dissenting:
I dissent.
I believe that the trial judge did not conduct an adequate inquiry to determine whether Moran’s fateful decision to dismiss his counsel was animated by his own free will, or whether, instead, it was the product of state-prescribed drugs affecting Moran’s precarious mental state.
The majority’s analysis is flawed on two fronts. First, the failure of the trial judge to conduct an adequate inquiry violated Moran’s constitutional procedural right, under Pate v. Robinson, 383 U.S. 375, 86 S.Ct. 836, 15 L.Ed.2d 815 (1966), to a hearing to evaluate his mental competence whenever a doubt about such competence is raised. Contrary to the majority’s conclusion, failure to hold such a hearing cannot be cured by a post-conviction hearing, years after the fact, in which the defendant is allocated the burden of retrospectively proving his competency.
*701Second, the judge’s failure to conduct a proper inquiry calls into question whether Moran’s guilty plea and waiver of right to counsel were knowingly, intelligently, and voluntarily tendered. The majority gives short shrift to Moran’s strong argument that his waiver of constitutional rights was not knowing, intelligent, and voluntary. In my view, however, the trial judge’s woefully inadequate inquiry into whether Moran’s choice was truly free and rational necessitates a more detailed look at the evidence. Moreover, this is not one of the rare cases in which the totality of circumstances permits us to affirm a waiver of fundamental rights absent an adequate canvass by the trial judge.
I address each of these issues in turn.
I. COMPETENCE: EFFECT OF THE PATE VIOLATION
As the majority notes, Moran told the trial judge that he was under the influence of state-prescribed drugs at the time he entered his guilty plea and dismissed his counsel. When combined with everything else the judge knew about Moran’s state of mind, this statement should have been sufficient to raise a good faith doubt about Moran’s competence to stand trial. I therefore agree with the majority’s conclusion that the trial court was required to hold a sua sponte hearing under Pate v. Robinson, 383 U.S. 375, 86 S.Ct. 836. It is undisputed that the trial judge did not do so.
This failure to hold a contemporaneous hearing to determine competence violated Moran’s constitutional right to a fair trial. Id. Furthermore, there is no doubt that failure to conduct an adequate Pate hearing is reversible error on habeas review. Pate itself was a habeas case. As I read the majority opinion, we are all in agreement up to this point.
The more difficult question, on which we disagree, is whether the State’s constitutional error was cured by the post-conviction hearing held a few years after the trial. The salient fact about the post-conviction hearing is that the presiding judge placed the burden of proof as to Moran’s competence on Moran. For a number of reasons, I am convinced that this post-conviction hearing was constitutionally inadequate to cure the state’s initial failure to hold a contemporaneous Pate hearing.
A. Constitutional requirements to cure a Pate violation.
It is clear that a Pate violation can only be cured by a post-conviction hearing in which the state bears the burden of proving that the defendant was competent to stand trial. In other words, the state must bear the burden of retrospectively proving competence if the trial court failed to provide the defendant with the constitutionally required contemporaneous hearing.1
We need look no further than Pate itself to see that this is true. The opinion in Pate can be divided analytically into two parts. In part one, discussing the constitutional violation, the Supreme Court confirmed a defendant’s right to a contemporaneous hearing where a good faith doubt arises before sentencing concerning the defendant’s competence to stand trial. In the second part of Pate, discussing the appropriate relief for such a violation, the Supreme Court established that where the trial court failed to hold the required contemporaneous hearing the state then bears the burden of nonpersuasion in any subsequent competency determination.
The second part of Pate discusses the appropriate relief for a Pate violation. This second part of Pate has not been analyzed as often as the first, but it is well established and frequently applied. In Pate, after determining that the defendant’s constitutional right to a contemporaneous competency hearing had been violated, the Supreme Court turned to the question of what relief was proper on habeas review. The state argued that it could cure the violation by *702holding a retrospective hearing, but the Court disagreed, noting that after six years there was insufficient evidence to make the required competency determination.
At this point, if the burden in a retrospective competency determination had been on the defendant, the Court would have affirmed the state court conviction. Instead, the Court reversed the conviction and remanded for a new trial; thus the Court established that the burden of proving a defendant’s competence in a retrospective determination is on the state.
