WEST v. BONDS
Filing
17
OPINION. Signed by Judge Madeline Cox Arleo on 7/14/2020. (ams, )
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UNITED STATES DISTRICT COURT
DISTRICT OF NEW JERSEY
_________________________________________
MITCHELL WEST,
:
:
Petitioner,
:
Civ. No. 17-5294 (MCA)
:
v.
:
:
WILLIE BONDS,
:
OPINION
:
Respondent.
:
_________________________________________ :
MADELINE COX ARLEO, U.S.D.J.
I.
INTRODUCTION
Petitioner, Mitchell West (“Petitioner” or “West”), is a state inmate proceeding pro se
with a petition for writ of habeas corpus pursuant to 28 U.S.C. § 2254. For the following
reasons, Petitioner’s habeas petition is denied and a certificate of appealability shall not issue.
II.
FACTUAL AND PROCEDURAL BACKGROUND
The factual background is taken from the New Jersey Superior Court, Appellate
Division’s opinion on Petitioner’s direct appeal.
On February 17, 2005, at approximately 5:25 p.m., the Jersey City
police responded to a 9-1-1 call from Rashon Ponder, who stated
that he had been shot. Ponder was found in his car at the curb in
the vicinity of Atlantic and Bergen Avenues. He had been shot
multiple times. Detective Kevin Guy asked Ponder if he knew
who shot him. Ponder nodded his head yes, but refused to identify
the shooter.
Shortly thereafter, paramedics arrived and, after examining Ponder,
informed the police that he was likely to die from his wounds.
When Ponder was informed of his status, he again refused to
disclose the name of the shooter. However, on April 10, 2005,
Ponder, who survived, disclosed to the police that his shooter was
defendant. Ponder told the police that he had initially refused to
identify defendant because he was “afraid of dying,” that he was
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“still in shock” and that he was “afraid of [defendant].” Defendant
was arrested on April 26, 2005.
One year after the shooting, on February 17, 2006, defendant's
former girlfriend, Shamia Henderson, provided the police with
additional corroborative evidence of defendant's identity, stating
that in mid or late February, 2005, defendant had bragged to her
that he had “handled business for his brother.” “He shot up the
guy or car.” Henderson later learned that the victim was Ponder.
An investigation of the scene of the crime disclosed seven ninemillimeter bullet casings next to the passenger side of the car
occupied by Ponder. No casings were found on the driver's side.
Additionally, the police found four vials containing suspected
cocaine in the street next to the passenger door. The police were
unable to determine who possessed the vials. While in the
emergency room, approximately $1,500 was found in Ponder's
pockets.
Directly in front of the car driven by Ponder, the police found a
Plymouth minivan with its engine running. Inside the minivan was
a cell phone. At trial, the parties stipulated that the van and phone
belonged to defendant.
Ponder was surgically treated for eighteen entry and exit gunshot
wounds, spending twelve days in the hospital. He remains
disabled by his injuries. Ponder received three wounds on the front
of his right arm, three on the rear of his right arm, one in the
armpit, one in the mid-chest, two in the upper right thigh, two in
the lower right thigh, two in the upper left thigh, two in the lower
left thigh, and one in the scrotal area. Bullets fractured his upper
right arm and his left femur. Analysis determined that all of the
bullets were fired from the same semi-automatic pistol.
According to Ponder, the shooting occurred after he became
stopped in traffic. Defendant got out of his car, which was stopped
in front of Ponder's, walked over to the passenger side of Ponder's
vehicle, and started shooting through the open window. Ponder
testified that he was able to guide his car to the curb, where it was
found directly behind the minivan belonging to defendant. He then
called 9-1-1, his son's mother and his cousin.
Ponder claimed that he had known defendant for more than ten
years. When asked at trial if Ponder knew of any reason defendant
would want to shoot him, Ponder replied that a week or a few days
before, “[w]e had a little altercation, like, verbal dispute. That's it.”
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State v. West, No. A-3402-06T4, 2009 WL 2146882, at *1–2 (N.J. Super. Ct. App. Div. July 21,
2009). Petitioner was convicted by a jury of first-degree attempted murder, second-degree
possession of a weapon for an unlawful purpose and third-degree unlawful possession of a
weapon. He was sentenced to thirty years imprisonment subject to an eighty-five percent parole
ineligibility period.
The Appellate Division affirmed Petitioner’s conviction on appeal, but remanded the
matter for resentencing on the weapons counts because the two offenses were improperly
merged. See id. at *6. On remand, Petitioner received the same aggregate sentence. The New
Jersey Supreme Court denied certification on Petitioner’s direct appeal in October, 2009. (See
ECF 8-10).
In March, 2010, Petitioner filed his first post-conviction relief (“PCR”) petition in the
New Jersey Superior Court. (See ECF 8-11). On July 15, 2011, the New Jersey Superior Court
denied Petitioner’s PCR petition in a written decision. (See ECF 8-16). On September 19, 2013,
the Appellate Division affirmed that denial. See State v. West, No. A-2049-11T4, 2013 WL
5268933 (N.J. Sup. Ct. App. Div. Sept. 19, 2013). The New Jersey Supreme Court denied
certification on Petitioner’s first PCR petition on April 11, 2014. (See ECF 8-24).
As Petitioner’s first PCR petition was progressing, he filed a second PCR petition in the
New Jersey Superior Court in June, 2012. (See ECF 8-25). On October 5, 2012, the Superior
Court dismissed the second PCR petition without prejudice because Petitioner had an appeal
pending before the Appellate Division. (See ECF 8-26). Ultimately, on December, 2, 2014, the
Appellate Division reversed the Superior Court’s dismissal of the second PCR petition and
remanded the matter for further proceedings. See State v. West, A-1294-12T3, 2014 WL
6751523 (N.J. Sup. Ct. App. Div. Dec. 2, 2014). In October, 2015, the New Jersey Superior
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Court denied Petitioner’s second PCR petition in a written decision and order. (See ECF 8-33 &
8-34). On September 13, 2016, the Appellate Division affirmed the denial of Petitioner’s second
PCR petition. (See ECF 8-38). On February 1, 2017, the New Jersey Supreme Court denied
certification on Petitioner’s second PCR petition. (See ECF 8-40).
In July, 2017, Petitioner filed this § 2254 habeas petition. Petitioner raises six claims in
his petition; they are as follows:
1.
The prosecutor’s remarks during summation violated Petitioner’s due process rights
(“Claim I”).
2. Permitting Petitioner’s out-of-court statement to be admitted at trial infringed on
Petitioner’s right to cross-examination (“Claim II”).
3. Ineffective assistance of counsel for failing to investigate whether Petitioner was
competent to stand trial (“Claim III”).
4. Ineffective assistance of counsel for failing to present a diminished capacity defense at
trial (“Claim IV”).
5. Ineffective assistance of counsel for failing to advise Petitioner of his maximum sentence
exposure upon conviction at trial which caused him to reject a plea offer (“Claim V”).
6. Ineffective assistance of counsel for failing to obtain a current report on Petitioner’s
mental health and presenting this as a mitigating factor in Petitioner’s favor at sentencing
(“Claim VI”).
Respondent filed a response in opposition to the habeas petition. (See ECF 8). Thereafter,
Petitioner filed a reply in support. (See ECF 11).
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III.
LEGAL STANDARD
A writ of habeas corpus for a person in custody under judgment of a state court can be
granted only for violations of the Constitution, laws or treaties of the United States. See Engle v.
