Jones v. Bradshaw
Filing
201
Memorandum Opinion and Order: the Court denies Jones' pro se motion to proceed without counsel, and reminds Jones of the Court's prior admonition not to file any further pro se pleadings. The Court will hold Jones' motion to w aive his lethal injection claim in abeyance, however, until the Supreme Court rules in Glossip v. Gross. (ECF No. 193.) The Court also will hold in abeyance until Glossip is decided Respondent's motion to transfer (ECF No. 190) and Jones' ; motion, through counsel, to expand discovery on his lethal injection claim (ECF No. 191). The Court further sets the following schedule for the filing of 'supplemental or amended pleadings related to the ineffective assistance of trial counsel ... [and] Jones's contention that there is cause to excuse the procedural default of those claims under" as directed by the Sixth Circuit: Jones must file all applicable pleadings by May 29, 2015; Respondent must respond to the pleadings by June 30, 2015; and Jones may file reply briefs by July 15, 2015. re 191 190 193 . Judge David A. Katz on 3/25/2015. (S,AL)
UNITED STATES DISTRICT COURT
NORTHERN DISTRICT OF OHIO
WESTERN DIVISION
ODRAYE G. JONES n/k/a MALIK
ALLAH-U-AKBAR,
Petitioner,
vs.
MARGARET BRADSHAW, Warden,
:
:
:
:
:
:
:
CASE NO. 1:03 CV 1192
JUDGE DAVID A. KATZ
MEMORANDUM OF OPINION &
ORDER
:
Respondent.
Before the Court are the following: (1) Respondent Warden Margaret Bradshaw’s
motion to transfer this case back to the Sixth Circuit for final resolution of Jones’ Petition for
Writ of Habeas Corpus (ECF No. 190); (2) Petitioner Odraye Jones’ motion, through counsel, to
expand discovery on his method-of-execution claim (ECF No. 191); and (3) Jones’ pro se motion
to waive his method-of-execution claim and proceed pro se (ECF No. 193).1 For the following
reasons, the Court denies Jones’ motion to proceed without counsel and holds the remaining
motions in abeyance until the United States Supreme Court rules in the case Glossip v. Gross,
Case No. 14-7955.
1
Jones has notified the Court that he legally changed his name to Malik Allah-UAkbar on April 15, 2014. (ECF No. 198.) The Court will continue to refer to him as Jones in
this Memorandum of Opinion and Order, however, for the sake of clarity and continuity.
I.
Relevant Procedural History
A.
Jones’ Method-of-Execution Claim
Jones filed his Petition for Writ of Habeas Corpus in 2003. (ECF No. 17.) This Court
denied the Petition in 2007, certifying several issues for appeal to the Sixth Circuit. (ECF No.
117.) Jones appealed, and filed a request with the Sixth Circuit to expand the certificate of
appealability (“COA”) to include his method-of-execution claim relating to lethal injection,
which the court granted in July 2008. In doing so, the court noted the Supreme Court’s recent
decision in Baze v. Rees, 553 U.S. 35, 61-63 (2008), in which a plurality of the Court held that
Kentucky’s three-drug lethal injection execution protocol did not violate the Eighth Amendment
prohibition against cruel and unusual punishment, primarily because of its safeguards. The Baze
Court left open the door, however, for further lethal injection challenges. See id. at 61 (Roberts,
C.J., plurality); id. at 71 (Stevens, J., concurring in the judgment). The Sixth Circuit concluded,
Baze, therefore, does not foreclose Jones’s Eighth Amendment claim
should he be able to demonstrate that Ohio’s safeguards are different than
Kentucky’s in an unconstitutional manner. . . . Accordingly, by granting the COA
we give counsel on both sides the opportunity to investigate the important
question of whether Ohio’s safeguards are materially different than Kentucky’s.
(Case No. 07-3766; ECF No. 60-1 at 4.)
Jones next filed a motion to remand with the Sixth Circuit, requesting an opportunity to
conduct factual development on the lethal injection issue, or, in the alternative, to certify a
question to the Ohio Supreme Court as to whether there was a forum in the state court in which
to develop facts. Respondent did not oppose a limited remand to this Court, but objected to the
certification to the Ohio Supreme Court. On January 30, 2009, the Sixth Circuit ordered that the
case be remanded to this Court “for limited discovery and factual development of the lethal
2
injection issue.” (ECF No. 128.) Shortly afterward, the Sixth Circuit remanded Adams v.
Bradshaw, Case No. 1:05 CV 1886, another capital habeas case that was pending before this
Court, for the same purpose.
Respondent moved to dismiss Jones’ lethal injection claim on April 16, 2009, as it did in
Adams, on the ground that it is not cognizable in a habeas corpus action. (ECF No. 134.) This
Court denied the motion on September 8, 2009, holding, as it also did in Adams the same day,
that the authority upon which Respondent relied predated Baze, and that, because the Sixth
Circuit remanded this matter for a limited purpose, the Court had only limited jurisdiction and
was therefore precluded from deciding the merits of Respondent’s motion. (ECF No. 140.)
Respondent appealed the denial of its motion to dismiss in Adams, and moved to stay both
Adams and Jones during the pendency of the appeal, which this Court granted on March 4, 2010.
(ECF No. 147.)
The Sixth Circuit granted Respondent’s petition for leave to appeal in Adams on October
19, 2010, and issued its ruling on July 19, 2011. The court held that Adams’
method-of-execution challenge was cognizable on habeas and remanded it to this Court in
accordance with this Court’s February 13, 2009 order. (Case No. 1:05 CV 1886; ECF No. 85.)
The Sixth Circuit denied Respondent’s petition for rehearing in Adams on September 7, 2011.
(Case No. 1:05 CV 1886; ECF No. 86.)
This Court held a status conference regarding setting a scheduling order for the discovery
on March 22, 2012, and issued the order on March 27, 2012. (ECF No. 156.) Discovery was
then delayed several times by Jones’ motions to remove counsel and waive his lethal injection
claim, as described below. Once the Court resolved those issues, it issued a second scheduling
3
order for discovery on August 29, 2013, stating:
2.
The parties agree to be bound by the Protective Order issued in Cooey v.
