Scoma v. Adams
Filing
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ORDER, FINDINGS and RECOMMENDATIONS signed by Magistrate Judge Timothy J. Bommer on 10/28/2011 DENYING Petitioner's request for an evidentiary hearing; RECOMMENDING that the 5 Amended Petition for Writ of Habeas Corpus be denied. Referred to Judge Garland E. Burrell, Jr. Objections to F&R due within 21 days. (Michel, G)
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IN THE UNITED STATES DISTRICT COURT
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FOR THE EASTERN DISTRICT OF CALIFORNIA
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PHILIP JOSEPH SCOMA,
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Petitioner,
2: 10 - cv - 1953 - GEB TJB
vs.
DERRAL ADAMS,
Respondent.
ORDER, FINDINGS AND
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RECOMMENDATIONS
________________________________/
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I. INTRODUCTION
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Petitioner, a state prisoner, is proceeding through counsel with a petition for writ of
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habeas corpus pursuant to 28 U.S.C. § 2254. Petitioner was convicted by a jury of attempted
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voluntary manslaughter and the jury found true allegations that he personally used a firearm and
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personally inflicted great bodily injury. Petitioner was sentenced to ten years imprisonment.
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Petitioner presents several claims in his federal habeas petition; specifically: (1) jury
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instructional error on the attempted voluntary manslaughter instruction (“Claim I”); (2)
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ineffective assistance of trial counsel (“Claim II”); (3) cumulative error (“Claim III”); (4)
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ineffective assistance of appellate counsel (“Claim IV”); and (5) insufficiency of the evidence to
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support the attempted voluntary manslaughter conviction (“Claim V”). For the following
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reasons, the habeas petition should be denied.
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II. FACTUAL BACKGROUND1
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Joseph Nicholas Scoma (Nicholas), defendant’s son, lived with
defendant at defendant’s mobile home. On August 4, 2003,
Nicholas came home and told his father he had quit his job at
Carl’s Jr. Defendant became angry and started yelling at Nicholas.
The argument escalated and the two began pushing each other,
leading Nicholas to push defendant to the ground at one point.
Defendant was overweight and had recently undergone heart
surgery. He would argue with Nicholas until he ran out of breath,
and then commence arguing again once he caught his breath. The
series of arguments lasted about 30 minutes.
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Defendant twice swung a metal baseball bat at Nicholas, but
missed both times. One time defendant told Nicholas, “I’ll hit you
in your fucking head” as he swung the bat. He also tried to hit
Nicholas with a metal strip used to separate carpeting from the
wall.
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Defendant eventually told Nicholas to leave. Nicholas gathered his
belongings and started to load them into his car, going in and out of
the house several times. He never barred Nicholas from entering
or leaving, but there was more pushing and fighting by the front
door.
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Defendant eventually stopped yelling at Nicholas, turned, and
reached into a bag of dog biscuits on a counter just inside the front
door. He pulled out a plastic bag containing a .38 caliber revolver
with a two-inch barrel. Defendant took the gun out of the bag and
pointed it at Nicholas’s foot. Defendant pulled the hammer back
and told his son “I’ll shoot you in your fucking foot.”
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Defendant “[j]ust pointed [the pistol] at me and threatened me and
then kind of took a couple of steps back. And then he leaned up
against the doorway, just kind of sat there, like he was happy with
himself.” Nicholas then told defendant to put the gun down,
saying “[w]e need to figure something out and we should probably
do that without the gun.”
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Defendant fidgeted with the gun, taking it in and out of the plastic
bag. Nicholas was yelling and swearing at defendant by this point.
He yelled “[p]ut the gun down and let’s finish this” to defendant.
As he yelled at defendant, Nicholas accidently spit on defendant’s
arm. Defendant looked at Nicholas and said, “[y]ou spit on me.”
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The factual background is taken from the California Court of Appeal, Third Appellate
District Opinion dated October 4, 2006 and attached by Respondent to his answer as Exhibit A
(hereinafter the “Slip Op.”).
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He wiped the spit on Nicholas and then shot him.
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Defendant’s eyebrows raised and his eyes were wide when he fired
the revolver. The bullet entered Nicholas’s right chest just below
the clavicle, hit one lung, and stopped next to the spine. Defendant
called 911 and asked for an ambulance. He told the emergency
operator that the gun accidently went off when he and Nicholas
were reaching for it. Nicholas was in intensive care for five days.
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It took about three pounds of pressure to pull the trigger before the
revolver would fire, and the revolver could not fire unless the
trigger was pulled. According to the prosecution’s expert
criminalist, defendant could have shot Nicholas from about two to
three feet away.
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A licensed private investigator and firearms expert testifying for
the defense tested the plastic bag. He found the holes and burn
marks on the bag to be consistent with it having been wrapped
around the revolver when it was fired. The markets and burns
were also consistent with the bag being held against the revolver
with one hand as the revolver was being held with both hands
when it was fired.
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(Slip Op. at p. 2-4.)
III. PROCEDURAL HISTORY
After Petitioner was convicted and sentenced, he appealed to the California Court of
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Appeal, Third Appellate District. Petitioner raised one issue in that appeal, specifically that there
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was insufficient evidence to support the attempted voluntary manslaughter conviction. The
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California Court of Appeal affirmed the judgment in October 2006. Petitioner then raised his
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insufficiency of the evidence claim to the California Supreme Court in a petition for review. The
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California Supreme Court denied the petition for review in December 2006.
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Petitioner then filed a state habeas petition in the Superior Court of California, County of
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Shasta which raised the issues Petitioner raises in his federal habeas petition. The Superior Court
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denied the state habeas petition in a written decision in August 2008. Petitioner then filed a state
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habeas petition in the California Court of Appeal which was summarily denied. Petitioner’s state
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habeas petition to the California Supreme Court was summarily denied in June 2009.
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Petitioner filed his federal habeas petition in July 2009 in the Northern District of
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California. He filed an amended federal habeas petition in March 2010. The matter was
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transferred from the Northern District of California to this district in July 2010. Respondent
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answered the petition on December 1, 2010. Petitioner then filed a traverse in January 2011.
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The matter was reassigned to the undersigned by Chief Judge Ishii in July 2011.
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IV. APPLICABLE LAW FOR FEDERAL HABEAS CORPUS
An application for writ of habeas corpus by a person in custody under judgment of a state
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court can only be granted for violations of the Constitution or laws of the United States. See 28
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U.S.C. § 2254(a); see also Peltier v. Wright, 15 F.3d 860, 861 (9th Cir. 1994); Middleton v.
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Cupp, 768 F.2d 1083, 1085 (9th Cir. 1985) (citing Engle v. Isaac, 456 U.S. 107, 119 (1982)).
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Petitioner filed this petition for writ of habeas corpus after April 24, 1996, thus the Antiterrorism
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and Effective Death Penalty Act of 1996 (“AEDPA”) applies. See Lindh v. Murphy, 521 U.S.
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320, 326 (1997). Under AEDPA, federal habeas corpus relief is not available for any claim
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decided on the merits in the state court proceedings unless the state court’s adjudication of the
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claim: (1) resulted in a decision that was contrary to, or involved an unreasonable application of,
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clearly established federal law, as determined by the Supreme Court of the United States; or (2)
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resulted in a decision that was based on an unreasonable determination of the facts in light of the
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evidence presented in state court. See 28 U.S.C. 2254(d).