This precedent has been consistently followed by the Supreme Court, see, e.g., Drope v. Missouri, 420 U.S. 162, 183, 95 S.Ct. 896, 909, 43 L.Ed.2d 103 (1975) (reversing for new trial after finding that remand for psychiatric evaluation to determine whether defendant was competent to stand trial six years ago was not a proper remedy), and has frequently been applied by this circuit, see, e.g., Evans v. Raines, 800 F.2d 884, 888 (9th Cir.1986) (upholding the findings of a competency hearing held five years ex post facto only because the evidence was sufficient to retrospectively determine competence); Sieling v. Eyman, 478 F.2d 211, 215-16 (9th Cir.1973) (remanding to trial court to determine whether there was sufficient evidence to determine competence retrospectively).2
In every case where our court or the Supreme Court has addressed the sufficiency of the evidence for making a retrospective determination, we have affirmed the view that the state bears the burden of nonpersuasion: where the evidence is insufficient to make a retrospective determination, the conviction is reversed and the case remanded for a new trial. The necessary conclusion from these cases is that the state bears the burden of proving competence in a retrospective hearing held after a Pate violation. This is precisely the conclusion of the Eleventh Circuit, James v. Singletary, 957 F.2d 1562 (11th Cir.1992), which examined the issue in greater detail than any other circuit.3
“Once the petitioner has established [that the trial court should sua sponte have held a competency hearing] ... he or she has made out a federal constitutional violation. At this point, the state has the opportunity to establish before the federal district court the petitioner’s competency at the time of trial.”
James, 957 F.2d at 1571 (emphasis added).
The majority argues that Medina v. California, - U.S. -, 112 S.Ct. 2572, 120 L.Ed.2d 353 (1992), requires us to disregard the compelling logic of James. In Medina, the Supreme Court addressed the question, not addressed in Pate, of who must bear the burden of proof in a contemporaneous Pate hearing. Medina determined that the Constitution permits the states to place the burden on the defendant in the required contem*703poraneous competency hearing. This holding is completely consistent with Pate and James.
The Medina opinion explicitly discussed and re-affirmed the first part of Pate, that a defendant is entitled to a contemporaneous hearing in the event doubts are raised as to competence. Id. at - - -, 112 S.Ct. at 2578-79. The Supreme Court went on to explain that the allocation of the burden of proof in such a contemporaneous hearing is not of constitutional dimension. Id. The test for whether a state procedure violates the Constitution is that of fundamental fairness, and no principle of fundamental fairness is violated by placing on a defendant the burden of proof in a contemporaneous competency hearing. Id. One of the reasons that fundamental fairness is not violated is that in a contemporaneous hearing only a very small proportion of the cases are affected by the state’s allocation of the burden of proof: cases where the evidence as to competence is in perfect equipoise. Id.
The Medina opinion did not directly or indirectly address the second part of Pate discussing the proper relief when no contemporaneous hearing is held despite doubt about the defendant’s competence. In Medina, the required contemporaneous hearing was held. The only question was the adequacy of that contemporaneous hearing. Thus, Medina did not discuss the burden of proof in a retrospective competence determination after a Pate violation. See Appellee’s brief at 5 (conceding this point). We therefore remain bound by Pate and its progeny on this issue.
Even if the holding in Medina were read to cast some doubt on the second part of Pate, there are good reasons not to extend Medina in such a radical fashion as does the majority. In contrast with contemporaneous determinations, it will frequently be the ease that the critical facts necessary for making a retrospective competency determination are unavailable years after the trial, thereby leaving the evidence in equipoise on the issue whether the defendant was competent at the time of trial. See Evans, 800 F.2d at 888 (“When the state court fails in [its duty to conduct a contemporaneous hearing], it often may be impossible to repair the damage retrospectively.”).
Allowing the burden to fall on the defendant to prove incompetence in the retrospective determination would result in affir-mances in every case where the record has become stale. This is the exact opposite of the current practice. Yet in such cases it is the state court’s error in failing to hold a contemporaneous hearing that results in the loss of evidence. It is fundamentally unfair to allow the conviction of a possibly incompetent defendant to stand because of the state’s failure to observe constitutionally mandated procedures in the first instance.
