FILED
United States Court of Appeals
Tenth Circuit
May 6, 2008
PUBLISH Elisabeth A. Shumaker
Clerk of Court
UNITED STATES COURT OF APPEALS
FOR THE TENTH CIRCUIT
GORDON HOUSE,
Petitioner-Appellant,
v. No. 05-2129
TIM HATCH, Warden, * Guadalupe
County Correctional Facility, and
ATTORNEY GENERAL FOR
THE STATE OF NEW MEXICO,
Respondents-Appellees.
Appeal from the United States District Court
for the District of New Mexico
(D.C. No. 02-cv-00178)
William J. Friedman, Esq., Covington & Burling, Washington, D.C., for
Petitioner-Appellant.
Steven S. Suttle, Assistant Attorney General, State of New Mexico (Patricia A.
Madrid, Attorney General, State of New Mexico, with him on the brief),
Albuquerque, New Mexico, for Respondents-Appellees.
Before MURPHY, Circuit Judge, BRORBY, Senior Circuit Judge, and
HOLMES, Circuit Judge.
*
Pursuant to Fed. R. App. P. 43(c)(2), we substitute the current
Warden, Tim Hatch, for Erasmo Bravo as lead party respondent.
HOLMES, Circuit Judge.
Petitioner-Appellant Gordon House, a member of the Navajo nation, was
convicted in Doña Ana County, New Mexico, of driving while intoxicated,
vehicular homicide, and various other charges stemming from a tragic automobile
accident. After exhausting his appeals in the New Mexico state courts, Mr. House
filed a petition for habeas relief in the United States District Court for the District
of New Mexico pursuant to 28 U.S.C. § 2254. Based in part on the magistrate
judge’s findings and conclusions, the federal district court denied his habeas
petition. We have jurisdiction to review Mr. House’s claims under 28 U.S.C. §
2253, and we AFFIRM.
I. BACKGROUND
Because the state courts described the facts of this case in detail, we only
summarize the facts pertinent to our inquiry. On Christmas Eve 1992, while
driving east in the westbound lane of Interstate 40 in Bernalillo County, New
Mexico, Mr. House collided with an oncoming car. State v. House, 978 P.2d 967,
972-73 (N.M. 1999) (“House I”). The head-on collision instantly killed Melanie
Cravens and her three daughters, and seriously injured her husband, Paul Cravens.
Id. at 973. Also injured, Mr. House was taken to the hospital, where his blood-
alcohol concentration was measured at 0.18%. Id. Mr. House admitted that
during the evening he had consumed seven-and-one-half beers. Id. at 972.
2
Officers arrested Mr. House and he was charged with one count of driving while
intoxicated (“DWI”); one count of reckless driving; one count of great bodily
injury by vehicle; and four counts of vehicular homicide, on the alternative
theories of DWI and reckless driving. Id. at 973.
The accident and ensuing prosecution received continual and extensive
media attention owing to allegations that the prosecution was motivated by Mr.
House’s ethnicity. See id. at 972, 989-1001 (documenting the extent and nature
of the media coverage surrounding Mr. House’s prosecution); see also Twohig v.
Blackmer, 918 P.2d 332, 334 (N.M. 1996) (ruling that gag order prohibiting
parties in Mr. House’s prosecution from speaking with media was an
unconstitutional prior restraint on speech, and quoting Mr. House’s counsel as
stating, “[I]f Gordon House was not Native American and if the victims were not
Anglos, despite tragedy, [this case] would not have received any where near the
kind of media attention it has generated.”). Allegations of racial bias reached
their pinnacle when the district attorney announced a plan to pursue first-degree,
depraved-mind murder charges against Mr. House. Twohig, 918 P.2d at 334. 1
The media attention was so pervasive that the prosecution claimed that the State
was having difficulty trying its case. House I, 978 P.2d at 972.
1
The first-degree murder charges were eventually dismissed after an
evidentiary hearing. House I, 978 P.2d at 973.
3
Due to the extensive publicity, a Bernalillo County district court granted
Mr. House’s unopposed motion to transfer venue to Taos County. Id. at 974. On
June 21, 1994, a jury convicted Mr. House on the misdemeanor charge of DWI,
but deadlocked on the remaining counts. Id. After the trial court declared a
mistrial, the State filed a motion for a change of venue due to the continuing
publicity. Id. Mr. House objected, and the trial court overruled the motion. Id.
On November 7, 1994, a second jury trial began in Taos County. Id.
Again, the jury deadlocked in favor of conviction on the vehicular homicide
counts and another mistrial was declared. Id. Seeking a third trial, the State
moved for a change of venue to Bernalillo County. Id. After holding a hearing
on the change-of-venue motion, the trial court granted the State’s motion for a
venue change concluding that local excitement and prejudice generated by the two
mistrials and the extensive publicity surrounding the case meant that neither side
could get a fair trial. Id. But, after an extensive analysis regarding the best
alternative venue, the trial court transferred the case to Doña Ana County rather
than Bernalillo County. Id. at 974-75.
Mr. House’s third jury trial began on May 5, 1995, and was broadcast
nationwide on Court TV. Id. at 975. On May 26, 1995, after deliberating under
five hours, the Doña Ana jury convicted Mr. House on all charges: four counts of
vehicular homicide (on a DWI theory); four counts of vehicular homicide (on a
reckless driving theory); one count of great bodily injury by vehicle (DWI); and
4
one count of great bodily injury by vehicle (reckless driving). Id. On July 24,
1995, the trial court sentenced Mr. House to a prison term of twenty-five years,
suspending three of those years. Id.; see State v. House, 25 P.3d 257, 260 (N.M.
Ct. App. 2001) (“House II”). 2 The New Mexico Supreme Court affirmed Mr.
House’s conviction. House I, 978 P.2d at 998.
While his case was on direct appeal, the New Mexico Court of Appeals
issued an opinion holding that, under constitutional double jeopardy principles,
vehicular-homicide convictions could not be imposed on alternative theories for
the same deaths. See generally State v. Landgraf, 913 P.2d 252, 262 (1996).
After the New Mexico Supreme Court denied a writ of certiorari the following
month, Landgraf became final and binding. Consequently, the trial court
resentenced Mr. House, vacating the four vehicular homicide counts predicated on
a reckless-driving theory, but leaving the twenty-five-year sentence intact. See
House II, 25 P.3d at 261. Mr. House appealed. The New Mexico Court of
2
The trial court imposed a sentence of three years on one count of
grievous bodily injury with a motor vehicle. House II, 25 P.3d at 260. It retained
the vehicular homicide convictions predicated on alternative theories, imposing
three years for each of the eight counts of vehicular homicide – four based on a
DWI theory and four based on a reckless driving theory – to be served
concurrently for a total of twelve years. Id. Finally, because Mr. House had a
previous misdemeanor DWI conviction, the trial court imposed a statutory two-
year recidivist enhancement upon each of his DWI-related convictions for a total
of ten years. Id. Mr. House, therefore, received a total sentence of twenty-five
years, with three years suspended. See, e.g., R., Vol. I, Doc. 9 (Resp.’s Answer,
filed March 20, 2002), Exhibit P, at 8 (Amended Judgment, Partially Suspended
Sentence and Commitment, filed April 6, 1999).
5
Appeals upheld his sentence, id. at 267, and the New Mexico Supreme Court
denied a writ of certiorari.
While his sentencing appeal was pending, Mr. House filed a petition for
habeas relief in the United States District Court for the District of New Mexico.
The federal district court dismissed the petition without prejudice because Mr.
House had not exhausted his state court remedies. At the conclusion of state
proceedings, Mr. House filed a second petition for habeas relief.
The magistrate judge recommended denying Mr. House’s petition on the
merits. Although the district court only partially adopted the magistrate judge’s
findings and conclusions, it reached the same result, denying on the merits Mr.
House’s petition for habeas relief. Mr. House appealed and, on July 25, 2005, the
district court issued a certificate of appealability.
II. STANDARD OF REVIEW
“‘In an appeal of the dismissal of a federal habeas corpus petition, we
review a district court’s findings of fact for clear error and its conclusions of law
de novo.’” Maynard v. Boone, 468 F.3d 665, 669 (10th Cir. 2006) (quoting
Robinson v. Golder, 443 F.3d 718, 720 (10th Cir. 2006), cert. denied, 127 S. Ct.
