Gilday v. Callahan

                  United States Court of Appeals
                      For the First Circuit
                                           

No. 94-1619

                   WILLIAM MORRILL GILDAY, JR.,

                      Petitioner, Appellant,

                                v.

        WILLIAM F. CALLAHAN, SUPERINTENDENT, MCI NORFOLK,

                      Respondent, Appellant.

                                           

           APPEAL FROM THE UNITED STATES DISTRICT COURT

                FOR THE DISTRICT OF MASSACHUSETTS

           [Hon. Robert E. Keeton, U.S. District Judge]
                                                                

                                           

                              Before

                       Selya, Circuit Judge,
                                                     
                  Coffin, Senior Circuit Judge,
                                                        
                     and Cyr, Circuit Judge.
                                                     

                                           

  Michael Avery for appellant.
                         
  William  J. Meade,  Assistant  Attorney  General, with  whom Scott
                                                                              
Harshbarger, Attorney General, was on brief for appellee.
                   

                                           

                           July 5, 1995
                                           


     COFFIN, Senior Circuit Judge.  Petitioner William Gilday was
                                           

convicted  of first degree murder and two counts of armed robbery

for his involvement 25 years  ago in a notorious bank robbery  in

which Boston Police Officer Walter A. Schroeder was killed.  This

habeas  case, originally  filed  in 1981,  was reactivated  after

disposition  of the last of his four unsuccessful motions for new

trial in the Massachusetts courts.  The district court denied the

petition in a comprehensive opinion.   866 F. Supp. 611 (D. Mass.

1994).    After  carefully  reviewing the  case  authorities  and

relevant portions of the record, we affirm.

                          I. Background
                                                 

     We  shall  provide  at  this  juncture  only  brief  factual

background, adding  more details  in later sections  as necessary

for  an  understanding  of  the  issues  discussed.    A  lengthy

description of the evidence presented at Gilday's five-week trial

is reported in  Commonwealth v. Gilday,  367 Mass. 474,  478-485,
                                                

327 N.E.2d 851, 854-58 (1975) ("Gilday I").  See also Gilday, 866
                                                                      

F. Supp. at 640-43.   A full chronology of the  proceedings since

his 1972 conviction is  set out in the district  court's opinion.

Id. at 615-16.
             

     Gilday  and five others were indicted  on robbery and murder

charges.1   Evidence  indicated  that the  group  had  planned  a
                    
                              

     1  The other defendants charged in the crime were Stanley R.
Bond, Robert J.  Valeri, Susan  E. Saxe and  Katherine A.  Power.
Michael Fleischer  was charged  as an  accessory after  the fact.
Bond,  who testified as a defense witness at Gilday's trial, died
in prison.   Valeri testified  as a Commonwealth  witness against
Gilday,  pled guilty eight  months later to  manslaughter, and is
now free.   Fleischer also testified  as a Commonwealth  witness,

                               -2-


series of bank  robberies to  raise funds in  support of  radical

political activities.   The Supreme Judicial  Court summarized as

follows the evidence supporting the Commonwealth's theory of what

occurred on the day of the robbery at issue here:

     Bond, Valeri  and Saxe entered the  bank carrying guns,
     robbed it and  drove off in  a blue Chevrolet  . . .  .
     Gilday, armed with a semiautomatic rifle, was seated in
     a white Ambassador  automobile across  the street  from
     the  bank . . . .   [A]fter the other three had escaped
     from the scene, Gilday  fired a number of shots  at two
     policemen  who arrived,  and Officer  Schroeder thereby
     sustained  the wounds from which  he died the next day.
     Bond,  Valeri,  and  Saxe  later switched  to  a  third
     vehicle,  a station  wagon  driven by  Power, and  made
     their  escape.    Gilday  also  escaped  in  the  white
     Ambassador.

367 Mass. at 477.

     On  March 10,  1972,  Gilday was  convicted  by a  jury  and

sentenced to death.  Following  the United States Supreme Court's

decision in Furman v. Georgia, 408 U.S. 238 (1972), and his first
                                       

motion  for  new  trial, the  death  sentence  was  changed to  a

sentence of life imprisonment.  His subsequent efforts  to obtain

relief from the original convictions have proven unsuccessful.

     In this appeal, Gilday  argues that he is entitled to a writ

of   habeas   corpus  because   his   trial   was  replete   with

constitutional  error,  and  there  consequently  is  substantial

reason to  believe he was innocent of the charges on which he was

convicted.   We  have considered  each of  his claims  fully, but

                    
                              

and  his  indictments ultimately  were  dismissed.   Saxe  was  a
fugitive for several years.   After her first trial ended with  a
hung  jury,  she pled  guilty to  manslaughter  and is  now free.
Power  surrendered to authorities in  1993, and is  now serving a
prison sentence.  

                               -3-


cannot  say that any of the identifiable flaws in the proceedings

constituted a  deprivation of  rights warranting reversal  of his

convictions.   We  discuss most  of these  claims in  some detail

below.    As for  the others,  the  district court's  analysis so

closely  reflects our own thoughts that we find it unnecessary to

repeat the  discussion and,  therefore, adopt its  conclusions as

our own.

                 II. Reasonable Doubt Instruction
                                                           

     Gilday  claims a  host of  problems with  the trial  judge's

reasonable doubt instruction, several of which center on language

that has  been expressly and  repeatedly disapproved by  this and

other courts.   Because we agree that this  charge was flawed, we

have  studied its full text  and context with  particular care in

order to  answer the  relevant constitutional question:  "whether

there  is a  reasonable likelihood  that the jury  understood the

instructions to  allow conviction based on  proof insufficient to

meet the [reasonable doubt] standard," Victor v. Nebraska, 114 S.
                                                                   

Ct. 1239,  1243 (1994).  Our review is  de novo.  See Ouimette v.
                                                                        

Moran, 942 F.2d 1, 4 (1991) (presumption of correctness for state
               

court findings of  fact under 28  U.S.C.   2254  applies only  to

"`basic, primary or historic facts'" (citation omitted)).

     As  we  previously  remarked when  evaluating  a  strikingly

similar instruction in Bumpus  v. Gunter, 635 F.2d 907,  910 (1st
                                                  

Cir.  1980),2  "[i]t  is  to  be  remembered  .  .  .  that  [the

                    
                              

     2 The Bumpus trial  and Gilday's both occurred early  in the
                           
1970s, and the same judge presided over them.

                               -4-


challenged]  remarks  have been  separately  culled  from a  very

lengthy  charge.   They, and  the emanations  from them,  must be

assessed  along with the rest of the charge . . . ."  The Supreme

Court recently reaffirmed the need to examine a charge in context

to determine whether language  possibly erroneous in the abstract

is cleansed  because "the rest  of the  instruction .  . .  lends

content to the phrase," Victor, 114 S. Ct. at 1247, 1250-51.  See
                                                                           

also id. at 1243  ("`[T]aken as a whole, the  instructions [must]
                  

correctly conve[y] the concept of reasonable doubt to the jury.'"

(quoting Holland v. United States, 348 U.S. 121, 140 (1954)).
                                           

     In the end, we  have come to the conclusion that  the charge

overall  left  the  jury  with  an  accurate  impression  of  the

substantial burden  faced by the prosecution  in establishing the

defendant's  guilt beyond a  reasonable doubt.   As  shall become

apparent  from  our  discussion   below,  none  of  the  problems

identified by Gilday is, on its  own, of a severity that warrants

reversal of his  conviction.   Indeed, several of  the flaws  are

significantly ameliorated by  other aspects of the  charge.  And,

while the cumulative  impact of  the flaws is  itself a  separate

matter of  concern, we are persuaded that it does not rise to the

level of constitutional error.

     The  charge, which  spanned  20 paragraphs  when reduced  to

writing,3  loosely may  be divided  into three  separate segments
                    
                              

     3 All  nineteen substantive paragraphs are  contained in one
of the three segments of  the instruction set off in blocks  from
the text of this opinion.  The twentieth, which simply introduces
the final portion of  the charge, is reproduced in  text on pages
15 and 16.

