Hand v. Houk
Filing
127
REPORT AND RECOMMENDATIONS - The Motion to Amend under Fed. R. Civ. P. 59(e), construed as a motion forreconsideration, should be denied in its entirety. Objections to R&R due by 10/3/2013. Signed by Magistrate Judge Michael R Merz on 9/16/2013. (kpf1)
IN THE UNITED STATES DISTRICT COURT
FOR THE SOUTHERN DISTRICT OF OHIO
EASTERN DIVISION AT COLUMBUS
GERALD HAND,
:
Case No. 2:07-cv-846
Petitioner,
-vs-
District Judge Sandra A. Beckwith
Magistrate Judge Michael R. Merz
MARC HOUK, Warden,
Respondent.
:
REPORT AND RECOMMENDATIONS
This capital habeas corpus case is before the Court on Petitioner’s Motion to Alter or
Amend Order Denying Habeas Relief (Doc. No. 121). The Warden has opposed the Motion
(Doc. No. 123) and Hand has filed a Reply in support (Doc. No. 124).
For the reasons given in the recent Scheduling Order (Doc. No. 125), the Court treats the
instant Motion as a timely motion for reconsideration rather than an untimely motion to amend
the judgment under Fed. R. Civ. P. 59(e).
Although the motion is made pre-judgment, it seeks changes in a District Judge’s
disposition of the case on the merits. It is therefore appropriately classified as a “dispositive”
motion, requiring a report and recommendations from the assigned Magistrate Judge.
“As a general principle, motions for reconsideration are looked upon with disfavor unless
the moving party demonstrates: (1) a manifest error of law; (2) newly discovered evidence
1
which was not available previously to the parties; or (3) intervening authority.” Meekison v.
Ohio Dept. Rehab. & Corr., 181 F.R.D. 571 (S.D. Ohio 1998)(Marbley, J.), quoting Harsco
Corp. v. Zlotnicki, 779 F.2d 906, 909 (3d Cir. 1985). As reflected in the Motion, these are the
same standards which apply to a Rule 59(e) motion, so Petitioner’s briefing is pertinent. The
Motion purports to establish clear or manifest error of law, the first branch of the test. Each
claimed error will be considered seriatim.
Claimed Error One, Branch One: Confrontation Clause Claim Regarding Statements of
the Victim
Hand asserts the Court clearly erred “in characterizing [Lonnie] Welch’s hearsay
statements, which were introduced by the prosecution to prove that Hand killed Welch to prevent
him from testifying as to the murders of Hand’s first two wives, as non-testimonial.” (Motion,
Doc. No. 121, PageID 2954.) Hand’s argument is that the very fact that he was convicted of
killing Welch to keep him from testifying “suggests that the statements were in fact testimonial
in nature.” Id.
For the convenience of the reader, the challenged portion of Judge Beckwith’s Order is
quoted here in its entirety:1
In his Report, the Magistrate Judge considered whether Welch’s
statements attributed to him by the trial witnesses were
“testimonial” for purposes of the Confrontation Clause analysis
under Crawford. He cited the Sixth Circuit’s lengthy analysis of
the issue in Miller v. Stovall, 608 F.3d 913 (6th Cir. 2010), which
reaffirmed the standard set forth in United States v. Cromer, 389
F.3d 662, 675 (6th Cir. 2004): “The proper inquiry, then, is
1
This Report includes lengthy quotations of those portions of Judge Beckwith’s Order which are claimed to be
manifest error. Although that adds to the length of this document, it will obviate the reader’s paging back and forth
to the docket.
2
whether the declarant intends to bear testimony against the
accused. That intent, in turn, may be determined by querying
whether a reasonable person in the declarant’s position would
anticipate his statement being used against the accused in
investigating and prosecuting the crime.”
After reviewing the challenged trial testimony and these
authorities, the Magistrate Judge concluded that the various
statements attributed to Welch were not “testimonial” under
Crawford and its progeny. Seven of the eight challenged witnesses
were Welch’s relatives, friends or acquaintances, and one was his
cellmate (Jordan). Welch’s statements were informal and they
were not made within the context of any formal proceedings. For
instance, Welch told his cousin, Pete Adams, that he killed Donna
and Lori Hand; [and] he asked his brother, Shannon Welch, if
Shannon knew how he made extra money, then volunteered that he
killed Hand’s first wife. He told his common law wife, Barbara
McKinney, that he had been to Hand’s home, and asked her to call
Hand to get bail money for him when he was arrested before Jill’s
murder. Jordan testified that Welch told him he was “going to take
somebody out” and that he was doing the work “for a guy named
Bob...”. Welch said he had known “Bob” for years, and “the
money is good.” And Welch offered Jordan money to drive him to
this “job” which was going to happen in January. (Trial Trans. Vol.
16 at 2820-2821[.])
Nothing in any of the statements, or about the circumstances under
which Welch made any of the challenged statements, reflects any
intent by Welch to “bear testimony” against Hand. There is
nothing in this testimony or in the record raising the possibility that
any of these witnesses would cooperate or were cooperating with
any investigation at the time Welch made any of the statements.
The Ohio Supreme Court did not expressly determine if Welch’s
statements were “testimonial” under Crawford, as the Court found
that Hand forfeited his confrontation rights by his own misconduct
in murdering Welch. But this Court agrees with the Magistrate
Judge’s conclusion that the challenged statements (as summarized
by the Magistrate Judge in his Report at pp. 50-51) were not
“testimonial” under Crawford. The Sixth Circuit has often noted
that statements made to friends and family are more reliable, both
for hearsay and Confrontation Clause analyses, than statements
that are made to law enforcement personnel or officials. See, e.g.,
United States v. Gibson, 409 F.3d 325, 337-38 (6th Cir. 2005)
(describing statements as non[-]testimonial where the "statements
were not made to the police or in the course of an official
3
investigation . . . [nor in an attempt] to curry favor or shift the
blame . . . ."); United States v. Johnson, 581 F.3d 320, 326-327
(6th Cir. 2009)(statements made to a friend and confidant,
someone the defendant saw every day for meals and at social
activities, were not testimonial); United States v. Franklin, 415
F.3d 537, 545-548 (6th Cir. 2005) (statements by nontestifying codefendant to a friend, implicating both defendant and the codefendant in an armed robbery, were not testimonial and bore
sufficient indicia of reliability under Crawford).
(Order, Doc. No. 118, PageID 2823-24.)
By Hand’s logic, any hearsay statement a prosecutor wants to introduce becomes, by the
prosecutor’s proffering it, retroactively testimonial, regardless of the circumstances in which the
statement was made. That approach turns Confrontation Clause analysis on its head. Adopting
Hand’s approach would be clear error, for he points to no case law adopting this approach.
The only case cited by Hand is United States v. Johnson, 581 F.3d 320 (6th Cir. 2009).
There the court upheld admission of inculpatory statements of a co-defendant made to a fellow
inmate because the co-defendant did not anticipate their being used in a proceeding against
Johnson. Id. at 325. The court held:
In determining whether statements are testimonial, we ask whether
the declarant "intend[ed] to bear testimony against the accused."
United States v. Cromer, 389 F.3d 662, 675 (6th Cir. 2004). This,
in turn, depends on "whether a reasonable person in the declarant's
position would anticipate his statement being used against the
accused in investigating and prosecuting the crime." Id.
