the
same office.” State v. Williams, 392 Md. at 211. In effect, in arguing that the court
22
Although none of the parties identified this issue, a reader might wonder
whether the reference to a “deposition” in Rule 4-406(c) undermines the conclusion that
discovery is not permitted in a post-conviction action. One explanation is that the term
“deposition” may refer to a deposition taken by agreement of the parties—for example, of
a witness who is unable to appear at the hearing. The term may also refer to a deposition
taken in a related civil case.
28
correctly quashed the subpoena, the State maintains that Rule 4-265 contains an
unwritten exception that prohibits a post-conviction petitioner from ascertaining whether
the State fully complied with its Brady obligations at trial.
As it did in the circuit court, the State bases its contention on District Attorney’s
Office for the Third Judicial District v. Osborne, 557 U.S. 52 (2009), and Washington v.
State, 450 Md. 319 (2016). Neither case supports the State’s contention.
Osborne had been criminally convicted in state court in Alaska. He filed a federal
civil rights action under 42 U.S.C. § 1983. He sought an order requiring the prosecutor to
give him access to evidence that was introduced at his trial so that he could have DNA
testing conducted on it at his expense. Id. at 60. Although Alaska law permitted DNA
testing in limited circumstances (id. at 64-65), Osborne had not availed himself of those
remedies, perhaps because he suspected that they would not apply to him.
The district court ordered the prosecutor to give Osborne access to the evidence.
Id. at 60-61. The United States Court of Appeals for the Ninth Circuit affirmed, “relying
on the prosecutorial duty to disclose exculpatory evidence recognized in” Brady and the
cases that follow it. Id. at 61. In reaching that decision, the Ninth Circuit
“acknowledge[ed]” that the Supreme Court’s “precedents ‘involved only the right to pre-
trial disclosure,’” but “concluded that the Due Process Clause also ‘extends the
government’s duty to disclose (or the defendant’s right of access) to post-conviction
proceedings.’” Id. (quoting Osborne v. District Attorney’s Office for the Third Judicial
District, 521 F.3d 1118, 1128 (9th Cir. 2008)) (emphasis in original).
29
On certiorari, the United States Supreme Court rejected that conclusion. “The
Court of Appeals went too far,” the Court wrote, “in concluding that the Due Process
Clause requires that certain familiar preconviction trial rights be extended to protect
Osborne’s postconviction liberty interest.” Id. at 68. The court reasoned that “[a]
criminal defendant proved guilty after a fair trial does not have the same liberty interests
as a free [person].” Id. “The State accordingly has more flexibility in deciding what
procedures are needed in the context of postconviction relief.” Id. at 69. Once someone
has “been found guilty at a fair trial,” their “right to due process is not parallel to a trial
right.” Id.
Thus, the Court held, “Brady is the wrong framework” for identifying the liberty
interests of a person who has been convicted of a crime. Id. “Instead,” the relevant
question was whether the “consideration of Osborne’s claim within the framework of the
State’s procedures for postconviction relief ‘offends some principle of justice so rooted in
the traditions and conscience of our people as to be ranked as fundamental,’ or
‘transgresses any recognized principle of fundamental fairness in operation.’” Id.
(quoting Medina v. California, 505 U.S. 437, 446, 448 (1992)) (internal quotation marks
omitted in original).
A majority of the Court saw “nothing inadequate about the procedures Alaska
ha[d] provided to vindicate its state right to postconviction relief in general, and nothing
inadequate about how those procedures apply to those who seek access to DNA
evidence.” Id. at 69. “These procedures,” the Court wrote, “are similar to those provided
for DNA evidence by federal law and the law of other States, . . . and they are not
30
inconsistent with the ‘traditions and conscience of our people’ or with ‘any recognized
principle of fundamental fairness.’” Id. at 70 (quoting Medina v. California, 505 U.S. at
446, 448).23
In Washington, 450 Md. at 324, Washington had been convicted of conspiracy to
commit murder and sentenced to life imprisonment. He filed a petition for
postconviction DNA testing under Maryland Code (2001, 2008 Repl. Vol., 2016 Supp.),
§ 8-201 of the Criminal Procedure Article (“CP”). Washington v. State, 450 Md. at 325.
The circuit court denied his petition on the ground that the statute authorized testing only
for those who had been convicted of a “crime of violence” and that conspiracy to commit
murder (unlike murder itself) was not defined as a “crime of violence.” Id. at 325-26.