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As a threshold matter, this Court must “first decide what constitutes ‘clearly established
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Federal law, as determined by the Supreme Court of the United States.’” Lockyer v. Andrade,
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538 U.S. 63, 71 (2003) (quoting 28 U.S.C. § 2254(d)(1)). “‘[C]learly established federal law’
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under § 2254(d)(1) is the governing legal principle or principles set forth by the Supreme Court
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at the time the state court renders its decision.’” Id. (citations omitted). Under the unreasonable
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application clause, a federal habeas court making the unreasonable application inquiry should ask
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whether the state court’s application of clearly established federal law was “objectively
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unreasonable.” See Williams v. Taylor, 529 U.S. 362, 409 (2000). Thus, “a federal court may
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not issue the writ simply because the court concludes in its independent judgment that the
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relevant state court decision applied clearly established federal law erroneously or incorrectly.
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Rather, that application must also be unreasonable.” Id. at 411. Although only Supreme Court
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law is binding on the states, Ninth Circuit precedent remains relevant persuasive authority in
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determining whether a state court decision is an objectively unreasonable application of clearly
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established federal law. See Clark v. Murphy, 331 F.3d 1062, 1070 (9th Cir. 2003) (“While only
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the Supreme Court’s precedents are binding . . . and only those precedents need be reasonably
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applied, we may look for guidance to circuit precedents.”).
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The first step in applying AEDPA’s standards is to “identify the state court decision that
is appropriate for our review.” See Barker v. Fleming, 423 F.3d 1085, 1091 (9th Cir. 2005).
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When more than one court adjudicated Petitioner’s claims, a federal habeas court analyzes the
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last reasoned decision. Id. (citing Ylst v. Nunnemaker, 501 U.S. 797, 803 (1991)).
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V. ANALYSIS OF PETITIONER’S CLAIMS
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A. Claim I
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In Claim I, Petitioner asserts that the jury was improperly instructed on the intent required
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to support a conviction for attempted voluntary manslaughter. Petitioner raised this Claim in his
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state habeas petitions. Specifically, Petitioner asserts that the instructions given to the jury forced
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the jury to convict Petitioner on a general intent theory as opposed to a specific intent to kill.
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(See Pet’r’s Am. Pet. Mem. of Points & Auth. at p. 32.) Petitioner argues that the instructions
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were in error because the “jury is being directly told that the crime [of attempted voluntary
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manslaughter] occurs when there is no intent to kill.” (Id.)
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The last reasoned decision on this Claim was from the Superior Court, County of Shasta
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which held that, “[t]he opinion of the Third District Court of Appeal found the record established
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that there was sufficient evidence for the jury to find petitioner had the intent to kill his son.
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Therefore, the ruling of the appellate court has effectively rendered this issue moot.” (Respt’s
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Lodged Doc. No. 7 at p. 1.)
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A challenge to a jury instruction solely as an error of state law does not state a claim
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cognizable in a federal habeas corpus action. See Estelle v. McGuire, 502 U.S. 62, 71-72 (1991).
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To obtain federal collateral relief for errors in the jury charge, a petitioner must show that the
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ailing instruction by itself so infected the entire trial that the resulting conviction violates due
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process. See id. at 72. Additionally, the instruction may not be judged in artificial isolation, but
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must be considered in the context of the instructions as a whole and the trial record. See id. The
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court must evaluate jury instructions in the context of the overall charge to the jury as a
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component of the entire trial process. See United States v. Frady, 456 U.S 152, 169 (1982).
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Furthermore, even if it is determined that the instruction violated the petitioner’s right to due
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process, a petitioner can only obtain relief if the unconstitutional instruction had a substantial
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influence on the conviction and thereby resulted in actual prejudice under Brecht v. Abrahamson,
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507 U.S. 619, 637 (1993), which is whether the error had substantial and injurious effect or
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influence in determining the jury’s verdict. See, e.g., Hedgpeth v. Pulido, 555 U.S. 57, 61-62
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(2008) (per curiam).
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The jury was instructed as follows on attempted voluntary manslaughter:
A lesser included crime to attempted murder is the crime of
attempted voluntary manslaughter, in violation of sections 664 and
192, subdivision (a) of the Penal Code. Every person who
unlawfully attempts without malice aforethought to kill another
human being is guilty of the crime of attempted voluntary
manslaughter in violation of sections 664 and 192, subdivision (a)
of the Penal Code, a crime.
Voluntary manslaughter is the unlawful killing of a human being
without malice aforethought. There is no malice aforethought if
the killing or attempted killing occurred upon a sudden quarrel or
heat of passion or in the actual but unreasonable belief in the
necessity to defend oneself or another person against imminent
peril or great bodily injury.
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In order to prove this crime, each of the following elements must
be proved:
1. A direct but ineffectual act was done by one person towards
killing another human being; and
2. That person had the specific intent to kill the other person;
3. The actions taken to kill were unlawful.
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In deciding whether a direct but ineffectual act was committed, it is
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necessary to distinguish between mere preparation, on the one
hand, and the actual commencement of the doing of the criminal
deed, on the other. Mere preparation, which may consist of
planning the killing or of devising, obtaining or arranging the
means for its commission, is not sufficient to constitute an attempt.
However, acts of a person who intends to kill another person will
constitute an attempt where those acts clearly indicate a certain,
unambiguous intent to kill. The acts must be an immediate step in
the present execution of the killing, the progress of which would be
completed unless interrupted by some circumstances not intended
in the original design.
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(Clerk’s Tr. at p. 197-98 (emphasis added).)
The jury was then also specifically instructed as to how to properly distinguish between
murder and manslaughter:
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The distinction between murder and manslaughter is that murder
requires malice while manslaughter does not.
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When the act causing the death, though unlawful, is done in the
heat of passion or is excited by a sudden quarrel that amounts to
adequate provocation, in the actual but unreasonable belief in the
necessity to defend against imminent peril to life or great bodily
injury, the offense is manslaughter. In that case, even if an intent
to kill exists, the law is that malice, which is an essential element
of murder, is absent.
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To establish that a killing is murder and not manslaughter, the
burden is on the People to prove beyond a reasonable doubt each of
the elements of murder and that the act which caused the death was
not done in the heat of passion or upon a sudden quarrel or in the
actual, even though unreasonable, belief in the necessity to defend
against imminent peril to life or great bodily injury.
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(Id. at p. 198.)
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When read and considered as a whole as a federal habeas court is required to do,
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Petitioner fails to show that the jury instructions violated his due process rights. The jury was
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specifically instructed that one of the elements to find Petitioner guilty of attempted voluntary
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manslaughter was that he had “the specific intent to kill the other person.” Furthermore, as
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illustrated above, when distinguishing the definitions of manslaughter and murder, the jury was
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instructed that the difference is that attempted murder requires malice whereas attempted
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manslaughter did not. The trial court did not instruct the jury that manslaughter did not require a
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specific intent to kill. Instead, it specifically laid out the requirements for attempted voluntary
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manslaughter, one of which was a specific intent to kill. The jury is deemed to have followed
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this instruction. See Weeks v. Angelone, 528 U.S. 225, 234 (2000). The jury instructions cannot
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be read in isolation, but must be read as a whole in determining whether Petitioner’s due process
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rights were violated. See Estelle, 502 U.S. at 72. Based on the foregoing, Petitioner fails to
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show that his due process rights were violated for the reasons described above. Therefore, Claim
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I should be denied.2
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B. Claim II
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In Claim II, Petitioner makes three separate and distinct ineffective assistance of trial
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counsel arguments. Specifically, Petitioner asserts that counsel was ineffective by: (1) failing to
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impeach Nicholas with evidence of marijuana found in his system; (2) misadvising Petitioner as
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to the maximum prison time exposure he could face if convicted; and (3) allowing the trial court
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to take into account the statements taken from the victim impact statement and the presentence
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report. The last reasoned decision on this Claim was from the Superior Court, County of Shasta
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on Petitioner’s state habeas petition. That court stated the following in resolving these issues:
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Petitioner argues that trial counsel was ineffective for several
reasons: a) failing to impeach the victim with evidence that he was
under the influence of marijuana at the time of the incident; b)
advising petitioner that the maximum sentence he was facing was
felony probation; and c) failing to object to items in the Victim
Impact Statement.