Id. Welch’s statements admitted in evidence were not only inculpatory as to Hand, they also
self-incriminated Welch for aggravated murder. No reasonable person in Welch’s position –
factually guilty of two murders for hire on which the statute of limitations would never run –
would make the admitted statements with the expectation that any of his hearers would repeat
them in court or to law enforcement, at least as long as Welch was alive.
4
Hand labels the Court’s decision as “internally inconsistent”: if Hand murdered Welch to
keep him from testifying.2 how can Welch’s statements be “non-testimonial”? (Motion, Doc.
No. 121, PageID 2955.) This argument completely misses the point. Hand killed Welch to
prevent him from testifying at some point in the future from the date of Welch’s murder, not to
prevent him from saying the things he had already said – that would be nonsensical. Welch was
killed to keep him from repeating – on the witness stand or to law enforcement – the things he
had said to those who testified. Those statements, if given on the witness stand or to law
enforcement, would have been testimonial, but they were not when initially made.
The first branch of Claimed Error One is without merit.
Claimed Error One, Branch Two:
Fair Presentation of Due Process Claim to Ohio
Supreme Court
Hand’s second claimed error of law is that the Court
erred in concluding that Hand did not fairly present his due process
claim to the Ohio Supreme Court and, further, that if Hand did in
fact present a due process claim, the Ohio Supreme Court’s
discussion of the hearsay question under Ohio R. Evid. 804(B)(6)
constituted an analysis of the constitutional due process issue as
well.
(Motion, Doc. No. 121, PageID 2955.)
The objected-to portion of Judge Beckwith’s Order is as follows:
Hand also objects to the Magistrate Judge’s conclusions that he
failed to present a federal due process claim to the Ohio Supreme
Court, and that the admission of Welch’s statements did not violate
Hand’s due process rights under the Fourteenth Amendment. He
argues that he did present a due process claim but the Ohio
2
Hand was found guilty of the aggravating factor that his murder of Welch was done to escape detection. The Court
has upheld that finding.
5
Supreme Court did not address it, and confined its discussion to
state evidentiary law. Hand’s first proposition of law on direct
appeal alleged: “When the State fails to prove by clear and
convincing evidence that a witness is unavailable due to a criminal
defendant’s wrongdoing, and the proposed evidence does not meet
standards of reliability, it is constitutional error to admit this
evidence against the defendant.” (Apx. Vol. 6 at 269). The last
sentence of the introductory section for the arguments supporting
this proposition states that the testimony violated his constitutional
rights “under the Confrontation Clause of the Sixth Amendment to
the United States Constitution as well as his rights to due process
and a fair trial guaranteed by the Fourteenth Amendment.” (Id. at
269-270) In the body of the brief, he argued that the admission of
Welch’s statements under Ohio Evid. R. 804(B)(6) was error, and
in the concluding section argued that the statements violated his
Confrontation Clause rights. (Id. at 277-278). The passing
reference in the introductory section, with no mention of due
process in the proposition itself and no substantive argument or
citation of authorities on that subject, is not sufficient to “fairly
present” a federal claim to the state court.
The Magistrate Judge also observed that in his brief on appeal,
Hand referred to the “probable” due process requirement that
hearsay statements are found to be reliable, and he argued that the
trial court erred in finding that Welch’s statements were reliable.
(Id. at 273-277) The Ohio Supreme Court expressly addressed the
reliability of the statements at some length, and held that the trial
court acted well within its discretion in determining that each
witness was credible. The court stated that “No evidence supports
Hand’s allegations that Welch’s friends and family members were
not telling the truth, and their bias could have been explored on
cross-examination. ...
Moreover, the testimony of Welch’s friends and family members
was corroborated by Jordan, Welch’s cellmate, and Grimes, who
testified that Hand admitted hiring Welch to kill Jill.” State v.
Hand, 107 Ohio St.3d at 393. The Supreme Court did not use the
words “due process” nor explicitly conduct its reliability analysis
with reference to the Due Process Clause or the 14th Amendment.
But in Harrington v. Richter, 131 S.Ct. 770, 784-785 (2011), the
Supreme Court clearly held that a state court is not required to
write a detailed opinion explaining the state court’s reasoning on a
claim in order for the decision to be entitled to deferential review
under Section 2254(d). And as the Magistrate Judge further
observed, Hand does not identify any substantive difference
between a 14th Amendment Due Process reliability analysis, and
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the state court’s reliability analysis in the context of Evid. Rule
804(B)(6). This Court also finds no meaningful distinction to be
made.
It is clear that the Ohio Supreme Court rejected the substance of
Hand’s due process challenge when it thoroughly reviewed the
reliability of the challenged testimony and the veracity of the
witnesses, in affirming the trial court’s admission of the testimony.
That decision is not contrary to clearly established federal law.
Therefore, this Court agrees with the Magistrate Judge’s analysis
with respect to Hand’s first ground for relief, and overrules Hand’s
objections.
(Order, Doc. No. 118, PageID 2828-30.)
Claimed Error One, Branch Two, directed at this portion of the Order, is supported by no
citations of law at all. Merely using talismanic constitutional phrases like “fair trial” or “due
process of law” does not constitute raising a federal constitutional issue. Slaughter v. Parker,
450 F.3d 224, 236 (6th Cir. 2006); Franklin v. Rose, 811 F.2d 322, 326 (6th Cir. 1987); McMeans
v. Brigano, 228 F.3d 674, 681 (6th Cir. 2000), citing Petrucelli v. Coombe, 735 F.2d 684, 688-89
(2d Cir. 1984). Mere use of the words “due process and a fair trial by an impartial jury” are
insufficient. Slaughter v. Parker, 450 F.3d 224, 236 (6th Cir. 2006); Blackmon v. Booker, 394
F.3d 399, 400 (6th Cir. 2004)(same). “A lawyer need not develop a constitutional argument at
length, but he must make one; the words ‘due process’ are not an argument.” Riggins v.
McGinnis, 50 F.3d 492, 494 (7th Cir. 1995).
The second branch of Claimed Error One is without merit.
Claimed Error Two: Fair Presentation of and Prejudice from Prior Acts Evidence
Hand claims this Court committed clear error of law in holding (1) that his prior acts
evidence claim was not fairly presented to the Ohio courts as a constitutional claim, and (2) that
7
admission of that evidence did not prejudice the outcome of the trial (Motion, Doc. No. 121,
PageID 2956-2957).
The objected-to portion of Judge Beckwith’s Order relating to fair presentation reads:
The Magistrate Judge recommended that this claim be denied
because Hand did not fairly present a federal constitutional
argument on these issues to the Ohio Supreme Court on direct
appeal. He notes that Hand’s brief made only cursory references to
“due process” or to the constitution, and his arguments were
framed by and presented under state law. The Magistrate Judge
correctly described Hand’s direct appeal brief. Proposition of Law
No. 2 alleged: “The introduction and admission of prejudicial and
improper character and other acts evidence and the failure of the
trial court to properly limit the use of the other acts evidence
denied Gerald Hand his rights to a fair trial, due process and a
reliable determination of his guilt and sentence as guaranteed by
the United States Constitution, Amends. V, VI, VII and XIV; Ohio
Const. Art. I, §§ 10 and 16.” (Apx. Vol. 6 at 279) Section 2 of the
discussion contains Hand’s arguments on admissibility of other
acts evidence; it spans three paragraphs and cites Ohio case law,
Ohio Evid. Rule 404(A) and (B), and R.C. 2945.59. In Section 5,
Hand addressed the trial court’s failure to give additional limiting
instructions and cited only Ohio cases. Section 6 addressed
harmless error and cited one federal case, Chapman v. California,
386 U.S. 18 (1967). The conclusion section generally asserted that
he was denied a fair trial in violation of the Fourteenth
Amendment’s Due Process clause. (Apx. Vol. 6 at 285.)