                               -5-


for purposes of our review.  We therefore begin our discussion by

reproducing the first five paragraphs:

          It is the burden  of the Commonwealth to establish
     its  case beyond  a reasonable  doubt.   What  do those
     words mean?    Well,  you give  to  them  their  common
     ordinary meaning.  A doubt means an uncertainty of mind
     or  a lack of  conviction.  And  reasonable means based
     upon a reason.

          I  am going to discuss with you what our Court has
     said it does not mean.  It does not mean a whimsical or
     a fanciful  doubt; that is,  a doubt which  is conjured
     up, which has no strength to tie it together, which has
     no  foundation in fact.   It is floating  around in the
     air.    And you  can't  pull it  down  and  root it  to
     something solid in the evidence.  It is whimsical.

          It  is not beyond all doubt.  There are few things
     in this world of ours which are capable of proof beyond
     all doubt.  That is an impossible burden.   And if that
     were the  burden that we placed  upon the Commonwealth,
     no one who transgressed the laws of society or outraged
     our populace would ever be convicted of a crime.  Don't
     confuse  beyond  a  reasonable  doubt with  beyond  all
     doubt.

          And  I sometimes  think  the jurors  take that  as
     their  standard.   They must  be satisfied  before they
     find a  defendant guilty  that there is  no possibility
     that they are wrong before their full conviction.   And
     so  again,   the  Court  has  said:   "Proof  beyond  a
     reasonable  doubt is  not  beyond  the  possibility  of
     innocence,"  because  I   suppose  almost  anything  is
     possible.

          And if  you are  satisfied as I  define reasonable
     doubt of the proof of  the Commonwealth's case beyond a
     reasonable doubt  you should not hesitate  because of a
     haunting thought  that there is a  possibility that you
     might  be  wrong.    Because  then  you  place  on  the
     shoulders  of the sovereign state  a burden it does not
     have. 

     The  judge  thus began  simply,  telling the  jurors  that a

reasonable  doubt  is  an  uncertainty  "based  upon  a  reason."

Petitioner  argues that the charge contained  such a catalogue of

examples of what  was not reasonable doubt  that the jury  was in
                                   

                               -6-


effect improperly  influenced to assign whatever doubt  it had to

these  examples.  But tautology  is not multiplicity;  all of the

references  carried the  identical message:  that proof  beyond a

reasonable doubt is not beyond all doubt.  As we  said in Bumpus,
                                                                          

635 F.2d at 911:

     While   the  judge   placed  what   we  regard   as  an
     uncomfortable degree  of emphasis on the  limits of the
     government's burden, . .  . the charge in  its entirety
     was  not so  unbalanced as  to undercut  the reasonable
     doubt standard, nor was it basically inaccurate.

     The  next  six  paragraphs  contain  all  of  the  troubling

language.   The section begins with a  rhetorical question: "[s]o

what does it [reasonable doubt] mean?"  The judge then answered:

     Not one who is searching for a doubt to acquit; not one
     who  has made  up his  mind that  the defendant  is not
     guilty,  and then having decided the ultimate question,
     to  satisfy  his  conscience  goes   back  through  the
     evidence and  pores through  it to find  something upon
     which  to  pin the  doubt which  he  already has.   No,
     indeed.  It is  the doubt of a conscientious  juror who
     is earnestly seeking the truth in the fullest discharge
     of the oath  that he took. It is proof,  as our Supreme
     Judicial Court has said, "To a moral certainty."

          That is not a  mathematical certainty; that is not
     a  scientific certainty which  is capable of exactness,
     because human beings are endowed with a  free will; and
     they are capable of independent action.  And you  can't
     take  their conduct and  put it into  a test  tube or a
     computer and come out with a nice answer.

          When you  get all through analyzing this evidence,
     it has to  be a  doubt nagging your  mind, leaving  you
     with  an  uncertainty  of   conviction  to  that  moral
     certainty  which you can stand up and argue in the jury
     room with  principle and integrity and  honesty to your
     fellow  jurors.    And  if  you  don't  believe  in  it
     yourself, you haven't got a reasonable doubt.

          The Supreme  Court has expressed it  as, "The same
     degree  of satisfaction  of  mind  and conscience  that
     jurors should have  when they take action in  the major

                               -7-


     affairs  of their  lives," the  major affairs  of their
     lives.

          I  do not attempt to  define for you  what are the
     major  affairs of  your  lives.   I  leave it  to  your
     experience and I  leave it  to your wisdom.   When  you
     take vital action in  your everyday lives certainly you
     should be satisfied to a  moral certainty that what you
     are doing is right.

          None of us have a crystal ball.  The future is not
     ours to see.   All we can do is weigh  the pros and the
     cons  against any  contemplated course  of  action; and
     then with the wisdom and the intellect that we possess,
     make a  decision.  We  may be  right; we may  be wrong.
     But if we are satisfied to a moral certainty when we do
     an act in our private lives, that it is the right thing
     to do, we have  a settled conviction of mind.   That is
     the  degree of  proof which  the law  contemplates when
     they talk about "proof to a moral certainty."

     Petitioner directs his fire  to four problem areas  in these

passages:  (1) the  use of  the term  "moral certainty,"  (2) the

comparison  of the  level of  certainty necessary  for a  finding

"beyond  a   reasonable  doubt"  with  the   level  of  certainty

applicable to personal decisionmaking,  (3) the suggestion in the

fourth paragraph that the jury need only  weigh the pros and cons

before making  a decision,  followed by the  statement suggesting

that  whether the  decision is  right or  wrong is  of equivalent

consequence;  (4)  the  possibility   that  the  third  of  these

paragraphs could be understood  as inverting the burden  of proof

by  requiring the  jurors to  find in  the evidence  so strong  a

"conviction" of doubt that they would  be able to argue for it to

their peers in the jury room.  We  address each of these in turn,

and then also consider their cumulative effect.

     (1) "Moral  Certainty".  Equating the  concept of reasonable
                                     

doubt  to  "moral certainty"  may  be,  in isolation,  reversible

                               -8-


error.  See Victor, 114 S. Ct. at 1250-51; Cage v. Louisiana, 498
                                                                      

U.S. 39,  41 (1990) (per  curiam); Commonwealth v.  Pinckney, 419
                                                                      

Mass. 341, 345-49, 644 N.E.2d 973 (1995).   The Supreme Court has

discouraged use of  this phrase because of its ambiguous meaning,

see  Victor, 114  S.  Ct.  at  1247-48,  and  we  similarly  have
                     

expressed  concern  because "the  jury  might  feel justified  in

convicting  based on  a feeling rather  than on the  facts in the

case," United States  v. Drake, 673 F.2d 15, 21  (1st Cir. 1982).
                                        

See also  United States v. Indorato, 628  F.2d 711, 721 (1st Cir.
                                             

1980) ("[W]e have indicated  our uneasiness with this phraseology

and pointed out that it has been the subject of mixed reviews.").

     Indeed,  in Cage,  the Supreme  Court reversed  a conviction
                               

based on a  charge using "moral  certainty" language because  the

only  other meaning  ascribed  to reasonable  doubt equated  such

doubt to  "a grave uncertainty" or "an actual substantial doubt."

The Court felt that  those terms, in conjunction with  the phrase

"moral certainty,"  suggested a  higher degree of  doubt than  is

required for acquittal.

     In  Victor, however,  the Court upheld  the validity  of two
                         

separate  reasonable  doubt  instructions  that  contained "moral

certainty"  language,  observing  that that  language  "cannot be

sequestered from its surroundings" and finding that the remainder

of the charge lent appropriate content to the otherwise ambiguous

words.  114 S. Ct. at 1248.

     As in Victor, the charge here contained far more explanation
                           

than  was offered to the jury in Cage.  The paragraph immediately
                                               

                               -9-


following the first reference  to "moral certainty" distinguishes

that level of certitude from mathematical certainty, harking back

to  the message from  the preceding section  of the  charge.  The

juxtaposition suggests  that  the requisite  level of  confidence

was, indeed, substantial, though not proof beyond all doubt.  See
                                                                           

Pinckney, 419 Mass. at 347.4 
                  

     The  lengthy charge  also  offered  additional  formulations

emphasizing  the high  level of  proof necessary  for conviction.