Strickland, Case No. 04 CV 1156, in the United States District Court for
the Southern District of Ohio, on October 8, 2008 (ECF No. 413), and
applicable to any related cases currently pending before that Court.
3.
The Attorney General’s Office will deliver to Petitioner’s habeas counsel
within thirty (30) days of this Order all discovery materials it produced to
the plaintiffs in Cooey v. Strickland (and any related litigation), in
electronic form.
4.
The Warden will provide Petitioner’s habeas counsel with copies of
transcripts of all hearings conducted in Cooey v. Strickland (and any
related litigation), at public expense.
5.
The parties will file appropriate pleadings with the Court within one
hundred and eighty (180) days after Petitioner’s habeas counsel has
received both the discovery material and transcripts.
(ECF No. 181.) Cooey v. Strickland, in which more than 100 death row inmates are challenging
Ohio’s lethal injection execution protocol under 42 U.S.C. § 1983, is now entitled In re Ohio
Execution Protocol Litigation (“In re OEPL”), Case No. 2:11 CV 1016, and is still pending in
the United States District Court for the Southern District of Ohio before Judge Gregory Frost.
Jones chose not to intervene in that case.
On August 12, 2014, after nearly a full year had passed since the parties began discovery
pursuant to the Court’s scheduling order, the Court asked the parties to conclude discovery and
file whatever pleadings they deemed necessary. (ECF No. 189.) Now, Respondent has filed a
motion to transfer the case back to the Sixth Circuit, asserting that the Sixth Circuit’s remand
order is “satisfied” because she has produced the discovery generated in In re OEPL. (ECF No.
190 at 4.) And Jones, through counsel, has filed a motion seeking to extend the discovery
deadline and opposing Respondent’s motion to transfer. He reports that Respondent has
4
produced more than 65,000 pages of documents on a rolling basis, the last production occurring
on August 15, 2014. (ECF No. 191 at 4-5.) But he argues that because of the difficulties with a
recent Ohio execution and Ohio’s continuing changes in its lethal injection protocol, he is
entitled to additional discovery. (Id. at 5-8.)
On January 16, 2014, Ohio used a new and untested two-drug combination of midazolam
and hydromorphone to execute Dennis McGuire. The execution lasted 25 minutes, the longest in
Ohio’s recent history, with witnesses saying he gasped several times during the process. States
turned to midazolam after they ran out of the more powerful drugs they had been using (in Ohio,
it was pentobarbital), in part because anti-death-penalty activists persuaded European
pharmaceutical companies to stop selling the drugs to American state agencies responsible for
carrying out executions. States then began purchasing new drugs for executions domestically
from compounding pharmacies, which are not regulated by the FDA. Ohio recently passed
secrecy laws to prevent public disclosure of the sources of its lethal injection drugs.2
On April 28, 2014, the Ohio Department of Rehabilitation and Correction (“ODRC”)
investigated the McGuire execution, finding it acceptable but revising its execution protocol
nonetheless. On May 27, 2014, Judge Frost, in In re OEPL, imposed a moratorium on
executions in Ohio until August 15, 2014, “[i]n light of the need for discovery and necessary
preparations related to the adoption and implementation of the new execution protocol that
became effective April 28, 2014.” He later extended the moratorium until January 15, 2015, for
2
See, e.g., Alan Johnson & Mike Wagner, Questions raised about the death
penalty in Ohio, Columbus Dispatch, March 9, 2015; Mark Berman, Ohio drops controversial
lethal injection drug, postpones upcoming execution, Washington Post, January 9, 2015; Ben
Crair, 2014 is Already the Worst Year in the History of Lethal Injection, New Republic, July 24,
2014.
5
the same reasons. (Case No. 2:11 CV 1016; ECF Nos. 466, 494.) This January, Ohio changed
its protocol again, and announced it no longer will execute inmates with midazolam and
hydromorphone, but will use thiopental sodium and pentobarbital instead.3 According to the
ODRC, Ohio’s next execution is now set for January 21, 2016.
Given these developments, Jones requests that the Court allow discovery linked to In re
OEPL to continue and extend the discovery deadline until 60 days after Ohio’s next execution so
that he can conduct discovery relating to the execution. (ECF No. 191 at 8-10.)
Respondent states that she has no objection to extending by 60 days the amount of time
Jones may have to review the documents already produced. (ECF No. 190 at 1 n.1.) But she
argues that Jones’ motion should be denied, because he fails to satisfy the standard for discovery
under Habeas Rule 6, and because his claim is no longer viable in habeas corpus, as it “has
morphed from focusing on the implementation and risk of future maladministration of lethal
injection (the issue in Baze) to Ohio’s past deviations from, and changes to, its lethal injection
protocol and its alleged botched executions.” (ECF No. 192 at 2-3 (emphasis original).)
B.
Jones’ Prior Requests for Substitution of Counsel and to Withdraw his
Lethal Injection Claim
Jones has requested new counsel numerous times during his habeas proceedings. His
complaints most often have stemmed from what he perceives as his counsel’s refusal to
investigate and assert his claim that Teresa Taylor and Anthony Barksdale, two eyewitnesses to
the murder for which Jones was convicted, falsely identified him at trial as the murderer. He
claims that in a pretrial statement to police, which his trial counsel possessed at trial, Taylor
3
See Mark Berman, Ohio drops controversial lethal injection drug, postpones
upcoming execution, Washington Post, January 9, 2015.
6
stated that the shooter was wearing a tan and green, or tan, coat (which he claims identifies
Barksdale as the actual murderer since he was wearing a tan and black coat the night of the
murder) but that a man in a green coat (Jones admits he was wearing a green Green Bay Packers
jacket that night) left before the shooting and did not return. Jones argues that Barksdale lied on
stand because he had made a deal with the prosecutor to give false testimony in exchange for a
lenient sentence. During his habeas proceedings, Jones has variously characterized his claims
based on this theory as actual innocence, ineffective assistance of trial counsel, and suppression
of exculpatory evidence. (See, e.g., ECF Nos. 62, 65.)