Hand objects, contending that his brief expressly argued that his
fair trial and due process rights “as guaranteed by the United States
Constitution” had been violated. He contends that the Ohio
Supreme Court’s failure to address the federal claims should not
result in a default. Hand cites Carter v. Bell, 218 F.3d 581 (6th Cir.
2000), a habeas case (arising pre-AEDPA) in which the petitioner
contended that Tennessee’s statutory definition of aggravating
circumstances was unconstitutionally vague and violated the
Eighth Amendment. The district court found the federal claim was
defaulted because it was not presented to the state court. The Sixth
Circuit disagreed because Carter’s post-conviction petition (which
he filed pro se) argued that the
... entire statute failed to genuinely narrow the class of
death-eligible murders. Even if we agreed with the district
court that such allegations were ‘bald’ or ‘general,’ we
8
find that they are substantively the same claim as that
made to us. We do not require word-for-word replication
of the state claim in the habeas corpus petition in order to
address the merits therein, only that the petitioner ‘fairly
present’ the substance of each of his federal constitutional
claims to the state courts. ... A petitioner ‘fairly presents’
his claim to the state courts by citing a provision of the
Constitution, federal decisions using constitutional
analysis, or state decisions employing constitutional
analysis in similar fact patterns.
Id. at 606-607 (internal citations omitted).
In a later case, the Sixth Circuit reiterated these principles:
Federal courts do not have jurisdiction to consider a claim
in a habeas petition that was not ‘fairly presented’ to the
state courts. A claim may only be considered ‘fairly
presented’ if the petitioner asserted both a factual and
legal basis for his claim in state court. ... Although general
allegations of the denial of a ‘fair trial’ or ‘due process’
have been held insufficient to ‘fairly present’ federal
constitutional claims, ... a petitioner need not recite ‘book
and verse on the federal constitution.’ A petitioner can
take four actions in his brief which are significant to the
determination as to whether a claim has been fairly
presented: (1) reliance upon federal cases employing
constitutional analysis; (2) reliance upon state cases
employing federal constitutional analysis; (3) phrasing the
claim in terms of constitutional law or in terms
sufficiently particular to allege a denial of a specific
constitutional right; or (4) alleging facts well within the
mainstream of constitutional law.
Newton v. Million, 349 F.3d 873, 877 (6th Cir. 2003)(internal
citations omitted). There, the court rejected the state’s argument
that the petitioner failed to fairly present his federal due process
claim to the state court. He had requested his trial court to instruct
the jury about his right to defend himself against two aggressors,
and not limit the instruction to the one individual of whose murder
the petitioner was charged and convicted. He argued that the
evidence at trial supported his claim that both individuals attacked
him and he acted to defend himself from both of them. His state
appeal brief had included a detailed recitation of the facts adduced
at trial and argued that the failure to instruct the jury violated his
right to due process of law under the Fifth and Fourteenth
9
Amendments. The Sixth Circuit found that this was sufficient to
present his claim and avoid default.
In contrast, in McMeans v. Brigano, 228 F.3d 674 (6th Cir. 2000),
the court found that the petitioner (charged and convicted of rape)
did not fairly present his federal Confrontation Clause claim raised
in his habeas petition to the state court in his direct appeal. The
issue was the trial court’s limitation on questioning his accuser
about her subsequent rape accusations against other men. On direct
appeal, he argued that the limitation violated his “... right to a fair
trial, and to due process of law as guaranteed by the Fifth and
Fourteenth Amendments to the U.S. Constitution ...”. Id. at 678.
The Sixth Circuit affirmed the district court’s conclusion that he
failed to fairly present a Confrontation Clause claim:
In his direct appeal, the petitioner focused entirely on the
applicability of Ohio's rape shield law, Ohio Rev. Code
Ann. §2907.02. He did not cite any federal precedent and
his appellate brief only alleges that the trial judge's
limitation on cross-examination denied him a "fair trial"
and "due process." As this court recognized in Franklin
[v. Rose, 811 F.2d 322 (6th Cir. 1987)], this is not
sufficient to alert a state court that an appellant is
asserting the violation of a specific constitutional right.
While it is true that a few of the state cases cited by the
petitioner on direct appeal contain references to the
Confrontation Clause, the majority of those cases were
concerned with Ohio evidence law. We do not think that a
few brief references to the Confrontation Clause in
isolated cases is enough to put state courts on notice that
such a claim had been asserted. Thus, we hold that the
petitioner failed to "fairly present" his Confrontation
Clause claim to the Ohio courts.
Id. at 682.
The Court reaches the same conclusion with respect to Hand’s
claim. Hand argued in state court that the admission of the
challenged testimony created a reasonable probability that the jury
convicted him because of his bad character, or that “he was the
type of person who could have committed” the murders. (Apx Vol.
6 at 284[.])
While his Proposition of Law cited “fair trial” and “due process”
rights, as well as the 5th, 6th, 7th and 14th Amendments, no
constitutional analysis under any of these amendments was
included in the brief. And in this Court’s opinion, the five incidents
10
of which Hand complains do not, individually or collectively,
clearly fall within “the mainstream of constitutional law” regarding
due process or fair trial rights. As the Magistrate Judge observed,
the substance of this claim was presented, argued, and addressed
by the Ohio Supreme Court under Ohio evidence law and not as a
federal constitutional violation.
(Order, Doc. No. 118 at PageID 2834-37.)
In purporting to show that this ruling by Judge Beckwith was “manifest” or “clear” error,
Hand argues only that McMeans v. Brigano, supra, “does not apply as broadly as the Court held.
(Motion, Doc. No. 121, PageID 2956).
In addition to McMeans, the Report and
Recommendations which Judge Beckwith adopted on this point cited Williams v. Anderson, 460
F.3d 789, 806 (6th Cir. 2006); Levine v. Torvik, 986 F.2d 1506 (6th Cir. 1993); Riggins v.
McMackin, 935 F.2d 790 (6th Cir. 1991); Slaughter v. Parker, 450 F.3d 224, 236 (6th Cir. 2006);
and Franklin v. Rose, 811 F.2d 322, 326 (6th Cir. 1987). Hand fails to present or even cite those
portions of the state court record where he claims he made the fair presentation. He has not
shown clear error – indeed any error – in the Court’s fair presentation decision.
Judge Beckwith decided this claim in the alternative. Assuming arguendo there was fair
presentation, she found no due process violation.
But even if the reference to the federal amendments in the
Proposition itself was enough to present and preserve a due process
or fair trial challenge, Hand has failed to show how these five
instances actually deprived him of due process or the presumption
of innocence. The five incidents about which Hand complains - the
prosecutor’s comment about the way he operates, Wolmendorf’s
description of Hand’s demeanor, his own admission to police that
he was a “horny old man,” his childhood interest in “true crime”
stories, and the description of his dispute with his father - were all
brief statements or passing comments in a lengthy trial in which
over 75 state witnesses appeared. Moreover, as the Magistrate
Judge notes, Hand did not object to most of this testimony,
resulting in plain error review by the Supreme Court, which is
another basis upon which to find the claim defaulted. Where he did
object (to Wolmendorf’s description of his demeanor), the trial
11
court properly admitted it as a lay opinion. This Court would
conclude that no due process violation resulted from an
experienced detective testifying to his firsthand observations of
Hand’s demeanor upon learning that his wife had been murdered.
