Nitz v. Anglin et al
Filing
50
MEMORANDUM Opinion and Order. Signed by the Honorable Rebecca R. Pallmeyer on 3/4/2014. Mailed notice(meg, )
UNITED STATES DISTRICT COURT
NORTHERN DISTRICT OF ILLINOIS
UNITED STATES OF AMERICA EX REL.
HERMAN NITZ, JR. (N-08438),
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Petitioner,
v.
KEITH ANGLIN, WARDEN
DANVILLE CORRECTIONAL CENTER,
Respondent.
No. 11 C 1904
Judge Rebecca R. Pallmeyer
MEMORANDUM OPINION AND ORDER
Petitioner Herman L. Nitz Jr. was convicted of theft from a place of worship on
November 5, 2008, and, because of his prior criminal history, was sentenced to twelve years
imprisonment as a Class X offender. Petitioner unsuccessfully challenged his conviction in
state court and ultimately filed this petition for a writ of habeas corpus, alleging that he is entitled
to relief on four grounds: (1) the prosecutor failed to turn over exculpatory evidence in violation
of Brady v. Maryland, 373 U.S. 83 (1963); (2) his trial and appellate counsel were ineffective; (3)
bail imposed was excessive; and (4) his sentence violated 725 ILCS 5/111-3(c). Respondent
Keith Anglin argues that Petitioner has failed to exhaust state court remedies and procedurally
defaulted all of his claims, and that the challenge to excessive bail and to the sentence are not
cognizable on federal habeas. Petitioner complains that the trial court and appellate counsel
prevented him from raising the issues presented here in his state court proceedings, and, in his
Reply, alleges three additional grounds for relief: challenges to (5) the imposition of mandatory
supervised release ("MSR"); (6) diminishment of his "good time" credits; and (7) inadequate
medical care within the Department of Corrections.
None of the seven grounds identified by Petitioner clear the stringent procedural and
jurisdictional hurdles that would enable the court to grant relief.
The court concludes that
Petitioner's Brady and ineffective assistance claims are unexhausted and procedurally
1
defaulted; the challenge to excessive bail is moot; and the purported illegality of his sentence is
a non-cognizable state-law issue, and, if it raises a constitutional claim at all, is unexhausted
and procedurally defaulted. Even if the claims raised for the first time in Petitioner's reply were
properly before the court, none support federal habeas relief. For reasons discussed more fully
below, Petitioner's habeas petition [1] is denied, and the court declines to issue a certificate of
appealability.
BACKGROUND
Following a trial in the 18th Judicial Circuit Court of DuPage County, a jury found
Petitioner guilty of theft of jewelry worth approximately $600 from St. Mark's Episcopal Church in
Glen Ellyn, Illinois. (Rule 23 Order in People v. Nitz, No. 2-09-0178, Ex. A to Answer [41],
hereinafter "Appellate Ct. Order," at 1.) The initial charge was theft, a Class 3 offense, but the
State's Attorney enhanced that charge, and the grand jury indicted Petitioner on the Class 2
offense of theft from a place of worship.1 (Recons. Hr'g Tr., Feb. 11, 2009, Attach. 1 (Part 2) to
Habeas Pet. at 14 [1], at 9:11-24, 10:1-2; Indictment, People v. Nitz, No. 07-CF-2821-01 (18th
Cir.), Attach. 5 to Habeas Pet. [5] at 6.) The trial jury considered instructions specific to the
charge of theft from a place of worship. (Trial Tr., Nov. 5, 2008, Attach. 1 (Part 2) to Habeas
Pet. [1] at 153 & Attach. 2 (Part 3) to Habeas Pet. at 1 [1], at 230:23-24, 231:1-18.)
At trial, the prosecution presented evidence that on September 23, 2007, a glass display
case that had held the jewelry at the church had been forced open, and Petitioner's fingerprints
were found on the inside of the display case door. (Appellate Ct. Order at 2.) Sergeant Jean
Harvey, a Glen Ellyn police officer, testified that Petitioner admitted to stealing the jewelry by
forcing the display case door open. (Trial Tr. at 107:13-14; 110:4-24; 111:1-20.) She also
1
720 ILCS 5/16-1(b)(4.1) provides that "[t]heft of property from the person not
exceeding $500 in value, or theft of property exceeding $500 and not exceeding $10,000 in
value, is a Class 2 felony if the theft was committed in a school or place of worship or if the theft
was of governmental property." Id.
2
testified that Petitioner told her that he had subsequently exchanged the jewelry for drugs. (Id.
111:21-24; 112:1-8.) Sergeant Harvey admitted that, after writing her report in January 2008
regarding her interview with Petitioner, she had "gotten rid of" the notes that she had taken
during the interview. (Id. 141:5-12.) Petitioner's trial counsel argued that destruction of the
notes violated the court's discovery order, issued around November 2007, and the court agreed,
informing the jury that the notes were destroyed "[a]pparently in violation of [the court's] order . .
. ." (Id. 141:13-24; 142:1-5; 146:6-16.)
Petitioner testified as well. He explained that he had attended St. Mark's Church for "a
long time," and on September 16, 2007 had visited the church, found greeting cards on top of
the display case, and "picked [them] up and looked at [them] . . . and . . . put [them] away." (Trial
Tr. at 154:22-23; 157:1-12.) On cross examination, Petitioner testified that "there was a couple
[cards] inside" the display case, as well, and therefore, he "may have" gone inside the case
because it was "wide open" at the time. (Id. 165:2-13.) Petitioner denied that he stole the
jewelry, and further denied that he had confessed doing so. (Id. 154:12-15; 161:6-15.) The jury
was instructed on the charge of theft from a place of worship and found Petitioner guilty of that
charge. (Id. at 246:9-10.)
At sentencing, Petitioner argued that the change in charge from a Class 3 offense to a
Class 2 offense was a wrongful "double enhancement" resulting in his sentencing as a Class X
offender. (Sentencing Tr., Jan. 26, 2009, Attach. (Part 1) to Habeas Pet. at 149 & Attach. 1
(Part 2) to Habeas Pet. at 1 [1], at 5:23-6:7.) In response, the court explained that the change
reflected the specific charge of theft from a place of worship and that it was Petitioner's "history
of offenses," including approximately six other Class 2 felony convictions, that rendered him
subject to a sentence as a Class X offender.2 (Sentencing Tr. at 6:4-24, 7:1-7, 26:2-5.) The
2
730 ILCS 5/5-4.5-95(b) (formerly 730 ILCS 5/5-5-3(c)(8)) provides that a
"defendant shall be sentenced as a Class X offender" "[w]hen a defendant, over the age of 21
years, is convicted of a Class 1 or Class 2 felony, after having twice been convicted in any state
(continued…)
3
court imposed a sentence of twelve years imprisonment followed by three years mandatory
supervised release ("MSR"). (Sentencing Tr. at 27:15-17, 30:23-24, 31:1-4.) Petitioner's motion
for reconsideration of sentence was denied on February 11, 2009 (Recons. Hr'g Tr. at 13:14),
and he filed a timely notice of appeal on February 18, 2009. (Def.-Appellant's Br., Ex. B to
Resp't's Answer [42], hereinafter "Pet'r's Appellate Br.," at 1.)
A.
Direct Appeal
In his opening brief on appeal, Petitioner argued only that his sentence was excessive.
(Pet'r's Appellate Br. at 2-3.) Petitioner also wanted to raise additional issues related to the
fairness of his trial and the effectiveness of trial counsel (Jeffrey York), but his appellate attorney
Jack Hildebrand disagreed, and presented only the excessive sentence claim. (Letter from
Hildebrand to Nitz of 3/30/10, Ex. E to Resp't's Mot. to Dismiss at 87 [11] at 4.) After the appeal
was filed and the state had responded, Petitioner terminated his appointed counsel and
proceeded pro se. (Appellate Ct. Order at 6 n.1.) On May 20, 2010, Nitz filed an additional
submission pro se, which the appellate court characterized as a "reply brief" (id.), in which he
requested that the court order a re-briefing and argument on appeal to address ten additional
issues, five of which are similar to those raised in this habeas petition: "[i]neffective assistance
of trial counsel" (Def.-Appellant's Pro Se Br., Ex. D to Answer, hereinafter "Pet'r's Pro Se Reply
Br.," at 22-23), "[v]indictive and selective prosecution" (id. at 24), "[p]rosecutorial misconduct"
(id. at 25-26), "[d]enial of pre-trial bail or imposition of excessive bail" (id. at 46), and "[d]enial of
counsel on appeal or ineffective assistance of appellate counsel." (Id. at 26-27.)3 Petitioner
or federal court of an offense that contains the same elements as an offense now (the date the
Class 1 or Class 2 felony was committed) classified in Illinois as a Class 2 or greater Class
felony and those charges are separately brought and tried and arise out of different series of
acts" so long as "(1) the first felony was committed after February 1, 1978 . . . ; (2) the second
felony was committed after conviction on the first; and (3) the third felony was committed after
conviction on the second." Id.
3
Petitioner raised five other issues: (1) "Denial of freedom of speech, association,
expression, locomotion, to have meaningful access to the courts and or to petition the
(continued…)
4
claimed that he was either denied appellate counsel or received ineffective assistance of
appellate counsel because appellate counsel refused to give him a copy of the original
discovery from his trial, and Petitioner was therefore was unable "to give [his] informed ideas or
opinions," to assist in his own defense, and that he was "subjected to selective enforcement" in
violation of his "fourth and fourteenth amendment rights." (Id. at 25-26.)