Twice during  the course  of the  instruction, the  court charged

that the jury  must attain a "settled  conviction" of guilt.   In

Victor, the Supreme Court ruled that the use of a similar phrase,
                

"abiding conviction,"  mitigated references to  "moral certainty"

and "substantial  doubt."   See 114  S. Ct.  at 1247 ("`The  word
                                         

"abiding" here  has  the signification  of settled  and fixed,  a

conviction which may follow  a careful examination and comparison

of the whole evidence.' . . .  As used in this instruction, . . .

we  are  satisfied that  the  reference  to  moral certainty,  in

conjunction  with the  abiding conviction  language, `impress[ed]

upon the factfinder the need to  reach a subjective state of near

certitude of the guilt  of the accused.'" (quoting Hopt  v. Utah,
                                                                          

120 U.S. 430, 439 (1887) and  Jackson v. Virginia, 443 U.S.  307,
                                                           

315 (1979)). 

                    
                              

     4 Although that same distinction was drawn in the reasonable
doubt instruction in Cage, the charge there did not elaborate any
                                   
further and, to the extent it did provide additional explanation,
could   not  overcome   the   "grave  uncertainty"   and  "actual
substantial doubt" language that the Court found unacceptable.

                               -10-


     It  also is significant in evaluating the effect of the term

"moral certainty" that the  jury was told more than once that its

decision  must be based on  the evidence presented.   See Victor,
                                                                          

114 S. Ct. at 1248, 1251.  In the third paragraph of this section

of the charge, the judge began by noting that "[w]hen you get all
                                                                           

through analyzing this  evidence, it  has to be  a doubt  nagging
                                          

your mind, leaving you with an uncertainty of conviction . . . ."

Toward the  end of  the reasonable doubt  instruction, the  court

noted the jurors' oath to render "a true verdict according to the

evidence and the law," and earlier cautioned against "strain[ing]

the  evidence  to  any  conclusion  not  warranted  by  its  fair

convincing  force."   Thus,  as in  Victor, the  instruction here
                                                    

explicitly told the jurors that their decision had to be based on

the  evidence in the  case, minimizing  the possibility  that the

reference  to  "moral  certainty"   would  have  been  viewed  as

permitting  a conviction based "on  a feeling rather  than on the

facts in the  case," Drake, 673 F.2d  at 21.   See 114 S. Ct.  at
                                                            

1248.  And, also as in Victor, other instructions reinforced this
                                       

message.  See, e.g., Tr. at 4274 ("We look for a verdict which is
                             

dictated  by  your  logic and  your  common  sense  and not  your

heart.");  id. at  4276 ("It  is your  sworn duty to  presume the
                        

defendant   innocent  and  to  give   him  the  benefit  of  that

presumption  all throughout the trial  and at every  stage of the

investigation  of  the evidence  in the  jury  room, until  it is

overcome  by  proof beyond  a  reasonable doubt.");  id.  at 4281
                                                                  

("[I]n  the  last  analysis  it  comes  to  your  most  important

                               -11-


obligation,  and that is, to decide this  case on the body of the

evidence as I define it."); id. at 4283 ("[W]hen it comes time to
                                         

base your verdict, find  a foundation in the evidence  upon which

it  must  rest.");   id.  at  4291   ("The  facts  must   exclude
                                  

innocence.").

     (2)  "Vital  action  in  your everyday  lives".    Comparing
                                                             

"beyond a reasonable  doubt" to  the "degree  of satisfaction  of

mind and conscience that jurors should have when they take action

in the major affairs of their lives" is an analogy that has drawn

criticism for decades.  See Drake, 673 F.2d at 20 (noting Supreme
                                           

Court's expressed displeasure of the "willing to act" instruction

in  Holland v. United  States, 348 U.S.  121 (1954)).   Even when
                                       

framed in the  more accepted format of comparing reasonable doubt

to a doubt that would  cause a prudent person to hesitate  before
                                                                   

acting,  the  instruction  is  arguably unhelpful.    See,  e.g.,
                                                                          

Victor,  114 S.  Ct. at  1252 (Ginsburg,  J., concurring).5   The
                

instruction  here, however, did not include the sort of specific,

supposedly   comparable,  examples  that   have  been  viewed  as

prejudicially misleading to jurors.  Compare, e.g.,  Commonwealth
                                                                           

v.  Ferreira, 373  Mass. 116,  128-29, 364  N.E.2d 1264,  1272-73
                      

(1977)  (reversing  because a  number  of  examples of  important

personal  decisions "understated  and  tended  to trivialize  the
                    
                              

     5 The Supreme Court repeatedly has approved the "hesitate to
act" formulation, however, and  the majority in Victor relied  in
                                                                
part on the trial court's use  of it as an alternative definition
of  reasonable   doubt  to   support  its  conclusion   that  the
instruction there was adequate.  The Court noted that it "gives a
common-sense benchmark for just how substantial such a doubt must
be."  114 S. Ct. at 1250.

                               -12-


awesome  duty of  the jury to  determine whether  the defendant's

guilt  was proved  beyond  a reasonable  doubt")  with Rogers  v.
                                                                       

Carver, 833 F.2d 379, 382-83 (1st Cir. 1987) (no reversible error
                

where  reference to  important decisions  was brief  and general,

with no specific examples) and Bumpus, 635 F.2d at 912-13 (single
                                               

example  of deciding  whether  to  have  heart  surgery  did  not

trivialize the jurors' duty or minimize the government's burden).

Because  no  such examples  were  used,  and  because the  charge

focused  on "vital"  or  "major" personal  matters,  we think  it

unlikely  that  this  aspect  of  the  instruction  deprived  the

defendant of the right to be found  guilty only upon proof beyond

a reasonable doubt.6

     (3) Pros and cons; right and wrong.  Read on  their own, the
                                                 

opening  sentences   of  the  last  paragraph   in  this  section

unquestionably   present  an   inadequate  articulation   of  the

substantial and unique burden of proof born by the prosecution in

a  criminal case.  Read in  context, however, the thrust of these

passages was to inform  the jurors that a "settled  conviction of

mind"  must be reached to find the defendant guilty.  Immediately

following the reference to right and wrong, the judge stated:

     But if we are satisfied to a moral certainty when we do
     an act in our private lives, that it is the right thing
     to do, we have  a settled conviction of mind.   That is
     the  degree of  proof which  the law  contemplates when
     they talk about "proof to a moral certainty."

                    
                              

     6 The judge's third reference to everyday decisionmaking was
not qualified with an  adjective such as "vital" or  "major," but
we think the need to  equate the criminal trial with a  matter of
grave importance was by that time clear.

                               -13-


This  explanation  makes  manifest that  the  previous  comments,

though  poorly framed,  were another  restatement of  the concept

voiced  repeatedly  by  the  judge that  absolute  certainty  was

unnecessary.  The jurors' decision will not necessarily be error-

free: "we may be wrong."   What is crucial, the jurors  are told,

is whether  they can reach  a "settled conviction" of  guilt.  We

therefore conclude  that the  language of this  paragraph, though

far from ideal, was unlikely to  be understood in its entirety in

theoverly casualway suggestedby theopening sentencesin isolation.

     (4)  Inversion of burden of  proof.  The  third paragraph of
                                                 

this  section of the charge contained two sentences, the first of

which told the  jurors: you have a reasonable  doubt if, when you

finish analyzing the evidence, you have 

     a  doubt  nagging  your   mind,  leaving  you  with  an
     uncertainty of conviction to that moral certainty which
     you  can stand  up  and argue  in  the jury  room  with
     principle  and integrity  and  honesty to  your  fellow
     jurors.

The  second  sentence was  much more  direct:  "And if  you don't

believe in it yourself, you haven't got a reasonable doubt."

     Although the district court viewed the second sentence as  a

mistake that may  have suggested  an inversion of  the burden  of

proof, it felt that the preceding sentence "plainly referred to a

`conviction'  that the defendant was guilty as charged," not to a

"conviction", i.e., a belief, in  a doubt.  866 F. Supp.  at 618.

It  therefore felt that no misimpression was  given.  Our view is

essentially the same.   The first sentence clearly refers  to the

certainty a jury must feel  as to conviction.  As for  the second

                               -14-


sentence, the concept of having a belief or a moral certainty  in

a doubt (which in itself is a state of uncertainty) is, we think,

a strange and awkward way  of referring to the strength of  one's

doubt.   The  likely effect  would have been  to confuse,  not to

encourage an inversion of the burden of proof.