166 (2006)), cert. denied, 127 S. Ct. 1819 (2007). The Antiterrorism and
Effective Death Penalty Act of 1996 (“AEDPA”) establishes the requirements for
granting a writ of habeas corpus:
An application for a writ of habeas corpus on behalf of a
6
person in custody pursuant to the judgment of a State court
shall not be granted with respect to any claim that was
adjudicated on the merits in the State court proceedings unless
the adjudication of the claim –
(1) resulted in a decision that was contrary to, or involved
an unreasonable application of, clearly established
Federal law, as determined by the Supreme Court of the
United States; or
(2) resulted in a decision that was based on an unreasonable
determination of the facts in light of the evidence
presented in the State court proceeding.
28 U.S. C. § 2254(d) (emphasis added). Subsection (d)(1) governs claims of legal
error while subsection (d)(2) governs claims of factual error. See Maynard, 468
F.3d at 669.
A. Section 2254(d)(1)
1. Clearly established law
The AEDPA “requires federal habeas courts to deny relief that is
contingent upon a rule of law not clearly established at the time the state court
conviction became final.” Williams v. Taylor, 529 U.S. 362, 380 (2000).
Whether the law is clearly established is the threshold question under §
2254(d)(1). Id. at 390 (emphasis added); see also Yarborough v. Alvarado, 541
U.S. 652, 660 (2004) (the analysis “begin[s] by determining the relevant clearly
established law”). Clearly established law is determined by the United States
Supreme Court, and refers to the Court’s “holdings, as opposed to the dicta.”
Lockyer v. Andrade, 538 U.S. 63, 71 (2003) (internal quotation marks omitted)
7
(quoting Williams, 529 U.S. at 412). The law is not clearly established if it
announces “[a] rule that ‘breaks new ground or imposes a new obligation on the
States of the Federal Government.’” Williams at 381 (quoting Teague v. Lane, 489
U.S. 288, 301 (1989)).
The Court recently clarified at least two significant issues that were raised
by federal court application of the Williams analytic framework. Carey v.
Musladin, 127 S. Ct. 649 (2006). 3 First, Musladin instructed that Supreme Court
holdings – the exclusive touchstone for clearly established federal law – must be
construed narrowly and consist only of something akin to on-point holdings.
Prior to Musladin, the Supreme Court seemed more likely to draw clearly
established federal law from general principles teased from precedent. In
Alvarado, supra, for example, where the petitioner alleged that he was subjected
to an unlawful custodial interrogation because he was not read his Miranda rights,
the Court discerned clearly established federal law in the general principles of
Miranda and its progeny, even though those cases were silent concerning the
3
In Wright v. Van Patten, 128 S. Ct. 743, 745 (2008) (per curiam), the
Court seemed to acknowledge that more was at work in Musladin than a routine
restatement of the § 2254(d)(1) standard of review because, prior to its final
decision, it remanded the case to the Seventh Circuit for further consideration in
light of “Musladin’s explanation of the ‘clearly established Federal law’
requirement.” Id. at 745. See Rodriguez v. Miller, 499 F.3d 136, 140 (2d Cir.
2007), (noting that “[t]he Supreme Court has vacated our decision in this habeas
proceeding with the instruction to reconsider it in light of” Musladin), cert.
denied, 76 U.S.L.W. 3497 (U.S. Mar. 17, 2008).
8
effect of the two criminal-suspect variables at issue – age and experience with law
enforcement – on the custody analysis. 541 U.S. at 661-63, 666; see Andrade,
538 U.S. at 71-72 (where Supreme Court precedent was “not a model of clarity”
and the Court had “not established a clear or consistent path for courts to follow”
Court nonetheless found general, clearly established law – viz., “A gross
disproportionality principle is applicable to sentences for a term of years.”); see
also Melissa M. Berry, Seeking Clarity in the Federal Habeas Fog: Determining
What Constitutes “Clearly Established” Law under the Antiterrorism and
Effective Death Penalty Act, 54 C ATH . U. L. R EV . 747, 787 (2005) (“The Court’s
[pre-Musladin] decisions . . . demonstrate that it will not find a lack of clearly
established law where it can discern a legal principle in the Court’s precedent,
even if that principle is general or otherwise indeterminate.”). 4 Under the pre-
Musladin regime, the Court observed that in “most situations, . . . the task of
determining what we have clearly established will be straightforward.” Andrade,
538 U.S. at 72.
In contrast, the Musladin Court’s articulation of what constitutes clearly
established law is noticeably more restrictive:
4
Compare Andrade, 538 U.S. at 71-72 (describing clearly established
federal law as “the governing legal principle or principles set forth by the
Supreme Court at the time the state court renders its decision”) with Berry, supra,
at 782 (discussing Andrade and noting “[t]his lack of clarity [in Supreme Court
holdings], therefore, did not mean that there was no clearly established law; it
was not a dispositive issue for the Court”).
9
Given the lack of holdings from this Court regarding the
potentially prejudicial effect of spectators’ courtroom conduct
of the kind involved here, it cannot be said that the state court
“unreasonabl[y] appli[ed] clearly established Federal law.” §
2254(d)(1). No holding of this Court required the California
Court of Appeal to apply the test of Williams and Flynn
[Supreme Court cases involving government-sponsored
practices] to the spectators’ conduct here. Therefore, the state
court’s decision was not contrary to or an unreasonable
application of clearly established federal law.
127 S. Ct. at 654. Thus, in the post-Musladin analysis, clearly established law
consists of Supreme Court holdings in cases where the facts are at least closely-
related or similar to the case sub judice. Although the legal rule at issue need not
have had its genesis in the closely-related or similar factual context, the Supreme
Court must have expressly extended the legal rule to that context. 5 See Wright v.
5
Notably, the Musladin Court did not appear to predicate the presence
of clearly established federal law upon the existence of Supreme Court holdings
involving essentially identical factual circumstances. In other words, the Court
did not insist upon exact factual identity between existing Supreme Court cases
and the case sub judice. For example, the Court did not focus on the precise
nature of the privately-initiated courtroom conduct at issue – the wearing of
buttons bearing the likeness of the deceased. Rather, in referring to “courtroom
conduct of the kind involved here,” the Court seemingly distinguished between
the allegedly prejudicial effect of government-sponsored, as opposed to privately-
initiated, courtroom conduct. Musladin, 127 S. Ct. at 654 (emphasis added); see
id. at 653 (noting the “contrast” between its existing precedent that involved
“state-sponsored courtroom practices” and the conduct “to which Musladin
objects” that related to “private-actor courtroom conduct”); see also Van Patten,
128 S. Ct. at 745 (per curiam) (highlighting the government-sponsored/privately-
initiated courtroom conduct distinction in describing Musladin’s holding).
Arguably then, had a prior Supreme Court holding involved the prejudicial effect
of privately-initiated courtroom conduct – even if that conduct was unrelated to
the wearing of buttons – the Court would likely have concluded that clearly
(continued...)
10
Van Patten, 128 S. Ct. 743, 746 (2008) (per curiam) (consistent with Musladin
reversing a grant of habeas relief under the rationale that no Supreme Court
decision “squarely address[ed]” the issue “or clearly establish[ed]” that law from
another context should apply on the facts sub judice); see also Rodriguez v.
Miller, 499 F.3d 136, 140 (2d Cir. 2007), (“[Musladin] admonishe[d] courts to
read the Supreme Court’s holdings narrowly and to disregard as dicta . . . much of
the underlying logic and rationale of the high court’s decisions.”), cert. denied, 76
U.S.L.W. 3497 (U.S. Mar. 17, 2008).
Second, Musladin clarified that the threshold determination that there is no
clearly established federal law is analytically dispositive in the § 2254(d)(1)
analysis. That is, without clearly established federal law, a federal habeas court
5
(...continued)
established federal law existed.
Consequently, Musladin’s narrowing of the universe of Supreme Court
holdings that qualify, in any given case, as clearly established federal law obliges
federal courts to engage in a type of line-drawing. In the post-Musladin world, it
is not enough for courts to mechanistically seek to determine whether there are
Supreme Court holdings that involve facts that are indistinguishable from the case
at issue. Instead, they must exercise a refined judgment and determine the actual
materiality of the lines (or points) of distinction between existing Supreme Court
cases and the particular case at issue (for example, the Musladin line between the
allegedly prejudicial effect of government-sponsored, and privately-initiated,
courtroom conduct). Cf. Rodriguez, 499 F.3d at 142 (where petitioner objected to
the exclusion of his family from his criminal trial, the court in applying Musladin
did not insist upon factual identity, but rather looked for a Supreme Court holding
that provided “a rule of general application in the courtroom closure context”).
However, federal courts may no longer extract clearly established law from the
general legal principles developed in factually distinct contexts.