The Court would also conclude that none of the other incidents
raised in this claim are the sort of evidence that, either individually
or collectively, seriously impugned the fundamental fairness of the
proceedings or denied Hand due process or a fair trial.
(Order, Doc. No. 118, PageID 2837-38.)
Hand makes no argument about why there was a due process violation in admitting this
evidence. He merely asserts that conclusion: “the state’s reliance on other alleged wrongdoing
by Hand likely caused the jury to convict based on its distaste for Hand rather than on conclusive
proof that Hand murdered his wife and Welch.” (Motion, Doc. No. 121, PageID 2957). Hand
also cites no law in this section of the Motion. “There is no clearly established Supreme Court
precedent which holds that a state violates due process by permitting propensity evidence in the
form of other bad acts evidence.” Bugh v. Mitchell, 329 F.3d 496, 512 (6th Cir. 2003), accord,
Bey v. Bagley, 500 F.3d 514, 520 (6th Cir. 2007)
Claimed Error Two is completely without merit.
Claimed Error Three: Ineffective Assistance of Trial Counsel at the Guilt Phase
In his Claimed Error Three, Hand claims clear error in the Court’s rejection of two of his
ineffective assistance of trial counsel claims.
First Branch: Failure to Protect Attorney-Client Privilege
In his Fourth Ground for Relief, Hand asserted his trial attorney was ineffective for
failing to object that testimony from Hand’s bankruptcy attorney should have been excluded
under the protection for attorney-client communications.
12
The objected-to portion of Judge Beckwith’s Order reads:
(A) Failure to object to testimony from Hand’s bankruptcy
attorney that was protected by attorney-client privilege.
This issue was first raised in Hand’s application to reopen his
direct appeal filed in September 2007, where Hand was
represented by his federal habeas counsel. The Ohio Supreme
Court denied that application because it was not timely filed. The
Magistrate Judge concluded this subclaim is procedurally defaulted
because it should have been, and was not, raised on direct appeal.
Ohio’s res judicata doctrine requires a claim to be raised at the
first opportunity or it is waived. This doctrine is clearly recognized
as an adequate and independent state ground upon which to find a
habeas claim defaulted. And there is little doubt that the Ohio
courts would enforce this rule, as it did so with several other
claims that Hand raised for the first time in his post-conviction
petition.
The Magistrate Judge also rejected Hand’s argument that he
established cause for the default and actual prejudice resulting
from a constitutional error. Procedural default may be excused by
such a showing, or by a demonstration that the failure to review the
claim will result in a fundamental miscarriage of justice. Coleman
v. Thompson, 501 U.S. 722, 749 (1991). Hand contends that he
was represented by the state public defender’s office on direct
appeal and for his post-conviction proceedings. But the public
defender did not represent him at trial, and no conflict prevented
his new appellate lawyers from raising any claim of ineffective
assistance of trial counsel in his direct appeal. The fact that the
public defender’s office also represented him in postconviction
proceedings does not affect that conclusion.
He also contends that he has shown cause for the default based on
ineffective assistance of appellate counsel. Because his appellate
lawyers were all from the public defender’s office, Hand argues
that his earliest opportunity to raise an appellate counsel claim was
in his untimely petition to reopen his direct appeal. He suggests
that his testimony about the advice he received from his
bankruptcy lawyer, which was elicited by the state during Hand’s
cross-examination, was not only prejudicial, it was “devastating”
because it strengthened the state’s argument that Hand had a
financial motive to kill Jill.
As discussed below with respect to sub-claim (B) of Hand’s
Eleventh Ground for relief, Hand’s ineffective assistance of
13
appellate counsel sub-claim regarding this issue is procedurally
defaulted. The Ohio Supreme Court summarily rejected Hand’s
2007 motion to reopen his direct appeal which included this subclaim because his motion was untimely. Hand’s ineffective
appellate counsel claim is therefore itself defaulted, and it cannot
serve as good cause for his admittedly defaulted ineffective
assistance of trial counsel sub-claim.
Moreover, even if the claim is not defaulted, the testimony at issue
concerned State Exhibit 70, a letter from a local bankruptcy law
firm addressed to Hand to confirm an appointment at the firm.
Earlier in the trial, the judge read the parties’ stipulation about that
letter to the jury: “If called [as a witness], a records custodian of
the law firm Semons and Semons would testify that the
appointment book for their law firm would indicate an
appointment for the defendant regarding bankruptcy issues for
May 19th, 2001, and that the defendant did not keep this
appointment, but re-scheduled it. The witness would further testify
that the defendant never kept the appointment and did not consult
with any attorney in the law firm.” (Trial Trans. Vol. 11 at 14701471) Later on, during his direct testimony in his defense case,
Hand explained that Jill Hand was upset when she learned about
the fact that he had a very large credit card debt, and that they had
worked out a plan to reduce his debt. He testified that “... some of
[the plan] consisted of a bill consolidation, Chapter 13, or
something, ... where they consolidate it, make an agreement, lower
your payment, lower what you owe them, and then pay it off in a
so many year program. We was going to file bankruptcy; I was
going to file bankruptcy by myself on all these bills.” (Trial Trans.
Vol. 19 at 3471) He said that he was not concerned about filing for
bankruptcy, because he did not have anything to protect, and Jill
owned her own home and his creditors could not touch her assets.
(Id. at 3472) Hand’s lawyer questioned him how the idea of
bankruptcy first came to him, asking “... was that something you
talked to about with anybody?” Hand responded that he talked to
several people about bill consolidation, to stop creditors from
calling him at home; he also admitted that his name and phone
number were “in the book” at the law firm. (Id. at 3475) Then on
cross-examination, Hand was asked about the letter from the
bankruptcy law firm. Hand remembered going to an appointment,
and said he had talked to a lawyer on two occasions. The
prosecutor asked if that lawyer told him that he could not eliminate
his debt through bankruptcy, and Hand answered: “He did not say
that; no, sir. He just told me what he wanted - that he wanted W-2
forms from me, since I wasn’t including Jill in the bankruptcy.”
14
(Id. at 3531) Hand also testified that he never actually filed a
bankruptcy petition.
Hand voluntarily disclosed the fact that he had contemplated filing
for bankruptcy protection, and the letter from the law firm was
admitted by stipulation. Moreover, the Court doubts that his
testimony describing what the lawyer told him about the kind of
documents needed in order to prepare a bankruptcy petition
revealed privileged information. This Court would conclude that
this brief testimony did not prejudice Hand’s defense or result in a
fundamentally unfair trial, even if Hand could overcome his
default of this sub-claim.
(Order, Doc. No. 118, PageID 2843-46.)
Hand has no quarrel with the first finding that this claim should have been raised on
direct appeal because it is based on the appellate record, that it was not raised in that way, and
that it would therefore be barred by the Ohio criminal doctrine of res judicata. He asserts, rather,
that the default on direct appeal is excused by the ineffectiveness of his appellate counsel.
Ordinarily when a habeas petitioner wants to rely on ineffective assistance of appellate counsel
to show cause and prejudice, he must first present that ineffective assistance of appellate counsel
claim to the state courts. Edwards v. Carpenter, 529 U.S. 446 (2000). Hand did eventually
present this claim to the Ohio Supreme Court in a motion to reopen the direct appeal, but the
court dismissed the motion as untimely.