On October 5, 2010, the appellate court affirmed the trial court's judgment, concluding
that Petitioner's sentence was not excessive, and that Illinois Supreme Court Rule 341(j) barred
consideration of the additional issues Petitioner raised in his pro se reply brief. (Appellate Ct.
Order at 1, 6 (quoting IL. SUP. CT. R. 341(j)) ("[t]he reply brief . . . shall be confined strictly to
replying to arguments presented in the brief of the appellee[.]")
Petitioner filed a petition for rehearing. (Def.-Appellant's Pet. for Reh'g in People v. Nitz,
No. 2-09-0178, Ex. E to Answer, hereinafter "Pet'r's Reh'g Pet.," ¶ 2.) In that petition, filed on
October 11, 2010, Petitioner repeated the arguments made in his pro se reply brief, and raised
twelve additional arguments that he identified as (A) through (L), which included claims that his
trial counsel was ineffective (B, F), that the prosecutor engaged in misconduct (F), that his
appellate counsel was ineffective for failing to file certain motions or raise certain issues (G, H,
I), and that his sentence was illegal because it was excessive (J, K). (Id. at 3-5.) The appellate
court denied the petition for rehearing on November 12, 2010.
(Am. Order of 11/12/10 in
People v. Nitz, No. 2-09-0178, Ex. F to Answer.)
Petitioner filed a petition for leave to appeal to the Illinois Supreme Court on November
30, 2010, raising the ten issues presented in his pro se reply brief and repeated in his petition
for rehearing. (Pet. for Leave to Appeal in People v. Nitz, No. 111456, Ex. G to Answer,
government for redress of grievances without hinderance [sic] or fear of retaliation"; (2) "Denial
of due process and equal protection of the laws"; (3) "Denial of right to be free from self
incrimination [sic]"; (4) "Denial of compulsory process for the attendance of witnesses favorable
to the defendant"; and (5) "Trial judges [sic] abuse of discretion." (Pet'rs Pro Se Reply Br.)
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hereinafter "Pet'r's PLA," at 3-65.) On January 26, 2011, the Illinois Supreme Court denied his
petition for leave to appeal (Answer ¶ 5), and on March 8, 2011, the court denied his petition for
leave to file a motion for reconsideration. (Letter from Grosboll to Nitz of 3/8/11, Ex. H to
Answer.) Petitioner did not file a petition for certiorari with the United States Supreme Court.
(Answer ¶ 5.)
B.
Post-Conviction Review
While his direct appeal was pending, Petitioner pursued several other state remedies.
On December 29, 2010, he filed a petition in the state trial court under the Post-Conviction
Hearing Act, 725 ILCS 5/122-1 et seq. (Post-Conviction Pet. in People v. Nitz, No. 07-CF-2821,
Dec. 29, 2010, Ex. T to Answer, hereinafter "Post-Conviction Pet. 1.") Petitioner raised thirteen
issues,4 including, as relevant to this case, ineffective assistance of trial counsel, the failure of
the prosecutor and trial defense counsel to adhere to rules of professional conduct, ineffective
assistance of appellate counsel, and the illegal enhancement of his sentence under 725 ILCS
5/111-3(c). (Id. at 3-6.) The circuit court dismissed Petitioner's post-conviction petition on
January 19, 2011, concluding that it "fails to state the gist of a constitutional claim and has no
basis in law or fact." (Op. in People v. Nitz, No. 07-CF-2821, Ex. U to Answer, hereinafter
"Circuit Ct. Post-Conviction Pet. 1 Op.," at 2.) Through appointed counsel, Petitioner filed an
appeal, but then withdrew the appeal (Order, Apr. 4, 2011, in People v. Nitz, No. 2-11-0123 [14],
at 43) in order to file a second petition relying on additional evidence not part of the appellate
record. (Mot. for Status of Previously Filed Mot. in People v. Nitz, No. 07-CF-2821, at 30 [14],
hereinafter "4/20/11 Circuit Court Mot.," at 2 ¶ 2.)
4
In this first post-conviction petition, Petitioner raised the same twelve arguments
identified as (A) through (L), that he had presented on direct appeal in his motion for rehearing
before the Second District Appellate Court. (Compare Pet'rs Reh'g Pet. at 3-5, with PostConviction Pet. 1 at 3-6.) He also raised an additional thirteenth argument in a supplemental
filing, identified by the circuit court as (M). (Circuit Ct. Post-Conviction Pet. 1 Op. at 1; PostConviction Pet. 1.)
6
In that second post-conviction petition, filed pro se on March 22, 2011,5 Petitioner raised
the same ten issues first raised in his pro se reply brief filed on direct appeal.
(Am. or
Successive Pet. for Post-Conviction Relief in People v. Nitz, No. 07-CF-2821, Mar. 22, 2011,
Ex. V to Answer, hereinafter "Post-Conviction Pet. 2," at 7-47.) Additionally, Petitioner argued
at least some, if not all,6 of the same issues raised in his first post-conviction petition. (Id. at 5361.) The circuit court denied Petitioner leave to file a successive post-conviction petition on
April 5, 2011. (Order in People v. Nitz, No. 07-CF-2821, Ex. W to Answer, hereinafter "Cir. Ct.
Post-Conviction Pet. 2 Order.") Then on May 2, 2011, the court denied Petitioner's motion for
reconsideration and/or to file an amended petition. (No. 07-CF-2821 Docket Rep., Ex. M to
Resp't's Reply to Pet'r's Resp. to Resp't's Mot. to Dismiss [17], at 21.)
Petitioner appealed pro se, raising the same issues as those in his first post-conviction
petition. (See Br. for Pro-Se Appellant in People v. Nitz, No. 2-11-0479, Ex. Y to Answer, at 419.) On June 4, 2012, the Second District Appellate Court affirmed. (People v. Nitz, 2012 Ill.
App. 2d 110479-U (2012), Ex. X to Answer, hereinafter "Appellate Ct. Post-Conviction 2 Op.," ¶
1.) The court noted that Petitioner failed to file a complete record on appeal to support his
claims (for example, he did not provide a copy of the circuit court's order denying him leave to
5
Attorney Hildebrand appears to have represented Petitioner in the initial appeal
of his first post-conviction petition. (See Letter from Hildebrand to Nitz of 4/5/2011 [14], at 42.)
Petitioner does not explain when or why that representation ended, but his second postconviction petition was filed pro se. (See Am. or Successive Pet. for Post-Conviction Relief in
People v. Nitz, No. 07-CF-2821, Mar. 22, 2011, Ex. V to Answer, hereinafter "Post-Conviction
Pet. 2.")
6
In his successive post-conviction petition, Petitioner raised arguments (A)
through (F), but the document ends at (E), and does not appear to raise (F) through (L). (PostConviction Pet. 2 at 53-61.) Petitioner has repeated arguments (A) through (L) verbatim in
various state court proceedings, including his petition for leave to appeal his successive petition.
It may be that the copy of the Post-Conviction Petition 2 provided to this court as an exhibit to
Respondent's Answer is incomplete. (See Am. Pet. for Leave to Appeal in People v. Nitz, No.
114596, Ex. AA to Answer, hereinafter "Post-Conviction Pet. 2 PLA," at points and authorities)
(raising twelve arguments labeled (A) through (L), exactly the same as those filed in PostConviction Pet. 1.)
7
file a successive petition), and did not explain the gaps in the record. (Appellate Ct. PostConviction Pet. 2 Op. ¶ 10.) Without a copy of the trial court's order, the Second District
Appellate Court concluded that it "ha[d] nothing to review" and instead "must presume that the
[lower] court's judgment was in conformity with the law and had a sufficient factual basis." (Id.)
Petitioner filed a petition for leave to appeal to the Illinois Supreme Court, raising the
same issues presented in his successive petition, and explaining that he never received a copy
of the original record. (Post-Conviction Pet. 2 PLA.) The Illinois Supreme Court denied his
petition for leave to appeal on September 26, 2012.7 (Answer ¶ 11.)
C.
§ 2-1401 Petition for Relief from Judgment and State Habeas Petition (735 ILCS
5/10-101, et seq.)
In addition to his direct appeal and his post-conviction petitions, Petitioner also filed two
other petitions attacking his sentence. First, in September 2009, Petitioner filed a pro se petition
for relief from judgment under 735 ILCS 5/2-1401. (Pet. for Relief from J., Sept. 23, 2009, Ex. I
to Answer [44], hereinafter "§ 2-1401 Pet.") In it, Petitioner made a variety of claims, including
allegations that his trial counsel was ineffective,8 that he was denied access to discovery
materials (id. at p. 20 ¶ 28), that the prosecutor failed to disclose exculpatory evidence (id. at p.
19 ¶ 25, p. 21 ¶ 30), and that his bond in this case and others was excessive. (Id. at p. 21 ¶
31.) The circuit court dismissed his petition (Op. in People v. Nitz, No. 07-CF-2821, Ex. J to
Answer, hereinafter "Circuit Ct.'s § 2-1401 Op.," at 2), and Petitioner, represented by Mr.
Hildebrand, appealed, arguing that court erred by dismissing that petition sua sponte less than
7
The Illinois Supreme Court's order denying Petitioner's PLA does not appear in
the record.