11
need not assess whether a state court’s decision was “contrary to” or involved an
“unreasonable application” of such law. See The Supreme Court, 2006 Term –
Leading Cases, 121 H ARV . L. R EV . 335, 340 (2007) (noting that in Musladin the
threshold question was “both the beginning and the end” of the analysis).
Prior to Musladin, there was uncertainty regarding whether the Williams
Court’s reference to a “threshold” question “simply mean[t] the issue should be
addressed first, or whether it also mean[t] the issue should be dispositive and thus
the basis for denying relief.” Berry, supra, at 753; see also The Supreme Court,
2006 Term – Leading Cases, supra, at 340 (noting that prior to Musladin the
courts were “divided” over whether the threshold question “should also be
dispositive” ). Cf. Kent S. Scheidegger, Habeas Corpus, Relitigation, and the
Legislative Power, 98 C OLUM . L. R EV . 888, 949 (1998) (pre-Williams, rejecting
the view of some commentators that an “unreasonable application” inquiry was
appropriate in the absence of clearly established federal law, stating, “Application
is not extrapolation. If there were no clearly established law governing the
situation, then nothing the state court did could possibly be an unreasonable
application of nonexistent law.”).
Our decisions have reflected this lack of clarity. In Valdez v. Ward, 219
F.3d 1222 (10th Cir. 2000), we strongly suggested that a habeas court was obliged
to proceed to the “bifurcated inquiry” under § 2254(d)(1) (i.e., the “contrary to”
12
and “unreasonable application” inquiries) only if it determined that there was
clearly established federal law. Id. at 1229 (“[T]he threshold question is whether
the petitioner seeks to apply a rule of law that was ‘clearly established’ by the
Supreme Court at the time the conviction became final. If so, we must proceed to
a bifurcated inquiry.” (emphasis added, footnote and citation omitted)). However,
in Carter v. Ward, 347 F.3d 860 (10th Cir. 2003), we held that even where the
federal law was not clearly established a habeas court “must still consider”
whether the petitioner could alternatively prevail under the “unreasonable
application” prong of § 2254 (d)(1). Id. at 864.
Musladin has now dispelled the uncertainty: The absence of clearly
established federal law is dispositive under § 2254(d)(1).
2. Contrary to or unreasonable application of
clearly established federal law
After Musladin, only if we answer affirmatively the threshold question as
to the existence of clearly established federal law, may we ask whether the state
court decision is either contrary to or an unreasonable application of such law.
A state-court decision is contrary to clearly established federal law if: (a)
“the state court applies a rule that contradicts the governing law set forth in
Supreme Court cases”; or (b) “the state court confronts a set of facts that are
materially indistinguishable from a decision of the Supreme Court and
13
nevertheless arrives at a result different from [that] precedent.” Maynard, 468
F.3d at 669 (internal quotation marks and brackets omitted) (quoting Williams,
529 U.S. at 405). “The word ‘contrary’ is commonly understood to mean
‘diametrically different,’ ‘opposite in character or nature,’ or ‘mutually
opposed.’” Williams, 529 U.S. at 405 (citation omitted).
A state court decision involves an unreasonable application of clearly
established federal law when it identifies the correct governing legal rule from
Supreme Court cases, but unreasonably applies it to the facts. Id. at 407-08.
Additionally, we have recognized that an unreasonable application may occur if
the state court either unreasonably extends, or unreasonably refuses to extend, a
legal principle from Supreme Court precedent to a new context where it should
apply. Carter, 347 F.3d at 864 (quoting Valdez, 219 F.3d at 1229-30). 6 We refer
6
The “extension of legal principle” component is not at issue here.
Mr. House does not argue that the state court erred in refusing to extend Supreme
Court precedent in a new context. Instead, he claims that the factual differences
between jury selection and venue selection are of no moment and, consequently,
Supreme Court equal protection precedent that applies to jury selection should
apply equally to venue selection. In essence, Mr. House complains that the New
Mexico Supreme Court unreasonably applied that precedent.
Given our determination infra that no clearly established federal law
mandated the application of equal protection principles arising in the jury
selection context to the arena of venue selection, even if we were to construe Mr.
House’s argument as being bottomed in any measure on the “extension of legal
principle” component, he would have no grounds for complaint: The New Mexico
state courts would have given Mr. House the extension of law that he wanted
(albeit not the outcome) by applying Batson v. Kentucky, 476 U.S. 79 (1986) to
(continued...)
14
to these two analytic strands, respectively, as the “application of legal principle,”
and the “extension of legal principle,” Williams, 529 U.S. at 408-09, components
of the “unreasonable application” prong of § 2254(d)(1). 7
As to this prong, the ultimate focus of the inquiry is whether the state
court’s application of the clearly established federal law is objectively
unreasonable. Bell v. Cone, 535 U.S. 685, 694 (2002). Consequently, the
6
(...continued)
venue selection. Furthermore, insofar as Mr. House alludes to the “extension of
legal principle” component in objecting to the conduct of the federal district
court, see Aplt. Op. Br. at 7, he is misguided. His habeas petition must
necessarily challenge the conduct of the state courts and their allegedly
“unreasonable application” of clearly established federal law. 28 U.S.C. §
2254(d)(1). The federal district courts merely provide a layer of review of state
court action. Accordingly, any inquiry as to whether the federal district court
itself could be deemed to have misapplied clearly established federal law under
the “extension of legal principle” component would be inappropriate.
7
The decisional boundaries between the “application of legal
principle” and the “extension of legal principle” components of the “unreasonable
application” prong are admittedly ill-defined. See Alvarado, 541 U.S. at 666
(Kennedy, J.) (“[T]he difference between applying a rule and extending it is not
always clear. Certain principles are fundamental enough that when new factual
permutations arise, the necessity to apply the earlier rule will be beyond doubt.”);
see also Musladin, 127 S. Ct. at 656 (Kennedy, J., concurring in judgment)
(“AEDPA does not require state and federal courts to wait for some nearly
identical factual pattern before a legal rule must be applied.” (emphasis added));
Williams, 529 U.S. at 408 (noting both that “problems of precision” are associated
with the two components and that “in some cases it will be hard to distinguish a
decision involving an unreasonable extension of a legal principle from a decision
involving an unreasonable application of the law to facts”). Cf. Berry, supra, at
805 (“Under the unreasonable application prong, clearly established law includes
rules that can be reasonably extended to new factual situations that are not
materially distinguishable.”).
15
Supreme Court has concluded that although this standard does not require all
reasonable jurists to agree that the state court was unreasonable, an unreasonable
application constitutes more than an incorrect application of federal law.
Williams, 529 U.S. at 377, 410; see Andrade, 538 U.S. at 75 (“It is not enough
that a federal habeas court, in its independent review of the legal question, is left
with a firm conviction that the state court was erroneous.” (internal quotation
marks omitted)). In addressing the objective unreasonableness standard, we have
determined that the AEDPA’s conception of objective unreasonableness lies
“somewhere between clearly erroneous and unreasonable to all reasonable
jurists.” Maynard, 468 F.3d at 670. Thus, “only the most serious misapplications
of Supreme Court precedent will be a basis for relief under § 2254.” Id. at 671.
B. Section 2254(d)(2)
Under the AEDPA’s second subsection governing claims of factual error, a
writ of habeas corpus should be granted only if the state court decision was based
on an unreasonable determination of the facts in light of the evidence presented in
the state court proceeding. 28 U.S.C. § 2254(d)(2). A federal habeas court must
presume the state court’s factual findings to be correct unless the petitioner rebuts
the presumption with clear and convincing evidence. 28 U.S.C. § 2254 (e)(1).
The standard “is demanding, but not insatiable . . . [as ] deference does not by
definition preclude relief.” Miller-El v. Dretke, 545 U.S. 231, 240 (2005)
16
(internal quotation marks omitted) (quoting Miller-El v. Cockrell, 537 U.S. 322,
340 (2003)).
III. LEGAL ANALYSIS
On appeal, Mr. House challenges the denial of habeas relief on five
grounds. First, he contests the trial court’s transfer of venue to Doña Ana County
which, he contends, improperly eliminated all members of his race from the
venire. Specifically, he argues that Batson v. Kentucky, 476 U.S. 79 (1986),
“prohibits the State from offensively using state venue transfer statutes to transfer
a case to a venue” with the aim of “depriving a defendant of any practical
possibility that members of his race will be in the venire from which the petit jury
is selected.” Aplt. Op. Br. at xxiv. Furthermore, according to Mr. House,
although the New Mexico Supreme Court was correct to use the framework of
Batson to assess the legal propriety of the venue transfer in his case, it did not
properly employ the Batson analysis.