     In addition, this paragraph was one of twenty in the charge,

which began  with a  statement that  "[i]t is the  burden of  the

Commonwealth to  establish its  case beyond a  reasonable doubt,"

and  which  concluded  with several  paragraphs  emphasizing  the

defendant's  "absolute right  to  hold the  Commonwealth to  this

strictness of proof."  We therefore find no reasonable likelihood

that  the  jurors  entered  their deliberations  with  the  false

impression  that  petitioner had  the  burden  of establishing  a

reasonable doubt.

     (5)  Cumulative effect.  As  we have discussed,  none of the
                                     

multiple  deficiencies in the second portion of the charge was of

sufficient magnitude  to weaken the conviction.   Taken together,

however, their effect  is more substantial.   Reasonable doubt is

defined  with  the  imperfect  term "moral  certainty,"  and  one

alternative  explanation  of moral  certainty  is the  disfavored

formulation  concerning  personal  decisionmaking.   Yet  another

description of reasonable doubt and moral certainty suggests that

the jury's  task is simply a matter of weighing the pros and cons

to reach  a decision that  "may be right"  or "may be  wrong."  A

central    passage   defining   reasonable   doubt   is   largely

impenetrable,  though  its  language  taken  literally  could  be

                               -15-


understood  to impose a burden of proving doubt on the defendant.

And  we have expressed our  discomfort with the  first portion of

the   charge,  which   at  great   length  reiterates   that  the

government's burden should not be overestimated.

     If these  two sections comprised the  entire instruction, we

might  well conclude  that  reversal  would  be  necessary.    Of

greatest  significance to  our  contrary conclusion  is the  fact

that, at  the conclusion of  the portions  of the charge  we have

quoted  so far,  the judge  essentially began  anew, telling  the

jury, "so there will just be no doubt about what reasonable doubt

means, I  am going to define it in the precise and more scholarly

language  of  our Supreme  Judicial Court."    In the  next eight

paragraphs,  he presents the then-acceptable charge on reasonable

doubt from Commonwealth v. Madeiros,  255 Mass. 304, 307-08,  151
                                             

N.E.  297 (1926), see Pinckney,  419 Mass. at  348, together with
                                        

language  emphasizing  the  importance of  the  reasonable  doubt

standard to our system of jurisprudence.7

          "Proof beyond  a  reasonable doubt  does not  mean
     proof  beyond all doubt,  nor beyond  a whimsical  or a
     fanciful  doubt, nor  proof  beyond the  possibility of
     innocence.

          "It is rarely, if ever possible, to find a case so
     clear that there cannot  be a possibility of innocence.
     If  an  unreasonable doubt  or  a  mere possibility  of
                    
                              

     7  The  Supreme  Judicial  Court has  since  criticized  the
Madeiros  language,  in  the  second paragraph  quoted  here,  as
                  
warning  the jury against holding  the prosecution to  too high a
standard  of proof.  See Commonwealth v. Pinckney, 419 Mass. 341,
                                                           
348,  644 N.E.2d 973  (1995) (citing cases).   In  this case, the
judge  remedied  that  deficiency  later in  the  instruction  by
warning the  jury against relaxing the  reasonable doubt standard
in response to concerns about public safety or shocking crimes.

                               -16-


     innocence  were sufficient  to  prevent  a  conviction,
     practically every  criminal would  be set free  to prey
     upon  the  community.   Such  a  rule would  be  wholly
     impracticable and  would break  down the forces  of law
     and order, and make the lawless supreme.

          "A reasonable  doubt does  not mean such  doubt as
     may exist in the mind of a man who is earnestly seeking
     for  doubts or for an excuse to acquit a defendant; but
     it  means  such  doubt as  remains  in  the  mind of  a
     reasonable man who is earnestly seeking the truth.

          "A fact  is proved beyond a  reasonable doubt when
     it  is proved  to a  moral certainty,  as distinguished
     from an absolute or  mathematical certainty; when it is
     proved  to a  degree  of certainty  that satisfies  the
     judgment and consciences of the jury as reasonable men,
     and leaves in their minds,  as reasonable men, a  clear
     and  settled conviction of guilt.   But if  when all is
     said  and done there remains  in the minds  of the jury
     any reasonable doubt of the existence of any fact which
     is  essential  to the  guilt  of the  defendant  on the
     particular charge, the defendant must have the  benefit
     of it and cannot be found guilty upon that charge."

          And if  you have a reasonable  doubt, your verdict
     ought to be not guilty.

          I want  to say a  few more words  about reasonable
     doubt.  A standard which produces great satisfaction to
     me, and I  think should  to you, the  defendant has  an
     absolute   right  to  hold  the  Commonwealth  to  this
     strictness  of  proof.    No  consideration  of  public
     safety,  nor righteous  indignation at  atrocious crime
     which  shocks   the   community,  nor   zeal  for   the
     suppression of crime can give to the Court and jury the
     discretion,  or the  right  to relax  this standard  of
     proof; nor to strain the evidence to any conclusion not
     warranted by its fair convincing force.

          This is a government of laws  and not of men.   If
     the guilty go unpunished today because  jurors observed
     their oath and rendered a true verdict according to the
     evidence  and the  law,  then the  community and  every
     citizen in  it  is still  safer,  because the  law  has
     prevailed.

          The Court cannot state this principle too strongly
     as a principle to be observed, to guard the rights of a
     defendant.  And  I would be remiss in my  duty if I did
     not with equal  force remind you that the  community is
     not safe if only the rights of those charged with crime

                               -17-


     are  safeguarded and  protected and  the rights  of the
     Commonwealth  to  have a  verdict  if  guilt is  proved
     beyond a reasonable doubt is  just as absolute and just
     as sacred as the right of a defendant to an acquit[t]al
     if the proof does not meet that test.

      To the extent  that specific portions of the instruction up

to this point  had been less than clear, the  jury explicitly was

told that this restatement was equivalent and complete.  Although

the judge repeated  in this  part of the  instruction the  "moral

certainty" phraseology, he contrasted a moral certainty only with

an absolute or  mathematical certainty.  See  Pinckney, 419 Mass.
                                                                

at 347  (finding that the identical  language "properly impressed

upon  the  jury the  need  to reach  a subjective  state  of near

certitude of the guilt of the accused").  See also supra at 9-10.
                                                                  

Moreover, the judge  again emphasized that  the proof must  leave

"reasonable men" with "a clear and settled  conviction of guilt,"

and,  failing that, the defendant  must be found  innocent.  With

the language  discouraging a  verdict for the  prosecution unless

based  on the law and  the evidence, this  alternative charge was

entirely correct.  In our view, even the cumulative effect of the

earlier imperfections was offset  by this lengthy and independent

charge, which the judge praised to the jury as "precise  and more

scholarly." 

     In sum, this instruction possessed a number of flaws, as did

the instructions reviewed in Victor.   As we look at some  of the
                                             

less  defensible language,  we find  it difficult  to say  that a

juror could not have been led astray.  But as  the Court reminded

us in  Victor, 114 S.  Ct. at  1243, the standard  is not  "could
                       

                               -18-


have"  but rather: is there a reasonable likelihood that the jury

understood the instruction as a  whole to permit conviction based

on a  level  of proof  below  that required  by the  Due  Process

Clause?    Our  review  convinces  us  that  there  was  no  such

likelihood in this case.   Accordingly, it provides no  basis for

disturbing Gilday's conviction. 

                     III. Brady/Giglio Claims
                                                       

     Gilday contends  that the  government's failure  to disclose

cooperation  agreements with  two  accomplices  who testified  as

prosecution  witnesses, and  the failure  to correct  their false

testimony  that no  deals  were made,  violated  his due  process

rights  as  established in  Brady v.  Maryland,  373 U.S.  83, 87
                                                        

(1963)  and  Giglio  v.  United  States,  405  U.S.  150,  154-55
                                                 

(1972).8  He additionally raises  separate Brady claims based  on
                                                          

the government's failure to disclose exculpatory statements by an

eyewitness  to the crime who did not  testify at trial and by two

trial  witnesses.  We have  examined these claims  with care, and

have concluded that  none of the asserted  nondisclosures nor all

of them cumulatively constitute reversible error.