8
Petitioner argued that his trial counsel was ineffective because his trial counsel
had a conflict of interest (§ 2-1401 Pet. at p. 13 ¶ 2), advised Petitioner to plead guilty (id.
at p. 14 ¶ 5), did not challenge the admission of fingerprint lifts from the crime scene into
evidence (id. at p. 14 ¶ 7), did not call certain witnesses (id. at p. 20 ¶ 27), read a statement into
evidence related to another criminal charge (id. at p. 21 ¶ 32), ignored Petitioner's requests
concerning jury selection (id. at p. 21 ¶ 32), and did not adopt Petitioner's pro se motions. (Id. at
p. 22 ¶¶ 33-35, p. 23 ¶ 37.)
8
thirty days after Petitioner filed it. (Pet.-Appellant's Br. in People v. Nitz, No. 2-09-1165, Ex. K to
Answer, hereinafter "Pet'r's § 2-1401 Appellate Br.," at i.) The Appellate Court affirmed on June
18, 2012, but modified the dismissal to one without prejudice; yet there is no evidence that
Petitioner ever filed a new § 2-1401 petition. (People v. Nitz, 2012 Ill. App. (2d) 091165, 971
N.E.2d 633, 637 (2012).) Petitioner sought a rehearing, but the Appellate Court denied that
request on August 1, 2012 (Rep. on Status of Petr's State Ct. Proceedings [24] at 1), and the
Illinois Supreme Court denied his petition for leave to appeal.9 (Pet. for Leave to Appeal in
People v. Nitz, No. 114824, Ex. O to Answer, hereinafter "Petr's § 2-1401 PLA," at 1; Answer ¶
6.)
Second, Petitioner filed two state habeas petitions. The first was dismissed without
prejudice for improper venue (Order in Nitz v. Kachiroubas, No. 2010 MR 1282, Ex. E to
Resp't's Mot. to Dismiss at 59 [11], at 1-2), and the second alleged the same ten issues raised
in his Pro Se Reply Brief on direct appeal, as well as "other pro se claims for relief/causes of
action."10 (Pet. for State Habeas Relief in Nitz v. Birkey, No. 2010 MR 1602, Nov. 5, 2010, Ex. P
to Answer, hereinafter "State Habeas Pet," at 7-47.) None of the issues raised appear to attack
the Eighteenth Circuit Court's jurisdiction over the case's subject matter or person of Petitioner,
or to allege a post-conviction occurrence that would entitle him to relief here. And, after the
circuit court dismissed the petition on March 30, 2011, Petitioner did not appeal. (Order in Nitz
v. Birkey, No. 2010 MR 1602, Ex. S to Answer.)
9
Again, it is not clear when Mr. Hildebrand withdrew from the representation, but
Petitioner filed his PLA from the denial of the § 2-1401 pro se.
10
These issues include complaints concerning medical treatment provided by the
Illinois Department of Corrections, a Social Security disability claim, and a list of persons against
whom Petitioner has complaints and alleges "constitutional violations." (State Habeas Pet.
at 50-58.)
9
D.
Federal Habeas Petition
After his petition for leave to appeal to the Illinois Supreme Court was denied, but while
the other state petitions were pending, Petitioner filed this federal petition for a writ of habeas
corpus on March 15, 2011. As described above, Petitioner has asserted a Brady claim, a claim
of ineffective assistance of trial and appellate counsel, an "excessive bail" challenge, and a
challenge to his sentence as an improper "double enhancement." (Habeas Pet. at 5-6.)11 This
court stayed proceedings pending the outcome of the various state court post-conviction
challenges, but lifted the stay on March 11, 2013. Respondent has filed an answer and the
case is ready for decision.
DISCUSSION
Under 28 U.S.C. § 2254, a federal court may grant a writ of habeas corpus to a
petitioner in custody pursuant to a state court judgment "only on the ground that [the petitioner]
is in custody in violation of the Constitution or laws or treaties of the United States." A federal
court may not grant an application for the writ unless the petitioner has exhausted all available
state court remedies. 28 U.S.C. § 2254(b)(1)(A). If all such remedies have been exhausted, a
court may grant the writ only if the state court decision "was contrary to, or involved an
unreasonable application of, clearly established Federal law, as determined by the Supreme
Court of the United States;" or "was based on an unreasonable determination of the facts in light
of the evidence presented in the State court proceeding." Id. § 2254(d).
A petitioner has exhausted state court remedies when the petitioner has given the state
courts a "full and fair opportunity" to hear federal constitutional claims through "one complete
round" of proceedings, including discretionary review. O'Sullivan v. Boerckel, 526 U.S. 838, 845
(1999). In Illinois, a petitioner seeking federal habeas relief may exhaust state court remedies
11
In support of each of his claims, Petitioner cites to arguments (A) through (L)
raised on direct appeal in his petition for rehearing with the Second District Appellate Court.
(Habeas Pet. at 5-6; see Pet'rs Reh'g Pet. at 3-5.)
10
by raising his federal constitutional claims on direct appeal or in post-conviction proceedings
under the Post-Conviction Hearing Act, 725 ILCS 5/122-1(a)(1). See Lewis v. Sternes, 390
F.3d 1019, 1026 (7th Cir. 2004) (holding that petitioner procedurally defaulted claims because
"[h]e did not pursue [them] . . . on direct appeal or in the post-conviction proceeding"); see also
United States ex rel. DeFrancisco v. Sigler, No. 08-C-6656, 2010 WL 1031834 at *8 (N.D. Ill.
Mar. 17, 2010) (reasoning that in determining whether petitioner has exhausted remedies to
challenge an Illinois conviction on federal habeas, "a federal court's exhaustion and procedural
default analyses . . . are limited to direct appeals and post-conviction proceedings.").
Illinois also provides other procedures for relief from state court judgments, but these are
limited in scope and less likely to satisfy the requirement that a petitioner exhaust his state court
remedies. State habeas proceedings (735 ILCS 5/10-101 et seq.) are limited to claims that the
petitioner "has been incarcerated under a judgment of a court that lacked jurisdiction of the
subject matter or the person of the petitioner, or where there has been some occurrence
subsequent to the prisoner's conviction that entitles him to release." Beacham v. Walker, 231
Ill. 2d 51, 58-59, 896 N.E.2d 327, 332 (2008) (observing that a court may not review a state
habeas petition "that do[es] not exhibit one of these defects, even though the alleged error
involves a denial of constitutional rights"); see Causes for Discharge When in Custody on
Process of Court, 735 ILCS 5/10-124; see also Gornick v. Greer, 819 F.2d 160, 161 (7th Cir.
1987) ("[Petitioner] apparently did raise the pertinent issues in a state habeas corpus petition
before the Illinois Supreme Court, but only jurisdictional issues . . . can be properly raised in
such a proceeding, so the state habeas petition can not be the basis of [Petitioner's] having
exhausted his state court remedies.").
Section 2-1401, 735 ILCS 5/2-1401 et seq., authorizes a court to grant relief from
judgments in both civil and criminal cases. People v. Vincent, 226 Ill. 2d 1, 8, 871 N.E.2d 17,
22-23 (2007). A person seeking relief from judgment under § 2-1401 must establish "a defense
or claim that would have precluded entry of the judgment in the original action" by a
11
preponderance of the evidence, and demonstrate "diligence in both discovering the defense or
claim and presenting the petition." Vincent, 226 Ill. 2d at 7-8, 871 N.E.2d at 22. Petitions under
§ 2-1401 are not appropriate vehicles for raising and exhausting federal constitutional claims, as
these petitions are intended to afford an opportunity to challenge the factual, and not
constitutional, bases for the conviction. Id.; see Henderson v. Pierce, No. 11-C-378, 2011 WL
1740076 at *2 (N.D. Ill. May 5, 2011) ("[A] pending motion for post judgment relief is not relevant
to the Court's exhaustion analysis."); United States ex rel. Giampaolo v. Anglin, No. 07-C-2612,
2008 WL 4133383 at *3 (N.D. Ill. Aug. 20, 2008) (same).
Similarly, and yet distinct from the exhaustion requirement, a petitioner seeking federal
habeas relief also must not have procedurally defaulted any of the claims raised in the federal
habeas petition. To avoid procedural default, a petitioner must "fairly present" his constitutional
claim at each level of the state judiciary. McDowell v. Lemke, 737 F.3d 476, 482 (7th Cir. 2013).
Only a federal or constitutional claim, presented in such terms and decided on this basis by the
state courts, can satisfy this requirement. A federal court will not "review a question of federal
law decided by a state court if the decision of that court rests on a state law ground that is
independent of the federal question and adequate to support the judgment." Coleman v.
Thompson, 501 U.S. 722, 729 (1991), superseded by statute on other grounds, 28 U.S.C. §
2254(b)(2).
Procedural default is "neither a statutory nor a constitutional requirement, but it is a
doctrine adhered to by the courts to conserve judicial resources and to respect the law's
important interest in the finality of judgments." Massaro v. United States, 538 U.S. 500, 504
(2003). Therefore, a court may choose to ignore a procedural default if the state waives the
default, Lewis, 390 F.3d at 1029, or if the petitioner qualifies for one of two narrow exceptions:
(1) by showing that there was cause for the default, either because counsel was ineffective or
because another objective, external impediment prevented petitioner from raising the defaulted
claim, and actual prejudice resulting from the constitutional violation, Coleman, 501 U.S. at 750;
12
Murray v. Carrier, 477 U.S. 478, 488 (1986); Lewis, 390 F.3d at 1026; or (2) by showing that
failure to excuse the procedural default would result in "a fundamental miscarriage of justice"
because the petitioner is "actually innocent of the offense for which he was convicted." Lewis,
390 F.3d at 1026; see also Coleman, 501 U.S. at 750.
As described above, Petitioner's § 2254 Petition and his Reply present a total of seven
grounds for relief, but none are exhausted, and all but one (the "good time credit" claim) are
procedurally defaulted.