On appeal, Washington argued that, “by denying him access to postconviction
DNA testing, the State ha[d] unconstitutionally denied him the opportunity to pursue
postconviction relief under Maryland law.” Id. at 336. In rejecting that contention, the
Court began with the premise, enunciated in Osborne, that “criminal defendants who
have been convicted have ‘only a limited interest in postconviction relief’ based on newly
23
The Court went on to castigate Osborne for “[h]is attempt to sidestep state
process through a new federal lawsuit[.]” Id. at 71. The Court stated:
If he simply seeks the DNA through the State’s discovery procedures, he
might well get it. If he does not, it may be for a perfectly adequate reason,
just as the federal statute and all state statutes impose conditions and limits
on access to DNA evidence. It is difficult to criticize the State’s procedures
when Osborne has not invoked them.
Id.
31
discovered evidence because they have already received a fair trial.” Id. at 336 (quoting
Osborne v. District Attorney’s Office for the Third Judicial District, 557 U.S. at 69).
Thus, a State’s procedures for postconviction relief will violate due process only if they
“‘offend[ ] some principle of justice so rooted in the traditions and conscience of our
people as to be ranked as fundamental’” or “‘transgress[ ] any recognized principle of
fundamental fairness in operation.’” Id. (quoting Osborne v. District Attorney’s Office
for the Third Judicial District, 557 U.S. at 69).
Under this highly deferential standard, the Court held that the statute did not
deprive Washington of due process by limiting access to DNA testing based on the crime
of which a person had been convicted. Id. at 339. “The Legislature,” the Court
explained, “has made a policy determination as to when the severity of an individual’s
conviction and the relevance of new DNA evidence outweighs the administrative costs of
preserving DNA evidence and producing it on demand.” Id. at 339-40. The Court added
that Washington had remedies under the UPPA, that he could file a petition for a writ of
actual innocence, and that he had had the opportunity to seek DNA testing at his criminal
trial. Id. at 340.24
Osborne and Washington tell us that, once someone has been convicted of a crime
in a fair trial, their liberty interests are far less expansive than they were before the
conviction. Hence, the states have considerable leeway in structuring post-conviction
24
The Court went on to hold that the statute did not violate Washington’s rights
under the due process or “law of the land” clause in Article 24 of the Maryland
Declaration of Rights, because it has usually construed Article 24 to be coextensive with
the Due Process Clause of the Fourteenth Amendment. Id. at 340-41.
32
remedies. Accordingly, due process does not require a state to make evidence available
for DNA testing at the request of a person who has been convicted of a crime; nor does
due process require a state to allow DNA testing for persons who have been convicted of
some categories of crimes, but not of other similar crimes.
Osborne and Washington have little bearing on this case, because the rights at
issue there derived solely from a guarantee of substantive due process. Lomax’s rights
are different. He bases his claim not on the alleged deprivation of an enfeebled liberty
interest, but on a State statute that empowers a petitioner to challenge a conviction on the
ground that it was obtained in violation of Brady and on a rule that authorizes the
petitioner to use a subpoena to gather the evidence to support that claim. Furthermore,
Osborne and Washington were convicted at fair trials, while in Lomax’s case the fairness
of his trial is at the core of the dispute.
Under the UPPA, a person who has been convicted of a crime and is either
confined or on parole or probation may commence a post-conviction proceeding to
establish that “the sentence or judgment was imposed in violation of the Constitution of
the United States or the Constitution or laws of the State[.]” CP § 7-102(a)(1). It is
axiomatic that a sentence or judgment is “imposed in violation of the Constitution of the
United States” when the State secures a criminal conviction without complying with the
Brady obligations imposed by the Due Process Clause of the Fourteenth Amendment.
Therefore, a person who has been convicted and is either confined or on parole or
probation may commence a post-conviction proceeding to establish that the State secured
the conviction without complying with its Brady obligations. Id.
33
Furthermore, in a post-conviction proceeding, either party, including the
petitioner, has a right to issue subpoenas “commanding a witness to appear to testify” at
the post-conviction hearing and “designat[ing] the relevant documents, recordings,
photographs, or other tangible things, not privileged, that are to be produced by the
witness.” Md. Rule 4-265(b)(1). Therefore, in a post-conviction proceeding in which a
petitioner adequately alleges that the State secured the conviction without complying
with its Brady obligations, the petitioner must be able to issue a subpoena requiring a
State witness to produce the materials that Brady obligated the State to disclose before
the conviction was obtained.