Hand asserts that his procedural default in presenting the ineffective assistance of
appellate counsel claim is excused by the fact that he had the same post-conviction counsel as
direct appeal counsel and that, under Ohio law, attorneys are not expected to raise claims that
they or other members of their firms were ineffective, (Motion, Doc. No. 121, PageID 2957,
citing State v. Cole, 2 Ohio St. 3d 112 (1982).)
Cole does not hold what Hand cites it for. Instead, in a footnote, the Cole court cites
15
State v. Carter, 36 Ohio Misc. 170, 304 N.E. 2d 415 (Mont. Cty. C.P. 1973)(Rice, J., later of this
Court). Judge Rice distinguished State v. Perry, 10 Ohio St. 2d 175 (1967), then and now the
leading case on criminal res judicata in Ohio, on the grounds that to raise ineffective assistance
of trial counsel at the trial level, a criminal defendant would have to raise the issue pro se.
Certainly, his retained counsel could not logically be expected to
urge the argument of his own inadequacy or incompetency upon
the trial court. One cannot realistically expect trial counsel to argue
the issue and, likewise, one cannot logically expect the defendant,
himself, to take over the proceedings from his attorney so as to
argue the issue on his own.
Carter, 36 Ohio Misc. at 173, 304 N.E.2d at 417. Certainly, by citing Cole, Hand has not shown
the Court committed manifest or clear error in finding this claim procedurally defaulted – and
Cole is the only case cited.
Assuming arguendo that Cole and its progeny overcome the default in timely presenting
the ineffective assistance of appellate counsel claim, Judge Beckwith alternatively found that
claim was without merit:
The Court would also conclude that the sub-claim regarding the
allegedly privileged testimony from Hand’s bankruptcy attorney
lacks merit. The underlying claim is procedurally defaulted, as the
Court discussed previously with respect to sub-claim (A) of
Ground Four. This sub-claim was not “clearly stronger” than the
claims that were raised, given Hand’s actual testimony and the
likelihood that the information Hand voluntarily disclosed was not
in fact privileged.
(Order, Doc. No. 118, PageID 2933.) At most, the information from the attorney showed that
Hand had made an appointment to discuss a possible bankruptcy filing.
Hand argues the
prejudice comes from revealing that he was considering bankruptcy and thus bolstering the
State’s asserted motive for killing his wife, to wit, to get the life insurance proceeds. But Hand
himself disclosed on the witness stand that he was considering bankruptcy or at least a Chapter
16
13 proceeding. In the face of that testimony, appellate counsel would readily have understood
how weak a claim of ineffective assistance of trial counsel regarding this bare-bones
appointment book information would have been. It was not clear error to find no merit to the
ineffective assistance of appellate counsel claim.
Second Branch: Failure to Adequately Voir Dire Jurors Ray and Finnamore
Hand also claims the Court committed clear error in not granting him habeas relief on his
claim that he received ineffective assistance of trial counsel when his trial attorney failed to
question Jurors Ray and Finnamore further about their answers to jury questionnaires regarding
pretrial publicity.
The objected-to portion of Judge Beckwith’s Order is as follows:
(B) Failure to adequately question potential jurors about pretrial publicity.
Hand contends that his trial counsel failed to adequately question
two jurors about their exposure to pre-trial publicity. This subclaim was not raised on direct appeal, but was raised in Hand’s
post-conviction petition. The trial court found it was barred by res
judicata, and the Ohio Court of Appeals affirmed because Hand
did not offer “... any new evidence outside the record, precluding
the application of res judicata. We note the record on direct appeal
was supplemented with the jury questionnaires which [Hand]
asserts merit review under post conviction relief herein.” State v.
Hand, 2006- Ohio- 2028 at ¶ 33 [footnote omitted].
Hand contends he can establish cause for this default, based on his
appellate counsel’s failure to amend his direct appeal merit brief to
specifically present this sub-claim. This sub-claim is related to
sub-parts (E) and (F) of Hand’s ineffective assistance of appellate
counsel claims (raised in his Eleventh Ground for Relief), and the
Magistrate Judge concluded that those sub-claims were not
defaulted. Because ineffective assistance of appellate counsel can
serve as good cause to excuse a procedural default, the Magistrate
Judge addressed whether Hand was prejudiced by appellate
17
counsel’s failure to raise this issue on appeal. If not, then Hand has
not shown that he can avoid the procedural bar of the state court’s
application of res judicata. In order to do so, Hand must establish
that his trial counsel was deficient in failing to specifically
question the two jurors about their responses to the juror
questionnaires indicating that they had seen some pre-trial
publicity, and that he was actually prejudiced by that failure (and
thus by his appellate lawyer’s failure to appeal the issue). After
reviewing the record, the Magistrate Judge found that Hand has not
satisfied that burden.
The juror questionnaires asked the prospective jurors if they had
seen or heard anything about the case, and if so, “What impression
did [the article] leave in your mind?” Ms. Ray responded that she
had seen a local newspaper article in April 2003 that left her
“wondering.” (Apx. Vol. 10 at 213) She also stated that despite the
article, she had no opinion on whether Hand was guilty, that she
could put the article out of her mind, and could follow the court’s
instructions. She reported that she believed in the death penalty but
thought it was not appropriate for most murder cases. Id. at 215.
Hand’s counsel did not directly question Ms. Ray about her
questionnaire response in voir dire.
Juror Finamore stated in her questionnaire that she had seen
articles and news reports about the case two or three times, which
left her with the impression that Hand was probably involved in
the murder, and was guilty. She also stated that she would be able
to put that information out of her mind, and base a decision on the
evidence and the court’s instructions. She responded that she
would have no trouble following the instruction to avoid news
media during the trial. Answering a question about the death
penalty, she stated that life in prison was a greater punishment than
the death penalty in some cases, and that the death penalty was not
appropriate for most murder cases. She was not directly
questioned during voir dire about her responses concerning the
articles and news reports. The trial court conducted voir dire by
posing initial questions to small groups of potential jurors,
excusing jurors who would face financial hardships or would not
be available for the projected length of the trial, and then
considering challenges for cause within the small group. In the
initial questioning of the small group of seven that included Ray
and Finamore, the trial court asked a few preliminary questions,
and then asked if anyone in the group had any changes to their
responses to the written questionnaires; all seven answered in the
negative. (Trial Trans. Vol. 4 at 301-305) The judge reminded the
group that any verdict must be based on evidence presented in the
18
courtroom, and “not on the basis of what you may have read, heard
or seen in the news media. Is there anything that you may have
read, heard or seen that caused you to form an opinion as to the
defendant’s guilt or innocence that you could not put aside?” (Id. at
306) All jurors responded negatively; and the court asked again,
“Any of you?” and again there were no responses. The court asked,
“So were you all able to put aside anything you saw, heard or read
in the media and decide this case strictly on evidence that’s
presented within the walls of this courtroom?” (All answered in the
affirmative.) “Does anybody have any concerns about that?” There
were no responses. “No, all right. I’m sure none of you want to
reach a significant and important decision in your lives based on
something you might have seen in the news, is that fair?” All of the
jurors answered yes. (Id. at 306-307)
Hand’s counsel then asked Ms. Ray if she would be able to
consider a verdict other than death; she replied “Yes, you know, if
it leaned that way. It depends on the evidence, the law that is
presented.” She said that the state would have to prove that the
sentence was appropriate. (Id. at 320) Defense counsel then asked
the group about the “eye for an eye” adage, and Ms. Ray said she
did not believe in that, explaining that “I believe in the New
Testament and not the Old.” Ms. Finamore responded that she
agreed “to a certain extent, but again, you hear about turning the
other cheek also. I don’t necessarily think that if someone kills a
person, their life should be taken. I don’t think it’s an automatic
death penalty.” (Id. at 322) Finamore felt the same way about
someone who committed more than one murder. (Id. at 323) The
prosecutor also asked Ms. Finamore about her feelings about the
death penalty, noting that she wrote in her questionnaire, “I see
more shades of gray rather than black and white.” She explained:
“I would want to be absolutely certain. I mean, I don’t know the
details of the situation, but I believe it was in Illinois that recently
everybody was taken off death row because they have found that
there were people on death row that were not guilty and that kind
of thing bothers me some. I would not want to sentence someone
to death and find out later that they were innocent.” (Id. at 331)
She said she understood the law and that the death penalty is
appropriate in many situations, but she would want to be “firmly
convinced.” (Id. at 332) The prosecutor then asked the entire group
of seven, “I take it nobody has any views on the pre-trial publicity
questions from yesterday that cause you any trouble? You don’t
have any particular views that apply in this group of seven based
on things you’ve heard?” All of the group, including Finamore and
Ray, answered no. (Id. at 323-324)
19
The Magistrate Judge concluded that Hand has not shown actual
prejudice resulting from his trial counsel’s failure to further
question Ray or Finamore about publicity. With regard to Ms. Ray,
her exposure to publicity was minimal and she said that it left her
“wondering” about the case. Her other responses to both the
questionnaire and to the voir dire questions were clear: she
believed she was able to put that article out of her mind and to
follow the court’s instructions. Moreover, she may have been a
very favorable juror, given her responses to questions about the
death penalty and her rather firm rejection of the “eye for an eye”
adage. Ms. Finamore’s questionnaire answers raised a greater
concern than Ms. Ray’s, especially her comment that the media
stories she had seen led her to think that Hand was guilty.