Second, Mr. House contends that the trial court misapplied clearly
established federal law when it failed to conduct voir dire before presuming that
the entire Taos County venire was tainted by pretrial publicity and transferring
venue. Third, Mr. House maintains that the State’s discriminatory use of the New
Mexico venue transfer statute constituted a structural error that violated his
Fourteenth Amendment rights to equal protection and due process of law. Fourth,
17
Mr. House claims that the state court erred in its sentencing decisions in violation
of his due process rights. Finally, Mr. House challenges the trial court’s refusal
to recuse on remand. Addressing each argument in turn, we conclude that they all
lack merit.
A. Is Mr. House entitled to habeas relief based on his claim
that New Mexico violated his right to equal protection
through its use of a race-neutral venue transfer statute?
Mr. House requests habeas relief arguing that the State-initiated transfer of
venue from Taos County to Doña Ana County – which allegedly eliminated
Native Americans from the venire 8 – ran afoul of the Supreme Court’s Batson
decision, unlawfully depriving him of his Fourteenth Amendment rights. More
generally, Mr. House maintains that various Supreme Court precedents stand for
the clearly established federal legal principle that the Equal Protection Clause
applies to all stages of a criminal proceeding, including the selection of venue.
This principle, reasons Mr. House, bars the State from intentionally
discriminating against a defendant by obtaining a transfer of venue.
“The Supreme Court in Batson held that the Fourteenth Amendment’s
Equal Protection Clause prohibits the prosecution’s use of peremptory challenges
to exclude potential jurors on the basis of their race.” Saiz v. Ortiz, 392 F.3d
8
Mr. House’s Doña Ana County venire actually included several
Native Americans whom Mr. House excused from the jury using his peremptory
challenges. House I, 978 P.2d at 998.
18
1166, 1171 (10th Cir. 2004); see Batson, 476 U.S. at 86, 89 (“The Equal
Protection Clause guarantees the defendant that the State will not exclude
members of his race from the jury venire on account of race, or on the false
assumption that members of his race as a group are not qualified to serve as
jurors.” (citations omitted)).
The New Mexico Supreme Court concluded that equal protection principles
did apply in the context of venue transfers and employed a modified Batson
analysis in assessing the legality of the venue transfer to Doña Ana County.
Although the federal district court ultimately concluded on the merits that the
New Mexico Supreme Court’s equal protection analysis was not an unreasonable
application of clearly established federal law, it affirmed the magistrate judge’s
determination that “the clearly established federal law does not extend the ruling
of Batson v. Kentucky . . . and its progeny to the State’s motion for a change of
venue.” Case No. CV-02-0178-MV/ACT, Doc. No. 63, at 8 (Mem. Op. & Order,
dated Mar. 31, 2005) (internal quotations marks omitted) (quoting Case No. CV-
02-0178-MV/ACT, Doc. 55, at 11 (Report & Recommendation, dated Jan. 23,
2004)) [hereinafter “Slip Op.”].
We conclude that the federal district court reached the right result. No
Supreme Court case holds that venue transfers are subject to scrutiny under the
Equal Protection Clause. Absent controlling Supreme Court precedent, it follows
19
ineluctably that the New Mexico Supreme Court’s decision to uphold the venue
transfer cannot be either “contrary to, or [] an unreasonable application of, clearly
established Federal law.” 28 U.S.C. § 2254(d)(1).
Musladin is instructive. There, the California Court of Appeal held that the
courtroom conduct of the victim’s family, in wearing buttons displaying the
victim’s image, was not unconstitutionally prejudicial so as to deny the defendant
his right to a fair trial. 127 S. Ct. at 652. The Supreme Court concluded that, in
contrast to state-sponsored courtroom practices that affect a defendant’s right to a
fair trial, the prejudicial effect of privately-initiated spectator courtroom conduct
is “an open question” in Supreme Court jurisprudence. Id. at 653. Thus, the state
court could not have unreasonably applied clearly established federal law. Id. at
654.
Like the spectator conduct at issue in Musladin, the Supreme Court has
never addressed a claim that a state-initiated transfer of venue denied a defendant
equal protection under the Fourteenth Amendment. Thus, whether the Equal
Protection Clause applies to the selection of venue is an “open question” under
the Supreme Court’s jurisprudence. 9 Indeed, when faced with the precise issue,
9
Mr. House argues that the New Mexico Supreme Court’s application
of Batson to venue transfers demonstrates that it is clearly established law.
However, the New Mexico Supreme Court did not determine that Supreme Court
holdings established that Batson applied to venue transfers. Rather, the court
found that “[t]here is no generally accepted test for evaluating discriminatory
(continued...)
20
the Supreme Court denied a petition for certiorari. See Mallett v. Missouri, 494
U.S. 1009, 1010 (1990) (Marshall, J., dissenting) (noting that petition for
certiorari should have been granted to determine whether trial court’s decision to
transfer capital trial of African-American defendant to county with no residents of
defendant’s race violates Equal Protection Clause or the Sixth Amendment’s fair
cross-section requirement). Mr. House correctly points out that a denial of
certiorari does not constitute a ruling on the merits. However, it does
demonstrate at least in this instance that the issue remains unresolved by the
Supreme Court. And, perforce, that tells us that there is no clearly established
law on the subject. See Berry, supra, at 791 (“The most straightforward case [of
a lack of clearly established law] is where the Supreme Court has expressly
declined to decide an issue.”).
We likewise reject Mr. House’s attempt to extrapolate clearly established
law from general equal protection principles in the absence of a Supreme Court
holding on point. Although we acknowledge the long line of Supreme Court
9
(...continued)
intent in the selection of a venue.” House I, 978 P.2d at 993. More
fundamentally, the New Mexico Supreme Court’s conclusion that a modified
Batson analysis could apply to an alleged discriminatory venue transfer does not
make Batson “clearly established federal law” on the issue. As the federal district
court correctly noted, “[u]nlike federal district courts considering habeas writs,
state courts are not required to apply only ‘clearly established federal law’ on
direct appeal, rather they apply Supreme Court decisions employing their own
interpretation and analysis.” Slip Op. at 7.
21
cases that stand for the proposition that a state may not purposefully discriminate
on the basis of race in jury selection procedures, 10 we nonetheless must heed
Musladin’s teachings that restrict the scope of clearly established federal law to
narrowly-defined Supreme Court holdings. To demonstrate that the law is clearly
established, Mr. House must do more than identify a generalized legal principle.
Because the federal law is not clearly established that equal protection
guarantees apply to the state’s selection of a trial venue, we conclude that the
New Mexico Supreme Court’s decision was neither contrary to, nor an
unreasonable application of, clearly established law. Consequently, Mr. House is
not entitled to habeas relief on this ground.
B. Whether Mr. House is entitled to habeas relief because the
10
Undoubtedly, for over a century the Supreme Court has battled racial
discrimination in the procedures used to select the venire from which individual
jurors are drawn. See Strauder v. West Virginia, 100 U.S. 303, 310 (1880)
(holding that a state denies a defendant equal protection when it purposefully
excludes all members of the defendant’s race from being eligible to serve as
jurors), abrogated on other grounds by Taylor v. Louisiana, 419 U.S. 522 (1975);
Ex Parte Virginia, 100 U.S. 339 (1880); see also Georgia v. McCollum, 505 U.S.
42, 46 (1992) (“Over the last century, in an almost unbroken chain of decisions,
this Court gradually has abolished race as a consideration for jury service.”);
Powers v. Ohio, 499 U.S. 400, 404 (1991) (“For over a century, this Court has
been unyielding in its position that a defendant is denied equal protection of the
laws when tried before a jury from which members of his or her race have been
excluded by the State’s purposeful conduct.”); Holland v. Illinois, 493 U.S. 474,
477 (1990) (“[T]he Sixth Amendment entitles every defendant to object to a
venire that is not designed to represent a fair cross section of the community.”);
Batson, 476 U.S. at 86 (“Purposeful racial discrimination of the venire violates a
defendant’s right to equal protection because it denies him the protection that a
trial by jury is intended to serve.”).
22
New Mexico Supreme Court improperly applied Batson?
Mr. House challenges the New Mexico Supreme Court’s modified Batson
analysis relating to the venue transfer to Doña Ana County as an unreasonable
application of clearly established federal law under the Equal Protection Clause.