Nor has Petitioner established that the court should excuse his
procedural default under any exception.
In addition, four of Petitioner's claims are not
cognizable on federal habeas review: the excessive bail argument is moot, and the sentence
challenge raises only state law issues. The denial of good time credits does not give rise to
federal claim, and the medical treatment claim is an alleged violation that is unrelated to the
legality of custody. Finally, Petitioner's allegations concerning the purported illegality of his term
of supervised release misrepresents facts in order to suggest a federal claim where none exists.
Each claim is discussed in turn.
I.
Claim 1: Brady violation
Petitioner contends that the prosecution withheld notes taken by Sergeant Harvey
regarding her investigation of the theft and interview with Petitioner, which, Petitioner asserts,
he could have used to impeach her testimony and that of another testifying officer, to "show[]
exculpatory evidence existed," and to "mitigate[] punishment." ('Pet'r's PLA at 20, 25; see also
Habeas Pet. at 5 (citing "all other arguments" in the PLA to support the Brady claim).) As noted,
Sergeant Harvey testified that she destroyed the notes, and the court instructed the jury
concerning the prosecution's failure to disclose. Petitioner nevertheless attached what he now
claims are copies of those notes as an exhibit to his petition (how Petitioner got hold of notes
Sergeant Harvey believes she destroyed is unexplained). (See "Harvey's Notes," Ex. to Hab.
Pet. [5], at 5-8.) Petitioner both failed to exhaust and has procedurally defaulted his Brady claim
because he did not present the claims in one complete round of state court proceedings and
13
has no available state court remedies left. Furthermore, Petitioner's explanations for his default
satisfy neither exception to procedural default that would permit the court to ignore the
procedural bar.
Petitioner did present some form of this claim in each of his four separate state court
proceedings, but the claim was never reviewed in one complete round of any proceeding, and
as a result was never exhausted. On direct appeal, Petitioner initially argued only that his
sentence was excessive. (Pet'r's Appellate Br. at 2-3.) In a later pro se filing, he alleged that
his prosecution was "vindictive and selective" and that the prosecutor engaged in "misconduct"
(presumably a reference to the the alleged Brady violation).12 (Pet'r's Pro Se Reply Br. at 2426.) Because state procedural rules limit the scope of the reply brief, however, the appellate
court refused to consider this issue. (Appellate Ct. Order at 6.) Thus, while Petitioner's direct
appeal concerning his sentence proceeded through one complete round of proceedings,
Petitioner was procedurally barred from presenting his Brady claim on direct appeal.
Petitioner did raise Brady-related claims in his post-conviction petitions, but as to those
petitions, he did not complete one full round of state court review. In his first petition, he alleged
that exculpatory evidence had not been produced, and was either lost or destroyed, including
fingerprint evidence and Sergeant Harvey's "notes, video's [sic] etc." (Post-Conviction Pet. 1 at
7, 12-13.) The circuit court dismissed that initial petition, and Petitioner voluntarily withdrew his
appeal from that ruling in order to file a successive post-conviction petition, in which he repeated
the allegations from the first petition and added a claim of prosecutorial misconduct. (PostConviction Pet. 2 at 25, 26, 54, 59-60.) But Illinois law prohibits filing of a successive postconviction petition without leave of court, absent a showing of cause and prejudice, 725 ILCS
5/122-1(f), and the circuit court denied leave to file that successive petition "for reasons stated in
12
Petitioner's Habeas Petition cites "argument (D)," an apparent reference to the
Brady claim in his PLA.
14
the record." (Cir. Ct. Post-Conviction Pet. 2 Order.)
The Post-Conviction Hearing Act also
dictates that "[a]ny claim of substantial denial of constitutional rights not raised in the original or
an amended petition is waived." 735 ILCS 5/122-3. The Appellate Court affirmed dismissal of
the successive petition, noting Petitioner's failure to submit a complete record, and presuming
that that circuit court's ruling was consistent with the law and facts.
(Appellate Ct. Post-
Conviction 2 Op. ¶ 10.) The Illinois Supreme Court denied Petitioner's subsequent PLA.
Petitioner also raised potential Brady claims in his § 2-1401 petition, alleging that the
prosecutor failed to disclose exculpatory evidence. (§ 2-1401 Pet. at p. 19 ¶ 25, p. 21 ¶ 30.)
The circuit court dismissed that petition, as well, on the ground that it did identify any "newly
discovered or additional evidence," which would entitle Petitioner to relief. Petitioner challenged
that ruling on procedural grounds, and the Appellate Court modified the adverse judgment to a
dismissal without prejudice. Petitioner did not re-file, however; instead, he sought leave to
appeal to the Illinois Supreme Court—but rather than presenting the Brady claim at that stage,
he instead argued that appellate counsel was ineffective. The Illinois Supreme Court denied
leave to appeal.
Finally, in his state habeas petition, Petitioner again alleged that the prosecutor failed to
disclose "exculpatory evidence," referring to Sergeant Harvey's notes, and engaged in
"misconduct."
(State Habeas Pet. at 20, 25-26.)
The circuit court dismissed that petition,
however, and Petitioner failed to appeal. Because Petitioner did not raise the same issue in one
complete round of proceedings, he failed to exhaust his Brady claim.
II.
Claim 2: Ineffective Assistance of Counsel
Similarly, Petitioner alleged that both his trial and appellate counsel were ineffective in
various state court proceedings, but failed to exhaust either claim in one complete round of
review.
15
A.
Trial Counsel
Petitioner first alleged that his trial counsel was ineffective in his pro se reply brief to the
Appellate Court on direct appeal. (Pet'r's Pro Se Reply Br. at 22-23.) Citing Strickland v.
Washington, 466 U.S. 668, 688 (1984), Petitioner claimed that his trial counsel was ineffective
for numerous reasons: (1) because Petitioner had filed previous complaints against the DuPage
County Public Defender's Office and other participants in the criminal justice system, and
because the Office had represented Petitioner's brothers, who had provided information to the
police concerning Petitioner, counsel had a conflict of interest; (2) counsel permitted the
prosecution to "suppress and destroy" unidentified "exculpatory evidence" and to introduce
unidentified perjured testimony at trial; (3) counsel "forced" Petitioner to testify over Petitioner's
objections; and (4) counsel failed to negotiate a favorable plea bargain despite his knowledge
that Petitioner had provided useful information to the police. (Id.) Because these claims (like
the Brady claim) had not been raised in the opening brief on appeal, however, the Illinois
Appellate Court refused to consider them. (Appellate Ct. Order at 6.)
Post-conviction petitions would have provided another avenue for presentation of these
claims, but Petitioner failed to exhaust them in that context, as well. In his first post-conviction
petition, Petitioner alleged both that his trial counsel was ineffective in violation of his Sixth
Amendment right to counsel (Post-Conviction Pet. 1 at 15, 18), and that trial counsel improperly
refused to adopt and file Petitioner's motions for new trial or arrest of judgment, and for
reduction or reconsideration of his sentence. (Post-Conviction Pet. 1 at 9-10.) Petitioner's
successive post-conviction petition made similar allegations. (Post-Conviction Pet. 2 at 22, 56.)
Petitioner voluntarily dismissed his first petition before it was considered by the Appellate Court,
however, and then was denied leave to file a successive petition; he did not exhaust his
ineffective assistance of counsel claim on post-conviction review.
Petitioner also raised his ineffective assistance of trial counsel claim in both a § 2-1401
petition and state habeas petition. Assuming his ineffective assistance claim was cognizable
16
under § 2-1401 or in a state habeas petition at all (but see Vincent, 226 Ill. 2d at 7-8, 871 N.E.
2d at 22; Beacham, 231 Ill. 2d at 58-59, 896 N.E.2d at 332), Petitioner did not exhaust the claim
in either of those proceedings. In his § 2-1401 petition, Petitioner presented arguments he had
put forward in his pro se reply brief on direct appeal. Then, on appeal from denial of that § 21401 petition, he raised only a procedural argument; effectively prevailed, in that the Appellate
Court converted the dismissal to one without prejudice; but then declined to re-file. (People v.
Nitz, 2012 Ill. App. (2d) 091165, 971 N.E.2d 633, 637 (2012); Pet'r's § 2-1401 Appellate Br. at i.)
He asserted his ineffective assistance claim in his state habeas petition (State Habeas Pet. at
22), but failed to appeal from dismissal of that petition.
B.
Appellate Counsel
Petitioner's claims that his appellate counsel was ineffective followed a similar trajectory
as those concerning his trial counsel. On direct appeal, Petitioner alleged in his pro se reply
brief that his appellate counsel was ineffective and prevented Petitioner from raising other
issues on appeal. (Pet'r's Pro Se Reply Br. at 26-27.) Neither the Appellate court nor the Illinois
Supreme Court considered that claim, as the issues on direct appeal were limited to the one
presented in Petitioner's initial appellate brief (an argument that his sentence was excessive).