Despite that statement, the Magistrate Judge concluded that she
had been rehabilitated during voir dire. She repeatedly affirmed
that she would be able to put all of her initial impressions and
exposure to publicity out of her mind, and would follow the court’s
instructions. And like Ms. Ray, many of her responses, particularly
regarding the death penalty, strongly suggested she would be a
favorable juror. For example, she stated that even if a defendant
killed more than one person, the death penalty would not be
automatic in her mind, and that any sentence would depend upon
the evidence presented.
Hand objects to the Magistrate Judge’s conclusion, arguing that he
did not understand the legal basis of this sub-claim, which Hand
contends is ineffective assistance of counsel, not a “biased jury”
claim: “Hand does not claim, as the Magistrate [Judge] implies,
that his jury was not fair and impartial or comprised of a fair crosssection of his peers, but instead faults his attorneys for not
adequately questioning Jurors Ray and Finamore to determine
whether they should be the subject of peremptory challenges.”
(Doc. 108 at 11) Hand cites Quintero v. Bell, 256 F.3d 409, 414
(6th Cir. 2001), affirming the grant of habeas relief due to trial
counsel’s failure to adequately examine potential jurors. The
petitioner in that case escaped from prison with a group of several
other prisoners. He was eventually caught and tried on the charges.
Seven of his trial jurors had served on the jury that two months
earlier had convicted one of his fellow escapees. His trial counsel
did not object to the presence of these jurors, and there were no
questions asked during voir dire about the jurors’ ability to serve
due to their exposure to the prior trial. The state courts found that
his claims of a biased jury and ineffective assistance of counsel
were procedurally defaulted. The federal district court granted his
habeas petition and the Sixth Circuit affirmed, noting that the case
20
raised two prejudice inquiries: prejudice resulting from the tainted
jury, and prejudice caused by ineffective assistance of counsel. The
court concluded that the tainted jury was itself a Sixth Amendment
violation that rose to the level of structural error. And the court
found good cause to excuse the procedural default of that claim,
due to the ineffective assistance of petitioner’s trial counsel in
failing to question or challenge in any way the seating of those
jurors. Despite the petitioner’s admission at his trial that he had
escaped from prison (which the state argued established that no
prejudice resulted), the court concluded that including the jurors
who participated in the previous case undermined the fundamental
fairness of petitioner’s entire trial.
The facts at issue here do not come close to structural error, much
less a Sixth Amendment violation. Indeed, Hand admits that he is
not claiming that his jury was biased or lacked impartiality;
nevertheless, he contends that he has shown actual prejudice
because his trial counsel should have questioned the two jurors
more extensively. To be entitled to habeas relief on this claim,
Hand must demonstrate that he was actually prejudiced by
counsel’s failure to ask more questions, not simply raise the
possibility that additional questions might have elicited additional
or different responses than those the jurors gave to the court’s
questions. Moreover, as the Magistrate Judge noted, these jurors
gave very favorable responses to issues concerning the
applicability of the death penalty.
Given the extent of the voir dire that was actually conducted of
these two jurors and of the small group they were questioned with,
the Court must conclude that Hand has not shown that he was
actually prejudiced by trial counsel’s failure to further question
these jurors, or by appellate counsel’s failure to amend his direct
appeal brief to specifically raise this sub-claim. Therefore, as the
Magistrate Judge concluded, Hand has not satisfied the cause-andprejudice requirements that would excuse his procedural default of
this ineffective assistance of trial counsel sub-claim.
(Order, Doc. No. 118, PageID 2846-53.)
Hand now argues that this portion of Judge Beckwith’s Order committed clear error (1) in
holding that “Jurors Ray and Finnamore were not prejudicial to the defense” and (2) in
distinguishing Quintero v. Bell, 256 F.3d 409 (6th Cir. 2009) (Motion, Doc. No. 121, PageID
2958-59).
21
As to the first of these supposedly manifestly erroneous holdings, Judge Beckwith was
quoting Hand’s counsel who said “Hand does not claim, as the Magistrate [Judge] implies, that
his jury was not fair and impartial or comprised of a fair cross-section of his peers, but instead
faults his attorneys for not adequately questioning Jurors Ray and Finamore to determine
whether they should be the subject of peremptory challenges.” (Objections, Doc. 108, PageID
2453) If the Petitioner concedes that his jury was fair and impartial, how can it be clear error for
the District Judge to find that the two jurors complained of “were not prejudicial to the defense”?
Perhaps what Hand is arguing is that these two jurors could not have been excused for cause, but
should have been the subject of peremptory challenges. (See Objections, Doc. No. 108, PageID
2453.) But what further information is there in the trial record to show that others in the jury
pool would have been more favorable than these two? It must be recalled that this is a claim of
ineffective assistance of trial counsel based on the trial record – nothing beyond the trial record
was introduced to prove that hypothesis. The Ohio courts dismissed this ineffective assistance of
trial counsel claim on res judicata grounds because nothing beyond the trial record was
introduced to prove it. To excuse that procedural default, Hand proposed to show ineffective
assistance of appellate counsel in failing to amend to add this claim. While the ineffective
assistance of appellate counsel claim itself is properly preserved for decision on the merits, to be
successful Hand must show that the argument that trial counsel was ineffective was a “clearly
stronger” argument than others that were made on appeal and would have to prove the trial
attorney ineffectiveness from the trial court record. He points to no evidence anywhere in the
record that further questioning of these two jurors would have produced anything to tip the scale
against them in the exercise of peremptory challenges. He does not even say what questions it
was ineffective assistance to fail to ask, much less what the answers would have been. When we
22
ask Hand’s current counsel what it is his trial counsel should have done, the answer is simply
“more.” That shows neither deficient performance nor prejudice under Strickland and a fortiori
does not show this would have been a “clearly stronger” argument on appeal.