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The California Supreme Court set forth the standard that must be
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The Superior Court found that this Claim was “moot” in light of the finding by the
California Court of Appeal on Petitioner’s sufficiency of the evidence claim raised on direct
appeal. However, simply because the California Court of Appeal found that there was sufficient
evidence presented at trial to convict Petitioner of attempted voluntary manslaughter does not
necessarily “moot” his jury instructional error argument. To the extent that the state court
decision could be read as an unreasonable application of clearly established federal law, the
Claim would be reviewed de novo. See Frantz v. Hazey, 533 F.3d 724, 735 (9th Cir. 2008) (en
banc) (“[I]t is now clear both that we may not grant habeas relief because of § 2254(d)(1) error
and that, if there is such error, we mus decide the habeas petition by considering de novo the
constitutional issues raised.”). However, even if AEDPA deference did not apply and de novo
review applied, the Claim would still be denied for the reasons described supra.
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met for a writ of habeas corpus to issue based upon ineffective
assistance of counsel.
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To establish that counsel’s assistance was
sufficiently ineffective to justify the issuance of a
writ of habeas corpus, petitioner must first
demonstrate that counsel’s performance “‘fell below
an objective standard of reasonableness . . . under
prevailing social norms.’” (Ledesma, at p.
216, quoting Strickland v. Washington (1984) 466
U.S. 668, 688 [80 L.Ed.2d 674, 693-94, 104 S.Ct.
2052].) (4) This determination generally must be
made with deference to avoid the dual pitfalls of
second-guessing counsel’s tactics and chilling
vigorous advocacy by tempting counsel “to defend
himself against a claim of ineffective assistance
after trial rather than to defendant his client against
criminal charges at trial . . . .” (Ledesma, at p. 216.)
However, “deferential scrutiny of counsel’s
performance is limited in extent and indeed in
certain cases may be altogether unjustified.
‘[D]eference is not abdication’ [citation]; it must
never be used to insulate counsel’s performance
from meaningful scrutiny and thereby automatically
validate challenged acts or omissions.” (Id. at p.
217.)
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Petitioner must also demonstrate that counsel’s
deficient performance prejudiced his defense.
Prejudice generally requires an affirmative showing
that, absent counsel’s errors, there is a reasonable
probability of a more favorable outcome.
(Ledesma, at p. 218.) A “reasonable probability” is
not a showing that “counsel’s conduct more likely
than not altered the outcome in the case,” but simply
“a probability sufficient to undermine confidence in
the outcome.” (Strickland v. Washington, 466 U.S.
at pp. 693-694 [80 L.Ed.2d at p. 697-698].)
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In re Cordero (1988) 46 Cal.3d 161, 180.
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a. Failing to Impeach the Victim. The decision not to attempt to
impeach the victim with marijuana in his system was a tactical
decision made by the trial attorney. That decision was not one that
fell below the objective standard of reasonableness under the
circumstances here.
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b. Maximum Possible Sentence. Petitioner’s claim he was
misadvised regarding the sentence he was facing is patently not
credible. He was receiving offers of 32 years in prison and 20
years in prison from the deputy district attorney. Petitioner was
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charged with attempted murder involving the use of a gun. Under
these circumstances the petitioner was clearly aware he was facing
significant state prison time, if convicted, and his claim he was not
so advised is ludicrous.
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c. Victim Impact Statement. It was a judge and not the jury that
heard and read the victim impact statement. The judge has the
ability to separate the facts from the fiction. In light of the fact that
petitioner was sentenced to the mid term, there is no evidence that
the result would have been more favorable to petitioner had the
objection been made.
(Resp’t’s Lodged Doc. 7 at p. 1-3.)
i. Failing to Impeach the Victim
In Petitioner’s first ineffective assistance argument, he asserts that trial counsel was
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ineffective for failing to impeach Nicholas with evidence of marijuana found in his system. The
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Sixth Amendment guarantees effective assistance of counsel. In Strickland v. Washington, 466
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U.S. 668 (1984), the Supreme Court articulated the test for demonstrating ineffective assistance
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of counsel. First, the petitioner must show that considering all the circumstances, counsel’s
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performance fell below an objective standard of reasonableness. See id. at 688. Petitioner must
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identify the acts or omissions that are alleged not to have been the result of reasonable
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professional judgment. See id. at 690. The federal court must then determine whether in light of
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all the circumstances, the identified acts or omissions were outside the range of professional
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competent assistance. See id.
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Second, a petitioner must affirmatively prove prejudice. See id. at 693. Prejudice is
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found where “there is a reasonable probability that, but for counsel’s unprofessional errors, the
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result of the proceeding would have been different.” Id. at 694. A reasonable probability is “a
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probability sufficient to undermine the confidence in the outcome.” Id. A reviewing court “need
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not determine whether counsel’s performance was deficient before examining the prejudice
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suffered by defendant as a result of the alleged deficiencies . . . [i]f it is easier to dispose of an
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ineffectiveness claim on the ground of lack of sufficient prejudice . . . that course should be
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followed.” Pizzuto v. Arave, 280 F.3d 949, 955 (9th Cir. 2002) (citing Strickland, 466 U.S. at
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697).
In assessing an ineffective assistance of counsel claim, “[t]here is a strong presumption
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that counsel’s performance falls within the ‘wide range of professional assistance.’” Kimmelman
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v. Morrison, 477 U.S. 365, 381 (1986). In addition, there is a strong presumption that counsel
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“exercised acceptable professional judgment in all significant decisions made.” Hughes v. Borg,
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898 F.2d 695, 702 (9th Cir. 1990) (citing Strickland, 466 U.S. at 689). Thus, a reasonable
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tactical decision by counsel with which the defendant disagrees cannot form the basis of an
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ineffective assistance of counsel claim. See Strickland, 466 U.S. at 689. A court does not
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consider whether another lawyer with the benefit of hindsight would have acted differently than
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trial counsel. See id. Instead, a court considers whether counsel made errors so serious that
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counsel failed to function as guaranteed by the Sixth Amendment. See id. at 687.
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Petitioner fails to show that the Superior Court’s decision on this ineffective assistance of
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counsel argument warrants granting federal habeas relief. Before the start of trial, a hearing was
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held on the issue of the victim’s marijuana use as well as the Petitioner’s methamphetamine use
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between the trial court, Petitioner’s trial counsel (Wilson) and the prosecutor (Omura). The
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record indicates the following from that hearing:
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MR. OMURA: Your Honor, it is my understanding that the
defense wants to get into a positive test for marijuana metabolite
that was in the victim’s medical records as he was undergoing
procedures to repair a collapsed lung from a gunshot. I have been
given no information as to why that is relevant, simply to dirty up
the victim. Whatever the reason that makes the victim’s use of
marijuana for the previous week or two – my understanding is up
to ten or fourteen days – whatever the reason to support that
introduction of evidence, I think would bolster my assertion that
the defendant’s use of methamphetamine during this incident and
immediately preceding this incident is also admissible and relevant
to explain the defendant’s actions.