Isaac, 456 U.S. 107, 119 (1982); see also Mason v. Myers, 208 F.3d 414, 415 n.1 (3d Cir. 2000)
(citing 28 U.S.C. § 2254). Because Petitioner filed his petition for writ of habeas corpus after
April 24, 1996, the Antiterrorism and Effective Death Penalty Act of 1996 (“AEDPA”), Pub.L.
104–132, 110 Stat. 1214 (Apr. 24, 1996), applies. See Lindh v. Murphy, 521 U.S. 320, 326
(1997). Under AEDPA, federal habeas corpus relief is not available for any claim decided on the
merits in state court proceedings unless the state court's adjudication of the claim: (1) resulted in
a decision that was contrary to, or involved an unreasonable application of, clearly established
federal law, as determined by the Supreme Court of the United States; or (2) resulted in a
decision that was based on an unreasonable determination of the facts in light of the evidence
presented in state court. See 28 U.S.C. § 2254(d).
As a threshold matter, a court must “first decide what constitutes ‘clearly established
Federal law, as determined by the Supreme Court of the United States.’” Lockyer v. Andrade,
538 U.S. 63, 71 (2003) (quoting 28 U.S.C. § 2254(d)(1)). “‘[C]learly established federal law’
under § 2254(d)(1) is the governing legal principle set forth by the Supreme Court at the time the
state court renders its decision.” Id. (citations omitted). Having identified the governing
principle of federal law, a habeas court must also ask whether the state court's application of
clearly established federal law was “objectively unreasonable.” See Williams v. Taylor, 529 U.S.
362, 409 (2000). Thus, “a federal court may not issue a writ simply because the court concludes
in its independent judgment that the relevant state court decision applied clearly established
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federal law erroneously or incorrectly. Rather, that application must also be unreasonable.” Id. at
411.
The AEDPA standard under § 2254(d) is a “difficult” one to meet; it is a “highly
deferential standard for evaluating state-court rulings, which demands that state-court decisions
be given the benefit of the doubt.” Cullen v. Pinholster, 563 U.S. 170, 181 (2011). Review
under § 2254(d)(1) “is limited to the record that was before the state court that adjudicated the
claim on the merits.” Id.
In applying AEDPA's standards, the relevant state court decision that is appropriate for
federal habeas corpus review is the last reasoned state court decision. See Bond v. Beard, 539
F.3d 256, 289–90 (3d Cir. 2008). “Where there has been one reasoned state judgment rejecting a
federal claim, later unexplained orders upholding that judgment or rejecting the same claim rest
upon the same ground.” Ylst v. Nunnemaker, 501 U.S. 797, 803 (1991); see also Wilson v.
Sellers, 138 S. Ct. 1188, 1192 (2018) (federal courts should “look through” later unexplained
state court orders to find the last related state court decision that does provide a relevant
rationale); Blystone v. Horn, 664 F.3d 397, 417 n.15 (3d Cir. 2011). Furthermore, though
AEDPA deference remains appropriate even as to summary state court rulings, “[w]hen a federal
claim has been presented to a state court and the state court has denied relief, it may be presumed
that the state court adjudicated the claim on the merits in the absence of any indication or state
law procedural principles to the contrary.” Harrington v. Richter, 562 U.S. 86, 99 (2011) (citing
Harris v. Reed, 489 U.S. 255, 265 (1989)).
Even when a state court decides a federal claim in a way that is “contrary to” or an
unreasonable application Supreme Court precedent, this Court then applies de novo review to the
claim to determine whether the petitioner is entitled to federal habeas relief. See Johnson v.
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Williams, 568 U.S. 289, 303 (2013) (citing Panetti v. Quarterman, 551 U.S. 930, 953 (2007));
Saranchak v. Sec’y Pa. Dep’t of Corr., 802 F.3d 579, 589 (3d Cir. 2015) (“We accord no
deference to a state court's resolution of a claim if that resolution was contrary to or reflected an
unreasonable application of clearly established Supreme Court precedent, and we review the
underlying claim de novo. “) (citation omitted).
IV.
DISCUSSION
A. Claim I
Petitioner asserts in Claim I that his due process rights were violated at trial by the
prosecutor’s statements during summation. Petitioner asserts the prosecutor’s statements
regarding why Ponder did not immediately name Petitioner as his attacker were improper. More
specifically, the prosecutor’s statements at issue are as follows:
You say, well, yeah, Mr. Conforti, but he was all-he was all but left
for dead. He thought he was dying. He said to you-I submit to
you his testimony was, I thought I was going to die, I thought I was
dead. So why then wouldn't he say at the scene who shot him?
He has other concerns, ladies and gentlemen. It's not just him. If
he were to die at the scene and tell them who shot him, who else
does he have to worry about? The mother of his child? The child
itself? ...
Well, there's also someone else who knows something. And that's
the defendant. The defendant knows that the victim saw him. Put
yourself in the victim's position. Would you be anxious or able to
jump up and say, the individual who's looking me in the eye right
now that I know for ten years, Mitchell West, that's the one who
shot me, that's the man who shot me? Or would you think about
your family? I submit to you, you would think about your family
because, if you thought you were going to die that day, you'd be
damned concerned about your daughter or your son and their
mother. You have to look at why.
He told you, as you sat here today, he was afraid. He told you, on
the day he was shot, he was afraid. He told you, when he testified
before the Violent Crimes Compensation Board, he was afraid.
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Detective Armstrong told you, for two weeks, I talked to him and
he was very afraid. And then, finally, he told me. You have to
look at why, ladies and gentlemen. It’s not just an inconsistency.
And I want you to think back to when he was testifying and his
demeanor. Did you notice how he sat in his chair? Did he lean
forward, like an anxious and willing witness? Did he lean forward
and point in this man’s face and say, that’s the man that shot me?
Did he lean forward at all? No. He slumped back in that chair and
he leaned as far back as he could. And every time that door
opened – I don’t know if you noticed it, ladies and gentlemen, but I
submit to you, every time that door opened, he looked to see how
was coming out of that door.
(ECF 8-48 at 28-30). Petitioner’s defense counsel then objected. The trial judge then stated,
“All right, I’ll allow it.” (Id. at 30).
The last reasoned decision on this claim was from the Appellate Division during
Petitioner’s direct appeal which analyzed the claim as follows:
Defendant argues that the prosecutor's comments were not
supported by evidence at trial. In fact, although Ponder called his
child’s mother after he was shot, Ponder did not disclose their
conversation, and he cited only to his own fear.
Although the defense claims that the issue was partially raised
below, we analyze it by plain error standards, determining that a
nonspecific objection, interposed after additional argument by
defense counsel relating to Ponder’s appearance on the stand, was
insufficient otherwise to preserve the issue.
Remarks are permissible if they are legitimate inferences from the
facts. State v. Perry, 65 N.J. 45, 48, 319 A.2d 474 (1974); State v.
Mayberry, 52 N.J. 413, 437, 245 A.2d 481 (1968), cert. denied,
393 U.S. 1043, 89 S. Ct. 673, 21 L. Ed. 2d 593 (1969). Such
inferences may not go beyond facts presented to the jury. State v.
Farrell, 61 N.J. 99, 103, 293 A.2d 176 (1972). A prosecutor may
only comment on the facts shown by or reasonably to be inferred
from the evidence. There is no error so long as the prosecutor
confines himself in that fashion. Ultimately, it is for the jury to
decide wither to draw the inferences the prosecutor urged. State v.