      We begin  our discussion by noting  the relevant standards.

A Brady  error occurs when the  prosecution suppresses "material"
                 

evidence that is favorable to the accused.  See Kyles v. Whitley,
                                                                          

No. 93-7927, 63 U.S.L.W.  4303, 4307 (U.S.  April 19, 1995).   In

                    
                              

     8 Brady  established a prosecutor's obligation  to turn over
                      
exculpatory material.  In Giglio, the Supreme Court held that the
                                          
obligation includes  evidence that would  impeach the credibility
of government witnesses. 

                               -19-


most circumstances,  exculpatory evidence  is material  only "`if

there is  a reasonable  probability that,  had the  evidence been

disclosed to the defense, the result of the proceeding would have

been different,'" id.  (quoting United States v. Bagley, 473 U.S.
                                                                 

667,  682,  685  (1985)).9    We refer  to  this  as  the  Bagley
                                                                           

standard.

     A standard  of materiality  more favorable to  the defendant

applies,  however, when  previously undisclosed  evidence reveals

that  the  prosecutor  knowingly   used  perjured  testimony  or,

"equivalently," knowingly failed to disclose  that testimony used

to convict the defendant was false.   Bagley, 473 U.S. at 678-80.
                                                      

In such situations, "`a 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,'"  Kyles, 63 U.S.L.W. at 4307 n.7 (quoting United States v.
                                                                        

Agurs,  427  U.S. 97,  103 (1976))  (emphasis added).10  We shall
               

label this test the Agurs standard.
                                   

                    
                              

     9  This  standard  applies  when the  government  failed  to
respond to  a specific defense request  for exculpatory evidence,
and when the government  failed to volunteer exculpatory evidence
never requested, or  requested only in a  general way.   Kyles v.
                                                                        
Whitley,  No. 93-7927,  63 U.S.L.W.  4303,  4307 (U.S.  April 19,
                 
1995).

     10  Kyles  explicitly  refers  only to  the  knowing  use of
                        
perjured  testimony, but we think it implicit that the Court also
                  
contemplated  application  of  this  test to  those  "equivalent"
circumstances  noted  in  Bagley.   We  have  applied  the  Agurs
                                                                           
standard   in   a   non-perjury   setting,   when  a   prosecutor
intentionally withheld  materials relating  to a  witness's prior
criminal  record and to  the deals he  made with the  state.  See
                                                                           
Ouimette v. Moran, 942 F.2d 1, 10-11 (1st Cir. 1991).
                           

                               -20-


     Although the tests for materiality suggest a harmless error-

like inquiry, it is  important to note that these  standards must

be   applied   to   determine   the   threshold   question:   has

constitutional  error  occurred?   Only  then does  the  issue of

harmlessness arise.  And, as the Supreme  Court's recent decision

in Kyles  makes clear, see  63 U.S.L.W. at 4308,  the approach to
                                    

harmless error in  the Brady/Giglio  context has  evolved as  the
                                             

Chapman formulation  of "harmless beyond a  reasonable doubt" has
                 

yielded in habeas cases to the softer Brecht test of  whether the
                                                      

error  "`had substantial  and  injurious effect  or influence  in

determining the  jury's verdict,'"  Brecht v. Abrahamson,  113 S.
                                                                  

Ct. 1710,  1722 (1993) (quoting  Kotteakos v. United  States, 328
                                                                      

U.S. 750, 776 (1946)).

     In Kyles, the Court observed that harmless error analysis is
                       

inapplicable  to a  Brady/Giglio claim  arising in a  habeas case
                                          

outside the perjury-related  context.  63  U.S.L.W. at 4307-08  &

n.7 (noting that "our  decision today does not address  any claim

under the  first Agurs  category [i.e., perjury-related]").   The
                                

reason is compelling: the Bagley materiality standard necessarily
                                          

requires   a  court  to  find  an  impact  on  the  jury  verdict

sufficiently  substantial to  satisfy the  Brecht  harmless error
                                                           

test.  Thus, in the non-perjury setting,  all that is required or

appropriate  is  the  one-step  Bagley  inquiry  into  reasonable
                                                

probability.

     But a prosecutor's knowing use of false testimony presents a

different  analytical  situation.    As  Bagley  makes  clear,  a
                                                         

                               -21-


petitioner is  given the benefit of a  friendly standard (hostile

to  the   prosecution)  to   establish  materiality:   whether  a

reasonable  jury could have been  affected.  473  U.S. at 678-80.
                                

This is,  in essence, the old  Chapman inquiry.  Id.  at 679-80 &
                                                              

n.9.  Applying this  standard in most cases involving  perjury or

its equivalent  will likely result in a finding of constitutional

error.   Scaling  that lower  materiality hurdle,  however, still

will  leave  the  petitioner  facing the  Brecht  harmless  error
                                                          

inquiry  into  whether  the  perjured testimony  in  fact  had  a

substantial  and  injurious effect  or  influence  on the  jury's

verdict.11   In other  words, where  the Agurs  standard applies,
                                                        

it is quite possible  to find a constitutional violation,  but to

conclude that it  was harmless.   When faced  with such a  claim,

therefore, our  inquiry is  necessarily two-pronged: was  there a

failure to  disclose material exculpatory evidence,  and, if yes,

was such failure harmless?

     Having  laid out this framework, we now turn to petitioner's

claims.

     A. Prosecutorial agreements with Fleischer and Valeri
                                                                    

     Petitioner argues that the government deliberately relied on

the  false testimony of two witnesses,  Fleischer and Valeri, who

denied  that any  deals had  been made  with the  prosecution for

their  cooperation.   The district  court, like  the Commonwealth

courts before it, concluded  that no error occurred with  respect
                    
                              

     11 It is the government's burden, of course,  to demonstrate
that the  error is harmless.  O'Neal v. McAninch, 115 S. Ct. 992,
                                                          
995-98 (1995).

                               -22-


to Valeri because his acknowledgement at trial of "a  generalized

expectation  of  leniency"  (i.e.,  that  his  cooperative  trial

testimony would  be brought to  the court's attention)  served to

disclose  his possible  motivation to  testify favorably  for the

government.  We agree with this determination essentially for the

reasons  expressed by the district  court, and do  not address it

further.  See 866 F. Supp. at 634-36.
                       

     The Supreme  Judicial Court did conclude,  however, that the

government improperly  failed to  disclose a  deal made  with the

attorney for  the other witness, Fleischer.   Called in rebuttal,

Fleischer testified most crucially  that, in a discussion shortly

after  the  robbery,  Saxe  and  Power  accused  Gilday of  being

"trigger-happy"  and that Gilday said,  "What did you  want me to

do,  the cop was  right there, he was  only thirty seconds behind

you."

     In cross-examination, Fleischer specifically denied that any

deals had been made for his testimony, and testified further that

his only promise from  the Commonwealth was that high  bail would

be  requested but not demanded.  In  fact, as found by a Superior

Court judge  following a hearing  on petitioner's motion  for new

trial,  the prosecutor  had  told Fleischer's  attorney that,  in

exchange  for Fleischer's testimony, he  would attempt to reach a

disposition of the charges against Fleischer that would leave him

with no criminal record.12   Commonwealth v. Gilday (Gilday  II),
                                                                         
                    
                              

     12  Petitioner   states  in  his  brief,   although  without
citation, that the nine indictments against Fleischer,  including
accessory after the  fact to  first degree murder,  in fact  were

                               -23-


382 Mass. 166, 175, 415 N.E.2d 797, 802 (1980).  The motion judge

also found that,  as the prosecutor and  Fleischer's attorney had

agreed,  Fleischer was not told of  this specific arrangement; he

knew only  that it would be  "in his best interest  to testify in

the case." Id.
                        