To explain and support that, I would tell the Court that the victim
came home from a bike riding trip, he was gone overnight with a
friend. When he returned, the defendant was immediately in his
face because the victim had gotten fired from his job for going on
this trip, basically.
The victim told the police that the defendant was under the
influence of methamphetamine, obviously, when he got home,
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immediately the defendant started to get in his face. They had an
argument, which usually occurred when the defendant was under
the influence of methamphetamine. During that 45 minutes to an
hour-and-a-half the defendant would lose his breath because of his
heart operation that he’d undergone some time in the past, would
disappear down the hallway to his bedroom, and return in a few
minutes, having his breath restarted.
And the victim knows from prior experience with the defendant, he
knows that he’s smoking his methamphetamine pipe. That
happened at least once during the incident, during the fighting
incident, on top of the fact that the victim will testify the defendant
was under the influence before he got home, before the fight.
I expect that if the Court allows me, the sheriff’s deputies will
testify that it is common knowledge through their training and
experience that people who are under the influence of
methamphetamine are more likely to be violent, to engage in
violent activities, and that would put the victim’s testimony in line
with what the victim observed, and that is the defendant being
under the influence, having smoked a pipe during the incident, and
then pointing the gun at the victim and pulling the trigger.
THE COURT: Okay. Mr. Wilson?
MR. WILSON: All that is fine, except for the tape recording of the
victim. He said that he went down the hallway several times. He
said on the tape, I don’t know if he was smoking
methamphetamine. It blows everything Mr. Omura said out of the
water. He cannot state – the victim himself states, I can’t say
whether he was smoking methamphetamine.
Under 352 the methamphetamine testimony is more prejudicial
than probative. The problem I have if the doctor testifies, and
there’s a foundation for the effects of the marijuana on memory
because the recollection is going to be very important, the
recollection of the facts by the victim, and if he’s under the
influence of marijuana, and it does impair your memory and
recollection, and certainly it goes towards that that would be my
only – my only reason. I’m certainly not going to argue that
marijuana makes him violent. I’m just saying there are some
points that are going to come up during the cross-examination and
direct examination that, in fact, two days after the incident, the
victim was unclear as to intent and whether my client meant to do
it, and what hand the gun was in, and whether it was wrapped in
plastic.
His recollection is going to become very important. As far as the
metabolites, the one ingredient in marijuana is THC, so I don’t
consider the metabolite THC to be a metabolite; I consider that to
be the actual ingredient.
I will concede that if it is going to be a trade-off where if the
marijuana comes in, so does meth use, then I will certainly back off
the marijuana use. I think the use of meth would be more
prejudicial than the use of marijuana.
THE COURT: Well, I don’t think I need to rule on that now
because we’re probably not going to get to opening statements. So
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I think I’ll take it under submission, but I will give a fair warning
as to what my ruling will be.
MR. OMURA: All right.
THE COURT: It sounds to appear superficially for both offers of
proof there is going to have to be some foundation first.
MR. OMURA: Like I said, Your Honor, my deputy sheriffs will
be able to testify from their common experience and training about
the effects of methamphetamine.
THE COURT: That is the effects. There would need to be a
foundation, in fact, there was some used.
MR. OMURA: The victim would testify in the past when the
defendant has done this, that is what he’s doing; is smoking
methamphetamine.
THE COURT: Well, that is the foundation that I’m leery about.
MR. WILSON: Sounds more like habit than what happened that
particular day.
THE COURT: It is something different than having him tested.
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(Reporter’s Tr. at p. 1-5.) The court reserved judgment. Subsequently, but still before trial
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began, the following colloquy took place on the issue between the parties and the trial judge:
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THE COURT: Now what about the methamphetamine?
MR. OMURA: I have not been able to talk with my victim to
support or short-circuit his testimony. I will be meeting him over
the lunch hour and so I will – whatever the Court’s instructions are,
I will be able to tell him.
My understanding is, he has personal knowledge. And I’m not
sure upon what that is based, that the Defendant used
methamphetamine, and when he does, he acts in a certain way, as
we described yesterday morning.
THE COURT: Would he be giving his opinion that he was under
the influence of methamphetamine at the time of the alleged
incident?
MR. OMURA: Both before and during the terms of arguments,
yes.
THE COURT: Okay.
MR. OMURA: And again it’s based on – my understanding, it’s
his personal knowledge of the Defendant’s habits, having lived in
his house.
Now I don’t know whether or not Nicholas Scoma has ever seen
methamphetamine in the Defendant’s possession or actually seen
him smoke it. I don’t know those particulars. That’s what I’m
going to find out at lunchtime.
THE COURT: Let’s just stay with that issue for a minute.
Mr. Wilson, sounds to me like what we’re confronted with here is
the perspective opinion by a lay witness as to the condition of the
Defendant due to the use of a substance. Cases are pretty clear that
a lay witness can testify as to whether or not a person appeared to
be under the influence of alcohol. I don’t know why the same
general rule wouldn’t apply to the use of a drug such as
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methamphetamine, but I’m open on the subject.
MR. WILSON: Well, the problem we have, your Honor, is that
alcohol has certain very objective outgoing symptoms, and alcohol
is not illegal. It’s common. So I think all of us have been around
people that drink. We can smell it, we can see people’s demeanor.
The foundation I think for – that before a lay person can say that: I
believe he’s under the influence of methamphetamine, is that
person either hangs around with users, watches them use, sees what
happens to them or he himself is a user. So I’m not sure what type
of foundation you could have to say, yes, this person was under the
influence of methamphetamine.
And as Mr. Omura knows and/or the Court should know, is that
during the preliminary hearing we addressed the issue of whether
any methamphetamine was found in the residence, and the answer
is no. So if there was no methamphetamine found in the residence,
then how – is Mr. Scoma running back and forth to his bedroom
using methampheatmine.
THE COURT: Well, you’re basically saying there doesn’t appear
to be foundation that’s going to be established.
MR. WILSON: Well, I think it would be a difficult foundation as
compared to your saying, you know, the analogy of alcohol,
because alcohol has been the conservative drug of the masses for
years. Methamphetamine, fortunately, hasn’t been.
I think that we can probably wait until, you know, after the break,
so Mr. Omura can talk to Nicholas, because my tendency is this –
is that I think that the introduction of methamphetamine against my
client would be much more prejudicial than any questioning
regarding the use of marijuana by the victim here.
THE COURT: Well, I know you gentlemen maybe do this, but I
don’t equate the two things. To me they are two separate issues,
and I’m going to want them separately.
MR. WILSON: Well, I believe that the way that Mr. Omura put it
was that he wasn’t planning on introducing this unless I entered
into the marijuana analysis.
THE COURT: Well, that’s his decision, but that doesn’t really
alter what I have to do.
Well, Mr. Omura, I’m going to rule temporarily that this conduct
not be used in opening statement. And if you want to establish a
foundation through someone – I guess it would be the victim – I
will permit you to do that outside the presence of the jury, when we
actually get him here, so we can find out what it is he has to say . . .
.
MR. WILSON: Now we’re moving onto the marijuana?
THE COURT: Yes. Now that seems to me to be different. Your
claim that the victim was tested for marijuana in the hospital and
actually had – what; T.H.C.?