Hand argues next that Quintero v. Bell, 256 F.3d 409 (6th Cir. 20013), has been applied in
a clearly erroneous way. In that case, seven of the twelve jurors had served in the prior trial of
Quintero’s co-escapees. Id. at 411. He did not preserve his claim that he did not receive a fair
and impartial jury on direct appeal and the Kentucky Supreme Court dismissed the claim on that
basis. Id. The district court granted the writ on the impartial jury claim, finding the procedural
default was excused by ineffective assistance of trial counsel. Id. The Sixth Circuit found the
taint from prior service was so grave as to constitute a structural error, and the failure to object
was so plainly deficient performance that Quintero did not have to show prejudice, either from
the taint or from the ineffective assistance. Id. at 415.
Hand argues Quintero stands for the proposition “that a jury containing members who
have prejudged the defendant’s guilt satisfies the prejudice requirement.” That is inaccurate.
What the Sixth Circuit held was that a jury including seven people who have actually sat in
judgment of co-defendants is presumptively prejudiced. Nothing like that occurred here. Jurors
Ray and Finnamore had been exposed to some pretrial publicity about the case. That exposure
was examined in voir dire and they revealed, as Judge Beckwith found, attitudes which would
leave a reasonable observer to think they might be favorable to the defense. It is standard
practice in cases which have received pretrial publicity to ask jurors if they have seen or heard it
and if they have formed an opinion which they cannot put aside. The law has no presumption
that a juror cannot put aside such opinions. Hand’s position seems to be that these jurors had not
put those opinions aside but that could not be shown sufficiently to excuse them for cause, so
3
Miscited by counsel as 2009.
23
counsel should have continued to examine them until he heard answers which would have caused
him to prefer some other unidentified potential juror to them. Quintero requires nothing of the
kind.
Claimed Error Four: Ineffective Assistance of Trial Counsel at the Sentencing Phase
First Branch: Omission of Psychologist Testimony
In his Fifth Ground for Relief, Hand claims he suffered ineffective assistance of trial
counsel when his attorneys did not elicit from the defense psychologist, Dr. Davis, testimony that
Hand was “truthful, open, and cooperative [in psychological testing]; that his test results did not
reveal characteristics similar to those of an antisocial personality disorder; and that Hand’s
psychiatric profile was not consistent with the typical traits of a ‘cold calculating antisocial
personality.’” (Petition, Doc. No. 11, ¶ 86, PageID 73.)
This ineffective assistance of trial counsel claim was not raised on direct appeal. When
Hand presented it in post-conviction with the supporting affidavit of Dr. Davis and his MMPI
test results, the state court rejected the claim as barred by res judicata on the theory that it could
have been presented on direct appeal. This Court affirmed the procedural default (Order, Doc.
No. 118, PageID 2878).
Hand argues it was clear error to reach this conclusion without considering whether the
default was excused “to the extent the claim could have been developed in the record, Hand’s
trial and appellate counsel were ineffective for failing to raise the issue.” (Motion, Doc. No.
121.) However, Hand points to no place in the state court record where he attempted to show it
was ineffective assistance of trial counsel to fail to present this evidence or ineffective assistance
24
of appellate counsel to fail to argue it was ineffective assistance of trial counsel to present this
evidence. Nor does he point in his Motion to any place in the federal court record where he
previously claimed the default was excused by ineffective assistance of counsel. The very
authority Hand cites, Edwards v. Carpenter, 529 U.S. 446 (2000), holds that ineffective
assistance of counsel claims available to show cause and prejudice can themselves be forfeited if
they are not presented to the state courts.
Judge Beckwith assumed arguendo that the procedural default was excused and found
there was no prejudice. She wrote:
But even assuming that res judicata does not apply and the claim is
not defaulted, Hand argues that his situation falls “within the
gambit” of Glenn v. Tate, 71 F.3d 1204 (6th Cir. 1995), a preAEDPA decision finding that counsel’s complete failure to
discover and present any relevant mitigation evidence amounted to
ineffective assistance of counsel. Hand also cites Williams v.
Taylor, 529 U.S. 362, 395 (2000), where the Supreme Court
granted habeas relief based on defense counsel’s failure to
investigate the petitioner’s truly nightmarish childhood. The fact
that Hand’s MMPI results were not discussed by Dr. Davis during
his trial testimony does not come close to the magnitude and
significance of the utter failure to investigate a defendant’s
background that was addressed in both Glenn and Williams. If Dr.
Davis had testified that Hand does not suffer from a manifest antisocial personality disorder, an area of cross-examination might
have been eliminated as Hand argued in his post-conviction
petition. But Dr. Davis does not opine or even suggest that Hand
was psychologically incapable of committing the murders, or of
conspiring with Welch to commit them. The state’s primary theory
was that Hand killed Jill because he badly needed money, and he
killed Welch to eliminate him as a witness to Jill’s murder. The
fact that the jury did not learn that Hand was not diagnosed with
anti-social personality disorder is not the sort of powerful
mitigating evidence, such as the type of evidence discussed in
Williams, that supports a reasonable likelihood that the jury would
not have imposed the death penalty if Dr. Davis had discussed
those test results.
...
25
Even if Dr. Davis had testified that Hand did not have an antisocial
personality disorder, or that he had depression and anxiety, that
testimony would not establish a reasonable probability that Hand
would have received a life sentence in lieu of the death penalty.
Even if this claim is not barred by res judicata, as the Ohio Court
of Appeals found, it would fail on its merits.
(Order, Doc. No. 118, PageID 2879-81.) In other words, the testimony of one psychologist that
Hand was not a sociopath (the other term for persons with anti-social personality disorder) would
not likely have persuaded the jury that a man responsible for the murder of three wives for
money who then murdered the hit man (conclusions the jury had already reached) was not
deserving of the death penalty.
Second Branch: Evidence of Medication
Hand also argues it was clear error for the Court to reject his claim that his trial counsel
were ineffective “in failing to present evidence [from his mental health expert] that he was
highly medicated during trial and thus unable to express emotion or remorse on the grounds that
Hand was not prejudiced by the exclusion of this testimony.” (Motion, Doc. No. 121, PageID
2960).
The objected-to portion of Judge Beckwith’s Order reads:
(B) Failure to present testimony about Hand’s demeanor at trial.
Hand alleges that when he testified at his trial, he was taking
prescribed medications which influenced his demeanor and
hampered his ability to clearly present his testimony. He suggests
that the lack of evidence about these medications must have
affected the jury’s evaluation of his credibility. This issue was first
raised as his sixth claim in his post-conviction petition. The Ohio
Court of Appeals found this claim (as well as his fourth and eighth
claims) barred by res judicata, because Hand did not offer
admissible evidence that was outside of the trial record: “Rather,
26
the record demonstrates the issues were cognizable and capable of
review on direct appeal.” State v. Hand, 2006-Ohio-2028 at ¶ 36.
The Magistrate Judge concluded that this claim is defaulted, and
that Hand did not show cause to excuse the default.
Hand objects, arguing that the essence of this claim is that his
attorneys failed to introduce evidence about the medications and
their alleged negative effect on his demeanor and his ability to
testify. As this claim would necessarily rely on evidence outside
the trial record (records concerning the medications), he contends
that he properly presented it in his post-conviction petition. Hand
submitted an affidavit with that petition from a mitigation
specialist, describing her conversation with one of Hand’s jurors,
who reported that Hand’s testimony was “awful,” that Hand
seemed very nervous, and that he kept changing his story. (Apx.