The State is correct that Osborne and (to a lesser extent) Washington stand for the
proposition that the State’s Brady obligation—its obligation to produce exculpatory
information to a criminal defendant, even without a request—ends when the defendant
has “been found guilty at a fair trial.” District Attorney’s Office for the Third Judicial
District v. Osborne, 557 U.S. at 69. Thus, the State is correct that a prosecutor’s Brady
obligation does not survive the conviction.25 But it does not follow that, when Lomax
brought a post-conviction action alleging a Brady violation at his trial, as he was
statutorily entitled to do, and when he issued a subpoena to compel the production of
evidence to support that allegation, as he was also entitled to do, the State had no
25
Even after a conviction, however, a prosecutor has an ethical obligation “to
disclose information that casts doubt on the correctness of the conviction.” Attorney
Grievance Comm’n v. Cassilly, 476 Md. 309, 382 (2021); see Imbler v. Pachtman, 424
U.S. 409, 427 n.25 (1976) (stating that prosecutors are “bound by the ethics of [their]
office to inform the appropriate authority of after-acquired or other information that casts
doubt upon the correctness of the conviction”).
34
obligation to comply. Lomax is correct that a Brady violation does not “disappear”
simply because the State allegedly obtained an unconstitutional conviction. To the
contrary, the violation continues as long as an unconstitutional conviction affects the
rights of the person who was convicted. As Lomax argues, the State is not “forevermore
absolved from Brady compliance” merely “because it obtained a conviction in violation
of Brady.”
If we adopted the State’s position (that a post-conviction petitioner is unable to use
a subpoena to compel the production of the Brady material that the State was obligated to
produce at the criminal trial), we would reward the State for violating a criminal
defendant’s Brady rights and successfully withholding exculpatory evidence until after it
had secured a conviction. At the same time, we would interfere with the ability of post-
conviction petitioners to vindicate their constitutional rights and would insulate some
unconstitutional convictions from collateral attack under the UPPA. We decline to do so.
Lomax correctly asserts that, if a post-conviction petitioner were unable to subpoena the
Brady material that the prosecution failed to produce at trial, the only beneficiary would
be “a prosecutor who has shirked the obligation and ethical duty to produce this evidence
without judicial intervention.”26
26
In some cases, petitioners have succeeded in using the PIA to locate exculpatory
information that the prosecution failed to disclose. See, e.g., Faulkner v. State, 468 Md.
418, 444 (2020); Smith v. State, 255 Md. App. 544, 558 (2022), vacated, ___ Md. ___,
2023 WL 4071729 (June 20, 2023). It is conceivable, however, that a PIA request might
fail to uncover everything that the prosecution wrongly withheld. Consequently, a
subpoena may complement the other tools that a post-conviction petitioner can employ in
attempting to demonstrate a Brady violation. There is nothing in the law stating that a
35
We hold that, when a post-conviction petitioner adequately alleges that the State
secured the conviction without complying with its Brady obligations, the petitioner may
issue a subpoena requiring a State witness to produce the materials that Brady obligated
the State to disclose before the conviction was obtained. An adequate allegation requires
more than a conclusory allegation or an assertion of law; it entails a clear statement of the
facts necessary to establish a likely Brady violation.27
Here, Lomax has adequately alleged that the State secured his conviction without
complying with its Brady obligations. Hersl was a key State witness at Lomax’s criminal
trial in 2013. A few years after Lomax was convicted, Hersl was indicted and convicted
of racketeering, robbery, and other federal offenses, all of which involve deceit and
mendacity. The jury found “that Hersl committed . . . four robberies or conspiracies to
commit robbery under Maryland law and four acts of overtime-related wire fraud[.]”
United States v. Taylor & Hersl, 942 F.3d at 210. None of Hersl’s crimes occurred long
after Lomax’s conviction. Id.
In these circumstances, it is reasonable to infer that Hersl did not suddenly go bad,
but that he had been a corrupt and dishonest police officer even before he committed the
crimes for which he was convicted. It is equally reasonable to infer that, even before he
committed those crimes, Hersl’s corruption and dishonesty might have been known to
post-conviction petitioner is relegated to the PIA in attempting to uncover exculpatory
information that the State failed to produce at the criminal trial.
27
Cf. Md. Rule 2-305 (requiring “a pleading that sets forth a claim for relief” to
“contain a clear statement of the facts necessary to constitute a cause of action”).