MR. WILSON: Yeah, T.H.C.
THE COURT: T.H.C. And how is that relevant?
MR. WILSON: The only relevance I have, your Honor, is that I’m
not standing here saying that marijuana makes you violent, that
marijuana, you know, in any way like P.C.P. or something that’s
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going to make you violent. But it’s more or less common
knowledge, if I could lay the foundation, that it certainly does mess
up your short-term memory. And if a person is under the influence
of marijuana and he is the only eye witness to what the People
charge as an attempted murder, then I believe there are
inconsistencies in his statement and marijuana may be or T.H.C.
may be a contributing factor.
THE COURT: Having to do with temporary memory loss?
MR. WILSON: Recollection and memory loss as to the
occurrence, you know, how the events occurred.
THE COURT: And is Dr. Hatter going to give an opinion on that
subject, do you believe?
MR. WILSON: Well, my only purpose of Hatter would be to lay
the foundation for the medical records. But of course the medical
records I believe were – I believe they are in, because you sent a
Subpoena D.T. So I think I could actually introduce the test.
The question is that without Dr. Hatter, the mere fact of the T.H.C.
shows – I’m not sure if I could get that to the jury.
THE COURT: Well, I’m not sure. It seems to me if you are going
to admit something that’s in this day prejudicial – I’m not sure how
prejudicial it is, but it’s somewhat prejudicial – don’t you have to
connect that up with – by some sort of evidence that it does
contribute to a possible memory loss.
MR. WILSON: I can certainly lay that foundation through the
victim himself, whether he’s experienced that. And of course, like
I say, Mr. Omura has subpoenaed Dr. Hatter. As far as I know, we
don’t even know whether it’s been effected . . . .
THE COURT: . . . I think on the marijuana, based on what you told
me, that unless you really need to mention it in opening statement,
that I would reserve judgment on that until I hear what the
foundation is.
17
(Id. at p. 13-20.) Subsequently, during trial, the prosecutor stated that Dr. Hatter would not be
18
able to lay the foundation as to the pharmacology of marijuana. Petitioner’s trial counsel then
19
stated that he “decided not go into that area anyway.” (Id. at p. 233.)
20
Petitioner fails to show that the state court’s decision on this Claim was an unreasonable
21
application of clearly established federal law or resulted in a decision that was based on an
22
unreasonable determination of the facts in light of the evidence presented in state court. See 28
23
U.S.C. § 2254(d). Petitioner cannot overcome the “strong presumption” that trial counsel’s
24
decision not to seek to impeach Nicholas with his prior marijuana use at trial was a reasonable
25
tactical decision. See Strickland, 466 U.S. at 689. As the record above indicates, counsel was
26
aware of the various issues surrounding the introduction of the marijuana use as well as the
15
1
possible harmful effects that the introduction of Petitioner’s methamphetamine use could have on
2
his case. The record indicates that counsel concluded that a trade-off would be in the best
3
interest of his client. Because that decision reflects a judgment about the strengths and possible
4
weaknesses of both items of testimony, it cannot necessarily be second-guessed on federal habeas
5
review. See Strickland, 466 U.S. at 690 (“[S]trategic choices made after thorough investigation
6
of law and facts relevant to plausible options are virtually unchallengeable.”); Silva v. Woodford,
7
279 F.3d 825, 844 (9th Cir. 2002) (noting that United States Supreme Court precedent dicates
8
that counsel commits no error when he makes an informed strategic decision.”)
9
Petitioner argues that counsel did not make an informed decision on the “trade-off” of
10
testimony because the methamphetamine would not have been admitted into evidence. In
11
support of his argument, Petitioner argues that the trial court indicated that the methamphetamine
12
use “[s]ounds more like habit.” However, as the quoted transcript on the issue indicates above,
13
that was in fact Petitioner’s trial counsel’s argument to the trial court as to why the
14
methamphetamine use should not be admitted. Ultimately, the court reserved judgment on the
15
issue as it did on the marijuana issue. Under these circumstances, Petitioner cannot show that the
16
state court’s decision was an unreasonable application of clearly established federal law. His
17
trial counsel’s decision not to attempt to impeach Nicholas with his marijuana did not fall below
18
an objective standard of reasonableness. See, e.g., Dows v. Wood, 211 F.3d 480, 487 (9th Cir.
19
2000) (trial counsel’s strategy for impeaching a witness involves tactical decisions that are given
20
great deference).
21
In support of his argument that his trial counsel’s performance fell below an objective
22
standard of reasonableness, Petitioner cites to Reynoso v. Giurbino, 462 F.3d 1099 (9th Cir.
23
2006). In Reynoso, the Ninth Circuit examined whether trial counsel was ineffective when she
24
failed to investigate and cross-examine witnesses about their knowledge of receiving a
25
substantial payment of reward money if their testimony helped convict the defendant.
26
Ultimately, the Ninth Circuit held that while trial counsel is typically afforded leeway in making
16
1
tactical decisions regarding trial strategy, she cannot be said to have made a tactical decision
2
without first procuring the information necessary to make such a decision. See id. at 1112. The
3
Ninth Circuit explained:
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If, as she testified, Reynoso’s trial counsel was ignorant of the fact
that Mendoza and Terrones knew and had inquired about obtaining
the reward, counsel’s failure to investigate the issue was not
objectively reasonable. It is undisputed that counsel knew prior to
trial that a reward had been offered, and that she possessed police
interview transcripts in which the reward was discussed. Counsel
also knew that the State intended to call both Mendoza and
Terrones as witnesses. Further, she testified that the prosecutor
had told her that both Lopez and Hinojosa sought rewards. As the
magistrate judge concluded, “[a]rmed with knowledge of the
reward and the fact that two other witnesses knew of the reward,
defense counsel should have, at a minimum, determined if the only
two eyewitnesses to the robbery also knew about the reward.”
Unlike other impeachment evidence presented at trial – for
example, evidence attacking the witnesses’ general credibility or
demonstrating the inconsistency in their statements – such
information provided the jury with a reason why the witnesses
would have had a motive to lie, especially as they had inquired as
to their ability to college the reward. See Stephens v. Hall, 294
F.3d 210, 224 (1st Cir. 2002) (“A colorable showing of bias can be
important because, unlike evidence of prior inconsistent statements
– which might indicate that the witness is lying – evidence of bias
suggests why the witness might be lying.”). Such crossexamination, as Reglos herself ultimately conceded, at least with
respect to Mendoza, would not have been inconsistent with her
defense strategy and would have exposed a strong motive for
witness bias on the part of the State’s only two eyewitnesses. For
these reasons, if counsel had no more than general information
about the existence of the reward, her failure to investigate the
issue with respect to Mendoza and Terrones rendered her
performance deficient under Strickland.
The same is true even if Reglos did have some direct knowledge
that Mendoza and Terrones knew about the reward. Such a limited
understanding would not have relieved Reglos of her duty to
investigate; it would have heightened that duty. Just as, according
to the magistrate judge, counsel’s knowledge of the existence of
the reward and Lopez and Hinojosa’s interest in it made it more
unreasonable for her to fail to determine whether Mendoza and
Terrones had a similar financial interest, knowledge that Mendoza
and Terrones were aware of the reward would have made it all the
more important for Reglos to determine whether they had actively
sought it and whether they believed that their ability to obtain the
financial compensation depended upon their testimony inculpating
or convicting Reynoso.
