Davis v. Warden Chillicothe Correctional Institution
Filing
51
REPORT AND RECOMMENDATIONS - For the foregoing reasons, the Magistrate Judge recommends that Daviss Petition (ECF No. 6 ) be DISMISSED, and that judgment should be entered in favor of the Warden and against Davis. The undersigned concludes that no r easonable jurist would find that Davis has made asubstantial showing of the denial of a constitutional right, 28 U.S.C. § 2253(c)(2), or would disagree with this conclusion with respect to any of the claims, and recommends that Petitioner be den ied a certificate of appealability and that this Court certify to the Sixth Circuit that any appeal would be objectively frivolous and therefore should not be permitted to proceed in forma pauperis. Objections to R&R due by 6/30/2020. Signed by Magistrate Judge Michael R. Merz on 6/16/2020. (kma)
IN THE UNITED STATES DISTRICT COURT
FOR THE SOUTHERN DISTRICT OF OHIO
WESTERN DIVISION AT CINCINNATI
VON CLARK DAVIS,
Petitioner,
:
Case No. 2:16-cv-495
- vs District Judge Susan J. Dlott
Magistrate Judge Michael R. Merz
TIMOTHY SHOOP, Warden,
Chillicothe Correctional Institution
:
Respondent.
REPORT AND RECOMMENDATIONS
This capital habeas corpus case is before the Court for decision on the merits on the
Petitioner Von Clark Davis’s Petition for Writ of Habeas Corpus under 28 U.S.C. § 2254 (ECF
No. 6). The case has been referred to the undersigned for a Report and Recommendations. 28
U.S.C. § 636(b).
On May 16, 1984, Davis was convicted by a three-judge panel 1 of the Butler County, Ohio,
Court of Common Pleas of one count of aggravated murder of his girlfriend, Suzette Butler, with
a firearm specification, and one count of knowing use of a firearm while under a disability—having
previously pled guilty to and been convicted of both shooting with the intent to wound his
estranged wife, Ernestine, and later, second degree murder of Ernestine (Petition, ECF No. 6,
PageID 8581-82, 8589, citing Trial Tr., ECF No. 5-3, PageID 7641-42, 7645-47, 2nd Resent’g Tr.,
1
Judges Henry J. Bruewer, John R. Moser, and William R. Stitsinger
1
ECF No. 5-8, PageID 8441-42, 8466). After a penalty phase, which began on May 24, 1984, the
panel sentenced Davis to death. Id. at PageID 8589, citing State Court Record., ECF No. 4-3,
PageID 487-89. In 1988 and 2007, the Supreme Court of Ohio and the United States Court for the
Sixth Circuit, respectively, affirmed Davis’s convictions, but vacated his death sentence and
remanded the matter to the trial court for a new penalty phase. Davis v. Coyle, 475 F.3d 761 (6th
Cir. 2007); State v. Davis, 38 Ohio St. 3d 361 (1988). 2 Twice, three-judge panels resentenced
Davis to death (Petition, ECF No. 6, PageID 8595, 8618, citing State Court Record, ECF No. 439, PageID 4924-34; 1st Resent’g Tr., ECF No. 5-4, PageID 7728). The judgment from the Second
2
Given the case’s history and complexity, the parties and the Court have long taken to referring to cases in the
following ordinal fashion:
1.
2.
3.
4.
5.
6.
7.
8.
9.
10.
11.
12.
13.
14.
15.
16.
Davis I: State v. Davis, 12th Dist. Butler No. CA84-06-071, 1986 WL 5989 (May 27, 1986); (Appeal from
conviction and first sentencing to death)
Davis II: State v. Davis, 38 Ohio St. 3d 361 (1988) (Appeal from conviction and first sentencing to death);
Davis III: State v. Davis, 12th Dist. Butler No. CA89-09-123, 1990 WL 165137 (Oct. 29, 1990) (Appeal
from second sentencing to death);
Davis IV: State v. Davis, 63 Ohio St. 3d 44 (1992) (Appeal from second sentencing to death);
Davis V: State v. Davis, No. CR83-12-0614 (Butler Cnty. C.P. Jun. 30, 1995) (State Court Record, ECF No.