The case at bar is a case in point. It would not have been difficult at the time of Moran’s trial to have conducted a hearing to determine the actual effect of the drugs that Moran had ingested on his ability to meaningfully participate in trial decisions. In contrast, by the time of his post-conviction hearing the only evidence of the actual effect of the drugs was Moran’s testimony that they caused him not to care about what happened. The Nevada Supreme Court specifically relied on the paucity of evidence about the actual effect of the drugs in dismissing Moran’s appeal. 3/15/89 Order Dismissing Appeal at 3-4 (“Moran presented no medical evidence in the post-conviction hearing which necessarily established that the medication influenced him to such an extent that he was unable to understand the meaning and consequences of his plea.” (emphasis added)).4 In other words, the Nevada Supreme Court specifically relied on Moran’s failure to produce evidence that may have been available when the Pate hearing should have been held, but which was no longer available by the time of the post-conviction hearing.5
*704II. KNOWING, VOLUNTARY, AND INTELLIGENT WAIVER
Even if it were determined that Moran was competent, I would conclude that his guilty plea and waiver of right to counsel were not knowingly and voluntarily tendered, as required by the Fifth, Sixth, and Fourteenth Amendments to the Constitution. The majority’s discussion of this issue is very brief, and the majority completely fails to discuss the impact of Moran’s mental problems and state-prescribed drugs on his decision.
The Nevada trial judge was required to determine whether Moran’s waiver of constitutional rights was adequate to meet federal standards. Those standards are the same for a guilty plea and for a waiver of counsel. Boykin v. Alabama, 395 U.S. 238, 242-43, 89 S.Ct. 1709, 1711-12, 23 L.Ed.2d 274 (1969). Courts are required to “indulge in every reasonable presumption against waiver.” Brewer v. Williams, 430 U.S. 387, 404, 97 S.Ct. 1232, 1242, 51 L.Ed.2d 424 (1977) (in habeas proceeding, it is incumbent on the State to prove that a waiver was voluntary); See also Parke v. Raley, — U.S. -, -, 113 S.Ct. 517, 523, 121 L.Ed.2d 391 (1992) (contrasting direct appeal, where the Constitution requires States to grant a presumption of invalidity to an uninformed guilty plea, with collateral challenge, including habeas petition, where there is no such presumption). Our review of the state’s voluntariness determination is de novo, although we accord a presumption of correctness to the factual findings underpinning the state’s ultimate voluntariness determination. Terrovona v. Kincheloe, 852 F.2d 424, 428 (9th Cir.1988) (state’s voluntariness determination is not subject to 28 U.S.C. § 2254(d) presumption of correctness).
The competency determination and the knowing, intelligent and voluntary waiver determination require interrelated, but not identical, inquiries. Whereas the competency determination turns on whether Moran had the capacity to knowingly and voluntarily waive his rights, the knowing and voluntary inquiry turns on whether he actually did knowingly and voluntarily waive his rights. Godinez v. Moran, — U.S. -, - n. 12, 113 S.Ct. 2680, 2687 n. 12, 125 L.Ed.2d 321 (1993).
A defendant who is incompetent obviously may not knowingly, intelligently, and voluntarily waive constitutional rights. See Pate v. Robinson, 383 U.S. 375, 384, 86 S.Ct. 836, 841, 15 L.Ed.2d 815 (1966). But a mere showing that a defendant is competent is not sufficient to demonstrate that the waiver of right to counsel was knowing, intelligent, and voluntary. “In this sense there is a ‘heightened’ standard for pleading guilty and for waiving the right to counsel....” Moran, — U.S. at -, 113 S.Ct. at 2687 (emphasis in original). Or, as Justice Frankfurter stated nearly a half century ago, “[tjhere must be both the capacity to make an understanding choice and an absence of subverting factors so that the choice is clearly free and responsible.” Von Moltke v. Gillies, 332 U.S. 708, 729, 68 S.Ct. 316, 326, 92 L.Ed. 309 (1948) (Frankfurter, J., concurring) (emphasis added).
The majority’s critical error is that it unreasonably narrows this inquiry. It completely fails to examine whether Moran’s mental state and the drugs he was given subverted his decisions to waive counsel and plead guilty.