The issue of the alleged ineffective assistance of appellate counsel originated on direct appeal,
of course, meaning that Petitioner did not have the opportunity to develop an adequate record at
that stage. A more appropriate forum in which to address these claims was through Petitioner's
post-conviction petition. See, e.g., People v. Makiel, 358 Ill. App. 3d 102, 104, 120, 830 N.E.2d
731, 736, 749 (1st Dist. 2005) (discussing the three stages of a post-conviction petition in the
trial court with an evidentiary hearing as the third stage, and concluding that petitioner was
entitled to an evidentiary hearing for his ineffective assistance of appellate counsel claim).
In his first post-conviction petition, Petitioner did allege that his appellate counsel was
ineffective for moving to dismiss Petitioner's pro se interlocutory appeal seeking substitution of
17
judge and a change of counsel and venue.13
By doing so, Petitioner asserted, appellate
counsel deprived him of review of his excessive bail claim. Counsel was also ineffective,
Petitioner asserted, in refusing to adopt issues raised by Petitioner in his pro se motions for new
trial or arrest of judgment, and for reduction or reconsideration of his sentence.
(Post-
Conviction Pet. 1 at 16-18 (claims G-I); see also Answer ¶ 8(G); Letter from Lilien to Nitz of
9/12/08, Attach. 4 to Habeas Pet. [5] at 28.) The circuit court dismissed petitioner's claims of
ineffective assistance of appellate counsel, concluding that they "all deal with events occurring
after petitioner's trial and are not issues which raise a constitutional violation claim occurring at
trial," and that "the post conviction petitions [sic] fails to state the gist of a constitutional claim
and has no basis in law or in fact." (Circuit Ct. Post-Conviction Pet. 1 Op. at 1-2.)
The purpose of the Illinois Post-Conviction Hearing Act is "to permit inquiry into
constitutional issues involved in the original conviction and sentence that were not, and could
not have been, adjudicated previously on direct appeal," and therefore, "[i]ssues that were
raised and decided on direct appeal are barred by res judicata, and issues that could have been
raised on a direct appeal, but were not, are forfeited." People v. English, 369 Ill. Dec. 744, 750,
987 N.E.2d 371, 377 (Ill. 2013); see also 735 ILCS 5/122-1(a)(1). These doctrines, however,
"are relaxed where fundamental fairness so requires, where the forfeiture stems from the
ineffective assistance of appellate counsel, or where the facts relating to the issue do not
appear on the face of the original appellate record." English, 369 Ill. Dec. at 750, 987 N.E.2d at
377. Here, because Petitioner was alleging that his appellate counsel was ineffective, his postconviction petition likely was the proper proceeding in which to raise this issue, and therefore,
the circuit court should have considered it. See, e.g., People v. Lacy, 407 Ill. App. 3d 442, 461,
943 N.E.2d 303, 320 (1st Dist. 2011) ("[T]he claim of ineffective assistance of appellate counsel
13
The parties do not appear to have filed a copy of either the "interlocutory appeal"
or the appellate court's order addressing it.
18
must appear in the postconviction petition."). The Illinois Appellate Court could have corrected
this error; but Petitioner voluntarily withdrew his appeal, effectively abandoning this opportunity
to exhaust the claim.
This claim fails for other reasons as well. Under Illinois law, post-conviction petitions in
non-death-penalty cases proceed through three stages of consideration; first,14 within 90 days of
filing, the trial court reviews the petition, presuming its allegations to be true, and determining
"whether the petition is frivolous or is patently without merit." People v. Hodges, 234 Ill. 2d 1,
10-11, 912 N.E.2d 1204, 1208-09 (2009). The Illinois Supreme Court has described this as a
"low" threshold, particularly for pro se petitioners, and holds that dismissal of a post-conviction
petition at this first stage is appropriate "only if the petition has no arguable basis either in law or
in fact." Hodges, 234 Ill. 2d at 9, 11-12, 912 N.E.2d at 1208-09. Petitioner here appears to have
failed to satisfy even this low burden: he has presented no basis for a conclusion that his
appellate counsel was ineffective or prejudiced his defense by failing to adopt "issues" raised in
Petitioner's pro se motions. Petitioner has not identified these "issues," nor does he state how
they would have produced a different result, and furthermore, he admits that his trial counsel
submitted similar motions "substitut[ing]" for those filed by Petitioner. (Post-Conviction Pet. 1 at
18.) Second, Petitioner complains that counsel withdrew an interlocutory appeal challenging
bail as excessive.
Illinois rules do permit an interlocutory appeal of bail rulings prior to
conviction, see Ill. Sup. Ct. R. 604(c), but there is no basis for concluding that counsel's failure
to do so contributed to any constitutional violation that resulted in Petitioner's conviction.
As noted, Petitioner presented these claims to the circuit court but then voluntarily
withdrew his appeal, opting instead to file a successive post-conviction petition, in which he
added a claim that appellate counsel had denied him access to discovery materials. (Post14
If the petition survives the first stage, then the petitioner has a statutory right to
an attorney and the State must either answer or file a motion to dismiss the petition. People v.
Hodges, 234 Ill. 2d 1, 10-11, 912 N.E.2d 1204, 1208-09 (2009).
19
Conviction Pet. 2 at 26.) Illinois courts disagree on whether trial counsel's failure to provide
discovery materials to the defendant "is a matter of trial strategy and judgment," and thus, within
counsel's discretion, or instead, constitutes ineffective assistance of counsel. See People v.
Hobson, 386 Ill. App. 3d 221, 238-39, 897 N.E.2d 421, 435-36 (1st Dist. 2008) (comparing
People v. Smith, 268 Ill.App.3d 574, 645 N.E.2d 313 (1st Dist. 1994), and People v. Davison,
292 Ill.App.3d 981, 686 N.E.2d 1231 (4th Dist. 1997)). No authority suggests appellate counsel
has such an obligation.
In any event, the circuit court denied Petitioner leave to file a
successive post-conviction petition.
Finally, Petitioner raised the same claims concerning the ineffectiveness of his appellate
counsel in state habeas proceedings. (State Habeas Pet. at 26.) Again, state habeas likely
was not the appropriate forum in which to raise a claim that appellate counsel was ineffective,
but even if it were, Petitioner's failure to appeal from dismissal of that petition means that he did
not exhaust this claim.
III.
Claim 3: Excessive Bail "on void ab initio charges"
Petitioner also urges that he is entitled to habeas relief because he was subject to
excessive bail "on void ab initio charges." Whether properly preserved or not, the claim is a
non-starter. Challenges to the bail set by a trial court become moot once a defendant has been
convicted. Murphy v. Hunt, 455 U.S. 478, 481-82 (1982). Similarly, this court's conclusion that
the bail imposed was excessive would not entitle Petitioner to a writ of habeas, and therefore,
this court is unable to provide "any effectual relief" in response to Petitioner's claim of excessive
bail. See Lee v. United States, No. 90-2513, 1991 WL 146706, at *2 (7th Cir. Aug. 2, 1991)
(citing Murphy and reasoning that habeas petitioner's allegations that his counsel was
ineffective at his bail review hearing became moot when he was convicted).15
15
Even if the excessive bail claim were not moot, Petitioner still would be
procedurally barred from presenting it on habeas as he did not exhaust, and has procedurally
defaulted, the claim. On direct appeal, the court refused to consider the issue due to a local
(continued…)
20
IV.
Claim 4: "Double Enhancement" Resulted in Illegal Sentence
Finally, Petitioner alleges that the charge on which he was convicted was "doubly
enhanced" in violation of 725 ILCS 5/111-3(c), and that as a result, he was wrongfully
sentenced as a Class X offender under 730 ILCS 5/5-4.5-95 (formerly 730 ILCS 5/5-5-3(c)(8)).
(Habeas Pet. at 6.) He also challenges the statute under which he was charged, 725 ILCS
5/111-3(c), as unconstitutional because it is "ambiguous" and allegedly permits a person to be
charged with a more serious offense than what is supported by the evidence. (Pet'r's Reh'g Pet.
at 19-20.)
Neither claim provides a basis for relief. First, Petitioner's illegal sentence claim turns on
the interpretation and application of state law, and as a result, is not cognizable on federal
habeas review. Estelle v. McGuire, 502 U.S. 62, 67-68 (1991) ("[I]t is not the province of a
federal habeas court to reexamine state-court determinations on state-law questions.
In
conducting habeas review, a federal court is limited to deciding whether a conviction violated
the Constitution, laws, or treaties of the United States."); Perruquet v. Briley, 390 F.3d 505, 511
(7th Cir. 2004) ("To say that a petitioner's claim is not cognizable on habeas review is thus
another way of saying that his claim 'presents no federal issue at all'") (internal citations
omitted). Petitioner appears to challenge his sentence in two ways: first, he claims that he was
originally charged with a Class A misdemeanor, but that the charge was changed (several
times) without notice, and that he was convicted of a Class 2 felony (Pet'r's Reh'g Pet. at 19-20);
and, second, that his sentence was wrongfully "enhanced" because he was ultimately
sentenced as a Class X offender, which requires an underlying conviction of a Class 1 or Class
2 felony. (Id.) Yet whether the state modified his charge in violation of the form-of-charge
procedural rule (Pet'r's Pro Se Reply Br. at 46; Appellate Ct. Order at 6); the court denied
Petitioner leave to file a successive post-conviction petition, which alleged excessive bail (PostConviction Pet. 2 at 46); Petitioner failed to file a second § 2-1401 petition after it was dismissed
without prejudice (§ 2-1401 Pet. at p. 21 ¶ 31); and Petitioner did not appeal the dismissal of his
state habeas petition. (State Habeas Pet. at 46; Order in Nitz v. Birkey, No. 2010 MR 1602.)