36
some of the prosecutors in the Office of the State’s Attorney for Baltimore City or to
“‘others acting on the government’s behalf in this case, including the police.’” Strickler
v. Greene, 527 U.S. at 281 (quoting Kyles v. Whitley, 514 U.S. at 437). The court erred,
therefore, in quashing a subpoena to the extent that it requested the “Brady material” that
the State was obligated to produce about Hersl at or before Lomax’s trial.
The allegations about Detectives Burns and Ilgenfritz are less compelling than
those about Hersl, but they are adequate to justify a subpoena. Lomax alleged that all
three officers planted drugs on Kevron Evans (a.k.a., “Young Moose”) on October 20,
2012, before Lomax’s trial. Lomax also alleged that Detective Burns robbed Kenyon
Paylor on January 2, 2014 (after Lomax’s trial, but before he was sentenced), and that he
robbed Herbert Tate on November 27, 2015. The Bromwich Report lists three incidents
involving Detective Burns, the earliest of which occurred on November 5, 2014, within
18 months of Lomax’s conviction and before Lomax was actually sentenced. Hersl was
convicted of submitting a false incident report about how much money was seized from
the defendant’s person and safe in that incident. Bromwich Report, p. A2. The court also
erred, therefore, in quashing a subpoena to the extent that it requested the “Brady
material” that the State was obligated to produce about Detective Burns and Ilgenfritz at
or before Lomax’s trial.28
28
In his reply brief, Lomax cites a Daily Record article that reports that the State’s
Attorney for Baltimore City dropped criminal charges against a man who alleged that in
2014 Hersl had planted drugs on him and that another officer “found” the drugs during a
search. Madeleine O’Neill, Baltimore Police Department faces 2 new lawsuits tied to
discredited officers, The Daily Record (Aug. 11, 2022). The man filed a civil suit against
Hersl, Detectives Burns and Ilgenfritz, and other officers. Id. Although the circuit court
37
The State propounds a number of rear-guard arguments against this conclusion.
None are persuasive.
First, the State argues that the subpoena was “misdirected” to the prosecutor, at
least to the extent that it sought materials in the possession of the police. The argument
has no merit. A subpoena duces tecum typically requires more than just the production of
documents and tangible things in the recipient’s actual, physical possession; it also
requires the production of documents and tangible things in her custody or control. Here,
the prosecutor had “control” over documents and tangible things that she was able to
obtain from the police department. In any event, because the police are an arm of the
prosecution, “the records are also constructively in the possession of the prosecution.”
Robinson v. State, 354 Md. at 309.
Second, the State argues that the subpoena was overly broad, because it purported
to compel the production of information that did not exist until after Lomax’s conviction.
The State’s complaint is mooted by Lomax’s representation on appeal that he now seeks
nothing more than what the State “was required to produce at the time of trial.”
Third, the State invokes Rule 4-406, which concerns the manner in which
evidence may be presented at a hearing on a post-conviction petition—specifically, “by
affidavit, deposition, oral testimony, or in any other form as the court finds convenient
and just.” The State seems to argue that, by empowering the court to allow the
did not have the opportunity to consider this report (because it did not come out until
more than a year after the ruling), it affords another reason for this Court to conclude that
Lomax has an adequate basis to pursue his subpoena.
38
presentation of evidence in “any other form as the court finds convenient and just,” the
rule empowers the court to curtail a petitioner’s subpoena power. If that is the argument,
the State has it all wrong. Rule 4-266(c), governing protective orders, empowers a court
to quash or limit a subpoena in certain circumstances.29 Rule 4-406(c), by contrast,
encourages liberality in the presentation of evidence at post-conviction hearings. It even
permits a court “to decline to require strict application of the rules” of evidence, “except
29
Rule 4-266(c) provides:
(c) Protective Order. Upon motion of a party, a person named in
the subpoena, or a person named or depicted in an item specified in the
subpoena filed promptly and, whenever practicable, at or before the time
specified in the subpoena for compliance the court, for good cause shown,
may enter an order which justice requires to protect the party or person
from annoyance, embarrassment, oppression, or undue burden or expense,
including one of the following:
(1) That the subpoena be quashed;
(2) That the subpoena be complied with only at some designated
time or place other than that stated in the subpoena, or before a
judge, or before some other designated officer;
(3) That certain matters not be inquired into or that the scope of
examination or inspection be limited to certain matters;
(4) That the examination or inspection be held with no one present
except parties to the action and their counsel;
(5) That the transcript of any examination or matters produced or
copies, after being sealed, not be opened or the contents be made
public only by order of court; or
(6) That a trade secret or other confidential research
development or commercial information not be disclosed
or be disclosed only in a designated way.