In the context of Moran’s waiver of counsel, the majority examines only whether Moran was advised of his rights and whether he indicated unequivocally that he understood those rights. Majority at pp. 699-700. The majority does not discuss whether, and if so to what extent, Moran’s decision was affected by the drugs and by his clinically depressed state.
In the context of Moran’s guilty plea, the majority quotes North Carolina v. Alford to *705the effect that we must look to whether the guilty plea is “a voluntary and intelligent choice among the alternative courses of action,” 400 U.S. 25, 31, 91 S.Ct. 160, 164, 27 L.Ed.2d 162 (1970). But the majority does not apply this standard. Rather, it looks only to whether Moran “understood the rights he was forsaking-” Id. at 699. This is a different question from whether Moran made a knowing, voluntary, and intelligent choice.
Where a defendant’s mental state has not been called into question, an inquiry such as that undertaken in the majority opinion is sufficient. But where, as here, the defendant was suicidal, depressed, and taking powerfully psychoactive drugs, we have an additional duty to determine whether these factors subverted his decision to such an extent that they precluded a truly free and rational choice. See United States v. Christensen, 18 F.3d 822, 825-26 (9th Cir.1994) (mental or emotional instability of defendant provoked suspicion that waiver of right to jury trial may not have been knowingly, voluntarily and intelligently tendered).
To do so, we are obliged to follow the two-step procedure discussed in the following section: First, we must determine whether the state trial court’s transcript contains enough information for us to determine that the waiver was knowing intelligent and voluntary, i.e., if the Faretta canvass was adequate. Second, if the Faretta canvass was inadequate, as I believe it was, we must examine the entire record to determine whether, under the totality of the circumstances, this is one of the rare cases in which we may affirm a waiver of constitutional rights despite an inadequate waiver canvass. The majority fails to undertake such an analysis, and because of that failure comes to an erroneous conclusion.
A. Procedural Requirements of Faretta and Boykin.
The Constitution requires a state trial court to engage in careful inquiry before accepting a waiver of constitutional rights. Arnold v. United States, 414 F.2d 1056, 1058 (9th Cir.1969).
In the context of waiver of the right to counsel, this careful inquiry is accomplished by means of a “Faretta canvass.” Faretta v. California, 422 U.S. 806, 95 S.Ct. 2525, 45 L.Ed.2d 562 (1975) (establishing the right to self-representation, but only where the record establishes that the accused “knows what he is doing and his choice is made with eyes open” (emphasis added)).6 To conduct a proper Faretta canvass, the trial court “must investigate as long and as thoroughly as the circumstances of the case before him demand.” Von Moltke, 332 U.S. at 723-724, 68 S.Ct. at 323. “A colloquy conducted in a rote and mechanical fashion ... may look reassuring on the record but will do little to protect the rights of the accused.” United States v. Balough, 820 F.2d 1485, 1488-90 (9th Cir.1987) (Kozinski, J., concurring). Thus, the court cannot meet the principles of Faretta by just going through the motions of merely eliciting the proper responses to boilerplate questions. Instead, “[a] judge can make certain that an accused’s professed waiver of counsel is understandingly and wisely made only from a penetrating and comprehensive examination of all the circumstances under which such a plea is tendered.” 332 U.S. at 724, 68 S.Ct. at 323.
Despite the importance of the Faretta canvass, an inadequate Faretta inquiry by the trial court does not conclusively establish absence of effective waiver. Mason v. Pitchess, 440 F.2d 454 (9th Cir.1971). But we only rarely affirm a waiver of constitutional rights absent an adequate Faretta canvass on the record by the court to determine whether the waiver is understandingly and voluntarily offered. Balough, 820 F.2d at 1488-90. In fact, in federal court, when an accused’s mental or emotional state has been called into question, “an in-depth colloquy which reasonably assures the court that under the particular facts of the case, the ... waiver was voluntarily, knowingly, and intel*706ligently made” is required. Christensen, 18 F.3d at 826 (reversing conviction because of failure to adequately canvass manic-depressive defendant before accepting written waiver of right to jury trial). Although we have not imposed a similar requirement on the states, Christensen suggests the skepticism with which a waiver of constitutional rights should be viewed when the defendant’s mental state has been called into question and there has not been an adequate on-the-record inquiry into the effect of the mental state on the defendant’s waiver.