Respondent counters these claims by arguing that Jones’ trial counsel extensively crossexamined Taylor at trial concerning her statement to the police that the shooter had been wearing
a green and tan Green Bay Packers jacket and hat, and that Taylor was consistent in her
description of the shooter as clad in a green coat. She also points out that the other evidence
against Jones was overwhelming: the police found the murder weapon in his possession and live
ammunition of the type and caliber used for the murder in his Green Bay Packers jacket; and
Jones’ hands tested positive for the presence of gunshot residue. (ECF No. 61 at 10-12.)
The first time Jones asked for new counsel was on July 14, 2004, only thirteen months
after he initiated his habeas case. He filed an untitled pleading (in the name of “GOD aka
Odraye Jones”) with the Court asking it to consider “in the interests of justice” pleadings he had
already filed pro se. He explained that he filed a “supplemental traverse” and motions to expand
the record, amend the petition, and obtain an evidentiary hearing because his counsel was unable
or unwilling to advance his so-called actual innocence claim described above, the subject of the
pleadings (he had filed a similar pro se motion to expand the record earlier, and it was denied).
7
(ECF Nos. 60, 62, 65, 68, 69.)
This Court denied Jones’ pro se motions on July 28, 2004, “without prejudice and
without consideration” on the ground that he was not entitled to “hybrid representation.” The
Court ordered Jones to notify it of his chosen method of representation, pro se or by counsel. It
stated that “[i]f the Petitioner chooses to act pro se, the Court will hold a hearing on this issue”
and consider his motions, but if he obtains counsel, “he may not file any further pro se
documents with this court.” (ECF No. 72.) Jones complied with the order on October 7, 2004,
by filing a pro se motion seeking to remove his retained attorney, Paul Mancino Jr., due to a
“deficiency in the performance of his duties,” and obtain appointed counsel to represent him.
(ECF No. 76.) The Court granted Jones’ motion on October 19, 2004, removing Attorney
Mancino from this case and appointing Attorneys Spiros Cocoves and Jeffrey Helmick to
represent Jones. (ECF No. 77.)
On June 1, 2007, Jones filed a pro se motion with this Court requesting the removal of
Attorneys Cocoves and Helmick because, among other things, they disagreed with his
assessment of his claim regarding Taylor and Barksdale’s testimony. (ECF No. 119.) The Court
denied the motion that day as moot because it had ruled on Jones’ Petition the previous month,
on May 21, 2007. (ECF No. 120.) The Sixth Circuit appointed the Federal Public Defender for
the Northern District of Ohio as co-counsel upon Jones’ motion on November 4, 2008. (ECF
No. 125.)
On April 9, 2012, after the Sixth Circuit had remanded Jones’ lethal injection claim to
this Court for factual development, Jones filed a pro se motion to remove his counsel and waive
his lethal injection claim. (ECF No. 157.) And on May 14, 2012, he filed pro se a “Motion to
8
Appoint Counsel to Meaningfully Research and Present Rule 60(d) Independent Action In Re
Divided Loyalties of Habeas Counsel and Fraud upon the Court by the State Affecting Integrity
of Habeas Proceedings.” (ECF No. 165.) In these motions, Jones asked the Court to remove
Attorney Spiros Cocoves and Attorneys Alan Rossman and Vicki Werneke of the Federal Public
Defender’s Office, and appoint new counsel. Attorney Helmick already had withdrawn as
counsel. (ECF Nos. 148, 149.) This time, Jones’ main criticism of his counsel was that he did
not consent to the appeal of his lethal injection claim and repeatedly had asked them to withdraw
it and focus on his “actual innocence” claims, which they refused to do. (ECF No. 157 at 1.)
Jones also asked the Court to permit him to dismiss the appeal of his lethal injection claim,
which he described as “frivolous” and “garbage.” (Id. at 2.)
The Court conducted a telephone conference with counsel for both parties on May 16,
2012, after which it issued an order requiring Jones to seek leave from the Sixth Circuit to rule
on the motions in light of the limited scope of the Sixth Circuit’s remand to this Court. (ECF
No. 167.) Jones’ counsel did so, and the Sixth Circuit granted this Court the jurisdiction to rule
on the motions on September 6, 2012. (ECF No. 169.) At a hearing on the matter, held on
September 25, 2012, Jones’ counsel informed the Court that they were withdrawing their
objection to Jones’ request for new counsel, since their relationship with him had broken down
to the point where there was a total lack of communication between them. Ms. Werneke offered
to facilitate the appointment of replacement counsel.
On October 12, 2012, this Court granted Jones’ motion for new counsel. The Court
found that there had been a complete breakdown in the attorney-client relationship, making it
virtually impossible for his counsel to adequately prepare Jones’ appeal. It held his request to
9
withdraw the lethal injection claim in abeyance until Jones had conferred with his new counsel.
(ECF No. 173.) The Court appointed the Federal Public Defender for the Western District of
Pennsylvania, including Attorneys Anna Ahronheim and Lynn Ellenberger, as Jones’ new
counsel. (ECF Nos. 174, 175, 182.) The Federal Public Defender for the Southern District of
Ohio could not accept the appointment due to a conflict. (ECF No. 174.) On August 26, 2013,
Jones, through counsel, notified the court that he intended to withdraw his request to waive his
lethal injection claim. (ECF Nos. 179, 180, 181.)
Jones filed a fifth motion to remove counsel on May 1, 2014. He complained of
Attorneys Ahronheim and Ellenberger’s lack of interest, dishonesty, and poor judgment. (ECF
No. 184.) In a sealed response, Attorney Ahronheim denied Jones’ charges and assured the
Court of her continued commitment to providing Jones diligent and zealous representation.
(ECF No. 187.) This Court denied Jones’ request. (ECF No. 188.)
Now, Jones has filed a pro se motion entitled “Motion Waiving Lethal Injection, Motion
to Proceed Pro Se.” (ECF No. 193.) He states that he is “rejecting the assistance of appointed
counsel and representing [himself],” and that he is “qualified to make this choice.” (ECF No.
193, 1.) He further explains that he wants to assert a claim that his indictment for the murder
was defective and therefore void, in detail and with legal citations. (Id.)