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Given the inadequacy of Reglos’s investigation into Mendoza and
Terrones’s motives for testifying against Reynoso, her failure at
trial to cross-examine Mendoza and Terrones about the reward
further rendered her performance deficient.
2
3
4
Reynoso, 462 F.3d at 1113-14 (emphasis added).
5
Reynoso is distinguishable from Petitioner’s case. By way of example only, unlike
6
impeaching the witnesses with the reward evidence which gave them a motive to lie in Reynoso,
7
the evidence at issue in Petitioner’s case (the victim’s marijuana use) was general credibility
8
evidence that the Ninth Circuit singled out was different than the evidence at issue in Reynoso.
9
Furthermore, as the discussion between counsel and the trial court indicates, Petitioner’s trial
10
counsel was aware of this evidence as well as the foundational issues that surrounded it. Under
11
these circumstances, Reynoso does not lead to a conclusion that Petitioner’s trial counsel’s
12
performance fell below an objective standard of reasonableness. Petitioner fails to overcome the
13
strong presumption that counsel’s performance fell within the wide range of professional
14
assistance.
15
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ii. Maximum Prison Time
In Petitioner’s second ineffective assistance of counsel argument, he asserts that counsel
17
led him to believe that the maximum sentence he could receive was being placed on probation.
18
(See Pet’r’s Points & Auth. Supp. Am. Pet. at p. 52 (“Throughout the handling of Mr. Scoma’s
19
case Mr. Wilson let him to believe that he would only face being placed on probation.”)
20
Petitioner fails to show that he is entitled to federal habeas relief on this Claim. A review of the
21
record indicates that at a settlement conference, Petitioner was presented with the prosecution’s
22
proposed settlement of life imprisonment. (See Clerk’s Tr. at p. 38.) Petitioner rejected the
23
prosecutor’s offer. If the prosecutor was offering a settlement of life imprisonment, Petitioner
24
was aware that his possible maximum exposure to punishment was beyond mere probation.
25
Furthermore, during a discussion on the number of peremptory challenges each side would have
26
during jury selection, the prosecutor reiterated that this was a charged “life” crime. (See
18
1
Reporter’s Tr. at p. 8.) Thus, Petitioner fails to show that he is entitled to federal habeas relief on
2
this Claim as he was aware by the court proceedings that the maximum exposure he had was life
3
imprisonment.
4
iii. Pre-sentence report statements and victim impact statements at sentencing
5
Next, Petitioner asserts that trial counsel was ineffective in that he failed to object to the
6
use of a victim impact statement and the statements within the presentence report at sentencing.
7
Petitioner fails to show that a victim impact statement at sentencing violated his due process
8
rights in this non-capital case. See United States v. Santana, 908 F.2d 506, 507 (9th Cir. 1990)
9
(per curiam) (“We have recently upheld the use of victim impact statements for sentencing in
10
non-capital cases.”); see also, Mahan v. Cate, Civ. No. 08-4699, 2009 WL 3244911, at *2 (C.D.
11
Cal. Oct. 2, 2009) (“Petitioner has not shown that the Supreme Court has spoken on the use of
12
victim impact statements, of any kind, in noncapital cases.”) Thus, Petitioner is not entitled to
13
federal habeas relief that a victim impact statement violated his due process rights.
14
Next, Petitioner argues that the presentence report violated his due process rights because
15
it contained inadmissible hearsay. Petitioner is also not entitled to federal habeas relief on this
16
ineffective assistance of counsel claim. At the outset, the Confronation Clause is not applicable
17
under these circumstances at Petitioner’s sentencing. See United States v. Petty, 982 F.2d 1365,
18
1369 (9th Cir. 1993). Additionally, it is worth noting that the United States Supreme Court has
19
explained that, “federal judges have long relied upon a presentence report, prepared by a
20
probation officer, for information (often unavailable until after trial” relevant to the manner in
21
which the convicted offender committed the crime of conviction.” United States v. Booker, 543
22
U.S. 220, 250 (2005). Thus, Petitioner’s trial counsel was not ineffective for failing to object to
23
the presentence report at sentencing. Cf. United States v. Powell, 650 F.3d 388, 392 (4th Cir.
24
2011) (“In a line of cases beginning with Crawford v. Washington, 541 U.S. 36 (2004), the
25
Supreme Court has held that the Confrontation Clause generally bars the use of testimonial
26
hearsay at trial unless the declarant is not available to testify and the defendant had a prior
19
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opportunity to cross-examine him. See, e.g., Michigan v. Bryant, 131 S.Ct. 1143, 1153 (2011).
2
But nothing in these cases states that the confrontation right applies at sentencing; indeed, they
3
suggest precisely the opposite.”) (footnote omitted), cert. denied, No. 11-5824, 2011 WL
4
4536365 (U.S. Oct. 3, 2011).
5
Petitioner relies on the Due Process Clause in support of this argument. The Ninth
6
Circuit has explained that the use of hearsay evidence during sentencing only requires a minimal
7
indicia of reliability. See United States v. Littlesun, 444 F.3d 1196, 1199 (9th Cir. 2006).
8
Petitioner asserts that various statements included in the presentence report that were made by
9
the victim were hearsay that lacked this minimal indicia of reliability. Specifically, Petitioner
10
complains about the victim’s statement that Petitioner used a “crack pipe,” pointed a gun at his
11
youngest son while sleeping and the probation officer’s opinion that he was belligerent towards
12
children and law enforcement. (See Pet’r’s Mem. Points & Auth. Supp. Am. Pet. at p. 54.) Even
13
assuming arguendo that these statements lacked the minimally required indicia of reliability,
14
Petitioner still would not be entitled to federal habeas relief on this argument. At the time
15
Petitioner was sentenced, California law required that the trial court impose the middle term if
16
there were three possible terms for the conviction unless there were circumstances in aggravation
17
or mitigation of the crime. See Cal. Penal Code § 1170(b). Petitioner was sentenced to the
18
middle term of three years for the attempted voluntary manslaughter conviction (along with the
19
middle term for the § 12022.5(a) use of a firearm enhancement).3 Thus, even if counsel had
20
objected to these purported hearsay statements within the presentence report, he fails to show to a
21
reasonable probability that the outcome of the proceeding (his sentence) would have been
22
different in light of the imposition of the middle terms.
23
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For the foregoing reasons, Petitioner is not entitled to federal habeas relief on any of his
arguments within Claim II.
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The § 12022.7 inflicting great bodily injury while attempting a felony enhancement does
not have a middle term.
20
1
C. Claim III
2
In Claim III, Petitioner argues that the cumulative effect of his trial counsel’s errors as
3
discussed in Claim II along with the errors of the trial court in Claim I rendered his trial
4
fundamentally unfair and violated his due process rights. The combined effect of multiple errors
5
may give rise to due process violation if the trial was rendered fundamentally unfair, even where
6
each error considered individually would not require reversal. See Parle v. Runnels, 505 F.3d
7
922, 927 (9th Cir. 2007). The fundamental question in determining whether the combined effect
8
of trial errors violated a defendant’s due process rights is whether the errors rendered the criminal
9
defense “far less persuasive” thereby having a “substantial and injurious effect or influence” on
10
the jury’s verdict. See id. at 927 (quoting Brecht, 507 U.S. at 637). Cumulative error is more
11
likely to be found when the government’s case is weak. See United States v. Frederick, 78 F.3d
12
1370, 1381 (9th Cir. 1996).