21
statute, 725 ILCS 5/111-3(c), or whether the trial court properly applied Illinois law governing
repeat offenders, 730 ILCS 5/5-4.5-95(b), are matters of state law. As a result, neither claim
challenging his sentence as illegal is cognizable on federal habeas review.
In any case, Petitioner's claims lack support in the record. Petitioner was on notice that
he was charged and convicted of theft from a place of worship, a Class 2 felony: he was
indicted by a grand jury for theft from a place of worship under 720 ILCS 5/16-1(a)(1)(A),
(b)(4.1), and at trial, the jury received instructions specific to that charge, and found him guilty.
(Trial Tr. at 230:23-24, 231:1-18; 246:9-10.) Significantly, at his sentencing, Petitioner raised
the same issues concerning the change in the original charge from a Class 3 to a Class 2
felony, resulting in a Class X sentence. (Sentencing Tr. at 5:23-24, 6:1-7.) Petitioner asked the
court whether this change constituted "double enhancement," and the court assured him that
correctly characterizing the charge as a Class 2 felony was not improper. (Id. at 6:10-14.)
To the extent Petitioner attempts to challenge the constitutionality of the Illinois statute
governing the form of charge, 725 ILCS 5/111-3(c) (Pet'r's Reh'g Pet. at 19-20), that claim also
fails. Petitioner cites People v. Jameson, 162 Ill. 2d 282, 284-85, 642 N.E.2d 1207, 1208-09
(1994), but that case defeats his argument. In Jameson, defendants appealed their sentences
on the ground that the charging instrument did not put them on notice that they would be
sentenced as Class X offenders, purportedly in violation of § 5/111-3(c). The Illinois Supreme
Court rejected the argument, concluding that § 5/111-3(c) requires the state to notify the
defendant only if "a prior conviction elevates the classification of the offense with which a
defendant is charged and convicted, rather than simply the sentence imposed," and observing
that a defendant has no "due process right to right to receive pretrial notice of the sentence he
will receive upon conviction." 162 Ill. 2d at 288, 291, 642 N.E.2d at 1210-11.
22
The court need not address the merits of this challenge in any depth; contrary to a
conclusion this court expressed earlier,16 it appears that Petitioner did not exhaust this claim,
either.
While Petitioner did challenge his sentence in one complete round of state court
proceedings on direct appeal, the only argument he presented is that his 12-year sentence is
excessive. (Pet'r's Appellate Br. at 1.) In support, he cited state law for the argument that the
trial court had abused its discretion in imposing that sentence.
Notably, Petitioner did not
challenge the charging instrument or the form-of-charge statute, § 5/111-3(c), as
unconstitutional. (Id.) Thus, neither the specific issue raised on appeal ("whether defendant's
sentence was excessive" (Pet'r's Appellate Br. at 1)), nor the accompanying brief "alerted the
state court to the federal nature of his claim in a manner sufficient to allow that court to address
the issue on a federal basis."
Lieberman v. Thomas, 505 F.3d 665, 670 (7th Cir. 2007).
Petitioner did not fairly present his constitutional challenge to the form-of-charge statute on
direct appeal.
Nor did Petitioner exhaust the claim in his post-conviction proceedings. In his first postconviction petition, Petitioner did present the same claim challenging the legality of his sentence
that he now raises in his federal habeas petition (Post-Conviction Pet. 1 at 19-20), but he
voluntarily dismissed that petition on appeal. None of Petitioner's other post-conviction filings
appear to have raised this issue.
Finally, though analysis of this argument on the merits is not required, the court notes
that Petitioner appears to misunderstand the state statute at issue.
Specifically, Petitioner
asserts that § 5/111-3(c) unconstitutionally permits the state to charge defendants with greater
offenses than that for which the state has evidence—but § 5/111-3(c) does not concern the
state's charging decisions. Rather, § 5/111-3 governs the required contents of the charge, and,
16
In an order entered on 7/12/11 [19], the court initially found that Petitioner had
exhausted his illegal sentence claim.
23
as interpreted by the Illinois Supreme Court in People v. Jameson, subsection (c) specifically
requires the state to give the defendant fair warning if a prior conviction elevates the
classification of the offense with which the defendant is charged. This notice requirement is not
triggered in circumstances like those here, where the Class 2 felony charge was based on the
alleged facts of the offense, and the prosecutor's intention to seek an enhanced sentence is
based on the defendant's status as a Class X offender. 162 Ill. 2d at 288, 642 N.E.2d at 1210.
This construction of the statute poses no constitutional concerns. And even if this claim
were exhausted and the statute were problematic, there would be no basis for habeas relief
here; a state court decision upholding the constitutionality of § 5/111-3(c) would not be contrary
to, or an unreasonable application of, clearly established federal law.
Although Petitioner
appears to believe that the Jameson Court found the statute to be "unconstitutional," that court
in fact reached the opposite conclusion, citing U.S. Supreme Court precedent. (Compare Pet'r's
Reh'g Pet. at 20 with Jameson, 162 Ill. 2d at 291, 642 N.E.2d at 1211-12). Specifically, citing
Oyler v. Boyles, 368 U.S. 448 (1962), the Illinois Supreme Court observed that "due process
does not require that a defendant be notified in advance of trial that he could receive an
increased sentence based upon his prior criminal convictions." Jameson, 162 Ill. 2d at 291, 642
N.E.2d at 1211-12 (emphasis in original). In Oyler v. Boles, the Supreme Court reasoned that a
defendant facing a recidivist charge must be given a notice and opportunity to be heard on that
charge, but that due process does not require the state to notify the defendant before trial on the
underlying charge. 368 U.S. at 452. As applied to Illinois' habitual offender statute, Petitioner
need only have been given notice and an opportunity to be heard on his status as a Class X
offender, which may take place at the sentencing hearing itself. See Washington v. Cowan, 25
F. App'x 425, 426 (7th Cir. 2001) (rejecting petitioner's claim on habeas that he was denied due
process when he was notified at his sentencing hearing that he would be sentenced under
Illinois' habitual offender statute and neither objected nor sought a continuance).
24
Those requirements were met here. Petitioner became aware of his status as a Class X
offender at some time before his sentencing hearing. (See Sentencing Tr. at 5:23-24, 6:1-7.)
He in fact questioned the court about the matter at sentencing, specifically asking whether his
Class X status related to another pending charge. Like the defendant in Washington, Petitioner
did not object to the classification nor seek a continuance after the court explained that he was a
Class X offender because of prior convictions. (Id.) As applied here, as explained in Oyler and
its progeny, § 5/111-3(c) was not contrary to clearly established federal law.
V.
Petitioner Fails to Satisfy Either Exception to Excuse his Defaulted Claims
The State has not waived, nor does Petitioner satisfy either exception to, the procedural
bar to further review of any of his defaulted claims. Though he does not address the matter in
his original § 2254 petition, Petitioner does attempt to do so in his later-filed Motion to Present
Exhibits and Facts. (Pet'r's Mot. to Present Exs. & Facts [34, 34-1], hereinafter "Pet'r's Facts &
Exs. Mot.," at 27-44.) Generally, that motion contains vague allegations that the trial court and
trial and appellate counsel impeded Petitioner's ability to raise the claims presented on habeas
so as to exhaust them in state court proceedings. (Pet'r's Facts & Exs. Mot. at 27-44.) The
core of Petitioner's explanation for his procedural default appears to be a substantial
disagreement with the way in which the courts conducted his original trial and appeal, and with
the decisions made by his trial and appellate counsel.
A.
Cause and Prejudice Exception
Petitioner alleges that trial counsel's refusal to adopt Petitioner's pro se motions caused
him to default his Brady claim, his ineffective assistance of trial counsel claim, and his illegal
sentence claim. (Pet'r's Facts & Exs. Mot. at 22-23, 42, 43.) These circumstances do not,
however, establish cause for the default. First, of course, the conduct of his trial counsel had no
impact on Petitioner's ability to exhaust his ineffective assistance of trial counsel claim.
Petitioner was free to exhaust that claim in post-conviction proceedings, which, as explained
earlier, he failed to do. And in order for the ineffectiveness of his trial counsel to serve as
25
"cause" for his other defaulted claims, Petitioner would be required first to exhaust that claim.
Edwards v. Carpenter, 529 U.S. 446, 451-52 (2000) (ineffective assistance of counsel may
serve as "cause" for procedural default, but because it is an "independent constitutional claim" it
too must be exhausted in state court proceedings).
Similarly, Petitioner suggests that the ineffectiveness of his appellate counsel caused
him to procedurally default his Brady claim (Pet'r's Facts & Exs. Mot. at 26-27, citing the Fourth
Amendment), excessive bail claim (Pet'r's Reh'g Pet. at 16), and illegal sentence claim. (Pet'r's
Facts & Exs. Mot. at 43.) But, like his ineffective assistance of trial counsel claim, Petitioner's
claim that appellate counsel was ineffective cannot serve as "cause" for his default because he
failed to exhaust that claim in any state court proceedings. Edwards, 529 U.S. at 451-52; see
also Dellinger v. Bowen, 301 F.3d 758, 766-67 (7th Cir. 2002) (citing Edwards and reasoning
that because Petitioner failed to exhaust, and had procedurally defaulted, his ineffective
assistance of appellate counsel claim, that claim cannot serve as "cause" for the default of
another constitutional claim).