B. Adequacy of the Faretta canvass.
The majority expresses its view in summary fashion that the Faretta canvass was adequate as to both the guilty plea and waiver of counsel. The majority’s summary analysis fails to acknowledge that the trial court was required to exercise a heightened degree of care because Mr. Moran was unstable to the point of suicide, because he was under the influence of state-prescribed drugs, and because he was facing the death sentence. Applying the required heightened standard, the canvass was inadequate because Moran’s often rote responses to the court’s questioning actually raised more questions than they answered.7
I am perplexed by majority’s treatment of the Faretta canvass in this case. On the one hand, the majority finds the judge’s question*707ing of Moran to be inadequate to quiet doubts about Moran’s competence. On the other hand, it finds the same sequence of questions to be adequate to determine that Moran’s waivers were knowing, intelligent, and voluntary, an inquiry which requires competence plus a free and rational choice. The trial court was required to “indulge every reasonable presumption against waiver.” Brewer, 430 U.S. at 404, 97 S.Ct. at 1242. If the Faretta canvass was inadequate to establish competence, how can it have been adequate to establish waiver?
I would find that the Faretta canvass, by itself, is inadequate to establish that Moran’s waiver of constitutional rights was knowing, intelligent, and voluntary.
C. Totality of the Circumstances.
Because the Faretta canvass was inadequate, we must review the rest of the record to determine whether, given the totality of the circumstances, this case represents one of those rare instances in which a waiver of constitutional rights should be affirmed despite an inadequate canvass. Balough, 820 F.2d at 1488-90. The critical additional evidence on the record relevant to our totality of the circumstances inquiry was presented at Moran’s Nevada state court post-conviction hearing. The majority does not examine this evidence, other than to note that the post-conviction Nevada state court concluded that Moran knowingly and voluntarily waived his rights. But because our review of the state’s determination of voluntariness is de novo, this state court finding should not influence our own determination of this issue.
Far from overcoming the presumption against waiver, the state court post-convietion hearing provided evidence that Moran’s decision was not knowing, intelligent, and voluntary. The relevant post-conviction hearing evidence consisted of Moran’s testimony and that of one of the psychiatrists who had examined him for competence before he waived counsel and pleaded guilty. Moran supplemented this testimony with medical records indicating the medications he was taking at the time he changed his plea to guilty and waived counsel, and with evidence as to the psychological effects of that medication. The state presented no evidence at the post-conviction hearing.
The evidence presented by Moran raised new doubts about Moran’s guilty plea and waiver of counsel in two respects. First, it provided support for the theory that Moran’s plea was, indeed, affected by the drugs he was given. This evidence strongly suggested that the medications Moran was taking when he entered his guilty plea and waived counsel affected his thought processes sufficiently to call into question the voluntariness of his decision.8
*708Second, the evidence at the post conviction hearing supported Moran’s contention that he was demoralized by possibly erroneous information provided by counsel about the lack of possible defenses to first degree murder. Moran testified that his lawyers had demoralized him by telling him that he had no such defense:
Well, basically I asked [my lawyers] what, you know, what we were going to do. And I’m not sure if it was Mr. Gubler or Mr. Miller says that they weren’t going to worry about the defense because there really was none, and they were just going to work on the guilt phase of the trial or the penalty phase of the proceedings.
... I asked them if I could plead like diminished capacity or something, and they said, well, you can’t do that in Nevada.
RT d/20/88 at 158-159. The post-eonvietion court adopted Moran’s version of events, finding that: “Defendant was informed by his Deputy Public Defender that he had no defense to the crimes and that they suggested he concern himself with the penalty phase of the murder cases.” Order at 3.9
The testimony of Doctor William O’Gor-man, one of two psychiatrists who examined Moran to determine his competence to stand trial, suggests that Moran’s lawyers were wrong. Moran may well have had a legitimate defense based on his inability to form the specific intent requisite to a conviction of first degree murder. Doctor O’Gorman testified that “at the actual time [of the murders], if [Moran] were under the influence of large amounts of cocaine, particularly free-base or crack, I don’t think he could form intent at that moment.” RT 4/20/88 at 15. Moran’s *709attorney’s apparently never bothered to ask Doctor O’Gorman his opinion on this matter.