Respondent has filed a response to Jones’ motion to waive his lethal injection claim,
stating her position that the motion should be granted. (ECF No. 194.) Jones’ counsel has
notified the Court that they will not respond to Jones’ motion because the Court already has
addressed these issues. (See ECF No. 195 at 5 n.4.)
Jones has tried to remove his counsel and assert his actual innocence claims pro se in
10
other courts as well. He filed a “Motion to Remand for Fraud upon the ‘Trial,’ Appellate, and
District Courts” with the Sixth Circuit on April 28, 2014. (Case No. 07-3766, ECF No. 174.)
Respondent opposed the motion, and the court denied it. (Case No. 07-3766, ECF Nos. 175,
176-1.) Jones then filed an “Objection to Denial of Motion for Remand and Motion to Reinstate
Motion” on June 5, 2014. In it, he stated,
If the denial has anything to do with so-called “hybrid” representation, that has no
merit. I am pro se. “Counsel” has been informed of this fact. Moreover, the
district court’s denial of My [sic] motion to remove counsel is based on several
errors. I never asked for substitution of counsel. I am going to proceed pro se. If
its [sic] necessary, I’ll waive the lethal injection.
(Case No. 07-3766, ECF No. 177.) The court also denied that motion. (Case No. 07-3766, ECF
No. 178-1.)
Jones also filed (under his new name) a pro se petition for writ of habeas corpus under 28
U.S.C. § 2241 in the Southern District of Ohio on April 11, 2014, asserting the defective
indictment claim. (Case No. 1:14 CV 00883, ECF No. 1.) The case was transferred to this
Court on April 24, 2014, and assigned to Judge Polster. (Case No. 1:14 CV 00883, ECF No. 3.)
Judge Polster dismissed the petition because Jones has a pending habeas case and he is
represented by counsel. He also explained that the motion should have been filed under 28
U.S.C. § 2254 because Jones is subject to the death penalty. (Case No. 1:14 CV 00883, ECF
No. 9.) Jones filed an objection to the dismissal, which remains pending. (Case No. 1:14 CV
00883, ECF No. 10.)
On September 24, 2014, this Court ordered Jones to seek leave again from the Sixth
Circuit to permit this Court to rule on his motion to proceed pro se and withdraw his lethal
injection claim. (ECF No. 196.) At Jones’ counsel’s request, the Court clarified the order on
11
October 28, 2014, to specify that either Jones or his counsel could file the motion for leave with
the Sixth Circuit. (ECF No. 197.)
On October 31, 2014, Jones filed a pro se “Motion to Dismiss for Lack of Jurisdiction[,
or,] in the Alternative, a Motion for Leave” with the Sixth Circuit. (Case No. 07-3766, ECF No.
180.) In it, Jones asked the court to dismiss his entire habeas case based on his defective
indictment claim. (Id. at 1-3.) In the alternative, he stated:
As a last resort, I request leave for the district court to rule on my motion
to remove counsel and waive lethal injection pursuant to “court order” entered on
9.24.2014. As shown here, lethal injection is rendered a moot point aand [sic] a
waste of My [sic] time and the Court’s resources.
(Id. at 3.) Respondent then filed a motion with the Sixth Circuit requesting that the court grant
Jones’ motion for leave and deny the motion in all other respects as meritless. (Case No. 073766, ECF No. 182.)
Jones, through counsel, then filed a motion with the Sixth Circuit to expand the limited
remand. Counsel explained that, based on their review of the record and further investigation,
they have concluded that “this case warrants further development of claims of ineffective
assistance of trial counsel,” necessitating “supplemental and/or amended pleadings” under the
authority of the recent Supreme Court cases Martinez v. Ryan, 566 U.S. 1, 132 S. Ct. 1309
(2012), and Trevino v. Thalor, 133 S. Ct. 1911 (2013). (Case No. 07-3766, ECF Nos. 183, at 78.) In Martinez v. Ryan, the Supreme Court held that the “[i]nadequate assistance of counsel at
initial-review collateral proceedings may establish cause for a prisoner’s procedural default of a
claim of ineffective assistance at trial.” Martinez, 132 S. Ct. at 1315. The Court emphasized
that its holding in Martinez represents a “narrow exception” to the procedural-default bar. Id. at
1319. In Trevino v. Thalor, the Supreme Court expanded the scope of Martinez to apply when a
12
state, by reason of the “design and operations” of its procedural framework, permits but “makes
it highly unlikely in a typical case that a defendant will have a meaningful opportunity to raise a
claim of ineffective assistance of trial counsel on direct appeal . . . .” 133 S. Ct. 1911, 1921
(2013). The Sixth Circuit applied Trevino to Tennessee ineffective-assistance claims in Sutton v.
Carpenter, 743 F.3d 787, 790 (6th Cir. 2014), but has yet to address whether Trevino applies to
Ohio ineffective-assistance claims. Respondent opposed that motion. (Case No. 07-3766, ECF
Nos. 183, 184.)
Finally, on November 21, 2014, Jones filed pro se in the Sixth Circuit a “Prisoner’s
Response to State’s Response, and Capital Habeas Unit’s Motion to Expand Remand.” In this
pleading, he restated his desire to remove his attorneys and proceed pro se with the intent to
withdraw his lethal injection claims and assert new “actual innocence” claims based on faulty
eyewitness testimony at his trial and the defective indictment. (Case No. 07-3766, ECF No.
187.) He further explained that he had spoken to his attorneys only twice in the past year, and
one of those times was to tell them “to drop the lethal injection litigation,” and that he was
“raising money” to hire his own counsel, and may have enough by January 2015. (Id. at 1-2.)
He also claimed he had his “own Martinez motion ready to go,” and he intended to pursue his
claims regarding fabricated testimony and the void indictment, which he stated his counsel had
refused to raise on his behalf because “[t]hey don’t know the law . . . .” (Id.)
On January 28, 2015, the Sixth Circuit issued an order granting this Court the authority to
consider Jones’ pro se motions to remove counsel and waive his lethal injection litigation, and
granting Jones’ motion through counsel for “the filing and full consideration of supplemental or
amended pleadings related to the ineffective assistance of trial counsel, and for the district court
13
to consider Jones’s contention that there is cause to excuse the procedural default of those claims
under” Martinez v. Ryan, supra, and Trevino v. Thaler, supra. (Case No. 07-3766, ECF No.