Carter, 91 N.J. 86, 125, 449 A.2d 1280 (1982).
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In the present case, we see no basis for the inference that was
drawn by the prosecutor. The evidence suggested that the shooting
was the result of a personal dispute between Ponder, defendant and
their brothers over drugs. There was no evidence of any threat to
other relatives, or that retribution on them would occur if Ponder
identified defendant as his attacker.
However, we do not find that the prosecutor's statement was “of
such a nature as to have been clearly capable of producing an
unjust result....” R. 2:10-2; State v. Macon, 57 N.J. 325, 335-36,
273 A.2d 1 (1971). We have held that “[g]enerally, if the defense
does not object to the alleged improper remarks, those remarks will
not be considered prejudicial,” and that “the failure to object
suggests that at the time defense counsel did not believe the
remarks were prejudicial....” State v. Atkins, 405 N.J. Super. 392,
401, 964 A.2d 845 (App. Div. 2009). Clearly, the failure to object
deprives the court of an opportunity to take curative action. Ibid.
Here, the prosecutor's remarks were relatively fleeting in nature,
and the trial judge instructed the jury that it was not to consider
“[a]rguments, statements, remarks, openings, [and] summations”
as evidence in the case. Further, the State presented additional
evidence connecting defendant with the crime, including Ponder's
testimony and the testimony of defendant's girlfriend, Henderson,
that defendant had admitted to the crime. Additionally, the parties
stipulated that defendant was in possession of the minivan left
running in front of the car in which Ponder was shot, as well as the
cellphone found in the van. Police testimony suggested that the
minivan was connected to the shooting, since it was parked
directly in front of Ponder's car, it had been left running, and it was
unoccupied at the time of the police's arrival. Thus, substantial
evidence was adduced at trial in support of defendant's conviction.
See, State v. Feaster, 156 N.J. 1, 63-64, 716 A.2d 395 (1998)
(holding under a plain error standard that the defendant was not
denied a fair trial when “it was the weight of the evidence ... that
led to this capital murder conviction rather than the prosecutor's
improper comments during summation.”).
The result might be different if the error affected a key aspect of
defendant's conviction. For instance, in State v. Frost, 158 N.J. 76,
727 A.2d 1 (1999) the Court reversed the defendants’ convictions
for drug-related crimes when the prosecutor's improper remarks
related to the credibility of the testifying officers, and the “entire
case rested on the testimony of the officers.” Id. at 87, 727 A.2d 1.
See also State v. Walden, 370 N.J. Super. 549, 561, 851 A.2d 758
(App. Div.), certif. denied, 182 N.J. 148, 862 A.2d 56 (2004)
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(reversing a conviction in a case in which the prosecutor
improperly bolstered a witness's credibility in summation, when
there was no eyewitness identification, no forensic evidence
linking the defendant to the crime, and the witness's testimony
“was critical to defendant's conviction.”). But here, the issue of
why Ponder was initially unwilling to identify defendant as the
shooter, although professing to know the identity of his assailant,
was peripheral to defendant’s guilt. We thus find no plain error to
have been presented.
West, 2009 WL 2146882, at *3–4.
A criminal defendant’s due process rights are violated if prosecutorial misconduct
renders a trial fundamentally unfair. See Darden v. Wainwright, 477 U.S. 168, 181–83 (1986).
A habeas petition will be granted for prosecutorial misconduct only when the misconduct “so
infected the trial with unfairness as to make the resulting conviction a denial of due process.” Id.
at 181 (internal quotation marks and citation omitted). A prosecutorial misconduct claim is
examined in “light of the record as a whole” in order to determine whether the conduct “had a
substantial and injurious effect or influence” on the jury's verdict. See Brecht v. Abrahamson,
507 U.S. 619, 637-38 (1993). A “reviewing court must examine the prosecutor's offensive
actions in context and in light of the entire trial, assessing the severity of the conduct, the effect
of the curative instructions, and the quantum of evidence against the defendant.” 1 Moore v.
Morton, 255 F.3d 95, 107 (3d Cir. 2001).
The Appellate Division’s denial of this claim was not contrary to or an unreasonable
application of clearly established federal law. The Appellate Division examined the prosecutor’s
offensive actions in the context of the whole trial, noting that the conduct did not relate to
something critical per se to Petitioner’s conviction. This is especially true given the other
evidence produced at trial as noted by the Appellate Division, such as Petitioner’s vehicle and
1
In this case, while the Appellate Division only cited to state cases in deciding this claim, their
requirements parallel those of the federal cases cited above.
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cellphone being found at the scene of the crime as well as the testimony of Petitioner’s girlfriend
that also implicated Petitioner. Thus, this was not a case where the sole testimony against
Petitioner was from the victim. Additionally, the jury was instructed by the trial judge that they
needed to base their verdict on the evidence, and that attorney arguments during summation were
not evidence. (See ECF 8-49 at 11-12). The jury is presumed to have followed these
instructions. See Weeks v. Angelone, 528 U.S. 225, 234 (2000) (citation omitted).
Accordingly, for these reasons, Petitioner is not entitled to relief on this claim. Claim I is
denied.
B. Claim II
In Claim II, Petitioner asserts that the trial court erred when permitted a statement made
by Petitioner out of court to be admitted. Petitioner claims this infringed on his right to crossexamine a witness. The last reasoned decision on this claim was from the Appellate Division on
Petitioner’s direct appeal. That court decided this claim as follows:
Prior to trial, the prosecutor indicated that he intended to introduce
at trial a statement against interest made by defendant to the police
on March 25, 2005 following an incident in which defendant was
fired upon. When asked who fired the shots, defendant stated that
he believed that the perpetrators were “Lemon” and “Rock”
(Ponder and his brother), with whom defendant had been having a
dispute over the sale of bricks of cocaine. The trial judge
permitted the statement to be used in a sanitized form that omitted
any reference to drugs as the subject of the dispute. However, the
statement was not introduced by the State at trial.
During the course of trial, however, the defense sought to crossexamine a police witness regarding the quantities of cash found on
Ponder in the emergency room and to raise the inference that the
money constituted proceeds from the sale of drugs. The defense
argues that such evidence would have supported a claim of thirdparty culpability arising from a drug deal gone bad. The trial judge
precluded the line of inquiry, stating: “I'm telling you, you bring
out that Mr. Ponder's a drug dealer to argue that somebody shot
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him over drugs, your defendant's statement over-a beef with him
over drugs is coming in.... You can't have it both ways.”
While defendant claims that the judge's ruling improperly
foreclosed cross-examination of the police witness, we view the
matter otherwise. As the trial judge properly recognized, defense
counsel's line of questioning would have opened the door to the
admission of an unsanitized version of defendant's statement to the
police regarding his dispute with Ponder over the sale of drugs,
since that concept “operates to prevent a defendant from
successfully excluding from the prosecution's case-in-chief
inadmissible evidence and then selectively introducing pieces of
this evidence for the defendant's own advantage, without allowing
the prosecution to place the evidence in its proper context.” State
v. James, 144 N.J. 538, 554, 677 A.2d 734 (1996).
West, 2009 WL 2146882, at *4–5.
Petitioner classifies the purported right that was violated as his right to cross-examine a
witness. There is no doubt that “the ‘right of confrontation and cross-examination is an essential
and fundamental requirement for the kind of fair trial which is this country's constitutional
goal.’” Lambert v. Warden Greene SCI, 861 F.3d 459, 471 (3d Cir. 2017) (quoting Pointer v.