4-20, PageID 2158) (Postconviction petition)
Davis VI: State v. Davis, 12th Dist. Butler No. CA95-07-124, 1996 WL 551432 (Sept. 30, 1996) (Appeal
from postconviction petition)
Davis VII: State v. Davis, No. 96-2547, 77 Ohio St. 3d 1520, 674 N.E.2d 372 (TABLE) (Jan. 15, 1997)
(Appeal from postconviction petition)
Davis VIII: State v. Davis, 86 Ohio St. 3d 212 (1999) (per curiam) (Appeal from application to reopen
direct appeal)
Davis IX: Davis v. Bagley, No. C-1-97-402, unreported, included at ECF Nos. 16-1 and 16-2 (S.D. Ohio Jan.
17, 2002) (Graham, J.) (Habeas petition)
Davis X: Davis v. Coyle, 475 F.3d 761 (6th Cir. 2007) (Appeal from habeas petition)
Davis XI: State v. Davis, 12th Dist. Butler No. CA2009-10-263, 2011-Ohio-787 (Feb. 22, 2011) (Direct
appeal from second resentencing);
Davis XII: State v. Davis, No. CR83-12-0614 (Butler Cnty. C.P. Nov. 26,2012), unreported, included at State
Court Record, ECF No. 4-47, PageID 6633 et seq. (Second postconviction petition);
Davis XIII: State v. Davis, 12th Dist. Butler, No. CA2012-12-258, 2013-Ohio-3878 (Sept. 9, 2013) (Appeal
from second postconviction petition);
Davis XIV: State v. Davis, 139 Ohio St. 3d 122, 2014-Ohio-1615 (Direct appeal from second
resentencing);
Davis XV: State v. Davis, 143 Ohio St. 3d 1441, 2015-Ohio-3427 (Appeal from second postconviction
petition); and
Davis XVI: Davis v. Ohio, 135 S.Ct. 1494 (Mem) (2015) (Petition for certiorari from direct appeal from
second resentencing).
2
Resentencing became final upon the United States Supreme Court’s denying Davis’s petition for
writ of certiorari on March 2, 2015. Davis XVI, 135 S.Ct. 1494. 3 Davis first filed a petition for
writ of habeas corpus in this Court on April 28, 1997, which was denied by Judge James L.
Graham in Orders dated December 23, 1997, and September 4, 2001. Davis IX, ECF Nos. 16-1,
16-2. Those orders were overturned by the Sixth Circuit’s decision to vacate Davis’s death
sentence and remand for resentencing. Davis X, 475 F.3d 761. Davis filed the instant Petition on
August 25, 2016 (ECF No. 6). For the reasons set forth below, it is recommended that the Petition
be DENIED.
I.
FACTUAL BACKGROUND AND PROCEDURAL HISTORY
The factual background has been extensively set forth in previous opinions listed supra.
The discussion below is limited to those facts germane to the Grounds for Relief in the instant
Petition.
Davis, after dropping out of school in the ninth grade, enlisted in the Navy in 1964 when
he was seventeen years old, but was discharged seven months later after he went Absent Without
Leave and the Navy “determined his emotional instability was ‘so severe that he [was] not suitable
to be in the US Armed Forces.’” (Petition, ECF No. 6, PageID 8581 (brackets in original, quoting
2nd Resent’g Tr., ECF No. 5-8, PageID 8442; citing 2nd Resent’g Tr., ECF No. 5-8, PageID 844142, 8466)). He married Ernestine in 1967, but the couple separated in 1969. Id. On September
16, 1969, while they were separated, Davis fired four shots at Ernestine, causing her to “suffer[] a
bullet wounds (sic) in the right upper arm and in the left hand.” (Trial Tr., ECF No. 5-3, PageID
3
Justice Breyer dissented from the denial of certiorari without opinion. 135 S.Ct. at 1494.