     The  Supreme Judicial Court noted that neither the lack of a

formal agreement with Fleischer nor Fleischer's lack of knowledge

of  the specifics of the understanding relieved the prosecutor of

his obligation to disclose  material facts concerning Fleischer's

credibility and possible bias.   Indeed, the court noted  that to

hold  otherwise would be "in  effect [to] approve  the evasion of

the Giglio  rule by means of  artful device."  382  Mass. at 177,
                    

415  N.E.2d at 803.  That court,  however, agreed with the motion

judge that the suppression  of this information had no  effect on

the jury and therefore did not require a new trial.  382 Mass. at

177-78, 415 N.E.2d  at 803-04.   The district  court reached  the

same conclusion in rejecting  the habeas petition.  866  F. Supp.

at 633.13

     Our review of  the determination that  the prosecutor had  a

duty  to  disclose the  Fleischer arrangement  is  de novo.   See
                                                                           

Ouimette,  942  F.2d  at  4.   We  apply  the  Agurs  standard of
                                                              
                    
                              

dropped  after he  testified  against Gilday  and  Saxe in  their
separate  trials.    The   Commonwealth  does  not  dispute  this
representation.

     13 Neither the Supreme Judicial Court nor the district court
found  it necessary  to  state precisely  whether the  applicable
Brady  standard had been met and  a constitutional violation thus
               
established because each found the asserted error harmless in any
event.

                               -24-


materiality,  more favorable  to the  petitioner, because  of the

prosecutor's  deliberate  strategy  to  misrepresent  Fleischer's

credibility  and  the knowing  acquiescence in  Fleischer's false

testimony.  See id. at 11; see also supra at 19-20.
                                                   

     As we have explained, the relevant inquiry  is whether there

is any  reasonable likelihood that the false testimony could have
                                                                      

affected the judgment of the jury.  To put the question the other

way around:  can we say that  no reasonable jury could  have been

affected  by the undisclosed information?  We think the answer is

fairly obvious.  The information withheld by the prosecutor would

have provided  the basis for powerful  impeachment of Fleischer's

testimony.  Not  only did Fleischer deny that  any deals had been

struck on his behalf,  but he also claimed that he was testifying

only because  a man had been killed and he wanted to "see justice

done."

     The fact that  his lawyer and the prosecutor had  come to an

understanding  would  have  markedly  strengthened  the defense's

claim that Fleischer was highly  motivated to implicate Gilday to

protect  himself.    First,  it  would  have  permitted  the jury

reasonably to infer that, even if the "wink and nod" deal had not

been  explicitly communicated  to  Fleischer, he  must have  been

given some  indication that  testimony helpful to  the government

would be helpful to his own  cause.  Cf. Bagley, 473 U.S. at  683
                                                         

(making reward contingent upon outcome "served only to strengthen

any  incentive  to   testify  falsely  in   order  to  secure   a

conviction").   In  addition, evidence  of  the deal  would  have

                               -25-


reinforced  the  testimony  of   defense  witness  Bond,  another

accomplice, who implicated  Fleischer as the gunman.   The stakes

for Fleischer  were substantial  indeed if his  testimony blaming

someone  else could  secure  his release  entirely from  criminal

responsibility for a murder he  had committed; his motivation  to

lie could not have been greater.

     Disclosure of the deal in all  likelihood would have reduced

substantially,  or  even   destroyed,  Fleischer's   credibility.

Because  the direct accusation of  an accomplice is  of more than

minimal consequence in a  case where the defense is  that someone

else was responsible for the charged crime,  we think it at least

reasonably  likely that  the suppression  of this  evidence could

have affected  the jurors' judgment.   Presumably, the government

agrees with  this  assessment; for  what other  reason would  the

prosecutor have gone to such lengths to keep the information from

them?

     Recognition  of  error  does  not  end  our  task,  however.

Although  we  have  determined  that the  jury  might  have  been
                                                               

affected by  knowledge of  Fleischer's  deal, and  thus that  the

prosecution's   suppression   of   the   evidence   violated  its

constitutional obligation  under Brady  and Giglio, we  also must
                                                            

consider -- to restate  the Brecht standard -- whether  the error
                                            

was  of  such  magnitude that  it  actually  casts  doubt on  the

integrity  of  the verdict.   This  is  the difference  between a

possibility  and a probability.   See O'Neal v.  McAninch, 115 S.
                                                                   

Ct. 992, 994  (1995) (to find harmlessness, reviewing  court must

                               -26-


conclude  that error more  likely than not  had no effect  on the

verdict).  Our review of the evidence indicates that, even if the

jury  had  assigned  no  weight  to  Fleischer's  testimony,  the

substance  of the  case against  Gilday would  have  remained the

same.   The  other evidence,  moreover,  was considerable.    Cf.
                                                                           

Giglio, 405  U.S. at  154-55 (government's case  depended "almost
                

entirely"  on  witness  whose   deal  with  prosecution  was  not

disclosed).

     Indeed, Fleischer was a rebuttal witness, and as such simply

repeated the  earlier testimony of another  witness, Valeri, that

Gilday  had admitted to being  the shooter.   Valeri had reported

that Gilday was at the scene of the robbery in the car from which

the shots  were fired,  that Gilday  possessed the murder  weapon

after the crime, and that  Gilday said that he had waited  at the

scene of  the robbery until  the police officers  arrived because

"he had always wanted to shoot a police officer."

     Three  eyewitnesses  testified, all  disinterested outsiders

who  were in  close proximity  to the  shooting.   The strongest,

Becker,  made  an  in-court  identification of  Gilday,  who  was

sitting  unobtrusively  with  spectators.   He  also  had  chosen

Gilday's  picture from a spread  of photographs shown  to him two

months after the shooting.   He further recalled at  trial, after

having stood up to make his identification, that the gunman, like

himself (and like  Gilday), had a little bald spot  on the top of

his head.   Cross-examination elicited that  the only description

Becker had  given police at the time of the shooting was that the

                               -27-


gunman was a white  male and that  he probably had seen  Gilday's

picture in  the media;  while acknowledging the  possibility that

this influenced  him, he  insisted that his  identifications were

based solely on his observations at the time of the crime.

     A second witness, Goddard, described  the gunman as a  white

male  in  his  late   thirties,  clean-shaven,  with  a  receding

hairline, hair combed straight  back, wearing an olive  jacket --

all consistent with Gilday's  appearance.  True, he did  not pick

out Gilday's picture  from spreads shown  him on the  day of  the

shooting,  or two weeks later.  On  the first occasion, he saw "a

couple of pictures that resembled the man that I saw" but did not

pick them out  because he was not sure.   On the second occasion,

he  had seen Gilday's picture in the  papers and recognized it in

the spread.

     The  third witness,  Gaudette,  described the  gunman as  of

medium build, similar to himself, with  weight around 185 pounds,

height five feet six or seven inches, in his  thirties, with dark

hair.  He picked Gilday's picture out of a photospread two months

after  the  shooting.   Then,  in  the  courtroom,  he failed  to

identify  Gilday, who  was not  wearing glasses  at the  start of

Gaudette'sperusal butput themon asGaudette continuedhis scrutiny.

     On the  whole, we  consider this eyewitness  evidence, while

not without  weaknesses, impressive.   Further, the  evidence was

overwhelming  that Gilday was involved in the  crime.  In his own

testimony, he  acknowledged that he had  bought the semiautomatic

weapon and one of the cars that  had been used in the robbery and

                               -28-


murder, that  he had  stolen a license  plate and  affixed it  to

another  car used by  the robbers, and  that he took  some of the

holdup money  from  an  apartment  where Bond,  Saxe,  Power  and

Fleischer  were  gathered after  the  crime.    In  addition,  an

acquaintance of  the group, McGrory, testified  to a conversation

with Gilday  after the robbery about McGrory's having figured out

who was responsible for  the crime.  McGrory stated  that, during

the exchange, Gilday  first claimed that he had not  heard that a

police officer had been critically wounded, but later said "I did

it" and warned  that even if Gilday were imprisoned on death row,

he would take care of McGrory if he said anything.

     While neither  the activities to which  Gilday confessed nor

McGrory's  testimony  require  a  finding  that  Gilday  was  the

gunman14 --  or even at  the scene  of the robbery  -- the  other

evidence provided a strong  link between his confessed complicity

in  the  crime  and the  alleged  role  of  gunman.   Fleischer's

testimony on rebuttal corroborated  the government's case, but it

shed no new or different light on it.