189-1.)
The Court has reviewed all pleadings filed in connection with Jones’ numerous motions
to remove counsel and withdraw his lethal injection claim. It has not found any suggestion by
Jones’ various counsel or Respondent that Jones currently is, or at any time was, incompetent or
suffering from a mental disorder.
II.
Legal Standards and Analysis
A.
Jones’ Right to Proceed Without Counsel
Jones cites Faretta v. California, 422 U.S. 806 (1975), to support his request to proceed
pro se. In that case, the Supreme Court held that the Sixth and Fourteenth Amendments
guarantee to every defendant in a state criminal trial the “the right to proceed without counsel
when he voluntarily and intelligently elects to do so.” Id. at 807 (emphasis original). The Court
implied this right from, among other things, “a nearly universal conviction, on the part of our
people as well as our courts, that forcing a lawyer upon an unwilling defendant is contrary to his
basic right to defend himself if he truly wants to do so.” Id. at 817.
Faretta made clear, however, that the right to self-representation is not absolute. Most
importantly, the defendant must “knowingly and intelligently” elect to conduct his own defense.
Id. at 835 (quoting Johnson v. Zerbst, 304 U.S. 458, 464-65 (1938)). The Court explained,
Although a defendant need not himself have the skill and experience of a lawyer
in order competently and intelligently to choose self-representation, he should be
made aware of the dangers and disadvantages of self-representation, so that the
record will establish that “he knows what he is doing and his choice is made with
eyes open.”
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Id. at 835 (quoting Adams v. United States ex rel. McCann, 317 U.S. 269, 279 (1943)). The
Court also noted that “[t]he right of self-representation is not a licence to abuse the dignity of the
courtroom” or fail “to comply with relevant rules of procedural and substantive law.” Id. at 834
n.46. See also United States v. Frazier, 204 F.3d 553, 558 (4th Cir. 2000) (upholding trial
court’s denial of defendant’s request to waive counsel and proceed pro se where defendant was
trying “to argue matters which would not be permitted by the court”).
Later, in McKaskle v. Wiggins, 465 U.S. 168, 183-84 (1985), the Supreme Court held that
a defendant’s Sixth Amendment right to conduct his own defense at trial was not violated when
the judge appointed standby counsel, even over the defendant’s objection, to assist the defendant
with “the basic procedures of trial,” such as courtroom protocol and routine procedural or
evidentiary issues, since the trial judge has no obligation to do so. And in Indiana v. Edwards,
554 U.S. 164, 177-78 (2008), the Court held that it was constitutionally permissible for a trial
judge to insist upon representation by counsel for those competent enough to stand trial but who
still suffer from severe mental illness.
Closer to this case is Martinez v. Court of Appeals of California, 528 U.S. 152, 163
(2000), in which the Court held that the Faretta right to self-representation does not extend to
appellate proceedings, but remains within the discretion of the court. It noted that “the
government’s interest in ensuring the integrity and efficiency of the trial at times outweighs the
defendant’s interest in acting as his own lawyer.” Id. at 162. The Court found that to be true in
the appellate context, where the defendant ordinarily initiates the proceedings to overturn a
finding of guilt rather than defending him or herself from the state under a presumption of
innocence, and trained counsel will benefit the appellant as well as the court. Id. at 162-63. The
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Court observed, “Our experience has taught us that a pro se defense is usually a bad defense,
particularly when compared to a defense provided by an experienced criminal defense attorney.”
Id. at 161 (internal quotation marks and citation omitted).
Neither the Supreme Court nor the Sixth Circuit has addressed the issue of a petitioner’s
right to self-representation in federal capital habeas corpus proceedings. But the Supreme Court
has noted that “[t]he complexity of our jurisprudence in [the capital habeas corpus] area . . .
makes it unlikely that capital defendants will be able to file successful petitions for collateral
relief without the assistance of persons learned in the law.” McFarland v. Scott, 512 U.S. 849,
855-56 (1994) (internal quotation marks and citations omitted). “Congress’ provision of a right
to counsel [for federal habeas petitioners] reflects a determination that quality legal
representation is necessary in capital habeas corpus proceedings in light of the seriousness of the
possible penalty and . . . the unique and complex nature of the litigation.” Id. at 854.
Indeed, several district courts have cited Martinez and McFarland to support decisions to
deny capital habeas petitioners’ requests to proceed pro se, and have ordered court-appointed
representation by counsel. See Bonilla v. Martel, 2012 WL 1895984, at *1 (N.D. Cal. 2012)
(“Self-representation is often unwise, and considering the complexity of capital habeas litigation,
would likely be detrimental to Petitioner.”); Bonilla v. Cullen, 2010 WL 2891588, at *1 (N.D.
Cal. 2010) (“Petitioner has offered no compelling reasons as to why he would be better served
representing himself in this complex capital habeas matter . . . .”); Stankewitz v. Ayers, 2007 WL
4522610, at *1 (E.D. Cal. 2007) (“The right to self-representation does not extend to postconviction proceedings, but remains within the discretion of the court.”); Legrande v. Lee, 2005
WL 1869223, at *2 n.2 (M.D.N.C. 2005) (finding that Martinez rule applies to post-conviction
16
motions and representation required in capital federal habeas action). In only one of these cases,
Legrande v. Lee, supra, did the court conduct a hearing.
Here, Jones’ motion to proceed without counsel must be denied. The stakes are far too
high, as they are in all death penalty cases. See, e.g., Garner v. Florida, 430 U.S. 349, 357
(1977) (“[D]eath is a different kind of punishment from any other which may be imposed in this
country.”). And the legal and factual issues still to be addressed – including the application of
Martinez v. Ryan’s procedural default exception to Ohio inmates’ ineffective-assistance claims
and Jones’ method-of-execution claim – are far too complex for a layman with no legal training
to litigate effectively without assistance. McFarland, 512 U.S. at 855-56.