3
7642). Davis was subsequently charged with and pled guilty to one count of discharging a firearm
with the intent to wound Ernestine. Id. On December 30, 1970, during an altercation, Davis, by
his own admission to law enforcement officers, stabbed and killed Ernestine. Id. at PageID 764547. In 1971, a mental evaluation was conducted on Davis, in which the psychologist concluded
that Davis’s “desperate need for relationships triggers paranoia at the prospect of losing them,
causing a sudden and dramatic vacillation from love and idealization to anger and hate. This
disposition made Mr. Davis prone to ‘angry outbursts with very little provocation.’” (Petition,
ECF No. 6, PageID 8582, quoting 2nd Resent’g Tr., ECF No. 5-7, PageID 8445). “This evaluation
additionally described Mr. Davis as ‘unstable and hostile’ and ‘afraid of his impulses.’” Id.,
quoting 2nd Resent’g Tr., ECF No. 5-7, PageID 8445. Davis pled guilty to one count of seconddegree murder of Ernestine and served ten years in prison from 1971 until 1981.
While
incarcerated, Davis exhibited exemplary behavior and obtained numerous educational degrees and
certifications. Id., citing Trial Tr., ECF No. 5-3, PageID 7613-15.
Upon his release, Davis began a tumultuous live-in relationship with Suzette Butler. On
December 12, 1983, while separated from Butler, Davis asked Wade Coleman and Mark Lovette,
his cousin and acquaintance, respectively, to buy a gun and bullets for him. Coleman testified that
Davis wanted the gun for protection, but gave no specifics and never mentioned Butler with respect
to acquiring the weapon (Trial Tr., ECF No. 5-2, PageID 7313-15).
Armed and heavily
intoxicated, he entered an American Legion bar in Hamilton, Ohio, where Butler was eating dinner
with a friend, Mona Aldridge (Petition, ECF No. 6, PageID 8583, citing Trial Tr., ECF No. 5-2,
PageID 7289-92, 7309-13, 7317, 7335-37). Butler and Davis talked privately (and, by outward
appearances, calmly) before Aldridge joined them (Trial Tr., ECF No. 5-2, PageID 7348-49).
Aldridge testified that at some point, Butler asked her to watch her personal belongings while she
4
went outside with Davis. Several minutes after Butler and Davis stepped outside, Aldridge
reportedly opened the door to the bar, “peeked out[,]” and saw “Davis with a gun pointed towards
[Butler’s] head.” (Trial Tr., ECF No. 5-2, PageID 7338, 7353-54). While the police record of
Aldridge’s statement immediately after the shooting included a statement that she heard Butler and
Davis arguing when she peeked outside, she testified at trial that they were not arguing and that
she never told the police that. Id. at PageID 7358-60. Aldridge further testified that, even though
she did not hear gunshots, she ran back inside the American Legion because she was scared, and
approximately 90 seconds later, people entered the bar and reported that someone had been shot.
Id. at PageID 7338-39, 7355.