39
those relating to the competency of witnesses.” Rule 4-406(c) has no bearing on the
permissible scope of a subpoena.
Fourth, the State complains that Lomax’s subpoena “was not focused on what
tangible information the prosecutor had in her possession and control at the time of trial.”
The State’s complaint fails to recognize that the Brady obligation goes beyond what the
prosecutor actually knew or had and that it extends to information known to other
prosecutors in the same office or to the police. As Lomax puts it, “The duty to disclose
impeachment evidence also includes the duty to obtain it.”
Finally, the State argues that Lomax “waived” his Brady claim because his
application for leave to appeal did not challenge the court’s ultimate finding that the State
had not violated Brady. The court’s finding is, however, tainted by its error in quashing
Lomax’s subpoena in its entirety and thus frustrating his ability to establish a Brady
violation. Furthermore, the State made a similar “waiver” argument in opposing
Lomax’s application for leave to appeal. This Court would not have granted an
application for leave to appeal from the ruling quashing the subpoena if we believed that
that issue was academic in light of the court’s ultimate finding.30
30
Lomax was convicted in May of 2013, but he was not sentenced until December
1, 2014. He contends that his subpoena requires the State to produce “Brady material”
through the date when he was sentenced and his conviction became final. In fact, he
argues that his subpoena requires the State to produce “Brady material” for another year
after his conviction became final, while he had the right to move for a new trial on the
basis of newly discovered evidence under Maryland Rule 4-331(c). Because the circuit
court quashed the subpoena in its entirety, it did not consider or decide the question of
when the State’s Brady obligation ended. Nor shall we. Md. Rule 8-131(a).
40
Lomax’s request for IAD records stands on a different footing from his request for
general Brady material. Under the law both at the time of his trial and at the time of the
post-conviction hearing, IAD records were considered to be personnel records, which
were “‘mandatorily exempt from disclosure by the custodian of records’ under the PIA.”
Fields v. State, 432 Md. at 666 (quoting Montgomery County v. Shropshire, 420 Md. 362,
383 (2011)). “[N]onetheless,” under the law at that time, “[a] person facing criminal
charges” might be entitled “to discovery of confidential personnel records.” Id.
“[I]n this context,” a court was required to balance the “confidentiality interest” “against
the confrontation and due process rights of the defendant.” Id. If the criminal defendant
demonstrated a “need to inspect” the records, by showing “a reasonable possibility that
review of the records would result in discovery of usable evidence,” the court was
required to review the records in camera. Id. at 667. “The court’s ultimate determination
of whether to allow discovery of the sought-after information d[id] not rest on whether
the records themselves are admissible at trial, but rather on whether disclosing that
material to the seeking party would reveal or lead to admissible evidence.” Id. at 668.
Lomax relied on this so-called “Fields test” in opposing the motion to quash his
subpoena for the IAD records, and he relies on it on appeal. His reliance is misplaced.
Had Lomax been seeking the IAD records at his criminal trial, the Fields test would have
governed the court’s decision. In the case before us, however, Lomax requested the IAD
records in a post-conviction proceeding after he had been convicted at a criminal trial.
The Fields test, which applied when “a person facing criminal charges” sought IAD
records in order to exercise “the confrontation and due process rights” that belong to a
41
criminal defendant, did not apply in that post-conviction proceeding. Because a person
who has been convicted of a crime does not have the same “confrontation and due
process rights” as a person who is merely “facing criminal charges,” the protection for
IAD records, should, if anything, have been greater in a post-conviction case than in a
criminal case.
Lomax argues that he satisfied the Fields test, but he does not explain why the test
would have applied in a post-conviction case as opposed to a criminal trial. The court did
not err in quashing Lomax’s request for IAD records.
Lomax also argues that because the IAD records “are no longer privileged,” we
need not decide whether he was entitled to the disclosure of the IAD records that he
sought to compel by means of his subpoena. He correctly observes that, effective
October 1, 2021, GP § 4-311 was amended to add subsection (c)(1). That new subsection
provides, in general, that: “a record relating to an administrative or criminal investigation
of misconduct by a police officer, including an internal affairs investigatory record . . . is
not a personnel record for the purposes of this section.”31 In other words, as of October
1, 2021, IAD records in general are no longer classified as “personnel records” under the
PIA. As of October 1, 2021, therefore, a custodian of records is no longer required to
deny a PIA request for the inspection of IAD records on the ground that they are
31
“A record of a technical infraction,” however, is still defined as a “personnel
record” under the PIA. GP § 4-311(c)(2).