Moreover, Jones’ counsel have demonstrated that they are skilled and ardent litigators in
criminal matters, clearly acting in Jones’ best interests. While there has been a breakdown in
communication between Jones and his counsel, the Court believes the situation could improve if
Jones would cooperate with counsel and be more receptive to their professional analysis and
judgment. See United States v. Marrero, 651 F.3d 453, 466 (6th Cir. 2011) (“a lack of
communication resulting from a defendant’s refusal to cooperate with his attorney does not
constitute good cause for substituting counsel”) (citation omitted).
Accordingly, in this context, “the government’s interest in ensuring the integrity and
efficiency of the trial . . . outweighs [Jones’] interest in acting as his own lawyer.” Martinez v.
Court of Appeals of California, 528 U.S. at 162.
B.
Issues Related to Jones’ Lethal Injection Claim
1.
Jones’ Right to Withdraw his Lethal Injection Claim
In Rees v. Peyton, 384 U.S. 312, 314 (1966), the Supreme Court held that where a capital
17
habeas petitioner has asked his counsel to withdraw his petition and waive further legal
proceedings, and his counsel raises with the court the issue of the petitioner’s mental
competency to make that decision, the district court should determine:
whether he has [the] capacity to appreciate his position and make a rational
choice with respect to continuing or abandoning further litigation or on the other
hand whether he is suffering from a mental disease, disorder, or defect which may
substantially affect his capacity in the premises.
Id. at 314. To that end, the Court continued, district courts may order psychiatric or other
appropriate medical examinations and “hold such hearings as it deems suitable.” Id. The Court
pointed to 18 U.S.C. §§ 4244-4245 (now codified as 18 U.S.C. §§ 4241-4247), which governs
federal defendants’ competence to stand trial, for guidance as to the proper procedures for
conducting a competency hearing.4 Id. See also Tibbals v. Carter, 133 S. Ct. 696, 706 n.11
(2013) (explaining that the Rees Court’s citation to §§ 4244-4245 “did nothing more than point
the District Court to those sections of the Criminal Code that set forth the proper procedures for
conducting a competency hearing”); Awkal v. Mitchell, 174 Fed. App’x 248, 250 (6th Cir. 2006)
(explaining that § 4241 provides “guidance” regarding whether a petitioner is entitled to a full
evidentiary hearing regarding competency, but that the standard for competency established in
Rees is the “relevant precedent for the question of competency to withdraw an appeal”).
Thus, “‘Rees clearly contemplates that competent waivers are possible . . . .’” Franklin v.
4
Section 4241 states that a district court may hold a competency hearing “if there
is reasonable cause to believe that the defendant may presently be suffering from a mental
disease or defect rendering him mentally incompetent to the extent that he is unable to
understand the nature and consequences of the proceedings against him or assist properly in his
defense.” 18 U.S.C. § 4241(a). The statute also provides that, prior to the date of the hearing,
the court may order that a psychiatric or psychological examination of the defendant be
conducted. 18 U.S.C. § 4241(b).
18
Francis, 144 F.3d 429, 433 (6th Cir. 1998) (quoting Smith v. Armontrout, 812 F.2d 1050, 1057
(8th Cir. 1987)). But if a concern about the petitioner’s competence to make that decision is
raised – whether by petitioner’s counsel, a third party acting as “next friend,” or the court itself –
then the court must first resolve that issue before permitting the waiver. See, e.g., Harper v.
Parker, 177 F.3d 567, 571 (6th Cir. 1999) (petitioner’s counsel filed a motion for stay of
execution raising issue of petitioner’s competence to waive habeas corpus proceedings);
Kirkpatrick v. Bell, 64 Fed. App’x 495, 495-96 (6th Cir. 2003) (petitioner’s sister filed petition
in federal district court to intervene as next friend and district court held preliminary hearing to
determine reasonable cause); Awkal, 174 Fed. App’x at 248 (petitioner’s counsel filed pleading
in court of appeals responding to petitioner’s motion to terminate his appeal and raising
competence issue). And “once [the petitioner’s] competence [is] put in issue, [the petitioner
can]not waive his right to have his competence determined.” Harper, 177 F.3d at 571(citing
Pate v. Robinson, 383 U.S. 375 (1966)).
As noted above, the issue of Jones’ competence to make a rational choice to waive his
method-of-execution claim has not been raised to this Court. The Court, however, does have
some concern about Jones’ ability to understand and appreciate the serious issues related to this
claim and make a rational decision about waiving it, as evidenced by his inability to work with
multiple counsel, signing pleadings under the name “God,” and the general tone and content of
his pro se pleadings. Nevertheless, for reasons described below, the Court will not rule on
Jones’ motion to withdraw his lethal injection claim at this time.
19
2.
Jones’ Discovery Requests and Current Method-of-Execution
Litigation
Jones (again, through counsel) points to two 2013 decisions in habeas cases that support
his request for expanded discovery on his lethal injection claim: Sheppard v. Robinson and
Phillips v. Robinson. (ECF No. 191 at 12-13.) In Sheppard, the Sixth Circuit granted the
petitioner’s motion to remand his lethal injection habeas claims to the district court. (Case No.
13-900; ECF No. 35-1.) The petitioner had argued that Ohio’s newly revised protocol “is
materially different from the protocol under which the district court previously adjudicated his
constitutional claims, and that it gives rise to additional constitutional claims.” He stated that his
“method-of-execution habeas claims must be remanded to the district court to consider [his]
claims in accordance with the changed factual landscape.” (Case No. 13-900; ECF No. 21 at 3).
In Phillips v. Robinson, Judge Frost of the Southern District of Ohio denied a COA on the
petitioner’s habeas lethal injection claims because “Petitioner seeks to appeal the denial of
method-of-execution claims targeting an execution protocol that is no longer in effect,” implying
that a new habeas corpus petition is necessary to raise current and cognizable method-ofexecution habeas claims following the State’s adoption of a new protocol. (Case No. 2:13 CV
791; ECF No. 441.)