Texas, 380 U.S. 400, 405 (1965)). However, as aptly noted by the Appellate Division, the issue
presented in this claim is not about the right to confrontation and cross-examination. Indeed, the
trial court did not prevent Petitioner from cross-examining the officer as he saw fit. Instead, the
underlying issue is the evidentiary decision that if Petitioner sought to cross-examine the officer
in a particular fashion, he opened the door for the prosecution to introduce evidence concerning
Petitioner’s previous statement that there was a dispute he had with Ponder over drugs.
It is well-established that the violation of a right created by state law is not cognizable as
a basis for federal habeas relief. See Estelle v. McGuire, 502 U.S. 62, 67–68 (1991) (“We have
stated many times that ‘federal habeas corpus relief does not lie for errors of state law.’”)
(quoting Lewis v. Jeffers, 497 U.S. 764, 680 (1990)). Thus, to the extent that Petitioner is
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claiming that the trial court violated state law through its “opening the door” decision, Petitioner
is not entitled to federal habeas relief.
Instead, a petitioner cannot obtain relief for any purported error in a state law evidentiary
ruling at his criminal trial unless it rises to the level of a deprivation of due process. See Estelle,
502 U.S. at 70 (Due Process Clause guarantees fundamental elements of fairness in a criminal
trial) (quoting Spencer v. Texas, 385 U.S. 554, 563–64 (1967)). For a habeas petitioner to
prevail on a claim that an evidentiary error amounted to a deprivation of due process, he must
show that the error was so pervasive as to have denied him a fundamentally fair trial. See Keller
v. Larkins, 251 F.3d 408, 413 (3d Cir. 2001) (holding that admission of evidence may violate due
process where the evidence is so inflammatory as to “undermine the fundamental fairness of the
entire trial”); see also Cox v. Warren, No. 11–7132, 2013 WL 6022520, *8 (D.N.J. Nov.13,
2013).
The Appellate Division’s denial of this claim was not contrary to or an unreasonable
application of clearly established federal law. Indeed, as the Appellate Division noted,
Petitioner’s suggested line of cross-examination would have “opened the door” to permit the
government to inquire about Petitioner’s drug dispute with Ponder.
“The doctrine of opening the door allows a party to elicit otherwise
inadmissible evidence when the opposing party has made unfair
prejudicial use of related evidence.” State v. James, 144 N.J. 538,
554, 677 A.2d 734 (1996) (citation omitted); see also State v.
Rucki, 367 N.J. Super. 200, 207, 842 A.2d 290 (App. Div. 2004).
The doctrine also “provides an adverse party the opportunity to
place evidence into its proper context.” Alves v. Rosenberg, 400
N.J. Super. 553, 564, 948 A.2d 701 (App. Div. 2008).
State v. Hawkins, No. A-4848-14T4, 2018 WL 1701415, at *8 (N.J. Super. Ct. App. Div. Apr. 9,
2018).
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This Court finds no fault with the Appellate Division’s decision that Petitioner’s line of
questioning would have “opened the door.” At a minimum, it does not rise to the level that the
denial of this claim by the Appellate Division was contrary to or an unreasonable application of
clearly established law regarding an evidentiary decision causing a fundamentally unfair trial.
Accordingly, Claim II is denied.
C. Claim III
In Claim III, Petitioner argues that counsel was ineffective for failing to investigate
whether Petitioner was competent to stand trial. While not specifically addressed by either party,
this Court must first determine what standard of review applies to Claim III.
Petitioner first raised this claim in his first pro se petition for PCR. (See ECF 8-11 at 3
(“Trial counsel was ineffective for failing to investigate defendant’s background in order to
determine if defendant was fit to stand trial.”)). Within that pro se filing, Petitioner also argued
that trial counsel was ineffective for failing to determine if his mental disorders formed the basis
for a diminished capacity/insanity defense. (See id. at 5). Petitioner’s first counseled PCR brief
focused on trial counsel’s purported failure to pursue a diminished capacity defense, with little to
no mention of Petitioner’s claim in his pro se filing that trial counsel was also ineffective for
failing to investigate Petitioner’s competency to stand trial. (See ECF 8-12 at 23-27). The New
Jersey Superior Court then only specifically analyzed Petitioner’s claim that trial counsel was
ineffective for failing to pursue a diminished capacity defense. (See ECF 8-16 at 7-8).
Petitioner’s pro se brief on appeal did not raise a claim that counsel was ineffective for
failing to investigate his competency to stand trial. (See ECF 8-21). Similarly, Petitioner’s
counseled brief also did not raise the claim that counsel was ineffective for failing to investigate
Petitioner’s competency to stand trial. Nevertheless, the counseled brief addressed at length
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Petitioner’s claim that counsel was ineffective in failing to pursue a diminished capacity defense.
(See ECF 8-18 at 18-31). As discussed infra, the Appellate Division denied this claim in its
written opinion dated September 19, 2013. See West, 2013 WL 5268933. Petitioner’s petition
for certification to the New Jersey Supreme Court raised Petitioner’s claim that counsel was
ineffective in failing to pursue a diminished capacity defense at trial (see ECF 8-23 at 5), but not
a claim that trial counsel was ineffective in failing to investigate whether Petitioner was
competent to stand trial. As previously noted, the New Jersey Supreme Court denied Petitioner’s
petition for certification. (See ECF 8-24).
In Petitioner’s second PCR petition, he asserted that PCR counsel was ineffective for
failing to obtain an expert during the PCR proceedings to determine whether Petitioner was fit
for trial in 2006. (See ECF 8-25 at 3-4). Ultimately, the Appellate Division determined that
Petitioner’s second PCR petition was procedurally barred and agreed that PCR counsel’s
decisions were strategically reasonable. (See ECF 8-38 at 3-4).
Given this history, Petitioner’s argument that trial counsel was ineffective for failing to
investigate whether Petitioner was competent to stand trial is unexhausted. A state prisoner
applying for a writ of habeas corpus under § 2254 in federal court must first “exhaust the
remedies available in the courts of the State,” unless “(i) there is an absence of available State
corrective process; or (ii) circumstances exist that render such process ineffective to protect the
rights of the applicant.” 28 U.S.C. § 2254(b)(1). A petitioner must exhaust state remedies by
fairly presenting his federal constitutional claims to each level of the state courts empowered to
hear those claims, either on direct appeal or in collateral post-conviction relief proceedings. See,
e.g., O'Sullivan v. Boerckel, 526 U.S. 838, 847 (1999) (announcing the rule “requiring state
prisoners to file petitions for discretionary review when that review is part of the ordinary
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appellate review procedure in the State”); see also 28 U.S.C. § 2254(c) (“An applicant shall not
be deemed to have exhausted the remedies available in the courts of the State, within the
meaning of this section, if he has the right under the law of the State to raise, by any available
procedure, the question presented.”).
A petitioner can ‘fairly present’ his claims through: (a) reliance on
pertinent federal cases; (b) reliance on state cases employing
constitutional analysis in like fact situations; (c) assertion of the
claim in terms so particular as to call to mind a specific right
protected by the Constitution; and (d) allegation of a pattern of
facts that is well within the mainstream of constitutional litigation.