42
“personnel records.” Instead, the custodian may, but need not, deny a request. GP § 4-
351(a).
In his brief, Lomax “suggests” that “the most effective way to resolve this appeal
is to provide that on remand he may renew his request for the production of [the IAD
records] under law.” Because the case must return to the circuit court for further
proceedings pertaining to Lomax’s right to subpoena the “Brady material” to which he
was entitled at trial, and because the law governing access to IAD records has changed,
we agree that, on remand, the court, in its discretion, may permit Lomax to renew his
request for those records. We express no opinion as to whether the court should grant the
request or how it should resolve the issue of access to the records if it grants the request:
the parties did not brief those issues, nor were they considered or decided in the circuit
court.32
In summary, the court erred in quashing Lomax’s subpoena insofar as it required
the State to produce the “Brady material” that the State should have produced at his
criminal trial. The court, however, did not err in quashing Lomax’s subpoena insofar as
it required the State to produce the IAD records for Hersl and Detectives Burns and
Ilgenfritz, but because of the change of law since the court’s ruling, the court may allow
Lomax to propound a new subpoena for those records.33
32
Of course, Lomax can also attempt to obtain the IAD records through a PIA
request. To the extent that he succeeds, a subpoena would become unnecessary.
33
In the circuit court, the State argued that Lomax had waived his right to
subpoena IAD records because he had not attempted to obtain the records (or at least
those of which he was informed) at his trial. On appeal, the State does not pursue that
43
II.
Lomax contends that the circuit court erred in determining that trial counsel’s
performance was not prejudicially deficient. We disagree, and for the reasons discussed
below, shall affirm this aspect of the judgment of the circuit court.
The Sixth Amendment to the United States Constitution and Article 21 of the
Maryland Declaration of Rights guarantee criminal defendants the right to the assistance
of counsel at critical stages of the proceedings against them. To ensure that the right to
counsel provides meaningful protection, the right has been construed to require the
“‘effective assistance of counsel.’” Strickland v. Washington, 466 U.S. 668, 686 (1984)
(quoting McMann v. Richardson, 397 U.S. 759, 771 n.14 (1970)); accord Yaw Poku
Podieh v. State, 470 Md. 272, 290 (2020); State v. Syed, 463 Md. 60, 74 (2019); accord
State v. Sanmartin Prado, 448 Md. 664, 681 (2016).
To establish a claim of ineffective assistance of counsel in violation of his
constitutional rights, Lomax must satisfy the two-prong test articulated in Strickland v.
Washington. The first prong requires Lomax to show that counsel’s performance was
deficient because he “made errors so serious that counsel was not functioning as the
argument, so we do not consider it. In this regard, we note that, according to Janice
Bledsoe, who headed the Police Integrity Unit in the State’s Attorney’s Office from April
2011 until September 2012, Baltimore City prosecutors “had little information about the
contents of IA files and derogatory information about officers—including allegations of
corruption and untruthfulness—that resided in those files.” Bromwich Report, p. 131.
Thus, it is conceivable that, at the time of Lomax’s trial, he was not informed of (and not
given the opportunity to attempt to obtain) some of the IAD records of which he should
have been informed.
44
‘counsel’ guaranteed . . . by the Sixth Amendment.” Strickland v. Washington, 466 U.S.
at 687. The second prong requires Lomax to show that counsel’s performance was so
deficient that he was prejudiced by it. Id.
To satisfy the first prong, Lomax must show that the acts or omissions of counsel
were the result of unreasonable professional judgment and that counsel’s performance
fell below an objective standard of reasonableness considering prevailing professional
norms. See, e.g., Cirincione v. State, 119 Md. App. 471, 484 (1998) (citing Oken v. State,
343 Md. 256, 283 (1996)); see also Coleman v. State, 434 Md. 320, 331 (2013). Because
“[a] fair assessment of attorney performance requires that every effort be made to
eliminate the distorting effects of hindsight, to reconstruct the circumstances of counsel’s
challenged conduct, and to evaluate the conduct from counsel’s perspective at the
time[,]” “a court must indulge a strong presumption that counsel’s conduct falls within
the wide range of reasonable professional assistance; that is, the defendant must
overcome the presumption that, under the circumstances, the challenged action ‘might be
considered sound trial strategy.’” Strickland v. Washington, 466 U.S. at 689 (quoting
Michel v. Louisiana, 350 U.S. 91, 101 (1955)).