The law in this area is far from settled, however. The Sixth Circuit more recently has
indicated that the § 1983 case In re OEPL may be the most effective (but not only) avenue for
method-of-execution claims relating to lethal injection. On April 2, 2014, it summarily denied
the petitioner’s habeas Eighth Amendment lethal injection claim in Adams. (Case No. 1:05 CV
1886; ECF No. 134.) Then, on July 28, 2014, the Sixth Circuit affirmed the denial by another
judge from this Court of a similar habeas lethal injection claim and the petitioner’s request on
20
appeal that it remand the claim for further development in the district court. The court
concluded,
Although we understand Scott’s point – that the relief he seeks is available only
through a federal habeas claim – we decline to grant Scott’s request for a remand.
As the law currently stands, there is no merit to Scott’s assertion that his sentence
is void because lethal injection is unconstitutional. Simply put, lethal injection
does not violate the Constitution per se, and Scott acknowledges as much in his
brief. See Baze v. Rees, 553 U.S. [35 (2008)]; Cooey v. Strickland, 589 F.3d 210
(6th Cir. 2009). Therefore, in order to obtain relief from his sentence, Scott
would first have to gather facts showing that Ohio is unable to administer lethal
injection in a constitutionally permissible manner. And this is precisely the type
of discovery that Scott can pursue in his § 1983 litigation.
We are assured that Scott’s death sentence will not be carried out if, and so long
as, a federal court determines that Ohio is incapable of doing so in accordance
with the law.
Scott v. Houk, 2014 WL 3702438, at *13 (6th Cir. July 28, 2014).
Most significantly perhaps, on January 28, 2015, the Supreme Court accepted for review
the case Glossip v. Gross (Case No. 14-7955), in which three death row inmates from Oklahoma
are challenging lethal injection as a method of execution and whether new and untested drug
protocols are constitutional under the Eighth Amendment.5 The case stems from a botched
5
The following questions were presented for the Court’s review:
Question 1: Is it constitutionally permissible for a state to carry out an execution using a
three-drug protocol where (a) there is a well-established scientific consensus that the first drug
has no pain relieving properties and cannot reliably produce deep, comalike unconsciousness,
and (b) it is undisputed that there is a substantial, constitutionally unacceptable risk of pain and
suffering from the administration of the second and third drugs when a prisoner is conscious.
Question 2: Does the Baze-plurality stay standard apply when states are not using a protocol
substantially similar to the one that this Court considered in Baze?
Question 3: Must a prisoner establish the availability of an alternative drug formula even if the
state's lethal-injection protocol, as properly administered, will violate the Eighth Amendment?
21
execution in April 2014 using midazolam, the same drug Ohio used in Dennis McGuire’s
execution and Arizona used in another troubling execution in July 2014 that lasted nearly two
hours. See Warner v. Gross, 776 F.3d 721, 725-26 (10th Cir. 2015). This will be the first time
the Court has addressed a method-of-execution claim since Baze, and its decision may have
broad ramifications.
Respondent opposes Jones’ motion to expand discovery first on the ground that the
requests do not satisfy Habeas Rule 6 or other federal civil rules. (ECF No. 192 at 2-3.)
Discovery in habeas cases, however, is governed only by Habeas Rule 6(a), which provides:
A party shall be entitled to invoke the processes of discovery available under the
Federal Rules of Civil Procedure if, and to the extent that, the judge in the
exercise of his discretion and for good cause shown grants leave to do so, but not
otherwise.
Habeas R. 6(a). See also Bracy v. Gramley, 520 U.S. 899, 904 (1997) (a federal habeas
petitioner, “unlike the usual civil litigant, is not entitled to discovery as a matter of ordinary
course”). “Good cause” for discovery under Rule 6(a) exists “only where specific allegations
before the court show reason to believe that the petitioner may, if the facts are fully developed,
be able to demonstrate that he is . . . entitled to relief . . . .” Id. at 908–09 (quoting Harris v.
Nelson, 394 U.S. 286, 300 (1969)).
Respondent contends that the discovery Jones requests exceeds the scope of the Sixth
Circuit’s remand, which she states concerned the standard set forth in Baze and “the important
question of whether Ohio’s safeguards are materially different than Kentucky’s.” She explains,
With this new discovery request, however, Jones’ claim has morphed from
Warner v. Gross, 2015 WL 309509, at *i (2015) (appellate petition for writ of certiorari).
22
focusing on the implementation and risk of future maladministration of lethal
injection (the issue in Baze) to Ohio’s past deviations from, and changes to, its
lethal injection protocol and its alleged botched executions. This new claim is not
the type of method-of[-]execution challenge addressed in Baze, and the discovery
requested certainly exceeds the scope of the Sixth Circuit’s remand.
(Id. at 3.) Respondent further argues that Jones’ lethal injection claim has little chance of
prevailing. She notes the Supreme Court’s observation in Baze that it has never held that an
inmate met the “heavy burden” of demonstrating that a state’s execution violates the Eighth
Amendment, and that courts around the country have approved of the drugs in Ohio’s new
protocol. (Id. at 5 (quoting Baze, 553 U.S. at 48), 4 (listing citations).) At the same time, she
continues, Jones’ request imposes a significant burden and expense, and undermines the State’s
interest in finality and wise judicial administration. (Id. at 5-6.) Finally, Respondent argues that
the request violates public policy because it is too open-ended; it would allow a new round of
discovery with each new execution protocol and execution. (Id. at 6.)
Jones responds to this argument by noting that: Respondent has agreed to similar
discovery extensions in other habeas cases asserting lethal injection claims; his requests are not
asserted under Habeas Rule 6, but are tied to In re OEPL by this Court’s order; he has yet even
to present his claim to the Sixth Circuit, and this Court has no authority to rule on the
cognizability of that claim; and the discovery will not burden Respondent because she will have
to produce it in In re OEPL in any event. (ECF No. 195 at 2-4.)
On balance, Jones’ request for additional discovery is reasonable given Ohio’s changing
protocols, the serious problems with recent executions, and the Supreme Court’s review of
Glossip. But Jones’ request is overly broad in both time and scope. This Court tied discovery in
this case to the In re OEPL discovery in its scheduling order at the parties’ request and only
23
because the cases are factually related and the In re OEPL discovery already was clearly defined
and easily could be reproduced. Jones’ Eighth Amendment habeas claim, however, is legally
distinct from the § 1983 civil rights claims asserted in In re OEPL, and the two cases need not,
and should not, be linked to one another indefinitely. Respondent is correct that if Jones seeks
additional discovery, he should set forth narrowly tailored requests based on specific allegations
in his claim, as required by Habeas Rule 6.