Vol. 10 at 380) Aside from the obvious hearsay problem, a juror’s
subjective impression of testimony offered at trial is inadmissible
under Ohio’s Evid. Rule 606(B), as the Ohio Court of Appeals
held. Hand also submitted medical records from the time he was
held in the Delaware County Jail before his trial, documenting
administration of Buspar (for anxiety) and Trazadone (an antidepressant). (Id. at 388-431) He argued that if his friends had been
called as witnesses, they would have testified that he always had
trouble “expressing himself” and was a “poor speaker.” (Apx. Vol.
10 at 101) But Hand does not dispute the fact that all of this
evidence was available at the time of trial. As the Ohio Court of
Appeals held, the issue was cognizable and capable of review on
direct appeal.
In his Supplemental Report, the Magistrate Judge further
concluded that even if the claim is not barred by res judicata, the
claim should be rejected on the merits. Even if Dr. Davis had
testified that Hand’s medications, his anxiety, or his general
“social ineptness” contributed to his difficulty in expressing
himself, or if his friends had testified about that difficulty, it is
sheer speculation to assume that any of that testimony would have
altered the outcome. (Doc. 111 at 19-20) The Court agrees with
this alternate conclusion. In order to demonstrate prejudice
resulting from ineffective assistance, Hand must demonstrate a
reasonable probability of a different result, not simply identify
additional evidence that could have been presented, or testimony
that other witnesses might have given. This sub-claim is therefore
denied.
(Order, Doc. No. 118, PageID 2884-85.)
Hand’s only argument about why this finding of no prejudice is clearly erroneous is that
27
the State “presented evidence that Hand failed to show emotion as evidence of his lack of
remorse.” (Motion, Doc. No. 121, PageID 2960, citing State v. Hand, 107 Ohio St. 3d 378, 38889 (2006). Nothing on either of those pages has anything to do with Hand’s demeanor at trial or
any argument about it by the prosecutor. The only place where the word “remorse” appears in
the Supreme Court opinion is in ¶ 126 where the court is discussing admission of testimony that
Hand failed to show remorse about Jill’s death two to three weeks after it happened; that
testimony did not concern his demeanor at trial. Nor is there any discussion in the opinion about
Hand’s demeanor at trial.
Aside from this one unpersuasive argument, Hand makes no other arguments in support
of his claim of clear error in finding no prejudice. The Court is not cited to any place in the
record where Dr. Davis is shown to have been willing or competent to testify “that the
medications [Hand] was taking prohibited him from outwardly expressing emotion.” (Motion,
Doc. No. 121, PageID 2960.)4 In post-conviction Hand argued that his friends could have been
called to testify he had trouble expressing himself and was a poor speaker. That testimony
would hardly have explained any lack of emotion he showed at trial, but only, perhaps, why his
testimony or unsworn statement were halting, if indeed they were. The only evidence Hand
presented about the impact of his demeanor on the jury was a post-conviction affidavit from a
mitigation specialist who found a juror who said that Hand’s testimony was “awful,” that he
seemed nervous, and that he kept changing his story. If the Buspar was prescribed for anxiety,
how explain that it did not appear to work? To this juror, Hand did not appear to be emotionless,
but nervous. And no medication would explain why he kept changing his story, which would
likely have had a negative impact on any juror’s evaluation of Hand.
4
Dr. Davis’ Affidavit in post-conviction concerned the MMPI results. He was not the prescriber of Trazadone and
Buspar because he was a psychologist, not licensed to prescribe controlled substances.
28
In sum, Hand has presented nothing to show the Court’s finding of lack of prejudice from
failure to present medication testimony was “clear error.”
Claim of Manifest Injustice
In addition to the claimed “clear” or “manifest” errors of law dealt with above, Hand
argues “it is manifestly unjust to impose a death sentence based solely on the thirty-year[-]old
recollections of biased individuals and a discrete statement allegedly made by Hand to a
jailhouse informant.” (Motion, Doc. No. 121, PageID 2960-61.)
As authority for the Court’s power to act to correct manifest injustice, Hand cites United
States v. Moored, 38 F.3d 1419,5 1421 (6th Cir. 1994). In that case the Sixth Circuit was
considering whether a district court could revisit loss calculation on remand for resentencing. It
held:
The law of the case doctrine and the mandate rule generally
preclude a lower court from reconsidering an issue expressly or
impliedly decided by a superior court. However, these principles
are not without exception. "Even where, as here, an appellate
court's mandate does not contemplate resurrecting an issue on
remand, the trial court may still possess some limited discretion to
reopen the issue in very special situations." Bell, 988 F.2d at 25051. In Petition of United States Steel Corp., 479 F.2d 489, 494 (6th
Cir.), cert. denied, 414 U.S. 859, 38 L. Ed. 2d 110, 94 S. Ct. 71
(1973), this circuit explained that the law of the case doctrine
dictates that issues, once decided, should be reopened only in
limited circumstances, e.g., where there is "substantially different
evidence raised on subsequent trial; a subsequent contrary view of
the law by the controlling authority; or a clearly erroneous decision
which would work a manifest injustice." (citing White v. Murtha,
377 F.2d 428, 431-432 (5th Cir. 1967)). Accord United States v.
Rivera-Martinez, 931 F.2d 148 (1st Cir.), cert. denied, 112 S. Ct.
184 (1991).
5
Miscited by counsel as “1319” at Doc. No. 121, PageID 2960.
29
Id..at 1421-22. Moored does not speak to any authority of a federal court to set aside a state
court criminal judgment because the federal court believes the sentence works a “manifest
injustice.” Nor is the Magistrate Judge aware of any federal case law supporting such a decision.
Presumably the core case of manifest injustice would be execution of someone who is actually
innocent and the Supreme Court, although it has come close, has not yet held that habeas
authority reaches to such a case. See Herrera v Collins, 506 U.S. 390, 417 (1993); House v. Bell,
547 U.S. 518 (2006).
Hand assumes the Court has the requisite authority and appeals directly to the Court’s
sense of justice. Given three dead wives and a dead hit man, Hand’s claim of injustice is, to put
it as mildly as possible, unpersuasive.
Conclusion
The Motion to Amend under Fed. R. Civ. P. 59(e), construed as a motion for
reconsideration, should be denied in its entirety.
September 16, 2013.
s/ Michael R. Merz
United States Magistrate Judge
NOTICE REGARDING OBJECTIONS
Pursuant to Fed. R. Civ. P. 72(b), any party may serve and file specific, written objections to the
proposed findings and recommendations within fourteen days after being served with this Report
and Recommendations. Pursuant to Fed. R. Civ. P. 6(d), this period is extended to seventeen
days because this Report is being served by one of the methods of service listed in Fed. R. Civ.
P. 5(b)(2)(C), (D), (E), or (F). Such objections shall specify the portions of the Report objected
to and shall be accompanied by a memorandum of law in support of the objections. If the Report
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and Recommendations are based in whole or in part upon matters occurring of record at an oral
hearing, the objecting party shall promptly arrange for the transcription of the record, or such
portions of it as all parties may agree upon or the Magistrate Judge deems sufficient, unless the
assigned District Judge otherwise directs. A party may respond to another party=s objections
within fourteen days after being served with a copy thereof. Failure to make objections in
accordance with this procedure may forfeit rights on appeal. See United States v. Walters, 638
F.2d 947 (6th Cir. 1981); Thomas v. Arn, 474 U.S. 140 (1985).
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