Because there is no clearly established federal law entitling Mr. House to the
safeguards afforded by that constitutional provision when the State initiates a
venue transfer, Mr. House’s challenge fails at the threshold inquiry. Under §
2254(d)(1) our analysis ends. 11
C. Is Mr. House entitled to habeas relief because the trial
court failed to voir dire potential Taos County jurors prior
to transferring venue?
Mr. House argues that the trial court violated his Sixth and Fourteenth
Amendment rights when it transferred venue without ascertaining, through voir
dire, whether potential jurors were actually prejudiced instead presuming that,
after two mistrials, a fair and impartial jury could not be seated in Taos County.
The New Mexico Supreme Court, reversing the New Mexico Court of Appeals,
11
Mr. House also argues that the New Mexico Supreme Court
misapplied the more general governing legal principle to be gleaned from
Supreme Court precedent – specifically, that the Equal Protection Clause applies
at every step of a criminal proceeding. Given the teachings of Musladin
discussed supra, we may summarily reject Mr. House’s argument; such a general
governing legal principle cannot properly comprise clearly established federal law
and, absent such law, our inquiry ends.
23
held that neither the New Mexico constitution, statutes, nor case law requires that
“a venue change should be supported by proof of actual prejudice through voir
dire.” House I, 978 P.2d at 984. Moreover, the New Mexico Supreme Court
determined that the trial court had not abused its discretion when, after
conducting an extensive evidentiary hearing, it found that it was improbable that a
fair and impartial jury could be assembled at that time in Taos County. Id. at
990.
Although Mr. House conflates his arguments concerning legal and factual
error, we analyze them separately. First, Mr. House alleges that it is clearly
established federal law that voir dire is required before granting a change of
venue on the grounds that the entire venire is prejudiced. Consequently, he
argues that the New Mexico Supreme Court’s decision was contrary to, or
involved an unreasonable application of, this clearly established federal law. As
explained supra, a claim of legal error is governed by § 2254(d)(1). Second, Mr.
House alleges that the trial court’s presumption of prejudice was an unreasonable
determination of the facts in light of the evidence. Because this claim asserts a
factual error, we analyze it under § 2254(d)(2).
1. Clearly established federal law under §
2254(d)(1)
The Supreme Court has determined that intense pretrial publicity may
create either presumed prejudice or actual prejudice in a jury pool. The Supreme
24
Court expressly articulated these concepts, in Murphy v. Florida, 421 U.S. 794
(1975), holding that “Petitioner has failed to show that the setting of the trial was
inherently prejudicial or that the jury selection process of which he complains
permits an inference of actual prejudice.” Id. at 803 (emphasis added). 12
We have acknowledged the distinction between presumed and actual
prejudice, and observed that prejudice is presumed where “pretrial publicity is so
pervasive and prejudicial that we cannot expect to find an unbiased jury pool in
the community.” Goss v. Nelson, 439 F.3d 621, 628 (10th Cir. 2006). In such
cases, a trial court is permitted to transfer venue without conducting voir dire of
prospective jurors. See Sheppard v. Maxwell, 384 U.S. 333, 362-63 (1966)
(“[W]here there is a reasonable likelihood that prejudicial news prior to trial will
prevent a fair trial, the judge should continue the case until the threat abates, or
transfer it to another county not so permeated with publicity.”); Estes v. Texas,
381 U.S. 532, 542-43 (1965).
Actual prejudice “manifest[s] at jury selection” when voir dire reveals “the
effect of pretrial publicity . . . is so substantial as to taint the entire jury pool.”
Goss, 439 F.3d at 628. To establish actual prejudice, the party seeking a change
12
See also Sheppard v. Maxwell, 384 U.S. 333 (1966); Estes v. Texas,
381 U.S. 532 (1965); Rideau v. Louisiana, 373 U.S. 723 (1963); Irving v. Dowd,
366 U.S. 717 (1961). “In each of these cases, th[e] [Supreme] Court overturned a
state-court conviction obtained in a trial atmosphere that had been utterly
corrupted by press coverage.” Murphy, 421 U.S. at 798.
25
of venue must demonstrate “the actual existence of [] an opinion in the mind of
the juror as will raise the presumption of partiality.” Murphy, 421 U.S. at 800
(internal quotation marks omitted) (quoting Irwin, 366 U.S. at 723). In cases of
actual prejudice, “the voir dire testimony and the record of publicity [] [must]
reveal the kind of wave of public passion that would have made a fair trial
unlikely by the jury that was empaneled as a whole.” Patton v. Yount, 467 U.S.
1025, 1040 (1984).
Conceding that the Supreme Court “recognizes two means of
demonstrating” that pretrial publicity has prejudicially impacted potential jurors’
ability to be fair and impartial, Aplt. Op. Br. at 29, Mr. House nonetheless argues
that the only effective means of establishing juror prejudice that will justify a
venue change is voir dire. 13 However, the Supreme Court has never determined
13
We also could construe Mr. House as contending that to protect
against the dangers of “purposeful state action to exclude members of
Defendant’s race from the venire,” Aplt. Op. Br. at 48, a trial court must voir dire
potential jurors in a case in which the prosecution requests a venue change
because of pervasive pretrial publicity, at least where the factual circumstances
raise the specter of possible race-based discrimination (e.g., where the requested
venue has few potential jurors of defendant’s race). Even if we construed Mr.
House’s argument to encompass this contention, however, we would reject it. We
already have concluded that under clearly established federal law Mr. House did
not have a right to be protected from alleged state race-based venue transfer
requests. Accordingly, clearly established federal law perforce would not have
obliged state courts to engage in voir dire to guard against damage to this
nonexistent substantive right.
Mr. House urges us to read Mu’Min v. Virginia, 500 U.S. 415 (1991),
(continued...)
26
that a trial court must conduct voir dire before granting a motion for a change of
venue due to pretrial publicity. Indeed, as evident by the discussion above,
clearly established Supreme Court precedent dictates that, under certain
circumstances, pretrial publicity may be presumed to prejudice prospective jurors.
In such cases, voir dire is not a condition precedent to transferring venue. Thus,
Mr. House’s contention fails § 2254(d)(1)’s threshold inquiry: there is no clearly
established federal law to support it. Consequently, the New Mexico Supreme
Court’s conclusion that the law does not require “a venue change [] be supported
by proof of actual prejudice through voir dire,” House I, 978 P.2d at 984, cannot
be contrary to, or an unreasonable application of, clearly established federal law.
Moreover, the New Mexico Supreme Court relied on its construction of
state law that “the choice of waiting until after voir dire before granting a motion
to change venue rests with the sound discretion of the trial court and will not be
disturbed absent an abuse of that discretion.” Id. On collateral review, we cannot
13
(...continued)
“as establishing that voir dire transcripts are required to sustain any determination
of community wide prejudice.” Aplt. Op. Br. at 26. We decline to do so. Simply
put, Mu’Min is inapposite. There, the Court held that the Constitution does not
mandate content-based voir dire regarding a potential juror’s exposure to pretrial
publicity. Id. at 424. Mu’Min does not speak to whether a trial court, in ruling on
the prosecution’s motion to change venue, may presume juror prejudice from
extensive pretrial publicity. More specifically, it does not purport to address
under what circumstances a trial court might be obliged to conduct a voir dire
examination of potential jurors to protect against the alleged prejudice of pretrial
publicity.
27
review a state court’s interpretation of its own state law. See Estelle v. McGuire,
502 U.S. 62, 67-68 (1991).
Accordingly, for the foregoing reasons, Mr. House’s constitutional
challenge to the state trial court’s failure to conduct voir dire before effecting the
venue transfer must fail.
2. Unreasonable determination of the facts under
§ 2254(d)(2)
Mr. House further contends that both the trial court and the New Mexico
Supreme Court misapprehended the quality and quantity of the pretrial publicity
in this case. In his view, the facts were insufficient to support the trial court’s
presumption that Taos County jurors were prejudiced against him due to pretrial
publicity. To succeed on his claim of factual error, Mr. House must provide clear
and convincing evidence that the state court erred in determining that a fair and
impartial jury could not be empaneled in Taos County. 28 U.S.C. § 2254(e)(1).
The trial court reached its decision to transfer venue, however, after
conducting an extensive evidentiary hearing. House I, 978 P.2d at 974.
Moreover, after reviewing the record, the New Mexico Supreme Court concluded
that substantial evidence supported the trial court’s determination that a fair and
impartial jury could not be empaneled in Taos County:
Widespread inflammatory publicity saturated Taos County
close to the time of the trials; the television, newspaper and
28
radio publicity was highly emotional; the comments by the
parties, relatives, and the attorneys in this case further affected
public sentiment; the risk of prejudice was increased by the
comparatively small population of Taos [County]; jurors in the
second trial did not disclose bias during voir dire; and there
was a strong likelihood that many potential jurors would enter
the third trial with strong predilections toward one party or the
other.