Respondent’s second ground for opposing Jones’ requests is that Jones’ claims are not
cognizable in habeas. He argues that the Sixth Circuit, in Scott v. Houk, supra, “has now clearly
stated that per se challenges to lethal injection belong in habeas corpus but challenges to the
execution procedures belong in § 1983.” (ECF No. 191 at 6-7 (citing Scott, 2014 WL
3702438).)
Because Jones’ discovery requests relate to Ohio’s execution protocols and procedures, she
contends, “he concedes his claims are non-cognizable in habeas.” (Id. at 7.) This argument also
is unpersuasive.
First, Respondent oversimplifies and misstates the law. In Adams v. Bradshaw, supra,
the Sixth Circuit rejected the warden’s contention in that case that the Supreme Court has held
that “a challenge to the particular means by which a lethal injection is to be carried out is
non-cognizable in habeas” as “too broad.” Adams, 644 F.3d at 483 (internal quotation marks
omitted). The court explained that the Supreme Court has never held
that a method-of-execution challenge is not cognizable in habeas or that a federal
court “lacks jurisdiction” to adjudicate such a claim in a habeas action. Whereas
it is true that certain claims that can be raised in a federal habeas petition cannot
be raised in a § 1983 action, . . . it does not necessarily follow that any claim that
can be raised in a § 1983 action cannot be raised in a habeas petition . . . .
Moreover, . . . Adams has not conceded the existence of an acceptable alternative
24
procedure. . . . Thus, Adams’s lethal injection claim, if successful, could render
his death sentence effectively invalid. Further, [the Supreme Court’s] statement
that “method-of-execution challenges [] fall at the margins of habeas,” . . .
strongly suggests that claims such as Adams’s can be brought in habeas.
Id. (quoting Nelson v. Campbell, 541 U.S. 637, 646 (2004)).
Thus, after Adams, it is clear that certain method-of-execution challenges can be brought
in habeas, and those claims can include “challenge[s] to the particular means by which a lethal
injection is to be carried out.” Id. Indeed, as the Sixth Circuit stated in Scott v. Houk, the case
upon which Respondent relies, a habeas petitioner can prevail on a lethal injection claim if he
can “gather facts showing that Ohio is unable to administer lethal injection in a constitutionally
permissible manner.” Scott, 2014 WL 3702438, at *13. This is precisely what Jones is
attempting to do. See also Hill v. McDonough, 547 U.S. 573, 580 (2006) (holding that lethal
injection claim was cognizable through § 1983 rather than habeas where, “if successful[, it]
would not necessarily prevent the State from executing him by lethal injection”; “[t]he complaint
does not challenge the lethal injection sentence as a general matter but seeks instead only to
enjoin respondents from executing [the petitioner] in the manner they currently intend”; and the
petitioner conceded that “other methods of lethal injection . . . would be constitutional”);
Sheppard v. Warden, Chillicothe Corr. Inst., 2013 WL 146364, at **7-8 (S.D. Ohio Jan. 14,
2013) (Frost, J.) (holding that the petitioner’s lethal injection claims can proceed in habeas
because they “are factually related to, but legally distinct from, the challenges that he is litigating
in [the § 1983 action, where] Petitioner necessarily concedes that Ohio can, if it makes certain
changes and improvements, execute him” constitutionally); Phillips v. Robinson, 2013 WL
3990756, at *13 (N.D. Ohio August 2, 2013) (Lioi, J.) (“[T]o strictly classify claims as falling
within § 1983 or habeas based entirely on either general or specific pleading, while discounting
25
the differences in remedies, is to overlook the true nature of the claim. For, in order to prove
even the broadest method-of-execution claim, a petitioner necessarily must attack specific
elements of the protocol; he cannot prove his case upon general, conclusory assertions alone.”).
Furthermore, as Jones argues, the issue of whether his lethal injection claim properly
sounds in habeas or § 1983 is premature at this point, since he has not yet presented his claim to
the Sixth Circuit. And “the difficult question of how to categorize method-of-execution claims,”
Nelson v. Campbell, 541 U.S. 637, 644 (2004), clearly is not within the limited scope of this
Court’s jurisdiction on remand in any event.
3.
Conclusion
Based on the above, the Court finds that the most cautious course would be to hold in
abeyance Jones’ pro se motion to waive his lethal injection claim and motion through counsel to
extend discovery on that claim, as well as Respondent’s motion to transfer until the Supreme
Court issues its opinion in Glossip v. Gross. A ruling in that case may shed light on the strength
and viability of Jones’ claim, necessarily affecting Jones’ decision to relinquish what could be a
valuable right. The Glossip decision also may clarify many unresolved issues raised in current
method-of-execution litigation, potentially narrowing or even eliminating many discoverable
issues in Jones’ case.
III.
CONCLUSION
Accordingly, the Court denies Jones’ pro se motion to proceed without counsel, and
reminds Jones of the Court’s prior admonition not to file any further pro se pleadings. The Court
will hold Jones’ motion to waive his lethal injection claim in abeyance, however, until the
Supreme Court rules in Glossip v. Gross. (ECF No. 193.) The Court also will hold in abeyance
26
until Glossip is decided Respondent’s motion to transfer (ECF No. 190) and Jones’ motion,
through counsel, to expand discovery on his lethal injection claim (ECF No. 191).
The Court further sets the following schedule for the filing of “supplemental or amended
pleadings related to the ineffective assistance of trial counsel . . . [and] Jones’s contention that
there is cause to excuse the procedural default of those claims under” Martinez v. Ryan, supra,
and Trevino v. Thaler, supra, as directed by the Sixth Circuit: Jones must file all applicable
pleadings by May 29, 2015; Respondent must respond to the pleadings by June 30, 2015; and
Jones may file reply briefs by July 15, 2015.
IT IS SO ORDERED.
s/ David A. Katz
DAVID A. KATZ
U. S. DISTRICT JUDGE
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