     Moreover, some  impeachment of Fleischer did take  place.  A
                             

former  FBI   agent,  George   Bernard   Kennedy,  testified   in

surrebuttal that Fleischer  had told  him in the  spring of  1971

that Gilday had not shot the police officer.  In  addition, as we

have noted, Fleischer was implicated  by defense witness Bond  as

the gunman;  that testimony made  transparent a motive  to accuse
                    
                              

     14 Gilday  maintains that none of  this testimony explicitly
refers   to  his   being   the  gunman,   but  simply   indicates
participation generally in the group's pursuits. 

                               -29-


someone  else.     Thus,  while  the   challenge  to  Fleischer's

credibility  would  have been  measurably  more  potent with  the

withheld information, he was already a sullied witness.

     In  sum, we are persuaded  that suppression of the Fleischer

agreement did  not  have a  substantial and  injurious effect  or

influence in determining the  jury's verdict.  The nature  of the

other evidence makes it unlikely that even a stinging impeachment

of Fleischer based  on the  undisclosed deal would  have had  the

requisite impact  on the jury's  deliberations.15  The  error was

therefore harmless.16

     B. Eyewitness and other statements.  
                                                 

     Petitioner also claims error  in the government's failure to

disclose   exculpatory  evidence  from  three  witnesses:  (1)  a

statement by Michael Finn shortly after the  crime that described

the gunman in terms inconsistent with Gilday's appearance; (2) an

FBI  report  that Bernard  Becker, who  identified Gilday  as the

gunman at trial, stated three weeks after the crime that he could

not  provide a  description  of the  gunman;  (3) a  report  that

Fleischer initially denied knowing Gilday when asked by the  FBI.

                    
                              

     15 Contrary  to petitioner's  suggestion, the references  to
Fleischer  in   the   prosecutor's  closing   argument  did   not
particularly  highlight his  testimony.    Indeed, Fleischer  was
significant  in the  prosecution's summary  of the  case in  part
because defense witness Bond indicated that he was the gunman. 

     16  Petitioner  urges  that   this  is  the  "unusual  case"
identified in Brecht as perhaps  warranting habeas relief even if
                              
the  asserted error  did not  substantially influence  the jury's
verdict.  See  113 S. Ct. at 1722 n.9.   We do not find that "the
                       
integrity of the proceeding"  was so infected here as  to justify
such an extraordinary remedy.

                               -30-


To  determine  the materiality  of  these  pieces of  undisclosed

evidence,  we  apply  the  Bagley  test:  whether  there  is  "`a
                                           

reasonable probability  that, had the evidence  been disclosed to

the  defense,  the result  of  the  proceeding  would  have  been

different,'" Kyles, 63 U.S.L.W. at 4307 (quoting Bagley, 473 U.S.
                                                                 

at 682).

     Only  two   merit  more  than  passing  discussion.17  While

recognizing that  Finn's first  description of the  gunman should

have been viewed by the prosecutor  at the outset of the trial as

significant  exculpatory  evidence  subject  to  disclosure,  the

vantage  of hindsight leads us to conclude that the likely impact

of suppressing  it turned out  to be slight.   At the  hearing on

petitioner's  second motion for new  trial, which was premised in

part on this asserted  Brady violation, Finn, who was  not called
                                      

as  a witness  at  trial, gave  a  different description  of  the

shooter -- one consistent  with Gilday's appearance.   The motion

judge  found  that   Finn,  who  had  a  reputation   for  mental

instability  and  alcoholism,  would  have  been   an  unreliable

witness.   Gilday I, 367 Mass.  at 487-89, 327 N.E.2d  at 859-60.
                             

The  district court credited this  finding, 866 F.  Supp. at 636,

and  we are  likewise inclined  to do  so.   Based on  the record

before  us,  it seems  most likely  that,  had Finn  testified at

trial, his impact on the jury would have been at best  equivocal.

                    
                              

     17 The  failure to  disclose Fleischer's false  statement is
measurably  less   significant  to   his  credibility   than  the
cooperation  agreement,  and  our  earlier  discussion concerning
Fleischer's testimony effectively resolves this issue as well.

                               -31-


We certainly cannot  say that there  is a reasonable  probability

that  his testimony would have materially changed the face of the

trial.

     As  for Becker, while we  appreciate that statements made in

close  temporal  proximity  to   the  crime  are  significant  in

evaluating an eyewitness's reliability, see Kyles, 63 U.S.L.W. at
                                                           

4310 (citing Manson v.  Brathwaite, 432 U.S. 98, 114  (1977)), we
                                            

think it  only of  modest importance that  his identification  of

petitioner  was preceded  by an  earlier inability  to provide  a

description.     The  fact  that  someone   cannot  articulate  a

description of  an individual does not  necessarily undermine the

accuracy  of  a  later  identification; the  challenge  would  be

substantially more potent had Becker given an earlier description

inconsistent with his trial testimony.

     Moreover, Becker's testimony  at trial essentially reflected

the fact that he was unable to give a description at  the time of

crime.  He stated that  he told the police only that  the shooter

was "[a] white male," acknowledging  that he provided "[n]o other

distinguishing   characteristics  or  descriptions."    In  these

circumstances,  we think the withheld FBI report would have had a

minimal effect upon the jury.

     C. Cumulative Impact.
                                   

     In its  recent decision  in Kyles  v.  Whitley, the  Supreme
                                                             

Court  stressed  the  importance  of  considering the  cumulative

effect  of all suppressed evidence in determining whether a Brady
                                                                           

                               -32-


violation  has occurred.    63  U.S.L.W.  at  4308.    The  Court

concluded  that,  had  the  prosecution  disclosed  to  competent

counsel  the substantial  amount  of evidence  at issue  there, a

different  result  would  have  been  reasonably probable;18  the

jury  would have been  considerably more likely  to have accepted

the defendant's theory that  he was framed by a  police informant

who  was actually  the murderer.   See id.  at 4306.19   Not only
                                                    

would  disclosure  have  severely  discredited two  of  the  four

eyewitnesses who were "`the essence of the State's case,'" id. at
                                                                        

4310 (quoting district court), but it also would have "entitled a

jury to  find that . .  . the most damning  physical evidence was

subject to suspicion, that the investigation that produced it was

insufficiently probing, and that the principal police witness was

insufficiently informed or candid."  Id. at 4313.
                                                  

     The circumstances  here are  markedly different.   While the

various  pieces  of suppressed  evidence  in  Kyles fit  together
                                                             
                    
                              

     18 Indeed, a  mistrial was declared in the defendant's first
trial because the jury  became deadlocked on the issue  of guilt.
63 U.S.L.W. at 4306.

     19  The  undisclosed  evidence  in Kyles  consisted  of  six
                                                       
contemporaneous    eyewitness    statements   with    significant
inconsistencies; records  of the informant's initial  call to the
police stating that  he had bought a  car like the  victim's from
the  defendant on  the day  of the  murder; a  tape recording  of
another conversation  between the  informant and  police officers
further incriminating the defendant;  a signed statement from the
informant  repeating matters  from the  tape-recorded discussion,
although  with inconsistencies;  a computer print-out  of license
numbers of  cars parked on the  night of the crime  at the market
where the murder occurred, which did not list the defendant's car
license number;  an internal memorandum directing  seizure of the
defendant's trash after the  informant had suggested the victim's
purse might be found there, and evidence linking the informant to
other crimes at the market and to an unrelated murder.

                               -33-


factually to make the defense theory of the case more likely, the

evidence  here taken cumulatively sheds no new light on the crime

or petitioner's involvement in it.  The suppressed  material went

primarily  to the credibility of  witnesses, one of whom (Becker)

acknowledged at  trial information equivalent  to the undisclosed

evidence.  The only significantly potent undisclosed material was

the  Fleischer agreement;20  we are  sufficiently  persuaded that

none of the other evidence adds to its effect in such a way as to

have  influenced the jury's judgment.  Here, unlike in Kyles, the
                                                                      

whole of the challenge  to the prosecution's case was  no greater

than the sum  of its individual parts.   Accordingly, we find  no

remediable Brady violation.
                          