Nara v. Frank, 488 F.3d 187, 198 (3d Cir. 2007) (citing McCandless v. Vaughn, 172 F.3d 255,
260 (3d Cir. 1999)) (footnote omitted). “Even if a state court refuses the claim on procedural
grounds, it is still exhausted as long as the state court had the opportunity to address it.” Id.
(citing Bond v. Fulcomer, 864 F.2d 306, 309 (3d Cir. 1989); Pursell v. Horn, 187 F. Supp. 2d
260, 2288 (W.D. Pa. 2002)).
Despite the exhaustion requirement, “a federal court [may] deny an unexhausted claim on
the merits ‘if it is perfectly clear that the applicant does not raise even a colorable federal
claim.’” Carpenter v. Vaughn, 296 F.3d 138, 146 (3d Cir. 2002) (quoting Lambert v. Blackwell,
134 F.3d 506, 514–15 (3d Cir. 1997) (construing 28 U.S.C. § 2254(b)(2))); see also 28 U.S.C. §
2254(b) (2) (“An application for a writ of habeas corpus may be denied on the merits,
notwithstanding the failure of the applicant to exhaust the remedies available in the courts of the
State.”).
Petitioner failed to exhaust his claim that trial counsel was ineffective in failing to pursue
whether he was competent to stand trial because he only raised it in his first pro se PCR petition
to the New Jersey Superior Court. He did not raise it to the Appellate Division nor to the New
Jersey Supreme Court. Thus, he failed to present it to each level of the New Jersey state courts.
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While Petitioner did raise his failure of trial counsel to pursue a diminished capacity defense
claim to all three levels of the New Jersey state courts, as one court has aptly noted, “[t]he
question of competence is distinct from that of diminished capacity, which focuses on a
defendant’s ability to form the specific intent . . . at the time of the [crime].” Mobley v.
Coleman, No. 09-1558, 2013 WL 3943141, at *7 n.9 (E.D. Pa. July 31, 2013). Thus, the fact
that Petitioner exhausted his claim that counsel was ineffective for failing to pursue a diminished
capacity defense does not mean that he exhausted his claim that counsel was ineffective for
failing to exhaust his claim that counsel should have investigated Petitioner’s competence to
stand trial. Petitioner’s second PCR petition does not change this result. In that proceeding, he
asserted that PCR counsel was ineffective, not that trial counsel was ineffective. Despite this
lack of exhaustion, this Court can deny this claim if it determines that the claim is not
“colorable.”
To be competent to stand trial, the defendant must have (1) sufficient ability at the
pertinent time to consult with his lawyers with a reasonable degree of rational understanding, and
(2) a rational, as well as factual understanding, of the proceedings against him. See Drope v.
Missouri, 420 U.S. 162, 172 (1975) (citing Dusky v. United States, 362 U.S. 402, 402 (1960)).
There is no fixed formula for determining whether these requirements are met. Rather, the Court
must consider the totality of the circumstances, including “evidence of a defendant's irrational
behavior, [the defendant's] demeanor at trial, and any prior medical opinion on competence to
stand trial.” Drope, 420 U.S. at 180.
In Strickland v. Washington, 466 U.S. 668 (1984), the Supreme Court articulated the twoprong test for demonstrating when counsel is deemed ineffective. First, the petitioner must show
that considering all the circumstances, counsel’s performance fell below an objective standard of
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reasonableness. See id. at 688; see also Grant v. Lockett, 709 F.3d 224, 232 (3d Cir. 2013)
(noting that it is necessary to analyze an ineffectiveness claim considering all circumstances)
(citation omitted). A petitioner must identify the acts or omissions that are alleged not to have
been the result of reasonable professional judgment. See Strickland, 466 U.S. at 690. Under this
first prong of the Strickland test, scrutiny of counsel’s conduct must be “highly deferential.” See
id. at 689. Indeed, “[c]ounsel is strongly presumed to have rendered adequate assistance and
made all significant decisions in the exercise of reasonable professional judgment.” Id. at 690.
The reviewing court must make every effort to “eliminate the distorting effects of hindsight, to
reconstruct the circumstances of counsel’s challenged conduct, and to evaluate the conduct from
counsel’s perspective at the time.” Id. at 689. If counsel makes “a thorough investigation of law
and facts” about his plausible options, the strategic choices he makes accordingly are “virtually
unchallengeable.” Gov’t of Virgin Islands v. Weatherwax, 77 F.3d 1425, 1432 (3d Cir. 2006)
(citing Strickland, 466 U.S. at 690-91). If, on the other hand, counsel pursues a certain strategy
after a less than complete investigation, his choices are considered reasonable “to the extent that
reasonable professional judgments support the limitations on investigation.” Rolan v. Vaughn,
445 F.3d 671, 682 (3d Cir. 2006) (citing Strickland, 466 U.S. at 690-91).
The second prong of the Strickland test requires the petitioner to affirmatively prove
prejudice. See 466 U.S at 693. Prejudice is found where “there is a reasonable probability that,
but for counsel’s unprofessional errors, the result of the proceeding would have been different.”
Id. at 694. A reasonable probability is “a probability sufficient to undermine confidence in the
outcome.” Id.; see also McBridge v. Superintendent, SCI Houtzdale, 687 F.3d 92, 102 n.11 (3d
Cir. 2012). “This does not require that counsel’s actions more likely than not altered the
outcome, but the difference between Strickland’s prejudice standard and a more-probable-than-
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not standard is slight and matters only in the rarest case. The likelihood of a different result must
be substantial, not just conceivable.” Harrington v. Richter, 562 U.S. 86, 111-12 (2011)
(internal quotation marks and citations omitted).
“With respect to the sequence of the two prongs, the Strickland Court held that ‘a court
need not determine whether counsel’s performance was deficient before examining the prejudice
suffered by the defendant as a result of the alleged deficiencies…. If it is easier to dispose of an
ineffectiveness claim on the ground of lack of sufficient prejudice... that course should be
followed.’” Rainey v. Varner, 603 F.3d 189, 201 (3d Cir. 2010) (quoting Strickland, 466 U.S. at
697).
In the context of trial counsel's failure to request a competency hearing or evaluation, the
United States Court of Appeals for the Third Circuit has stated that:
[c]ounsel's failure to request the trial court to order a hearing or
evaluation on the issue of the defendant's competency ... could
violate the defendant's right to effective assistance of counsel
provided there are sufficient indicia of incompetence to give
objectively reasonable counsel reason to doubt the defendant's
competency, and there is a reasonable probability that the
defendant would have been found incompetent to stand trial had
the issue been raised and fully considered.
Taylor v. Horn, 504 F.3d 416, 438 (3d Cir. 2007) (quoting Jermyn v. Horn, 266 F.3d 257, 283
(3d Cir.2001)).
Petitioner fails to make out a “colorable” claim in Claim III. He fails to show there is a
reasonable probability that he would have been found incompetent to stand trial had the issue
been raised. Dr. Hasson’s 2002 report found Petitioner was competent to stand trial then. (See
ECF 8-6 at 29, 31). Dr. Greenfield’s 2011 report indicated that Petitioner was competent to
stand trial at the time of his mental evaluation in 2010. (See ECF 8-20 at 68). While these
reports were completed based on evaluations four years prior and four years after Petitioner’s
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2006 trial, neither indicates that Petitioner was incompetent at the time the reports were created.