13
Many of the alleged errors that Petitioner argues in Claims I and II support his cumulative
14
error argument were not in fact errors. Furthermore, as described infra, Part V.E, this was not a
15
weak case against Petitioner. There was ample evidence in the record to support the attempted
16
voluntary manslaughter conviction such that Petitioner failed to show that his due process rights
17
were violated due to cumulative error.
18
D. Claim IV
19
In Claim IV, Petitioner argues that his appellate counsel was ineffective. Petitioner
20
argues that “[b]ecause the instructional issue and ineffective assistance arguments were so
21
apparent from the record and trial counsel’s errors were so egregious in the context of
22
petitioner’s case, appellate counsel should have taken notice and included them in the appeal.”
23
(Pet’r’s Points & Auth. Supp. Am. Pet. at p. 64-65.) Ineffective assistance of appellate counsel
24
uses the same Strickland standard that applies to trial counsel. See Smith v. Robbins, 528 U.S.
25
259, 285 (2000). In this case, Petitioner’s arguments with respect to the purported instructional
26
error and trial counsel’s ineffective assistance of counsel argument were not meritorious as
21
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explained supra Part V.A & B. Thus, Petitioner fails to show to a reasonable probability that the
2
outcome of the proceeding would have been different had appellate counsel raised these issues
3
on direct appeal. Claim IV should be denied.
4
E. Claim V
5
In Claim V, Petitioner argues that there was insufficient evidence to convict him of
6
attempted voluntary manslaughter. The last reasoned decision on this Claim was from the
7
California Court of Appeal on direct appeal which stated the following:
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Defendant’s sole contention on appeal is there was insufficient
evidence of intent to kill to support his attempted voluntary
manslaughter conviction. “To determine sufficiency of the
evidence, we must inquire whether a rational trier of fact could find
defendant guilty beyond a reasonable doubt. In this process we
must view the evidence in the light most favorable to the
judgement and presume in favor of the judgment the existence of
every fact the trier of fact could reasonably deduce from the
evidence. To be sufficient, evidence of each of the essential
elements of the crime must be substantial and we must resolve the
question of sufficiency in light of the record as a whole.” (People
v. Johnson (1993) 6 Cal.4th 1, 38.)
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The distinction between murder and voluntary manslaughter, and
thus between attempted murder and attempted voluntary
manslaughter, lies in the existence of malice. (People v. Lasko
(2000) 23 Cal.4th 101, 108 (Lasko).) A person who unlawfully
attempts to kill nonetheless lacks malice – and is guilty of
attempted voluntary manslaughter – if his “reason was actually
obscured as the result of a strong passion aroused by a
‘provocation’ sufficient to cause an “‘ordinary [person] of average
disposition . . . to act rashly or without due deliberation and
reflection, and from this passion rather than from judgment.’”
[Citations.]” (People v. Breverman (1998) 19 Cal.4th 142, 163.)
One can commit voluntary manslaughter either with an intent to
kill or with a conscious disregard for life. (Lasko, supra, 23
Cal.4th at pp. 109-110.) However, “attempted voluntary
manslaughter cannot be premised on the theory defendant acted
with conscious disregard for life, because it would be based on the
‘internally contradictory premise’ that one can intend to commit a
reckless killing.” (People v. Gutierrez (2003) 112 Cal.App.4th
704, 710.)
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A defendant’s intent is rarely proved through direct evidence.
“One who intentionally attempts to kill another does not often
declare his state of mind either before, at, or after the moment he
shoots. Absent such direct evidence, the intent obviously must be
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derived from all the circumstances of the attempt, including the
putative killer’s actions and words. Whether a defendant
possessed the requisite intent to kill is, of course, a question for the
trier of fact.” (People v. Lashley (1991) 1 Cal.App.4th 938, 945
(Lashley).)
In Lashley, the defendant shot the victim with a .22-caliber rifle
from a balcony, piercing his chest and arm, after previously
threatening the victim and his companions from that distance that
he would send someone down “‘to kick ass.’” (Lashley, supra, 1
Cal.App.4th at p. 942.) “The fact that the shooter may have fired
only once and then abandoned his efforts out of necessity or fear
does not compel the conclusion that he lacked the animus to kill in
the first instance. (Id. at p. 945.) The court concluded: “[t]he very
act of firing a .22-caliber rifle toward the victim at a range and in a
manner that could have inflicted a mortal wound had the bullet
been on target is sufficient to support an inference of intent to kill
under the circumstances presented here.” (Ibid.)
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Defendant asserts the evidence supports an accidental rather than
intentional firing. He characterizes the evidence presented to the
jury as reflecting “a spontaneous struggle and argument between an
older, infirm man and his younger son, which continued for half
and hour, in which each side landed verbal and physical blows.”
Defendant had been fidgeting with the gun and “Nicholas’s sudden
verbal outburst, accompanied by spitting at his father, occasioned
an excited and accidental, rather than a single-minded and
purposeful shooting.” In support of this conclusion defendant
notes his look of surprise after shooting his son, he never
threatened to kill him, the gun was in his left hand, Nicholas did
not know what defendant intended, and evidence showing the
plastic bag could have been over the gun when it fired.
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Defendant’s claims are not supported by the record. There is no
evidence defendant and the victim were struggling when Nicholas
was shot. Nicholas’s uncontradicted testimony establishes that he
neither threatened defendant nor reached for the gun before he was
shot. While the two had pushed each other earlier, Nicholas was
only yelling at defendant at the time of the shooting.
Defendant’s contention that the gun was in his left hand is also
unsupported. On cross-examination, defense counsel asked
Nicholas whether he told the police that defendant held the gun in
his nondominant left hand. Nicholas never answered the question.
A tape of the interview and transcript were presented to the jury.
However, neither the tape nor the transcript is in the appellate
record. Appellate review is limited to evidence that was before the
trial court and is in the appellate record. (See People v. Waidla
(2000) 22 Cal.4th 690, 703, fn. 1.) Since Nicholas testified at trial
that defendant held the gun in both hands, defendant’s claim is
without support.
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3
Defendant’s expert testified that the plastic bag either could have
been over the revolver or at its side during the shooting. We will
not substitute our judgment of the jury’s decision to interpret this
evidence to support defendant’s guilt rather than his innocence.
(See People v. Perez (1992) 2 Cal.4th 1117, 1124.)
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The fact that defendant did not state an intent to kill only means the
prosecution had to make its case through circumstantial evidence.
(Lashley, supra, 1 Cal.App.4th at p. 945-946.) There is ample
circumstantial evidence supporting intent to kill. Defendant tried
to hit his victim in the head with a metal baseball bat. After the
shooting, defendant fabricated a story to the emergency operator,
saying the gun accidently went off when both he and Nicholas
reached for it in the dog biscuit box during the fight. Most
importantly, defendant drew a gun on the unarmed Nicholas, and
did not put it down until he shot Nicholas in the chest at close
range.
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Intent to kill does not require substantial deliberation. “[I]f the jury
found defendant’s use of a lethal weapon with lethal force was
purposeful, an intent to kill could be inferred, even if the act was
done without advance consideration and only to eliminate a
momentary obstacle or annoyance.” (People v. Arias (1996) 13
Cal.4th 92, 162.) Therefore, defendant’s raised eyebrows and wide
eyes do not negate the evidence supporting an intent to kill.
Defendant was not in a physical struggle with defendant when he
shot Nicholas, so the jury could reasonably conclude that the
shooting was purposeful. Since firing a .38 caliber pistol at the
chest at close range is unquestionably using a lethal weapon with
lethal force, there is substantial evidence of intent to kill.