To satisfy the second prong, Lomax must show that “there is a reasonable
probability that, but for counsel’s unprofessional errors, the result of the proceeding
would have been different.” Id. at 694; Harris v. State, 303 Md. 685, 700 (1985). A
“reasonable probability” is “‘a probability sufficient to undermine confidence in the
outcome.’” Coleman v. State, 434 Md. at 340 (quoting Strickland v. Washington, 466
U.S. at 694). “The benchmark for judging any claim of ineffectiveness must be whether
45
counsel’s conduct so undermined the proper functioning of the adversarial process that
the trial cannot be relied on as having produced a just result.” Strickland v. Washington,
466 U.S. at 686.
Whether Lomax received ineffective assistance of counsel is “a mixed question of
fact and law.” State v. Purvey, 129 Md. App. 1, 10 (1999). “[W]e will defer to the [post-
conviction] court’s findings of historical fact, absent clear error.” Cirincione v. State,
119 Md. App. at 485 (citation omitted). But we exercise our “own independent judgment
as to the reasonableness of counsel’s conduct and the prejudice, if any.” State v. Jones,
138 Md. App. 178, 209 (2001), aff’d, 379 Md. 704 (2004).
Lomax asserts two claims of ineffective assistance of counsel. In the first claim,
Lomax argues that counsel was ineffective in two, related ways: (1) he failed to object in
closing argument when the State said that the victim’s medical records showed five bullet
holes in his body and (2) he failed to use the medical records to show that the weapon
retrieved in this case could not have been the one that was used in the shooting. In the
second claim, Lomax argues that counsel was ineffective because he failed to use
available video evidence to rebut the State’s case and undermine the efficacy of its
witnesses.
Lomax contends that he was prejudiced by his trial counsel’s alleged failings
because counsel “fail[ed] to marshal the existing evidence to both demonstrate Mr.
Lomax’s innocence—and more importantly—demonstrate that the State’s position was
bereft of support.”
46
A. Medical Record
At Lomax’s trial, the State explained, in closing argument, why the medical
evidence supported its contention that the weapon used to shoot the victim, Alonzo
Tunnell, was the six-shot revolver containing three live cartridges and three spent
casings. There, the State argued that two pages of medical records describe “five holes”
in Tunnell’s body as result of the shooting. According to the State, three shots could
cause five holes (if some of the holes were exit wounds). Thus, the State argued, the six-
shot revolver was (or could have been) the weapon that was used to shoot Tunnell even
though it still contained three live cartridges.
Trial counsel did not object to the State’s interpretation of the medical records at
trial, nor did he present an alternative interpretation of the medical records (that the
records showed six, rather than five, holes in Tunnell’s body) during his own closing.
However, counsel did argue that the revolver couldn’t have been used in the shooting for
different reasons: he cited Tunnell’s testimony that he was shot six times or more and
argued that Lomax’s revolver “could never have fired six rounds because it only holds six
rounds and three live rounds were left.”
Lomax contends that he received ineffective assistance of counsel because the
State could connect him to the shooting only if it could prove that Tunnell’s injuries
could be caused by just three bullets, and his interpretation of the medical evidence
negates that possibility. He contends that his chance of acquittal by the jury was
commensurate with his ability to show that the six-shot revolver could not have been
used in the assault. Hence, he concludes that trial counsel was deficient in failing to
47
object to the State’s presentation of the records and in failing to use the medical records
to argue that the gun that Lomax allegedly dropped was not the weapon used to shoot
Tunnell.
The circuit court rejected Lomax’s contentions. It found, first, that the medical
records were susceptible to multiple interpretations—one page indicated that there were
five bullet holes, while another page was ambiguous as to whether there were five or six
bullet holes. Recognizing that it is often a bad strategy to object during closing
argument,34 the court concluded that it would certainly have been bad strategy for counsel
to object to the State’s closing argument in Lomax’s trial, because the objection would
have been overruled—the State was free to argue its interpretation of the evidence.