Sometime between 7:00 and 7:30 that evening, an Anthony Ferguson observed Butler and
Davis outside the bar as Ferguson was standing on the corner diagonally across from the American
Legion. Ferguson testified that “as soon as [Butler and Davis] walked out the door he turned
around and he shot her. And as she fell on the ground he shot her some more . . . about three or
four times.” (Grand Jury Tr., ECF No. 5-1, PageID 7128). Ferguson did not call the police but
spoke with law enforcement after the crime scene was roped off. Id. at PageID 7147-48. However,
Ferguson did not testify at trial, and two of the State’s trial witnesses, Reginald Denmark and
Cozette Massey, who testified that they were near the scene of the crime, testified that they had
not seen Ferguson. (Petition, ECF No. 6, PageID 8735, citing Trial Tr., ECF No. 5-2, PageID
7373-74, 7382-83, 7424). Denmark and Massey, who were in a romantic relationship at the time
of the murder, indicated that they had left Massey’s apartment between 7:15 and 7:30 p.m. and
observed Butler and Davis outside the American Legion from across the street; Massey testified
that she heard gunfire and saw Davis shoot Butler in the head three times after the initial two
gunshots (which she did not witness) sent Butler to the ground (Trial Tr., ECF No. 5-2, PageID
5
7366-68). Massey further testified that she spoke to the police anonymously immediately after the
shooting occurred, and also spoke to the police approximately four days later. During the latter
interview, police showed Massey a photograph of Butler (in isolation, rather than an array of
photographs including others), and a photograph of Davis with Butler (again, in isolation). From
those photos, Massey identified Butler as the victim and Davis as the man who shot her. Id. at
PageID 7385-89. When Massey identified Davis in court as the perpetrator, trial counsel moved
to strike the identification, arguing that it was the fruit of the photograph shown Massey by the
police, which was itself an impermissibly suggestive process. However, the three-judge panel
collectively overruled the motion. Id. at PageID 7393-94.
Denmark testified that, from across the street next to Massey, he saw Davis quickly take
out a gun and fire two shots; at that point, Denmark testified, Butler attempted to say something
but fell to the ground, at which point Davis quickly shot her again (Trial Tr., ECF No. 5-2, PageID
7397-98, 7417). Denmark identified Davis while under oath, saying that he had known of Davis
at the time of the shooting, having seen him around town, and that there was “never any doubt”
that Davis was the man he had seen shooting Butler. Id. at PageID 7399-400. At the end of the
State’s case-in-chief, Davis’s counsel moved for acquittal on the charge of aggravated murder,
citing the inconsistent testimony of the above eyewitnesses and arguing that, even if true, there
was no “prior calculation or design” by Davis to kill Butler, which was required under the statute
to sustain a conviction for aggravated murder (Trial Tr., ECF No. 5-3, PageID 7445-53, citing
Ohio R.Crim.P. 29). The three-judge panel overruled the motion, finding “that there is sufficient
evidence here on each element in the crimes charged in the indictment[.]” Id. at PageID 7461.
After the Rule 29 Motion was denied, Davis’s counsel, John Garretson, set forth Davis’
defense with his opening statement. Counsel argued that the evidence would show that Davis had
6
procured the gun and ammunition not for a purpose of violence, but to trade those items to a man
named Silky Carr in exchange for dental equipment, as “his trade so to speak that he learned in
prison was to be a dental technician.” (Trial Tr., ECF No. 5-3, PageID 7463). He also claimed
that Carr showed up at the American Legion looking for Butler, who allegedly owed Carr money
from drug transactions, and that Davis had left the American Legion while Carr and Butler were
talking. Id. at 7464. Davis, testifying on his own behalf, stated that after hearing that Butler had
been shot, he went to Lexington, Kentucky, where Carr was living, in an unsuccessful attempt to
track the latter down. He testified that, after three days, he turned himself into Lexington police
and arranged to have the Hamilton, Ohio, Police Department pick him up and return him to
Hamilton. Id. at PageID 7539-41. Davis adamantly denied shooting Butler. Id. at PageID 7541.
On cross-examination, Davis conceded that he and Butler had separated only five days
before the murder (Trial Tr., ECF No. 5-3, PageID 7542-43). He further conceded that he did not
have the bullets to make the firearm functional, such that he could give the gun to Carr, until
approximately three hours prior to Butler’s being killed, and that nobody else besides Davis was
responsible for the gun and bullets prior to that time. Further, he stated that despite giving the gun
to Carr in the late afternoon in Hamilton, he and Carr had agreed that Carr would not give him the
dental equipment until between 8:30 and 9:30 that evening in Middletown, Ohio. Id. at PageID
7556-58.