Furthermore, Petitioner has come forward with no medical evidence to indicate to a reasonable
probability that he would have been declared incompetent to stand trial in between these two
evaluations in 2006. Thus, given these circumstances, this Court finds Petitioner has failed to
make a “colorable” showing of Strickland’s prejudice prong on Claim III. See Smith v. Wetzel,
No. 13-2410, 2016 WL 8761773, at *30 (E.D. Pa. June 30, 2016) (finding Petitioner’s claim fails
on the second prong of Strickland because he cannot demonstrate a reasonable probability that he
would have been found incompetent noting that Petitioner failed to produce evidence indicating
he was incompetent to stand trial), report and recommendation adopted by, 2017 WL 1397253
(E.D. Pa. Apr. 18, 2017). Accordingly, Claim III is denied.
D. Claim IV
In Claim IV, Petitioner alleges that counsel was ineffective when she failed to pursue a
diminished capacity defense at trial. The last reasoned decision on this claim was from the
Appellate Division that affirmed the denial of Petitioner’s first PCR petition. That court
analyzed this claim as follows:
Claims of constitutionally ineffective assistance of counsel are well
suited for post-conviction review. R. 3:22–4(a)(2); Preciose,
supra, 129 N.J. at 460. In determining whether a defendant is
entitled to such relief, New Jersey courts apply the test articulated
by the United States Supreme Court in Strickland v. Washington,
466 U.S. 668, 694, 104 S. Ct. 2052, 2068, 80 L. Ed. 2d 674, 698
(1984), and United States v. Cronic, 466 U.S. 648, 658–60, 104 S.
Ct. 2039, 2046–47, 80 L. Ed. 2d 657, 667–68 (1984). Preciose,
supra, 129 N.J. at 463; State v. Fritz, 105 N.J. 42, 58 (1987).
Under the first prong of the Strickland test, a “defendant must
show that [defense] counsel's performance was deficient.”
Strickland, supra, 466 U.S. at 687, 104 S. Ct. at 2064, 80 L. Ed. 2d
at 693. Under the second prong, a defendant must demonstrate “a
reasonable probability that, but for counsel's unprofessional errors,
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the result of the proceeding would have been different.” Id. at 694,
104 S. Ct. at 2068, 80 L. Ed. 2d at 698.
In demonstrating that counsel's performance was deficient under
the first prong of Strickland, a defendant must overcome “a strong
presumption that counsel's conduct falls within the wide range of
reasonable professional assistance.” Fritz, supra, 105 N.J. at 52
(quoting Strickland, supra, 466 U.S. at 689, 104 S. Ct. at 2065, 80
L. Ed. 2d at 694) (internal quotation marks omitted). Further,
because prejudice is not presumed, ibid., in satisfying the second
prong, a defendant must typically demonstrate “how specific errors
of counsel undermined the reliability of the finding of guilt.”
Cronic, supra, 466 U.S. at 659 n. 26, 104 S. Ct. at 2047, 80 L. Ed.
2d at 668; see Roe v. Flores–Ortega, 528 U.S. 470, 482, 120 S. Ct.
1029, 1037, 145 L. Ed. 2d 985, 998 (2000). There must be “a
probability sufficient to undermine confidence in the outcome.”
Strickland, supra, 466 U.S. at 694, 104 S. Ct. at 2068, 80 L. Ed. 2d
at 698.
We start our analysis with the issue of trial counsel's failure to
investigate and present a defense based on diminished capacity.
We note that the defense presented by trial counsel was consistent
with her client's position at the time that he was not the shooter. In
addition, West does not allege that he told his trial counsel that he
was under the influence of drugs or alcohol at the time of the
shooting or about his prior mental health problems.
However, trial counsel stated at sentencing that she would have
handled the case differently had she been aware of issues related to
West's mental status that were disclosed in his pre-sentence report
(PSR). The report disclosed that there had been concerns about
West's mental status in connection with a prior offense, resulting in
a psychological evaluation in 2002. Consequently, we will assume
for the purposes of our analysis that West has satisfied the first
Strickland prong.
The report of Daniel P. Greenfield, M.D., which was submitted by
West in support of his PCR petition, concludes that, although he
was competent to stand trial, there was a basis for a “hybrid”
defense based on intoxication, N.J.S.A. 2C:2–8, and diminished
mental capacity, N.J.S.A. 2C:4–2. Both statutes require that the
applicable condition negate an element of the offense.
As the PCR judge correctly observed, there is no evidence in the
record to support the factual proposition that West was intoxicated
at the time of the shooting. In his PCR petition, West asserts only
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that “in the months leading up to his arrest ... [he] used PCP on a
regular basis.” He makes no assertion that he was intoxicated at
the time of the shooting. That he may have been intoxicated at
other times is not a sufficient basis for purposes of establishing a
prima facie case.
On direct appeal, in upholding the trial judge's refusal to apply
mitigating factor four, N.J.S.A. 2C:44–1(b)(4) (“substantial
grounds tending to excuse or justify the defendant's conduct,
though failing to establish a defense”), we determined that the
prior mental evaluations contained in the PSR were insufficient to
warrant even the application of a mitigating factor applicable to
sentencing. Admittedly, Greenfield's report went beyond the
findings of the earlier report in terms of opining that there was a
potential “hybrid” defense.
Having considered Greenfield's report in light of the underlying
facts in the record and the applicable law, we conclude that West
has not presented a prima facie case on the issue of the “hybrid”
defense under prong two because Greenfield's opinion with respect
to the defense is not sufficiently based in facts found in the record.
Even taking Greenfield's opinion concerning West's mental
capacity as accurate, it does not present a basis for a defense under
N.J.S.A. 2C:4–2.
West, 2013 WL 5268933, at *3–5.
Merely because Dr. Greenfield indicated that a diminished capacity defense was a
possibility in his 2011 report does not mean that the outcome of the proceeding would have been
different to a reasonable probability had counsel pursued this defense. New Jersey’s diminished
capacity defense provides that “[e]vidence that the defendant suffered from a mental disease or
defect is admissible whenever it is relevant to prove that the defendant did not have a state of
mind which is an element of the offense.” N.J. Stat. Ann. § 2C:4–2. However, given the trial
record, Petitioner fails to show to a reasonable probability that the requisite state of mind of
intending to kill Ponder was lacking.
This is particularly the case given Ponder’s testimony of how the shooting transpired.
Ponder noted that Petitioner and he had had a verbal dispute prior to the shooting. (See ECF 8-46
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at 18). Petitioner approached Ponder from his car which was in front of his and shot at him
several times at close range while Petitioner remained in his car. (See id. at 17, 18, 19, 32).
Henderson’s testimony against Petitioner lends further support that he possessed the
requisite state of mind of intending to kill Ponder. To reiterate, she testified that Petitioner
bragged about shooting up a guy in a car because he had to handle some business for his brother.
(See ECF 8-47 at 9-10).
Given the trial testimony, Petitioner fails to show to a reasonable probability that a
diminished capacity defense would have successfully negated an element of the offenses for
which he was convicted of. See, e.g., Jacobs v. Horn, 395 F.3d 92, 109 (3d Cir. 2005) (rejecting
Strickland claim for failure to present expert testimony of petitioner’s mental disorders, because
testimony would not have changed the outcome of trial due to witness testimony that petitioner
admitted to the homicide); Muniz v. Powell, No. 13-178, 2015 WL 511618, at *9 (D.N.J. Feb. 6,
2015) (petitioner failed to show prejudice noting in part that witness testimony showed that
petitioner acted on his own volition possessing the necessary intent for the crimes charged);
Howard v. Horn, 56 F. Supp. 3d 709, 721 (E.D. Pa. 2014) (where record indicates Petitioner had
sufficient intent to kill, petitioner cannot show that “he was prejudiced by counsel's failure to
investigate and present psychiatric evidence to pursue a diminished capacity defense”); see also
Zettlemoyer v. Fulcomer, 923 F.2d 284, 295-96 (3d Cir. 1991) (“Evidence of specific intent to
kill may disprove the defense of diminished capacity.”)