We do not have enough information at this juncture to evaluate the viability of such a defense. For this reason, Moran’s counsel’s statement, that Moran had no defense, would not be enough, by itself, to demonstrate that Moran’s guilty plea and waiver of counsel were not knowing, intelligent and voluntary. Still, the demoralizing effect of the lawyer’s possibly erroneous statement is likely to have combined with Moran’s already depressed mental state and with the mind-numbing drugs to subvert Moran’s choice not to fight for his life.
In sum, the Faretta canvass was inadequate in this case because Moran’s mental state was insufficiently probed. Furthermore, this is not one of the rare cases wherein there is adequate evidence in the record, outside of the canvass, to demonstrate that the waiver of counsel and guilty plea were knowingly, intelligently, and voluntarily tendered. Rather, an examination of the record in its totality only magnifies the impression that Moran’s waiver of counsel and guilty plea were not the product of a free and rational choice.
Because of this, and because of the Pate violation, I would remand to the district court for an evidentiary hearing to inquire about the effect of the drugs, what Moran’s lawyers told him, and whether Moran’s waiver and plea were knowing, intelligent and voluntary in light of what the district court finds.
. Medina v. California, - U.S. -, 112 S.Ct. 2572, 120 L.Ed.2d 353 (1992), cited by the majority, is not in conflict with this requirement that the state bear the burden of retrospectively proving competence where there has been a Pate violation. The interaction between Pate and Medina is discussed below.
. The majority attempts to distinguish these cases by emphasizing that the test for determining if a remand is appropriate after a Pate violation is whether it remains possible, despite the passage of time, to hold a meaningful retrospective hearing. But the majority never refutes Moran’s compelling argument that the logic of Pate is that the state, not the defendant, must bear the burden of any loss of evidence because of the time that has elapsed since the Pate violation.
. Only the 5th Circuit has stated otherwise. Wheat v. Thigpen, 793 F.2d 621, 630-31 (5th Cir.1986), cert. denied, 480 U.S. 930, 107 S.Ct. 1566, 94 L.Ed.2d 759 (1987); Bruce v. Estelle, 536 F.2d 1051, 1059 (5th Cir.1976) {Bruce II), cert. denied, 429 U.S. 1053, 97 S.Ct. 767, 50 L.Ed.2d 770 (1977). But see Lee v. Alabama, 386 F.2d 97, 105 (5th Cir.1967) (remanding to district court to determine whether "it can be shown by the state through evidence available at this time and meeting appropriate standards of proof that in fact [the defendant] was competent” at the time of his trial) (emphasis added), cert. denied 395 U.S. 927, 89 S.Ct. 1787, 23 L.Ed.2d 246.
The state's brief cites an additional case that it claims places the burden of proof in a retrospective habeas hearing on the prisoner to prove incompetence. See red brief at 7 (citing Blazak v. Ricketts, 1 F.3d 891 (9th Cir.1993)).
The state has mis-cited this case. Nowhere does it say, as claimed by the state, that on habeas review the burden is on the prisoner to prove the fact of his incompetency after the state has violated Pate.
Two other cases cited by the state, Fallada v. Dugger, 819 F.2d 1564, 1567-68 n. 1 (11th Cir.1987), and Nathaniel v. Estelle, 493 F.2d 794, 798 n. 6 (5th Cir.1974), are completely inappo-site. These discuss the burden of proof as to the substantive issue of competence where no Pate violation occurred at the trial. Here we are discussing the burden where there was such a violation.
. Of course there was also medical evidence about the likely effect of the drugs, evidence that was disregarded by the Nevada courts.
. The majority’s position, that the Pate violation was cured regardless of the burden of proof, is particularly untenable given that, as the majority admits, Nevada state law recognizes that a Pate violation can only be cured by a retrospective hearing in which the state bears the burden of persuasion on the issue of competency. No court has found that the state met any such *704burden. Thus, no tribunal has made the findings about Moran’s competence at the time of his trial that are required by state law to cure a Pate violation.
I do not mean by this to suggest that Nevada’s rule, without more, created a sufficient liberty interest to be enforceable under federal law. Rather, the enforceable liberty interest is created by the Pate violation itself. Nevada's law merely underscores the fact that the violation was never cured, either under state law or federal law.