Davis was indicted by a Butler County, Ohio, grand jury, with a Caucasian foreperson, on
January 6, 1984, the aforementioned charges of aggravated murder with a capital specification and
use of a firearm after having been convicted of a violent felony (State Court Record, ECF No. 41, PageID 72). On January 17, 1984, Davis, via his attorney Michael Shanks, filed a Motion to
Sever the charged counts and a Motion to Dismiss and to Inspect the Grand Jury Transcript. Id. at
7
PageID 75-76, 82-102. On February 1, 1984, Davis filed a Motion to Bifurcate the Trial/Motion
in Limine to separate the trials for Count One (aggravated murder) and Count Two (unlawful use
of firearm) or, in the alternative, to prevent the introduction of evidence as to the reason he was
under a firearm restriction (i.e., the murder of Ernestine) “only after a finding of guilty is returned
on the charge of aggravated murder[.]” Id. at PageID 127. On May 4, 1984, Judge Bruewer
overruled all the above motions (State Court Record, ECF No. 4-3, PageID 428-31). Subsequently,
on advice of counsel, Davis waived his right to a jury trial in favor of being tried before the threejudge panel of Judges Bruewer (acting as Presiding Judge), Moser, and Stitsinger. Id. at 432-33,
citing Ohio Rev. Code § 2945.06. On May 16, 1984, having heard the testimony detailed above,
the panel, after approximately ninety minutes of deliberations, found Davis guilty on both counts.
Id. at PageID 473; Trial Tr., ECF No. 5-3, PageID 7607.
On May 29, 1984, the panel convened a sentencing hearing, at which John Bohlen, Chief
of the Adult Probation Department, testified as a defense witness (Trial Tr., ECF No. 5-3, PageID
7610). Bohlen, in preparing the presentence report, also reviewed records from Davis’s previous
incarceration and the pre-parole psychological evaluation conducted in December 1980. In that
evaluation, Davis was classified as having “Compulsive Personality Disorder,” but that
classification was qualified by the evaluator’s conclusion that “the results of personality testing
are not indicative of serious personality disorientation.” Id. at PageID 7610-12. He testified that
Davis, despite having only an eighth grade education upon incarceration at London Correctional
Institution (“LCI”), went through dental technician training and obtained a General Equivalency
Diploma (“GED”) by March 1973, Associate’s Degree in Business Administration, and vocational
training in masonry and as an automobile mechanic. Id. at PageID 7612-14. Bohlen concluded
by stating that Davis had no instances of discipline or misconduct while incarcerated. Id. at PageID
8
7614-15. Charles and Alluster Tipton, Davis’s stepfather and mother respectively, testified to
Davis’s good character both while incarcerated and when he lived with them upon release. Id. at
PageID 7615-25.
Roger Fisher, Ph.D., director of the Butler County Center for Forensic Psychiatry, testified
as to his May 21, 1984, evaluation of Davis and his review of previous psychological and
psychiatric records (Trial Tr., ECF No. 5-3, PageID 7625, 7627-28). Among those records was an
April 27, 1978, evaluation done by LCI Psychological Services, in which the psychologist stated
that his “basic impression of Davis is largely that of active-detached individual with schizoid
trends[.]” Id. at PageID 7630. Dr. Fisher also reviewed a 1980 evaluation conducted by LCI
Psychological Services, which “indicated that the over all (sic) impression is that of an individual
who is best classified under the heading of Compulsive Personality Disorder[.]” Id. Dr. Fisher
indicated that he agreed with both assessments, “even as we see Mr. Davis today.” Id. at PageID
7631. However, on cross-examination, Dr. Fisher admitted that both reports termed Davis a
“minimal risk” to persons and property[.]” Id. at PageID 7632. Importantly, Dr. Fisher opined
that, at the time when Davis allegedly murdered “Butler, he was free of . . . mental disease or defect
which would have impaired his capacity to appreciate the criminality of any conduct in which he
engaged or to have conformed his conduct to the requirement of the law[,]” and that Davis “was
then and is now, free of any emotional disease or defect, of the mind[.]” Id. at PageID 7633-34,
7635. The State used this conclusion to support its argument that the “mental disease or defect”
mitigation factor was not applicable; nor, for that matter, were any other mitigation factors. Id. at
PageID 7650.