Id. at 990. 14 Finally, the federal district court highlighted the evidence
concluding that the decision to change venue did not constitute an unreasonable
determination of the facts.
In arguing for a contrary outcome, Mr. House relies on Goss, supra. His
reliance is misplaced. Goss stands for the unremarkable proposition that, in a
case in which the defendant challenges the denial of his request for a transfer of
venue, pretrial publicity does not ordinarily in and of itself demonstrate
entitlement to relief. 439 F.3d at 628-29 (noting that “cases where the courts
presume prejudice based upon pretrial publicity alone are rare”). In contrast, the
14
The New Mexico Supreme Court noted “[f]ederal courts have
reserved presumed prejudice only for the most extreme situations.” House I, 978
P.2d at 984. The court explained that the New Mexico venue statutes do not
require the employment of the same high standard forged in the federal
constitutional sphere, but instead require the movant to establish a “reasonable
probability” that he or she cannot receive a fair trial in the venue. Id. at 985. Mr.
House argues only that the facially neutral New Mexico venue statutes were
applied in a manner that violates the U.S. Constitution – that is, applied in a
manner that involved a constitutionally unreasonable determination of the facts.
And that is the question we are authorized to answer. We do not otherwise
presume to consider the substantive merits of New Mexico’s venue transfer
standards.
29
decision to transfer venue in this case was not based solely on the existence of
pretrial publicity. House I, 978 P.2d at 988- 990. Instead, the trial court also
relied, among other things, on the public-minded attitude of the Taos County
population which, in the trial court’s experience, increased the likelihood that
potential jurors had formed opinions about the case especially given that the case
had been tried to two juries in six months, and evidence that several earlier jurors
had not sufficiently disclosed biases during voir dire. Mr. House points to polling
evidence to support his claim. However, as previously noted, the trial court
conducted an evidentiary hearing on the issue and based the decision to transfer
venue on findings beyond the existence of pretrial publicity.
Because Mr. House has not met his burden of proving with clear and
convincing evidence that the trial court erred in changing venue to Doña Ana
County, he is not entitled to relief.
D. Did the venue transfer constitute fundamental error?
Mr. House next contends that the State’s use of the facially neutral venue
transfer statute for the unconstitutional purpose of discriminating against him is a
fundamental error. Thus, he argues that the state court violated clearly
established federal law and unreasonably determined the facts in light of the
evidence presented in requiring him to demonstrate that he suffered prejudice by
being tried in Doña Ana County. As with Mr. House’s prior claims, he cannot
30
obtain habeas relief on this ground.
Mr. House observes that both the New Mexico Supreme Court and the
federal district court misapprehended the thrust of his claim. Rather than arguing
that he is entitled to a jury trial in Taos County, Mr. House contends that
regardless of the venue to which his case was transferred, the Constitution
guarantees him freedom from the State’s use of facially neutral venue transfer
statutes for unconstitutional purposes – to promote racial discrimination and to
obtain biased factfinders.
Mr. House’s contentions rest on a faulty premise – that the law is clearly
established that the alleged Fourteenth Amendment violations at issue constitute
fundamental errors. A fundamental error is a “structural defect affecting the
framework within which the trial proceeds.” Arizona v. Fulminante, 499 U.S.
279, 310 (1991). The United States Supreme Court has never held that the
alleged Fourteenth Amendment violations Mr. House raises constitute structural
(i.e., fundamental) errors. Similarly, no Supreme Court case holds that a transfer
of venue over a defendant’s objection, even to a venue in which virtually no
person of the defendant’s race resides, constitutes a structural defect or
fundamental error. Indeed, the Supreme Court has held that the Sixth Amendment
requires only that a defendant be provided a jury composed of a fair cross section
of the venire pool, meaning an impartial jury, “not a representative jury.” See
31
Holland v. Illinois, 493 U.S. 474, 480 (1990).
Further, our own review of the evidence confirms the state court did not
base its decision on an unreasonable determination of the facts. The record
includes evidence that Doña Ana County residents were not particularly biased
against Mr. House. For instance, the trial court heard testimony that, of the
persons willing to participate, thirty-six percent of those surveyed in Doña Ana
County had an opinion, while sixty percent of the Taos County participants had
one. The trial court could thus validly determine that more Taos County residents
had formed opinions regarding Mr. House’s guilt (one way or the other) than
potential jurors in Doña Ana County. Approximately 111 of the 300 persons
surveyed in Taos County responded that they thought Mr. House was guilty in
comparison to sixty-five of 300 residents of Doña Ana County who expressed the
same view.
To be sure, the record also shows that Taos County has a greater percentage
of Native Americans than does Doña Ana County. House I, 978 P.2d at 991
(“The trial court and all the participants . . . were well aware that Taos County
has a 6.5% Native American adult population while Doña Ana County has only
about 0.8%.”). Nonetheless, a disparity in the number of potential Native
American jurors is not presumptively discriminatory. Therefore, Mr. House has
failed to rebut, by clear and convincing evidence, the presumptive correctness of
32
the state court’s factual findings.
The New Mexico Supreme Court’s decision, therefore, was neither contrary
to, nor an unreasonable application of, Supreme Court precedent. Nor was it
based on an unreasonable determination of the facts in light of the evidence
presented. Accordingly, we deny habeas relief on this ground.
E. Whether the state court’s sentencing decisions were
contrary to, or an unreasonable application of, clearly
established federal law?
Mr. House also maintains that we should grant habeas relief because the
state court’s sentencing decisions were contrary to, or involved an unreasonable
application of, clearly established federal due process rules.
First, Mr. House contends that New Mexico Court of Appeals’s
interpretation of New Mexico’s vehicular homicide statute, N.M. S TAT . A NN . §
66-8-101, 15 was contrary to and involved an unreasonable application of clearly
15
The version of the statute under which Mr. House was sentenced
reads:
A. Homicide by vehicle is the killing of a human being in the
unlawful operation of a motor vehicle.
B. Great bodily injury by vehicle is the injuring of a human
being, to the extent defined in Section 30-1-12 NMSA 1978, in
the unlawful operation of a motor vehicle.
C. Any person who commits homicide by vehicle or great
bodily injury by vehicle while under the influence of
(continued...)
33
established federal law. Mr. House argues that the New Mexico Court of Appeals
15
(...continued)
intoxicating liquor or while under the influence of any drug or
while violating Section 66-8-113 NMSA 1978 is guilty of a
third degree felony and shall be sentenced pursuant to the
provisions of Section 31-18-15 NMSA 1978, provided that
violation of speeding laws as set forth in the Motor Vehicle
Code shall not per se be a basis for violation of Section
66-8-113 NMSA 1978.
D. Any person who commits homicide by vehicle or great
bodily injury by vehicle while under the influence of
intoxicating liquor or while under the influence of any drug, as
provided in Subsection C of this section, who has incurred a
prior DWI conviction within ten years of the occurrence for
which he is being sentenced under this section, shall have his
basic sentence increased by two years for each prior DWI
conviction.
E. For the purposes of this section, “prior DWI conviction"
means:
(1) a prior conviction under Section 66-8-102 NMSA 1978; or
(2) a prior conviction in New Mexico or any other jurisdiction,
territory or possession of the United States when the criminal
act is driving under the influence of alcohol or drugs.
F. Any person who willfully operates a motor vehicle in
violation of Subsection C of Section 30-22-1 NMSA 1978 and
directly or indirectly causes the death of or great bodily injury
to a human being is guilty of a third degree felony and shall be
sentenced pursuant to the provisions of Section 31-18-15
NMSA 1978.
N.M. S TAT . A NN . § 66-8-101 (Supp. 1991); see House II, 25 P.3d at 260 & n.1
(noting that Mr. House was sentenced under the version of the statute codified in
1991).
34
committed constitutional error in failing to apply the rule of lenity in assessing
the legal propriety of his sentence under the vehicular homicide statute because
that statute is ambiguous on the question of whether DWI-related offenses should
be deemed more serious than those committed through reckless driving, and does
not “contain a preference for one alternative ground for conviction over the
other.” Aplt. Op. Br. at 53-54. More specifically, he contends that the New
Mexico Court of Appeals unreasonably applied clearly established federal due
process principles in upholding the trial court’s decision to vacate the reckless-
driving counts while retaining the DWI-related convictions.