Even assuming that the ineffectiveness of Petitioner's trial or appellate counsel
constituted "cause" for the procedural default, Petitioner cannot demonstrate that such a
violation caused him "actual prejudice" because it "worked to his actual and substantial
disadvantage, infecting his entire trial with error of constitutional dimensions." Lewis, 390 F.3d
at 1026 (quoting United States v. Frady, 456 U.S. 152, 170 (1982)). Petitioner must not merely
show that there was a possibility of prejudice, but rather that the ineffectiveness of trial and
appellate counsel caused him actual prejudice. Frady, 456 U.S. at 170. No such showing is
made here. Petitioner's vague allegations that his appellate counsel was ineffective for denying
Petitioner access to discovery materials so that he could aid in his own appeal does not
demonstrate that he suffered any actual prejudice as a result; he has not identified the discovery
materials he needed, nor explained how access to them would have made a difference.
26
Petitioner's allegations concerning the effectiveness of trial counsel are similarly
unpersuasive. Petitioner contends that trial counsel's effectiveness was compromised by a
conflict of interest generated by (1) Petitioner's own complaints against other employees of the
DuPage County Public Defender's Office as well as "other persons and associates," including at
least one prosecutor, police officers, sheriff's deputies, judges, and a notary public, and (2) the
Public Defender's representation of Petitioner's brothers who had provided information to the
police about Petitioner. (Pet'r's Facts & Exs. Mot. at 22.) These grievances against a wide
range of people in the local criminal justice system are insufficient to give rise to a specific
conflict of interest, and Petitioner offers no other basis for a conclusion that his attorney "was
faced with a choice between advancing his own interests above those of [Petitioner's]." See
Hall v. United States, 371 F.3d 969, 973 (7th Cir. 2004) (reasoning that defendant may assert a
conflict of interest claim under either Strickland or Cuyler v. Sullivan, 446 U.S. 335 (1980), by
proving that defense counsel was influenced by "an actual conflict of interest") (emphasis in
original) (internal citations omitted).
Similarly, Petitioner's claim that trial counsel aided the prosecution in suppressing and
destroying exculpatory evidence is unavailing.
Petitioner alleges that some unspecified
"exculpatory evidence" would have enabled him to impeach the testimony of several police
officers at trial, and that his lawyer somehow permitted the prosecution to present perjured
testimony. (Pet'r's Facts & Exs. Mot. at 22-23.) Petitioner provides no further substance to
these allegations, however; he fails to indicate what the exculpatory evidence is, how the police
officers could have been impeached, or what was false in the allegedly perjured testimony, and
as a result, fails to allege how trial counsel's conduct caused him actual prejudice.
In fact, the evidence that Petitioner committed theft in a place of worship, which was
presented at Petitioner's trial, was substantial. The state presented fingerprint lifts that matched
Petitioner's, which were "found on the inside surface of the glass door" of the locked display
27
case that had contained the stolen property, and police testimony that Petitioner had actually
confessed to the crime. (Appellate Ct. Order at 2.)
B.
"Fundamental Miscarriage of Justice" Exception
Petitioner also claims that he is innocent, and as such, the court's failure to excuse the
default of his claims would result in a fundamental miscarriage of justice. (Pet'r's Facts & Exs.
Mot. at 28-29.) A claim of actual innocence must be supported by new, reliable evidence or
evidence excluded at trial that proves "more likely than not that no reasonable juror would have
convicted [the petitioner] in the light of the new evidence." Schlup v. Delo, 513 U.S. 298, 324,
327 (1995). Petitioner offers no such evidence here. Instead, he urges that evidence of his
innocence—including the testimony of a parole officer, purportedly exculpatory notes written by
Sergeant Harvey, and the opportunity to have fingerprint evidence examined by an expert hired
by defense counsel—was "lost and destroyed" by the "overt acts and omissions" of trial
counsel, the state, and the Glen Ellyn Police Department. (Pet'r's Facts & Exs. Mot. at 29, 38.)
None of the purportedly "lost" evidence appears exculpatory, however. According to
Petitioner, parole officer James Hall would have testified that the police "had lied to him about
armed robbery charges so [Petitioner] could be arrested" and interviewed about the theft (id. at
39), and that Petitioner made a "deal" with the police, which resulted in arrests. (Id. at 35.)17
Hall's testimony perhaps would have had some impeachment value; but it cannot be
characterized as new evidence of Petitioner's innocence.
Second, Petitioner asserts that
Sergeant Harvey's notes recounted information that he provided to the police during an
interview on October 22, 2007, and would have shown that "arrests were made per agreement
made between Harvey #83 and I and that police did not live up to their end of the agreement
17
Petitioner himself testified at trial that he tried to provide the police with
"information" on "other cases that [he] knew about." (Trial Tr. at 160:10-24, 161:1-5.) He did
not describe any "deal" with the police and has not explained why he believed Mr. Hall would
have testified about such a "deal."
28
and used promises and coersive [sic] tacticts [sic] . . . to take involuntary compelled statements
out of context during custodial interrogation which they tried to compel an incriminating
statement." (Id.) Sergeant Harvey testified that she destroyed these notes after she wrote her
police report in January 2008 (Trial Tr. at 141:5-12), though Petitioner claims (without
explanation) that he received the notes in June 2010 (Habeas Pet. at 5), and has submitted
them as an exhibit.18 (See Harvey's Notes.) Neither the information that Petitioner claims that
Sergeant Harvey's notes would have contained, nor the exhibit submitted by Petitioner, contains
any evidence of Petitioner's innocence. Finally, Petitioner claims that the fingerprint evidence
was "unreliable[] due to tampering, chain of custody problems and fabrication," but Petitioner
provides no further basis for his claims, and indeed admitted on the stand that he "may have"
placed his hand inside the glass box—presumably to explain the presence of his fingerprints
there. (Pet'r's Facts & Exs. Mot. at 39.) Ultimately, Petitioner's allegations are far from proving
his actual innocence such that it is more likely than not that no reasonable juror would have
convicted Petitioner.
V.
Additional Claims
As described earlier, Petitioner's response to the Answer filed by the Respondent in this
case raises three additional issues:19 that the Illinois Department of Corrections (the "IDOC")
18
The notes do not contain any obviously exculpatory information. Page one
contains a telephone number for "Parole" and "Jack Tweedle," which is incomplete; page two
lists three "theft's," including the one at St. Mark's, Petitioner's name and date of birth with the
comment "theft over $300, parole hold" besidehis name, his brothers' names, and the names of
two "P.O."s; page three lists types of drugs—"crack," "powder," and "weed,"—with individuals'
names next to each (perhaps this is the information that Petitioner alleges he provided to the
police); and page four lists various addresses, contains the phrase "stashed it by bridge," and
has two business cards attached. (See Harvey's Notes.)
19
Rule 5(e) of 28 U.S.C. § 2254, which governs § 2254 habeas petitions in district
courts, permits a habeas petitioner to file a reply in response to the answer. The Advisory
Committee Notes suggest that the court may consider additional arguments raised in the reply
as an amendment to the original petition under Rule 15(a) of the Federal Rules of Civil
Procedure "when the court feels this is called for by the contents of the answer." 28 U.S.C. §
2254 Rule 5(e), advisory committee note (1976).
29
has imposed or is trying to impose a term of mandatory supervised release ("MSR") term
(Pet'r's Resp. to Answer [47], hereinafter "Reply," at 8); that changes to the Illinois
Administrative Code retroactively affected Petitioner's "good time" credits (id. at 5-7); and that
IDOC has failed to provide Petitioner with necessary medical treatment. (Id. at 7.) This last
claim—a challenge to denial of medical treatment—is a conditions-of-confinement claim that is
not cognizable on federal habeas review, because it does not pose a challenge to the legality of
Petitoner's detention. See 28 U.S.C. § 2254(a); Glaus v. Anderson, 408 F.3d 382, 386 (7th Cir.
2005) (concluding that because "release from custody is not an option" for a claim that alleges
that "medical treatment amounts to cruel and unusual punishment" in violation of the Eighth
Amendment, it cannot be addressed on habeas).
For the reasons stated here, Petitioner's remaining two claims concerning the legality of
his sentence also do not support habeas relief.
A.
Claim 5: Illegal MSR Term
First, Petitioner urges that the IDOC has illegally imposed a three-year MSR term to be
completed upon his release from prison in violation of his due process rights to be sentenced by
a judge. Petitioner relies on U.S. ex rel. Carroll v. Hathaway, No. 10-C-3862, 2012 WL 171322
at *9 (N.D. Ill. Jan. 19, 2012). In Carroll, the district court held that the IDOC violated the
petitioner's due process rights when it unilaterally imposed a MSR term; the court subsequently
concluded, however, that the state court's decision upholding the imposition of the MSR term
was "not contrary to the clear holding of a Supreme Court case," and denied habeas relief.
Carroll v. Hathaway, No. 10-C-3862, 2012 WL 6758310 at *2 (N.D. Ill. Sept. 5, 2012). Petitioner
here has received a three-year term of MSR, which is required by Illinois law for repeat
offenders, see 730 ILCS 5/5-4.5-25(l), but Carroll has little to do with his circumstances. The
three-year MSR term in Petitioner's case was imposed by the judge at his sentencing hearing.