. Faretta only discussed the requirements for acceptance of a defendant's waiver of counsel, but the standards are the same for acceptance of a waiver of counsel and for acceptance of a guilty plea. Boykin, 395 U.S. at 242-43, 89 S.Ct. at 1711-12. Because the standards are the same, I will henceforth refer to the “Faretta" canvass as shorthand for the judge's on-the-record inquiry about the knowing, intelligent, and voluntary nature of both the guilty plea and the waiver of counsel.
. In addition to Moran's statements indicating that he was under the influence of state-prescribed drugs, the trial court should also have exercised a heightened degree of vigilance because, as the court knew, Moran had just recently attempted suicide by shooting himself in the abdomen and by slitting his wrists. The trial court also knew Moran had been kept in isolation during his detention in a "suicide watch,” and that Moran's counsel was sufficiently concerned about Moran’s mental stability that counsel asked two psychiatrists to examine Moran to determine his competence to stand trial.
Having been put on notice, in this fashion, about Moran's mental instability, the court should have conducted a Faretta canvass in a manner designed to determine whether Moran's decision to change his plea to guilty and waive the assistance of counsel was a free and responsible one and not the product of mental instability. This requirement was not met. Rather, the judge does not appear to have deviated in any manner from a typical course of questioning designed solely to determine whether Moran understood his rights.
Particular vigilance was also required because Mr. Moran was facing a death sentence. A tendered constitutional waiver always demands the "utmost solicitude of which courts are capable in canvassing the matter with the accused," Boykin, 395 U.S. at 243-44, 89 S.Ct. at 1712. Even more is required in a capital case. There is a “qualitative difference between death and any other permissible form of punishment ... [and there is therefore] a corresponding difference in the need for reliability” in the procedures that result in a sentence of death. Zant v. Stephens, 462 U.S. 862, 884-885, 103 S.Ct. 2733, 2746-47, 77 L.Ed.2d 235 (1983).
Under such circumstances, the court's perfunc-toiy sequence of questions requiring only yes- and-no answers, swiftly administered, was inadequate. The entire canvass, including those portions devoted to waiver of counsel and guilty pleas on each of the various counts charged, consisted of about 100 questions posed by the court to the defendant. Nearly all of these questions could be answered by little more than a yes-or-no, and, indeed, all but two could be answered in a single word. Moran's answers form a monotonous litany of yeses, noes, and uh-huhs. Occasionally, the court was required to admonish Mr. Moran that he could not just nod.
The few occasions when Mr. Moran deviated from his monosyllabic responses only provide reason for skepticism about whether Moran’s decision to change his plea to guilty and waive his right to counsel were the product of a rational mind. Asked to state the reasons why he wanted to represent himself, Mr. Moran responded:
THE DEFENDANT: Because we don't — the Public Defenders and myself don’t agree on the way they should defend me.
THE COURT: Well, how do you believe you should be defended?
THE DEFENDANT: I don't want them to present any mitigating evidence. I don’t want this presented, and they have to — they feel that they have to.
THE COURT: In other words, you do not want to have any — put up any defense, in effect, is that what you're saying?
RT 11/28/84 at 11. By the judge’s own reckoning this exchange strongly suggests Moran was motivated to plead guilty and waive counsel solely by a desire to commit suicide by judicial fiat. The court should have engaged in a more extensive and probing investigation but it did not.
Further along in the plea canvass, Mr. Moran again deviated from his litany of single-word responses. This, again, should have alerted a properly vigilant trial court to probe more deeply. Asked whether he murdered his wife "deliberately, with premeditation and malice aforethought,” the defendant interrupted:
THE DEFENDANT: Not really.
THE COURT: —as I’ve explained to you?
THE DEFENDANT: No, I didn’t do it — I mean, I wasn't looking to kill her, but she ended up dead.
*707THE COURT: Well, you're charged that you did, with malice aforethought, shoot at and into the body of Linda K. Vandervoort with a deadly weapon, a firearm.
Did you do that?
THE DEFENDANT: Yes.
THE COURT: And did you do so deliberately and with premeditation?
THE DEFENDANT: No.
THE COURT: Did you think about it before you did it?
THE DEFENDANT: Not really.