Evidence of defendant’s motive supports our conclusion. Nicholas
spitting on him, even if accidental, was a motive for the killing
when viewed in the context of the extended altercation between the
two. A motive for shooting the victim is probative of defendant’s
intent to kill. (People v. Smith (2005) 37 Cal.4th 733, 741.) While
“motive alone may not always fully explain the shooter’s
determination to shoot at a fellow human being with lethal force”
(ibid.), the evidence of defendant’s motive is additional evidence
of intent to kill.
Our “sole function is to determine if any rational trier of fact could
have found the essential elements of the crime beyond a reasonable
doubt.” (Lashley, supra, 1 Cal.App.4th at p. 946.) Substantial
evidence supports the jury’s verdict that defendant intended to kill
Nicholas.
(Slip Op. at p. 4-9.)
The Due Process Clause of the Fourteenth Amendment “protects the accused against
24
1
conviction except upon proof beyond a reasonable doubt of every fact necessary to constitute the
2
crime with which he is charged.” In re Winship, 397 U.S. 358, 364 (1970). There is sufficient
3
evidence to support a conviction, if, “after viewing the evidence in the light most favorable to the
4
prosecution, any rational trier of fact could have found the essential elements of the crime beyond
5
a reasonable doubt.” Jackson v. Virginia, 443 U.S. 307, 319 (1979). “[T]he dispositive question
6
under Jackson is ‘whether the record evidence could reasonably support a finding of guilt beyond
7
a reasonable doubt.’” Chein v. Shumsky, 373 F.3d 978, 982 (9th Cir. 2004) (quoting Jackson,
8
443 U.S. at 318). A petitioner for a federal writ of habeas corpus “faces a heavy burden when
9
challenging the sufficiency of the evidence used to obtain a state conviction on federal due
10
process grounds.” Juan H. V. Allen, 408 F.3d 1262, 1274 (9th Cir. 2005). In order to grant the
11
writ, the habeas court must find that the decision of the state court reflected an unreasonable
12
application of Jackson and Winship to the facts of the case. See id.
13
A federal habeas court determines sufficiency of the evidence in reference to the
14
substantive elements of the criminal offense as defined by state law. See Jackson, 443 U.S. at
15
324 n.16; Chein, 373 F.3d at 983. Under California law, in order to prove that Petitioner was
16
guilty of attempted voluntary manslaughter, the State had to show: (1) a direct but ineffectual act
17
was done by one person towards killing another human being; (2) that person had the specific
18
intent to kill the other person; and (3) the actions taken to kill were unlawful. See CALJIC 8.41.
19
Petitioner argues that there was insufficient evidence to convict him of attempted voluntary
20
manslaughter because the evidence did not show that he had the intent to kill Nicholas.
21
Petitioner is not entitled to habeas relief on Claim V. Petitioner’s argument that there
22
was a lack of a showing of a specific intent to kill Nicholas fails when the evidence is viewed in
23
the light most favorable to the prosecution,. Because there is rarely direct evidence of a
24
Petitioner’s intent to kill, intent must usually be established by circumstantial evidence, including
25
the Petitioner’s actions. See People v. Smith, 37 Cal. 4th 733, 741, 37 Cal. Rptr. 3d 163, 124
26
P.3d 730 (2005); People v. Ramos, 121 Cal. App. 4th 1194, 1207-08, 18 Cal. Rptr. 3d 167
25
1
(2004) (“Generally, the question whether the defendant harbored the required intent must be
2
inferred from the circumstances of the shooting.”).
3
Here, the California Court of Appeal aptly described the circumstantial evidence which,
4
when viewed in the evidence most favorable to the prosecution supported a showing that
5
Petitioner had an intent to kill. First, the victim was shot after he spit on the Petitioner.
6
Petitioner said to the victim, “you spit on me.” Petitioner then wiped the spit off onto the victim
7
and then the victim was shot. (See Reporter’s Tr. at p. 59, 68.) As noted, the spitting incident
8
could have given rise to a motive for the intent to kill the victim. Furthermore, Petitioner swung
9
a metal baseball bat at the victim and told him that “I’ll hit you in your fucking head.”
10
(Reporter’s Tr. at p. 104, 110-11.) The Petitioner also gave an inconsistent statement to the 911
11
operator as to what had actually transpired. Finally, even Petitioner’s own expert testified that
12
the trigger must be pulled in order for the gun to fire. (See Reporter’s Tr. at p. 276-77.) This
13
evidence, when viewed in the light most favorable to the prosecution, warrants denying habeas
14
relief on this insufficiency of the evidence Claim.
15
VI. REQUEST FOR AN EVIDENTIARY HEARING
16
Petitioner requests an evidentiary hearing. A court presented with a request for an
17
evidentiary hearing must first determine whether a factual basis exists in the record to support
18
petitioner’s claims, and if not, whether an evidentiary hearing “might be appropriate.” Baja v.
19
Ducharme, 187 F.3d 1075, 1078 (9th Cir. 1999); see also Earp v. Ornoski, 431 F.3d 1158, 1166
20
(9th Cir. 2005). A petitioner requesting an evidentiary hearing must also demonstrate that he has
21
presented a “colorable claim for relief.” Earp, 431 F.3d at 1167 (citations omitted). To show
22
that a claim is “colorable,” a petitioner is “required to allege specific facts which, if true, would
23
entitle him to relief.” Ortiz v. Stewart, 149 F.3d 923, 934 (9th Cir. 1998) (internal quotation
24
marks and citation omitted). In this case, an evidentiary hearing is not warranted for the reasons
25
stated in supra Part V. Petitioner failed to demonstrate that he has a colorable claim for federal
26
habeas relief. Moreover, the Supreme Court has recently held that federal habeas review under
26
1
28 U.S.C. § 2254(d)(1) “is limited to the record that was before the state court that adjudicated
2
the claim on the merits” and “that evidence introduced in federal court has no bearing on” such
3
review. Cullen v. Pinholster, 131 S.Ct. 1388, 1398, 1400 (2011). Thus, his request will be
4
denied.
5
6
7
8
9
10
VII. CONCLUSION
Accordingly, IT IS HEREBY ORDERED that Petitioner’s request for an evidentiary
hearing is DENIED.
For all of the foregoing reasons, IT IS RECOMMENDED that the amended petition for
writ of habeas corpus be DENIED.
These findings and recommendations are submitted to the United States District Judge
11
assigned to the case, pursuant to the provisions of 28 U.S.C. § 636(b)(l). Within twenty-one days
12
after being served with these findings and recommendations, any party may file written
13
objections with the court and serve a copy on all parties. Such a document should be captioned
14
“Objections to Magistrate Judge’s Findings and Recommendations.” Any reply to the objections
15
shall be served and filed within seven days after service of the objections. The parties are
16
advised that failure to file objections within the specified time may waive the right to appeal the
17
District Court’s order. Martinez v. Ylst, 951 F.2d 1153 (9th Cir. 1991). In any objections he
18
elects to file, Petitioner may address whether a certificate of appealability should issue in the
19
event he elects to file an appeal from the judgment in this case. See Rule 11, Federal Rules
20
Governing Section 2254 Cases (the district court must issue or deny a certificate of appealability
21
when it enters a final order adverse to the applicant).
22
DATED: October 28, 2011
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TIMOTHY J BOMMER
UNITED STATES MAGISTRATE JUDGE
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