                       IV. Sandstrom Claims
                                                     

     Petitioner argues that the trial judge's charge  to the jury

included five mandatory presumptions  of intent that violated his

due process rights  as established in  Sandstrom v. Montana,  442
                                                                     

U.S.   510,  520-24  (1979).21     In  a   related  argument,  he

challenges a portion of the instruction foreclosing the jury from

considering    an   intoxication   defense,   arguing   that   it

unconstitutionally relieved  the Commonwealth  of  its burden  of
                    
                              

     20 Although we found  error in the prosecution's suppression
of the  Fleischer agreement,  our conclusion  that the error  was
harmless effectively is equivalent to  our finding that the other
evidence  withheld   did  not  satisfy  the   Bagley  materiality
                                                              
standard.  We therefore reconsider the agreement in assessing the
cumulative effect of the government's non-disclosures.

     21  Sandstrom  held that  a  jury  instruction containing  a
                            
presumption  that has the effect of  relieving the prosecution of
the burden of proof on an element of a charged crime violates the
Due Process Clause.  442 U.S. at 520-24.

                               -34-


proof  on  the  issue of  intent  as  recognized  by the  Supreme

Judicial Court in  a series of cases  beginning with Commonwealth
                                                                           

v.  Henson,  394  Mass.  584,  592-93,  476  N.E.2d  947,  953-54
                    

(1985).22

     The  SJC reviewed the  instructions on  intent only  as they

related  to the issue of intoxication.   The court ruled that the

intoxication portion of the charge correctly reflected the law at

the time of  petitioner's trial, and that he was  not entitled to

retroactive application of a change in the law that was announced

thirteen years  later.  See Commonwealth v.  Gilday (Gilday III),
                                                                         

409 Mass.  45, 47, 564 N.E.2d  577, 579 (1991).   The court found

that  no other  assertion of  instructional error,  including the

more general Sandstrom  claims, had been  raised in the  relevant
                                

(fourth)  motion  for new  trial.   It  therefore held  that such

additional claims were  waived.  Id., 409 Mass. at  46 & n.3, 564
                                              

N.E.2d at 578 & n.3.

     The   district   court  did   not  explicitly   address  the

intoxication issue.   Petitioner raises  it on appeal  in limited

fashion, recognizing that we  previously have declined to disturb

the   SJC's  determination   that  Henson's  protection   of  the
                                                   

intoxication defense is not retroactive.  See Robinson  v. Ponte,
                                                                          
                    
                              

     22  The court stated in Henson  that "where proof of a crime
                                             
requires  proof  of  a  specific  criminal  intent and  there  is
evidence  tending  to  show  that  the  defendant  was  under the
influence of alcohol or some other drug at the time of the crime,
the judge should instruct  the jury, if requested, that  they may
consider evidence of the defendant's intoxication  at the time of
the crime  in deciding whether  the Commonwealth has  proved that
specific  intent beyond a reasonable  doubt."  394  Mass. at 593,
476 N.E.2d at 954.

                               -35-


933 F.2d 101, 103-05 (1st Cir. 1991).  We decline to revisit that

precedent here, and the claim is therefore unavailing.23

     As for the general Sandstrom claims, the district court gave
                                           

two  reasons  for rejecting  them.    First,  it  concluded  that

petitioner was not entitled to protection from the Sandstrom rule
                                                                      

because that  case was decided after his conviction became final,

and, under Teague  v. Lane,  489 U.S. 288  (1989), the  principle
                                    

established  there was not  retroactive.  Second,  the court held

that the SJC's refusal  to consider the "non-intoxication claims"

based   on   petitioner's  procedural   default   constituted  an

independent  state law  ground for  rejecting those  claims, thus

barring  habeas review    unless the  petitioner can  show "cause

for",   and   "prejudice  from"   his   noncompliance  with   the

Commonwealth's procedures.  See Wainwright v. Sykes, 433 U.S. 72,
                                                             

86-87  (1977);  Ortiz  v. Dubois,  19  F.3d  708,  714 (1st  Cir.
                                          

1994).24

                    
                              

     23  To the extent that petitioner seeks to raise the federal
constitutional claim  directly on  appeal, we decline  to address
the  issue.    His brief  contains  only  two  paragraphs on  the
intoxication  instruction,  primarily  directed  to  the  Supreme
Judicial Court's caselaw  and our decision in  Robinson v. Ponte.
                                                                          
His reference to arguments raised in  the district court, without
elaboration, is  insufficient to warrant  our review.   See  Cray
                                                                           
Communications  v. Novatel Computer Systems, 33 F.3d 390, 396 n.6
                                                     
(4th Cir.  1994) (adopting  by reference  memoranda filed in  the
district  court is  a practice  "that has  been consistently  and
roundly  condemned by the  Courts of Appeals");  United States v.
                                                                        
Bales,  813 F.2d 1289, 1297  (4th Cir. 1987)  (noting that "other
               
courts have stated that  arguments incorporated by reference need
not be considered on appeal").

     24 Petitioner has not  argued that there was "cause  for" or
"prejudice  from" his failure to comply with the procedural rule,
relying instead on the assertion that no default occurred.

                               -36-


     We need not  delve into the  retroactivity issue because  we

agree  with   the  district   court's  judgment  that   the  non-

intoxication   Sandstrom   claims   are    procedurally   barred.
                                  

Petitioner's fourth motion  for new trial  and his memorandum  in

support  of  the motion  focused entirely  on  the effect  of the

intoxication instruction on  the jury's determination  of intent.

Although the memorandum cited to Sandstrom and related precedent,
                                                    

i.e., In re Winship, 397 U.S.  358 (1970) and Mullaney v. Wilbur,
                                                                          

421 U.S. 684  (1975), it is apparent to us  that those cases were

invoked  in support  of the  intoxication argument  and not  as a

basis  for a  general  challenge to  the  presumptions on  intent

contained in the instruction.  In these circumstances,  we cannot

contradict  the   SJC's  determination  that,  as   a  matter  of

Massachusetts  law, the  motion  did not  preserve the  Sandstrom
                                                                           

claims  for appeal.  See  Ortiz, 19 F.3d at 713  n.5 ("the law of
                                         

Massachusetts is what the SJC says  it is").  Cf., e.g., Williams
                                                                           

v.  Lane,  826  F.2d  654,  660  (7th  Cir.  1987)  (state  court
                  

determination of  waiver does not preclude  federal habeas review

where record  shows that  petitioner fully complied  with state's

articulated procedural  rules).  Accordingly, we  do not consider

them.25
                    
                              

     25  We suspect,  however,  that even  if  considered on  the
merits,  the Sandstrom  claims  would be  deemed harmless  error.
                                
Petitioner's defense was  not that he  lacked the requisite  mens
rea to be found guilty on the crimes charged, but that he was not
the  gunman who shot Officer  Schroeder.  See  Bembury v. Butler,
                                                                          
968 F.2d  1399, 1402-1404  (1st Cir. 1992)  (instruction creating
mandatory presumption  of intent  was harmless where  question of
intent  never raised:  "[Defendant]  merely presented  an  alibi,
claiming he was not the culprit.")

                               -37-


                      V. Pretrial Publicity
                                                     

     Petitioner contends that he  was denied his right to  a fair

trial  because  of  extensive  pretrial  publicity,  specifically

claiming  that the trial judge erred in denying his motion for an

additional  continuance of  the trial  date and  for a  change of

venue.26

     Essentially  for   the  reasons  expressed  by  the  Supreme

Judicial  Court and  the district  court,  we find  no reversible

error in the trial judge's handling of the case in  this respect.

See Gilday I, 367 Mass. at  491-93, 327 N.E.2d at 861-62;  Gilday
                                                                           

v. Callahan, 866 F. Supp. at 623-24.
                     

                          VI. Conclusion
                                                  

     We have examined  with care each  of petitioner's claims  of

constitutional  error.   Having found  that the  only meritorious

claim  --  the  Brady  violation  in  suppressing  the  Fleischer
                               

agreement -- was harmless, we affirm the judgment of the district

court denying petitioner's writ of habeas corpus.

     Affirmed.
                       

                    
                              

     26  The trial  originally  was scheduled  to start  in April
1971, about six months  after the crime, but the  court granted a
continuance and it did not begin until February 1972. 

                               -38-