Accordingly, Petitioner is not entitled to relief as the denial of this claim was not an
unreasonable application of Strickland’s prejudice prong. Claim IV is therefore denied.
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E. Claim V
In Claim V, Petitioner argues that counsel was ineffective when she failed to advise
petitioner of the maximum sentence exposure if he went to trial and lost which led Petitioner to
reject a plea offer. The last reasoned decision on this claim was from the Appellate Division that
affirmed the denial of Petitioner’s first PCR petition. That court analyzed this claim as follows:
West next argues that trial counsel was constitutionally ineffective
because she failed to advise him that he was facing a mandatory,
rather than a voluntary, extended term. The State's last plea offer
was an eighteen-year sentence subject to NERA. In his PCR
petition, West stated that he rejected the State's plea offer because
he had been advised by “jailhouse inmates” that his maximum
exposure was twenty years, but that he would not have done so had
his attorney advised him that the extended term was mandatory.
The transcript of the plea-cutoff hearing reflects that defense
counsel was under the mistaken impression that the extended term
was discretionary rather than mandatory, and that her error was not
corrected by the prosecutor or the trial judge. In view of trial
counsel's error, we find that West has satisfied the first prong of
the Strickland test.
Nevertheless, the trial judge clearly explained to West that he was
exposed to a possible life sentence, which would mean sixty-three
years in custody without possibility of parole. Faced with that
information, West still rejected the plea offer. The actual sentence
was thirty years.
A defendant must demonstrate with “‘reasonable probability’” that
the result would have been different had he received proper advice
from his plea attorney. Lafler v. Cooper, 566 U.S. ––– at ––––,
132 S. Ct. 1376, 1384, 182 L. Ed. 2d, 398, 406–07 (2012) (quoting
Strickland, supra, 466 U.S. at 694, 104 S. Ct. at 2068, 80 L. Ed. 2d
at 698). We see nothing in the record to suggest that West would
have pled guilty had he been told that the extended term was
mandatory. He was clearly informed that his exposure far
exceeded the twenty-year maximum predicted by the “jailhouse
inmates,” and he demonstrated no interest in changing his plea. It
was West's defense at trial that he was not the shooter. He has not
taken a contrary position in his PCR petition. It is clear from the
plea-cutoff transcript that, at the time, West anticipated that the
victim would not appear at trial. There is nothing in the record to
suggest that West would have been willing to enter a plea had he
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known that the extended term was mandatory. Consequently, we
find that West has failed to satisfy the second Strickland prong.
West, 2013 WL 5268933, at *5.
Petitioner’s Sixth Amendment right to counsel extends to the plea-bargaining process.
See Lafler v. Cooper, 566 U.S. 156, 162, 132, S. Ct. 1376, 1384 (2012). “[C]ounsel is required
to give a defendant enough information “‘to make a reasonably informed decision whether to
accept a plea offer.’”” United States v. Bui, 795 F.3d 363, 367 (3d Cir. 2015) (quoting Shotts v.
Wetzel, 724 F.3d 364, 376 (3d Cir. 2013) (quoting United States v. Day, 969 F.2d 39, 43 (3d Cir.
1992))). Potential sentencing exposure is an important factor in a defendant’s decision-making
process. See id. Indeed, “[k]knowledge of the comparative exposure between standing trial and
accepting a plea offer will often be crucial to the decision whether to plead guilty.” Day, 969
F.2d at 43. “A defendant who rejects a guilty plea and receives a more severe sentence after trial
makes a claim of ineffective assistance when ‘he alleges that the advice he received was so
incorrect and so insufficient that it undermined his ability to make an intelligent decision about
whether to accept the offer.’” Morris v. Adm’r New Jersey State Prison, 770 F. App’x 601, 605
(3d Cir. 2019) (quoting Day, 969 F.2d at 43). In the context of rejecting a plea, a petitioner must
show that “‘but for counsel’s deficient performance there is a reasonable probability he and the
trial court would have accepted the guilty plea’ and the resulting sentence would have been
lower.” Shotts, 724 F.3d at 376 (citing Lafler, 132 S. Ct. at 1391). However, courts should be
“wary” of claims that trial counsel did not adequately advise a defendant about the benefits and
consequences of a plea offer because “defendants will always want the best of both worlds: the
chance at acquittal at trial, yet the chance to plead guilty if the trial defense fails.” Day, 969 F.2d
at 46 n.9.
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As noted by the Appellate Division, Petitioner was advised during the plea cutoff hearing
about the last plea offer from the government – eighteen years – as well as the possibility that he
faced life imprisonment if he went to trial and was convicted. (See ECF 8-41 at 3). Petitioner
indicated to the state court that he was aware he was facing a life sentence if he went to trial and
was convicted. (See id.) Given this evidence that Petitioner was expressly notified in open court
about the sentence exposure he faced if he went to trial, and Petitioner’s affirmation of such, the
Appellate Division’s denial of this claim was not an unreasonable application of Strickland’s
prejudice prong.
Claim V is therefore denied.
F. Claim VI
Petitioner asserts in his final claim that counsel was ineffective when she failed to obtain
a report on Petitioner’s mental health to assist in mitigating Petitioner’s sentence. Petitioner
raised this claim in his reply brief in his first PCR petition. (See ECF 8-14 at 5-6). However, the
New Jersey Superior Court did not address the claim in its opinion. Petitioner then raised this
claim on appeal to the Appellate Division which summarily denied it. (See ECF 8-22 at 13).
This summary denial is entitled to AEDPA deference on habeas review. See Harrington, 562
U.S. at 99.
New Jersey provides a list of aggravating and mitigating factors a judge is to consider
before arriving at a criminal sentence. The aggravating factors are as follows:
(1) The nature and circumstances of the offense, and the role of the
actor therein, including whether or not it was committed in an
especially heinous, cruel, or depraved manner;
(2) The gravity and seriousness of harm inflicted on the victim,
including whether or not the defendant knew or reasonably should
have known that the victim of the offense was particularly
vulnerable or incapable of resistance due to advanced age, illhealth, or extreme youth, or was for any other reason substantially
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incapable of exercising normal physical or mental power of
resistance;
(3) The risk that the defendant will commit another offense;
(4) A lesser sentence will depreciate the seriousness of the
defendant's offense because it involved a breach of the public trust
under chapters 27 and 30, or the defendant took advantage of a
position of trust or confidence to commit the offense;
(5) There is a substantial likelihood that the defendant is involved
in organized criminal activity;
(6) The extent of the defendant's prior criminal record and the
seriousness of the offenses of which he has been convicted;
(7) The defendant committed the offense pursuant to an agreement
that he either pay or be paid for the commission of the offense and
the pecuniary incentive was beyond that inherent in the offense
itself;
(8) The defendant committed the offense against a police or other
law enforcement officer, correctional employee or fireman, acting
in the performance of his duties while in uniform or exhibiting
evidence of his authority; the defendant committed the offense
because of the status of the victim as a public servant; or the
defendant committed the offense against a sports official, athletic
coach or manager, acting in or immediately following the
performance of his duties or because of the person's status as a
sports official, coach or manager;
(9) The need for deterring the defendant and others from violating
the law;
(10) The offense involved fraudulent or deceptive practices
committed against any department or division of State government;
(11) The imposition of a fine, penalty or order of restitution
without also imposing a term of imprisonment would be perceived
by the defendant or others merely as part of the cost of doing
business, or as an acceptable contingent business or operating
expense associated with the initial decision to resort to unlawful
practices;
(12) The defendant committed the offense against a person who he
knew or should have known was 60 years of age or older, or
disabled;
(13) The defendant, while in the course of committing or
attempting to commit the crime, including the immediate flight
therefrom, used or was in possession of a stolen motor vehicle;
(14) The offense involved an act of domestic violence, as that term
is defined in subsection a. of section 3 of P.L.1991, c. 261
(C.2C:25-19), committed in the presence of a child under 16 years
of age; and
(15) The offense involved an act of domestic violence, as that term
is defined in subsection a. of section 3 of P.L.1991, c. 261
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(C.2C:25-19) and the defendant committed at least one act of
domestic violence on more than one occasion.