(Sentencing Tr. at 30:23-24, 31:1-4.) Furthermore, any challenges to the imposition of a MSR
term are unlikely to succeed; in Villanueva v. Anglin, 719 F.3d 769, the Seventh Circuit
30
acknowledged that, in past cases, it had granted the writ where "the defendant ultimately pled
guilty without any mention of MSR from the sentencing judge" making "petitioners' pleas . . .
involuntary," but noted that "failure-to-admonish claims might fail since Congress passed
AEDPA and our holding in Lockhart[.]" 719 F.3d, 776, 779 (7th Cir. 2013) (citing Lockhart v.
Chandler, 446 F.3d 721, 724 (7th Cir. 2006) ("[Petitioner] faces an impossible hurdle in showing
that the state court contradicted, or unreasonably applied, clearly established federal law as
determined by the Supreme Court because the Court has expressly declined to decide the
issue" regarding whether "a defendant must be advised of a term of MSR at the time he
attempts to enter a plea of guilty.").
Petitioner's claim that his MSR term was unconstitutionally imposed appears to be
another challenge to the propriety of his sentence as a Class X offender. (See Reply at 8,
where Petitioner contends he was actually convicted of a Class 3 felony, which does not carry a
three-year MSR term.) Again, Petitioner ignores the facts. As explained to him at sentencing,
Petitioner was convicted of theft from a place of worship, a Class 2 felony, and, because of prior
offenses, sentenced as a Class X offender. (Sentencing Tr. at 6:4-24, 7:1-7, 26:2-5.) And, as
discussed above, Petitioner's challenge to his sentence was not exhausted in state court
proceedings, and is procedurally defaulted. The facts do not support Petitioner's revised
constitutional claim here, nor did Petitioner raise this challenge to his MSR term in any state
court proceedings.
Petitioner explains that he was unable to raise this claim in state court proceedings
because the state courts "refused to hear the claim[] on [its] merits" and Carroll was not decided
until 2012. (Reply at 9.) But Carroll, a decision of a federal district judge (ultimately adverse to
Petitioner here) could not have established any new constitutional principle which would
constitute "cause" for Petitioner's procedural default. Cf. Reed v. Ross, 468 U.S. 1, 15-17
(1984) (holding that a novel constitutional claim may satisfy "cause" prong where the claim's
"legal basis is not reasonably available to counsel," such as where the Supreme Court
31
expressly overrules prior precedent, overturns a practice approved of by most lower courts, or
invalidates practice implicitly sanctioned by the Supreme Court in past cases).
B.
Claim 6: Protected Liberty Interest in Good Time Credits
Petitioner asks this court to direct the IDOC Director to award him 180 days of "good
time" credits. Petitioner contends he has a protected liberty interest in these credits under an
earlier version of ILL. ADMIN. CODE tit. 20, § 107.210. (Reply at 5 (citing § 107.210(b), (c)
effective May 5, 1996); see 20 Ill. Reg. 6745 (May 17, 1996)). Petitioner has no protected
liberty interest in the possibility of receiving good time credits, however, so his claim is not
cognizable under the due process clause. See Hadley v. Holmes, 341 F.3d 661, 665 (7th Cir.
2003) (reasoning that petitioner did not have a protected liberty interest in discretionary good
time credits awarded under 730 ILCS 5/3-6-3(a)(3), and concluding that "the state need not
afford him due process before declining to award him the credit"). Because Petitioner's claim
does not implicate the due process clause, it is not cognizable even as a stand-alone claim
under 42 U.S.C. § 1983.
Furthermore, because Petitioner's claim does not challenge the
validity of his sentence or conviction, it is not cognizable on habeas.
Under the relevant Illinois statute, 730 ILCS 5/3-6-3(a), Illinois prisoners may receive two
types of good time credits, only one of which is mandatory. Section 2.1 requires the award of
good time credits for time served to certain offenders, while section 3 authorizes the IDOC
Director, in his discretion, to award up to 180 days of "additional sentence credit for good
conduct." Id. § 5/3-6-3(a)(2.1). Petitioner cites Montgomery v. Anderson, 262 F.3d 641, 645
(7th Cir. 2001), in which the Seventh Circuit held that an Indiana petitioner had a protected
liberty interest in receiving good time credits because that state's statute provided that he would
receive the credit unless certain findings were made. By contrast, in Illinois, the award of
supplemental good time credits is completely at the discretion of the Director. Nor did the
recent amendment to § 107.210, which governs the award of supplemental good time credits,
change things.
Even at the time of Petitioner's sentencing in 2009, the Director had sole
32
discretion to award up to 180 days of "meritorious good time." 20 Ill. Reg. 6745; see ILL. ADMIN.
CODE tit. 20, § § 107.210. Thus, while Petitioner may have a protected liberty interest in credits
for time served (730 ILCS 5/3-6-3(a)(2.1)), he has no protected liberty interest in the possible
award of good time credits at the discretion of the IDOC Director. Id. § 5/3-6-3(a)(3). Without a
protected liberty interest, the Director's decision not to award Petitioner any supplemental
service credit need not comply with any due process requirements, and denial of good time
does not raise a cognizable federal claim.
Petitioner also alleges that the amendment to § 107.201 as applied to him violates the
Ex Post Facto Clause, Art. I, § 10, cl. 1. That Clause prohibits states from passing penal
statutes that apply retroactively to "disadvantage the offender affected by them" by, for example,
increasing penalties or criminalizing previously legal conduct. Collins v. Youngblood, 497 U.S.
37, 41-42 (1990). In the prison context, "[o]nly prison regulations that are both retroactive and
punitive fall within the purview of the Ex Post Facto Clause." Kindred v. Vannatta, 21 F. App'x
461, 463 (7th Cir. 2001). The amendment to § 107.201 was neither; it applies to Petitioner's
ability to earn supplemental good time credits in the future, and did not increase his underlying
sentence.
Finally, Petitioner urges that, as applied to him, the amendment to § 107.201 violates the
constitutional principle of separation of powers and the Fourteenth Amendment's Equal
Protection clause. (Reply at 6-7.) Neither claim is compelling. Petitioner fails to explain or cite
any case law to support his separation of powers claim (id.), and this court will not speculate as
to the basis of the bare allegation. Petitioner's equal protection claim appears to be, primarily, a
complaint about the amount of supplemental good time credits that the Director has awarded
since the amendment was enacted on February 1, 2013. According to Petitioner, before the
amendment took effect, prisoners received supplemental good time credits more regularly, and
Petitioner urges that he is being treated differently than those who received good time credits
before the amendment was enacted. (Id. at 6.) This is not a classification that gives rise to
33
equal protection concerns, however; it is the mere consequence of a regulatory amendment.
Petitioner does not allege that he is part of a class of persons who receive different treatment,
but rather complains that all prisoners are now subject to the purportedly more stringent
standards for supplemental good time credits than the standards applied prior to the
amendment. Again, as Petitioner has no protected liberty interest in the good time credits, his
claim is not cognizable either as a stand-alone due process or equal protection claim under
§ 1983. See Hadley, 341 F.3d at 665 (rejecting petitioner's habeas challenge to the DOC's
application of a state court decision that limited the provision of good time credits; DOC's action
did not violate equal protection because it applies to all prisoners). And, significantly, like his
due process challenge, Petitioner's complaint about the way in which good time credits are
administered does not challenge his original conviction or sentence, and therefore, does not
provide a basis for habeas relief.
Petitioner also alleges that he is being treated differently than other prisoners who have
received supplemental good time credit as the Director has not awarded him supplemental good
time credit despite his eligibility. (Reply at 7.) By citing Village of Willowbrook v. Olech, 528
U.S. 562 (2000), Petitioner implies that he is being arbitrarily singled out as a "class of one" in
violation of the equal protection clause. (Resp. to Answer at 7 (citing. Olech, 528 U.S. at 564).)
Petitioner has offered no basis for the conclusion that the Director intentionally and arbitrarily
singled him out for adverse treatment, however. Compare Olech, 528 U.S. at 565 (allegation
that defendant intentionally imposed "irrational and wholly arbitrary" requirement of a longer
easement to connect plaintiff to water supply than other similarly-situated homeowners sufficient
to state a "class of one" equal protection challenge). Petitioner has not shown the application of
the amendment to § 107.210 is unconstitutional. And, more relevant to this court's analysis,
Petitioner's complaint about the Director's administration of good time credits does not
challenge the constitutionality of his conviction or sentence, and therefore, is not a cognizable
habeas claim.
34
CONCLUSION
Because Petitioner failed to exhaust any of the grounds for relief identified in his habeas
petition, and has no available state proceedings as of right in which to exhaust these claims, his
Brady claim, ineffective assistance of counsel claim, and sentencing challenge are procedurally
defaulted. His bail challenge is moot, and the sentencing challenge presents only a state law
issue. Finally, his claims regarding mandatory supervised release, denial of good time credits,
and medical treatment are not appropriate for federal habeas review. As such, Petitioner's
Habeas Petition [1] is denied. The court concludes that reasonable jurists would not find these
conclusions debatable and therefore declines to issue a certificate of appealability.
ENTER:
Dated: March 3, 2014
_________________________________________
REBECCA R. PALLMEYER
United States District Judge
35
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