Second, Mr. House attacks the New Mexico Court of Appeals’s ruling
regarding the use of the recidivist sentencing provision of N.M. S TAT . A NN . § 66-
8-101(D). According to Mr. House, like the vehicular homicide statute, this
provision is ambiguous and therefore the New Mexico Court of Appeals was
obliged, under clearly established federal law, to employ the rule of lenity and
failed to do so. We reject both arguments.
“[A]mbiguity concerning the ambit of criminal statutes should be resolved
in favor of lenity.” United States v. Bass, 404 U.S. 336, 347 (1971) (internal
quotation marks omitted) (quoting Rewis v. United States, 401 U.S. 808, 812
(1971)). The rule of lenity applies when a statute is so ambiguous that
“reasonable doubt persists about a statute’s intended scope even after resort to the
35
language and structure, legislative history, and motivating policies of the statute.”
Moskal v. United States, 498 U.S. 103, 108 (1990) (internal quotation marks
omitted) (quoting Bifulco v. United States, 447 U.S. 381, 387 (1980)).
1. Sentencing under the vehicular homicide statute
If applied, the rule of lenity would require us to construe any ambiguity in
the vehicular homicide statute in Mr. House’s favor. However, the New Mexico
Court of Appeals found that New Mexico’s vehicular homicide statute was not
ambiguous because the enhanced penalties for recidivist DWI-related violations
and the statute’s motivating policies made it clear which offense the legislature
considered more serious – the DWI offense. House II, 25 P.3d at 262. “This is a
determination of state law over which this court has no power to question.”
Chapman v. LeMaster, 302 F.3d 1189, 1196 (10th Cir. 2002). A state court’s
interpretation of its own law is binding on a federal court conducting habeas
review. Id.; see Parker v. Scott, 394 F.3d 1302, 1319 (10th Cir. 2005).
2. Application of the recidivist sentencing provision
Mr. House further claims that because N.M. S TAT . A NN . § 66-8-101(D) is
ambiguous, clearly established federal law requires us to apply the rule of lenity. 16
16
Before the district court Mr. House also advanced an equal protection
challenge to the recidivist sentencing scheme. Generally, he argued that the New
Mexico Vehicular Homicide Act’s sentencing enhancement provisions violated
the Equal Protection Clause because it is irrational to enhance the sentences of
(continued...)
36
He interprets the statute as allowing the sentencing court to impose a two-year
enhancement for each prior DWI conviction on the aggregate DWI-related
sentence of a defendant that arises from an accident resulting in death or great
bodily injury. Under Mr. House’s view, he would have been subject to a single
two-year enhancement for his single prior misdemeanor DWI conviction. The
trial court, on the other hand, interpreted the statute as permitting the imposition
of a two-year enhancement on each of Mr. House’s DWI-related counts of
conviction that resulted in death or great bodily injury, resulting in a total of five
two-year enhancements. Noting that the statute arguably was amenable to these
16
(...continued)
those with previous DWI misdemeanor convictions by two years, while enhancing
the sentences of those with previous felonies by only one year. See R., Vol. I,
Doc. 41, at 70-71 (Pet.’s Mem. of Law in Support of Habeas Petition, dated Aug.
4, 2003). The magistrate judge rejected this argument and the district court
adopted his findings. Mr. House appears to have abandoned this issue on appeal.
We would conclude in any event that it is not properly before us. In his initial
statement of appellate issues, Mr. House uses language that might suggest an
intention to advance this issue. See Aplt. Op. Br. at ii-iii (objecting to application
of the recidivist provision and describing “New Mexico’s 2 year sentence
enhancement for DWI-related vehicular homicide . . . [as] irrational under the
Fourteenth Amendment”). However, nowhere in his brief does he develop the
equal protection argument relating to the recidivist sentencing scheme;
significantly, the summary of argument section contains no reference to it. See
Aplt. Op. Br. at xxviii (noting in the summary of argument as to “Issue Four”
involving a challenge to the recidivist provisions a due process argument
involving “the rule of lenity”). Consequently, even if Mr. House harbored some
intention to maintain this equal protection claim, we would deem it unsuitable for
our review. See Bronson v. Swensen, 500 F.3d 1099, 1104 (10th Cir. 2007)
(“[W]e routinely have declined to consider arguments that are not raised, or are
inadequately presented, in an appellant’s opening brief.”).
37
conflicting interpretations, Mr. House reasoned that it was ambiguous and the
trial court should have applied the rule of lenity.
The New Mexico Court of Appeals rejected this argument, concluding that
the statute was not ambiguous and that the statutory language supported the trial
court’s reading. House II, 25 P.3d at 264-65. As with section 66-8-101(A), the
New Mexico Court of Appeals’s interpretation of section 66-8-101(D) binds us on
appeal. Parker, 394 F.3d at 1319.
Mr. House cannot demonstrate that the New Mexico Court of Appeals’s
interpretation of its vehicular homicide statute including the recidivist provision
was contrary to, or involved an unreasonable application of, clearly established
federal law. Therefore, we deny habeas relief on this ground.
F. Whether the trial court’s refusal to recuse entitles Mr.
House to habeas relief?
As his final ground for habeas relief, Mr. House argues that the trial court’s
refusal to recuse at resentencing violated his Fourteenth Amendment right to due
process. We conclude that Mr. House waived this argument by failing to brief the
issue before the New Mexico Court of Appeals.
A federal habeas court may not consider issues raised in a habeas petition
that have been defaulted in state court on an independent and adequate procedural
ground unless the petitioner “can demonstrate cause and prejudice or a
38
fundamental miscarriage of justice.” Thomas v. Gibson, 218 F.3d 1213, 1221
(10th Cir. 2000) (quoting English v. Cody, 146 F.3d 1257, 1259 (10th Cir. 1998)).
Mr. House raised the recusal issue on direct appeal in the New Mexico
Court of Appeals. It held that Mr. House had waived any appellate challenge
regarding his motion to recuse the trial court because, under Rule 12-213 of the
New Mexico Rules of Appellate Procedure, he insufficiently briefed the issue.
House II, 25 P.3d at 266-67. Specifically the court noted:
[Mr. House] captions his argument [regarding recusal] as a
constitutional challenge to the procedure afforded under New
Mexico law. However, he makes no substantive argument
regarding the alleged insufficiency of our procedure, relying
instead primarily upon recitation of general language
pertaining to the need for impartial tribunals. He also appears
to challenge the ruling below as an abuse of discretion.
Nonetheless, he has not presented to this Court a discussion of
the facts relevant to our review. He also fails to note that his
motion has already been reviewed not only by the district
court, but also by our Supreme Court – neither of which
discerned any basis for recusal.
Id.
“New Mexico courts have consistently applied the rule that deems all issues
abandoned that are not raised in an appellant’s brief-in-chief.” Maes v. Thomas,
46 F.3d 979, 986 (10th Cir. 1995) (holding that Rule 12-213 is independent and
adequate procedural ground). Consequently, the New Mexico Court of Appeals
denied Mr. House’s claim on independent and adequate procedural grounds. Mr.
House does not question the independence or adequacy of the procedural rule.
39
Nor does he attempt to demonstrate “cause and prejudice or the prevention of a
miscarriage of justice.” Therefore, we do not review the merits of Mr. House’s
claim because of his procedural default in the state appellate court.
IV. CONCLUSION
For the foregoing reasons, the district court’s denial of habeas relief is
AFFIRMED.
40
No. 05-2129, House v. Hatch
MURPHY, Circuit Judge, concurring in part and concurring in the result in part.
The majority opinion is a thorough and scholarly work. It offers a
principled and persuasive analysis of how the Supreme Court’s recent decision in
Carey v. Musladin, 127 S. Ct. 649 (2006), affects federal court habeas review of
state court decisions under the AEDPA. See Majority Op. at 6-16. Under the
majority’s post-Musladin paradigm: (1) the term “clearly established Federal law,
as determined by the Supreme Court of the United States” in 28 U.S.C. § 2254(d)
is narrowly limited to Supreme Court holdings in cases “where the facts are at
least closely-related or similar to” the facts of the petitioner’s case 1; and (2) the
absence of such clearly established law brings the inquiry to a close and the
petitioner must be denied relief without undertaking an analysis of § 2254(d)’s
“unreasonable application” prong. 2 As the majority recognizes, this reading of
1
Compare Majority Op. at 8 (“Prior to Musladin, the Supreme Court
seemed more likely to draw clearly established federal law from general
principles teased from precedent.”), with id. at 10 (“Thus, in the post-Musladin
analysis, clearly established law consists of Supreme Court holdings in cases
where the facts are at least closely-related or similar to the case sub judice.