N.J. Stat. Ann. § 2C:44-1a. The mitigating factors are as follows:
(1) The defendant's conduct neither caused nor threatened serious
harm;
(2) The defendant did not contemplate that his conduct would
cause or threaten serious harm;
(3) The defendant acted under a strong provocation;
(4) There were substantial grounds tending to excuse or justify the
defendant's conduct, though failing to establish a defense;
(5) The victim of the defendant's conduct induced or facilitated its
commission;
(6) The defendant has compensated or will compensate the victim
of his conduct for the damage or injury that he sustained, or will
participate in a program of community service;
(7) The defendant has no history of prior delinquency or criminal
activity or has led a law-abiding life for a substantial period of time
before the commission of the present offense;
(8) The defendant's conduct was the result of circumstances
unlikely to recur;
(9) The character and attitude of the defendant indicate that he is
unlikely to commit another offense;
(10) The defendant is particularly likely to respond affirmatively to
probationary treatment;
(11) The imprisonment of the defendant would entail excessive
hardship to himself or his dependents;
(12) The willingness of the defendant to cooperate with law
enforcement authorities;
(13) The conduct of a youthful defendant was substantially
influenced by another person more mature than the defendant.
N.J. Stat. Ann. § 2C:44-1b.
The trial judge determined that aggravating factors 1, 3, 6, and 9 applied and that no
mitigating factors applied. Thus, the court determined that the aggravating factors “substantially
preponderate” over the mitigating factors. (See ECF 8-50 at 10).
A presentence report was prepared for the trial court prior to the judge arriving at
Petitioner’s thirty-year sentence. It included a psychological evaluation of Petitioner by Dr.
Hasson from 2002. (See ECF 8-6 at 21-32). This evaluation sprang forth from a previous
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criminal proceeding against Petitioner. The pressing issue before Dr. Hasson was whether
Petitioner was competent to stand trial in 2002. The Appellate Division on direct appeal arising
from Petitioner’s 2006 trial outlined the key points of Dr. Hasson’s evaluation as follows:
A mental evaluation conducted prior to sentencing disclosed that
defendant was of borderline intelligence, scoring sixty-one on an
intelligence scale. However, the examining psychologist was of
the opinion that the score might “not be a valid measure of
[defendant's] intellectual ability as throughout the interview, he
appeared to ... try to exaggerate deficits and other problems.” The
psychologist noted in this respect that defendant's “spontaneous
speech before testing” was better and that during the intelligence
assessment, defendant seemed to “exaggerate his verbal
limitations.”
....
The psychologist found that defendant suffered from “cognitive
limitations,” “character disorder and explosive temper,”
“expressive language difficulty,” and an inability “to interact with
others.” He also found that defendant was “not a danger to self or
to others.”
West, 2009 WL 2146882, at *7 (footnote omitted). Ultimately, Dr. Hasson concluded that
Petitioner was competent to stand trial in 2002. (See ECF 8-6 at 31).
The trial court had Dr. Hasson’s evaluation at its disposal in arriving at its thirty-year
sentence for Petitioner as it was included in the pre-sentence report. Nevertheless, as outlined
above, the trial court determined that mitigating factor four did not apply (nor did any mitigating
factors). The Appellate Division found that the trial court’s failure to cite to mitigating factor
four was not an abuse of discretion because Dr. Hasson’s diagnosis “did not rise to such a level
that would ‘excuse or justify the defendant's conduct’ as required by statute and illustrated by
cases in which the mitigating factor was found to exist.” West, 2009 WL 2146882, at *7.
Petitioner asserts counsel was ineffective by failing to obtain a more recent mental
evaluation of Petitioner at the time of sentencing in 2006, rather than the 2002 evaluation in the
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presentence report. Petitioner claims that had counsel done so, a report similar to Dr.
Greenfield’s 2011 report produced during Petitioner’s PCR proceedings would have been
furnished at sentencing.
Petitioner fails to show that the state court’s denial of this claim was an unreasonable
application of Strickland. Even if this Court were to presume that a report like Dr. Greenfield’s
would have been produced in 2006, Petitioner fails to show that denying this claim due to a lack
of prejudice would have been unreasonable. First, the 2002 and 2011 reports indicated
Petitioner’s mental health at length. While the 2011 report indicated that a diminished
capacity/intoxication defense may have been available, as indicated above, given the strong
evidence against Petitioner at trial, that defense would not have changed the outcome of this
proceeding to a reasonable probability. This Court readily notes that there is of course a
difference between a successful diminished capacity defense at trial and that a sentencing
mitigating factor applies. However, the evidence in this case clearly indicates Petitioner’s
actions in shooting Ponder numerous times at close range could neither be excused nor justified. 2
Accordingly, Petitioner fails to show that he is entitled to federal habeas relief on Claim
VI.
V.
CERTIFICATE OF APPEALABILITY
Pursuant to 28 U.S.C. § 2253(c), unless a circuit justice or judge issues a certificate of
appealability, an appeal may not be taken from a final order in a proceeding under 28 U.S.C. §
2254. A certificate of appealability may issue “only if the applicant has made a substantial
2
Furthermore, given the numerous aggravating factors cited by the trial court (and not contested
by Petitioner), even if mitigating factor four was found in Petitioner’s favor, this Court cannot
say that the state court’s denial was an unreasonable application of Strickland prejudice prong.
The numerous aggravating factors cited by the trial court would have clearly still outweighed the
sole mitigating factor.
30
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showing of the denial of a constitutional right.” 28 U.S.C. § 2253(c)(2). “A petitioner satisfies
this standard by demonstrating that jurists of reason could disagree with the district court's
resolution of his constitutional claims or that jurists could conclude the issues presented are
adequate to deserve encouragement to proceed further.” Miller-El v. Cockrell, 537 U.S. 322, 327
(2003). Applying this standard, this Court finds that a certificate of appealability shall not issue
in this case.
VI.
CONCLUSION
For the foregoing reasons, the habeas petition is denied and a certificate of appealability
shall not issue. An appropriate order shall be entered.
DATED: July 14, 2020
_s/Madeline Cox Arleo_________
HON. MADELINE COX ARLEO
United States District Judge
31
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