THE COURT: Did you do it deliberately?
THE DEFENDANT: I don’t know. I mean, I don’t know what you mean by deliberately. I mean, I pulled the trigger on purpose, but I didn’t plan on doing it; you know what I mean?
THE COURT: Well, I've previously explained to you what is meant by deliberation and premeditation. Deliberate means that you arrived at or determined as a result of careful thought and weighing the consideration for and against the proposed action.
Did you do that?
THE DEFENDANT: Yes.
Id. at 30-32. From this exchange, it almost looks as though the trial judge is putting words into Moran’s mouth.
Finally, Moran deviated from his usual rote answers to inform the court that he was taking state-prescribed drugs. This, too, raises a host of questions about whether Moran's waivers were knowing, voluntary, and intelligent.
. As noted by the majority, Moran was taking four different prescription drugs to control his cocaine-induced seizures. Moran testified that these drugs took away his will to live. His claim was corroborated by the medical evidence he presented that the drugs in ’ question can have powerful psychological effects which include confusion, light-headedness, hallucinations, disorientation, memory loss, drowsiness, and mental depression.
After reviewing this evidence, the post-conviction court found that "the defendant did not *708present evidence as to the effect on him of any drugs he may have ingested prior to the entry of the plea. The defendant merely testified that he was depressed and desired the death penalty” Order at 5 (emphasis added). This finding is patently inaccurate. Moran’s testimony about the effect the drugs had on him clearly qualifies as evidence about the effect of the drugs, as does the natural inference to be drawn from the medical descriptions of the effects that the drugs have on patients. As the court’s finding is not supported by the record, we need not accord it a presumption of correctness under § 2254(d).
The Nevada Supreme Court, reviewing the post-conviction hearing, also stated that ‘‘Moran presented no medical evidence ... which necessarily established that the medication influenced him to such an extent that he was unable to understand the meaning and consequences of his plea.” Order Dismissing Appeal at 3-4 (emphasis added). This statement places far too high a burden on Moran. First, for any defendant three-and-a-half years after the fact to establish that medication "necessarily” influenced him in any particular way would be virtually impossible. Second, Moran’s ability to understand the meaning and consequences of his choice goes to whether or not he was competent to plead guilty. As discussed above, a knowing, intelligent and voluntary waiver of constitutional rights requires more than mere competence. The waiver also must be "the product of a free and rational choice.” Alford, 400 U.S. at 31, 91 S.Ct. at 164. The Nevada Supreme Court's finding does not address whether the medications affected Moran’s ability to make such a choice.
. The post-conviction court and the Nevada Supreme Court were not in agreement about this factual determination, but for the reasons that follow we should give greater credence to the post-conviction court’s findings on this issue.
The Nevada Supreme Court, without referring to the post-conviction court findings, concluded "a thorough reading of the record reveals that Moran’s counsel did discuss potential defenses with him.” Order Dismissing Appeal at 2 (citing Moran's statements during the Faretta canvass and the fact that the attorneys advised him against changing his plea to guilty).
Section 2254(d) requires us to presume correct all of the findings of the various tribunals in this case to the extent that the findings do not contradict one another. Sumner v. Mata, 449 U.S. 539, 547, 101 S.Ct. 764, 769, 66 L.Ed.2d 722 (1981) ("Sumner I”). But where the factual findings of the various state tribunals contradict one another, we must inquire further to determine which, if either, of the findings is entitled to the presumption of correctness. See Neuschafer v. McKay, 807 F.2d 839 (9th Cir.1987) (evidentiary hearing warranted to resolve inconsistent findings by the trial court and state supreme court).
In this case, we should give greater credence to the post-conviction judge’s credibility findings. For one thing, the same judge presided over both the initial entry of pleas and the post-conviction hearing so that his judgment of credibility should be given special weight. Significantly, the Nevada Supreme Court did not explain why it did not adopt the post-conviction court’s finding that Moran's counsel informed Moran that he had no defense. Nor did the Nevada court even refer to that finding. Finally, the Nevada Supreme Court was wrong when it concluded that Moran made inconsistent statements. It was not inconsistent for Moran to once say that he discussed his defenses with his attorneys, and to later say that his discussion with the attorneys consisted of his attorneys’ statements that he had no defense.