Although the legal rule at issue need not have had its genesis in the closely-
related or similar factual context, the Supreme Court must have expressly
extended the legal rule to that context.”).
2
Majority Op. at 11-12 (“Musladin clarified that the threshold
determination that there is no clearly established federal law is analytically
dispositive in the § 2254(d)(1) analysis. That is, without clearly established
(continued...)
Musladin leaves little room for the “extension of legal principle” component of
§ 2254(d)’s unreasonable application prong, id. at 12-16, and operates to overrule
one of this court’s precedents, id. at 13 (concluding Carter v. Ward, 347 F.3d
860, 864 (10th Cir. 2003), is no longer good law post-Musladin). Applying this
new post-Musladin paradigm, the majority concludes House’s equal protection
claims must fail because the Supreme Court has never held that venue transfers
are subject to scrutiny under the Equal Protection Clause. Majority Op. at 18-23.
Although the majority’s construct is, as noted above, a principled reading
of Musladin, it seems inappropriate to definitively adopt such a construct in this
case. First and foremost, the majority’s reworking of the applicable AEDPA
standards of review does not come about on the basis of relevant and helpful
briefing. Instead, it arises in a briefing vacuum as this case was fully briefed and
orally argued several months before the Supreme Court decided Musladin.
Furthermore, as highlighted by the absence from the majority opinion of citations
to relevant case law, it does not appear there is much authority from other circuits
addressing these important questions. Although the absence of briefing and
helpful authorities might be less disconcerting if the correctness of the majority
approach were without doubt, the majority’s reading of Musladin is not the only
2
(...continued)
federal law, a federal habeas court need not assess whether a state court’s
decision was ‘contrary to’ or involved an ‘unreasonable application’ of such
law.”).
-2-
principled reading. 3 Most importantly, however, House’s equal protection claim
3
For instance, it may well be possible to read Carey v. Musladin, 127 S. Ct.
649 (2006), as well as Wright v. Van Patten, 128 S. Ct. 743 (2008) (per curiam),
as standing for a far more limited and mundane proposition: the established rules
at play in those cases (government sponsored courtroom conduct in Musladin and
the presumption of prejudice flowing from the complete absence of counsel in
Wright) were sufficiently unlike the facts of the petitioners’s cases (the conduct
of victim family members in Musladin and telephonic appearance by counsel in
Wright) so that the state courts’s refusal to extend the relevant rules to the new
situations was not unreasonable. See Spisak v. Hudson, 512 F.3d 852, 854 (6th
Cir. 2008) (interpreting Musladin in such a fashion). Such a reading is
particularly viable given that the Supreme Court does not state in either
Musladin or Wright that it is deviating from its past practices, announcing a new
interpretation of § 2254(d), or resolving an important circuit split. See Majority
Op. at 12-13 (noting that prior to Musladin the Supreme Court precedents were
unclear and the circuit courts were divided as to question of whether the absence
of a factually similar Supreme Court decision ended the § 2254 analysis).
Furthermore, in Panetti v. Quarterman, a case decided after Musladin but before
Wright, the majority held as follows: “Nor does AEDPA prohibit a federal court
from finding an application of a principle unreasonable when it involves a set of
facts different from those of the case in which the principle was announced. The
statute recognizes, to the contrary, that even a general standard may be applied in
an unreasonable manner.” 127 S. Ct. 2842, 2858-59 (2007) (quotation and
citation omitted). In so holding, the Court specifically cited to Lockyer v.
Andrade, 538 U.S. 63, 76 (2003), the case the majority asserts was displaced by
Musladin. Majority Op. at 8-10. Thus, Panetti seems to indicate that in some
cases courts should examine Supreme Court precedent at a higher level of
abstraction in analyzing whether the state court applied “clearly established
Federal law” in an unreasonable manner. That higher level of abstraction might
well apply in cases where the facts are not as similar as the majority would
require. Compare Majority Op. at 21-22 (“Although we acknowledge the long
line of Supreme Court cases that stand for the proposition that a state may not
purposefully discriminate on the basis of race in jury selection procedures, we
nonetheless must heed Musladin’s teachings that restrict the scope of clearly
established federal law to narrowly-defined Supreme Court holdings. To
demonstrate that the law is clearly established, Mr. House must do more than
identify a generalized legal principle.” (footnote omitted)), with Panetti, 127 S.
Ct. at 2858 (“[AEDPA] recognizes . . . that even a general standard may be
(continued...)
-3-
fails even under this court’s precedent, Carter, 347 F.3d at 864, that the majority
deems overruled by Musladin. Under § 2254(d)’s “unreasonable application”
prong as interpreted in Carter, it was not unreasonable for the New Mexico state
courts to conclude that making venue changes on the basis of racial composition
of the trial venue implicates the Equal Protection Clause and to apply a modified
Batson analysis to House’s claim. 4 Nor was the state courts’s application of that
test to resolve House’s claims unreasonable.
In light of this unexceptional avenue for resolving House’s equal
protections claims, especially when the availability of that avenue is coupled with
the lack of briefing on the impact of Musladin, it seems unwise to use this case as
a vehicle to rewrite the AEDPA standards of review in this circuit. For that
reason, I do not join Sections II, III.A, or III.B of the majority opinion, but
instead concur in the result as to House’s equal protection claims.
I perceive a different flaw in the majority’s resolution of House’s Sixth
Amendment claims. See Majority Op. at 23-33. Although House’s brief is
anything but clear, he appears to be arguing that before a trial court can grant a
change of venue on the basis of pretrial publicity, it must hold a hearing and try
3
(...continued)
applied in an unreasonable manner.”).
4
That is not to say, however, that the state courts were compelled to
undertake such an analysis. Instead, I simply note that such a course is not
unreasonable.
-4-
to empanel an impartial jury. The majority resolves this claim by concluding the
state trial court, consistent with Supreme Court precedent, presumed the jury pool
in Taos County was prejudiced because of pervasive pretrial publicity. Id. at 24-
28. The majority then moves on to conclude that the state courts’s factual
findings regarding the existence of prejudicial pretrial publicity are not erroneous
under the standard set out in 28 U.S.C. § 2254(e)(1). The problem with the
majority’s approach is that it relies on case law that is only tangentially relevant
to the actual claim presented.
In essence, House seems to be asserting that prior to granting any
prosecution-initiated change in venue based on a claim of bias in the jury pool, a
trial court must always attempt to seat a jury. He concludes it appropriate to
change venue only if during the process of voir dire it appears the entire venire is
tainted. House’s claim, then, is premised on some type of positive right flowing
from the Sixth Amendment to be tried in Taos County, which right can only be
overcome by a failed attempt to seat an impartial jury. One thing is clear: House
is not asserting the jury that tried and convicted him was biased by a pervasive
atmosphere of pretrial publicity. He is instead asserting the state trial court
should not have granted a change of venue because the prosecution did not first
prove the jury pool in Taos County was biased.
-5-
None of the cases cited by House and collected in the majority opinion
remotely address this issue. Majority Op. at 24-28. Instead, as explicitly noted in
footnote twelve of the majority opinion, the cases relied on by House all address
situations in which a trial court refused to transfer venue in an atmosphere
allegedly corrupted by publicity. Id. at 25 n.12. Each of those cases addresses
the type of showing a defendant must make to prevail on a Sixth Amendment
claim based on the denial of an impartial jury. Most importantly for our
purposes, however, none of those even suggest that an atmosphere corrupted by
publicity is a prerequisite to a change in venue. None of the cases prohibit a
trial court, in the exercise of its discretion, from prophylactically granting a
change of venue based on the mere possibility that adverse pretrial publicity
could pose an impediment to a fair trial. On that limited basis alone, I would
affirm the district court’s denial of habeas relief on House’s Sixth Amendment
claim. 5
For those reasons set out above, I join Sections I, III.E, and III.F of the
majority opinion and concur in the result in the remainder of the majority opinion,
5
It is far from clear that House has presented his Equal Protection Clause
and Sixth Amendment claims in discrete packages. Instead, it is possible to read
House’s brief as asserting the trial court was required to question the jury pool in
Taos County as a prophylactic measure to prevent the prosecution from using
potential jury bias as an excuse for making a race-based request for a change of
venue. Even so construed, House’s claim fails because the state court decision
that such a prophylactic measure is not necessary to vindicate House’s right to
equal protection is neither contrary to nor an unreasonable application of Batson.
-6-
i.e., denial of relief as to House’s claims under the Equal Protection Clause and
the Sixth Amendment.
-7-