The court also found that trial counsel had argued “vehemently” that the six-shot
revolver could not have been the weapon used in the shooting. For example, counsel had
cited Tunnell’s testimony, claiming that he said that he had been shot six, seven, or eight
times, to argue that he could not have been shot with a six-shooter that contained three
live cartridges. The court concluded that counsel’s performance was not deficient merely
because he did not use the medical records that make his point. “Trial counsel,” the court
wrote, “argued the issue but chose to do it differently.” “[That] does not mean that his
performance fell below the objective standard of reasonableness.”
We see no error in the court’s conclusions. First, Lomax has not rebutted the
strong presumption that the failure to object in closing argument was anything other than
34
See, e.g., Kulbicki v. State, 207 Md. App. 412, 452 (2012), rev’d, 440 Md. 33
(2014), cert. granted, judgment rev’d, 577 U.S. 1 (2015), and aff’d, 445 Md. 451 (2015).
48
sound trial strategy. Strickland v. Washington, 466 U.S. at 689. Second, it is a matter of
pure hindsight and second-guessing to say that counsel should have used the ambiguous
medical records, rather than the victim’s own testimony, to attempt to show that the six-
shooter could not have been the weapon used in the crime.
B. Surveillance Video
In his second challenge to counsel’s competence, Lomax faults his defense
counsel for failing to use the surveillance video evidence from the liquor store to
undermine the State’s case. Lomax claims that the video does not corroborate the
testimony of the law enforcement witnesses.
Specifically, Lomax argues that the video does not show a figure matching his
description, nor does it show two suspects running from the scene as described by the
police officers. Although Lomax admits that the video is “imperfect” and that it skips in
time, he contends that no reasonable attorney should forego the use of visual evidence,
even if imperfect, when it tends to contradict witness testimony. Lomax reasons that this
video would have been useful to sow reasonable doubt because “a video showing nothing
is, in fact, something.”
Lomax is unable to raise this issue in a post-conviction proceeding. Under CP § 7-
102(b), Lomax may pursue a post-conviction petition only if “the alleged error has not
been previously and finally litigated or waived in the proceeding resulting in the
conviction or in any other proceeding that [he] has taken to secure relief from [his]
conviction.” Under CP § 7-106(b)(1)(i)(3), “an allegation of error is waived when a
petitioner could have made but intelligently and knowingly failed to make the allegation
49
. . . on direct appeal[.]” In his motion for a new trial, Lomax contended that his trial
counsel was ineffective because he did not employ the video; the court rejected that
contention; and Lomax failed to challenge the ruling on direct appeal. Therefore, he has
waived the contention.
But even if Lomax had not waived the contention, we would find no error, because
the record reflects that trial counsel made a reasonable, strategic decision not to use the
video.
In its opinion on this subject, the circuit court began by observing that, in denying
Lomax’s motion for a new trial, the trial court had called the video a “visually poor piece
of evidence” that presented “an incomplete and rather unclear recording of events near
the scene of the shooting.” The circuit court noted the trial court’s conclusion that the
video alone would not create a substantial possibility of a different result.
After viewing the video, the circuit court rejected Lomax’s claim of ineffective
assistance. The court observed that the video was taken from an elevated position, which
makes it impossible to determine the height or facial features of anyone, and impossible
to determine whether anyone was wearing a mask. The court also observed that the video
skips and stalls, at one key point omitting more than 90 seconds of activity. In the court’s
view, the poor quality of the video supported trial counsel’s explanation that he did not
use the video (and told Lomax that he would not use the video) because “it was not [a]
complete representation of what happened at the crime scene.” Accordingly, the court
concluded that it was “not unreasonable” for trial counsel to determine that the video
“would have no value.”
50
We too have no reason to conclude that counsel was ineffective in electing not to
show a video to the jury that was described by the trial court as “a visually poor piece of
evidence” that presented “an incomplete and unclear recording of the events near the
scene of the shooting.” Trial counsel provided a reasonable explanation for his decision
not to use the video. A reasonable strategic decision is not ineffective assistance of
counsel. Cirincione v. State, 119 Md. App. at 485.
JUDGMENT OF THE CIRCUIT COURT
FOR BALTIMORE CITY AFFIRMED IN
PART AND REVERSED IN PART. CASE
REMANDED FOR FURTHER
PROCEEDINGS CONSISTENT WITH
THIS OPINION. COSTS TO BE PAID
ONE-HALF BY APPELLANT AND ONE-
HALF BY MAYOR AND CITY COUNCIL
OF BALTIMORE.
51