Shanks, in his closing argument on behalf of Davis, noted the contradictory eyewitness
testimony and argued that, even if Davis had killed Butler, the evidence suggested that it was a
9
crime of passion, lacking the prior calculation or design of an intentional killing (Trial Tr., ECF
No. 5-3, PageID 7653-55). He also argued that Davis’s past and present mental illness were
significant mitigating factors, and that if the panel chose “not to impose the ultimate punishment,
. . . then Mr. Davis, in all honesty, as this panel well knows[,] is going to die in prison in any
event.” Id. at PageID 7655-57. The panel imposed a death sentence on May 19, 1984. Id. at
PageID 7672.
II.
POST-SENTENCING PROCEDURAL HISTORY
A.
Initial Direct Appeal
1.
Twelfth District Court of Appeals
As Butler’s murder occurred before January 1, 1995, Petitioner first appealed to the
Twelfth District Court of Appeals, rather than directly to the Supreme Court of Ohio. Davis I,
1986 WL 5989. On November 13, Attorney Timothy Evans filed Petitioner’s initial brief, (State
Court Record, ECF No. 4-4, PageID 546), raising seven assignments of error, with numerous subassignments:
FIRST ASSIGNMENT OF ERROR: The trial court erred in failing to dismiss the death
penalty specifications against the Defendant because the death penalty is unconstitutional.
1. The death penalty as authorized by the Ohio Revised Code, deprives
the Defendant of his life for that [sic] due process of law guaranteed
in Article One, Section 16 of the Ohio Constitition (sic) and the
Fourteenth Amendment to the United States Constitution.;
2. Ohio’s death penalty violates the Eighth Amendment of the United
States Constitution and Ohio Constitution, Article One Section 9
prohibiting the infliction of cruel and unusual punishment.;
3. The death penalty is arbitrarily and capriciously inflicted,
constituting a denial of equal protection of the laws under the Eighth
and Fourteenth Amendments of the U.S. Constitution and Article
One, Section 9 and 16 of the Ohio Constitution;
10
4. The death penalty sections of the Ohio Revised Code deprive the
Defendant of due process of law under the Fourteenth Amendment
and Article One, Section 16 of the Ohio Constitution and constitute
cruel and unusual punishment under the Eighth Amendment and
Article One, Section 9 of the Ohio Constitution as it permits
imposition of the death penalty on a less than adequate showing of
guilt. It is also unconstitutional because it requires proof of
aggravating circumstances during the guilt determination state of
death penalty deliberations;
5. The death penalty is unconstitutional because it denies the
Defendant the right to a trial before an impartial jury as guaranteed
by the Sixth and Fourteenth Amendment to the U.S. Constitution
and Article 1, Section 10 of Ohio Constitution;
6. The death penalty is unconstitutional because it has a chilling effect
on the Defendant’s right to a jury trial guaranteed by the Sixth and
Fourteenth Amendment to the U.S. Constitution and Article 1,
Section 10 of the Ohio Constitution;
7. Section 2945.25(c) of the Ohio Revised Code violates the
Defendant’s right to an impartial jury on the determination of guilt;
8. The Ohio death penalty fails to provide a sentencing authority with
an option to choose a life sentence when there are aggravating
circumstances and no mitigating circumstances and is, therefore,
unconstitutional under the Eighth and Fourteenth Amendments to
the U.S. Constitution and Article 1, Section 9 and 16 of the Ohio
Constitution; and
9. The death penalty authorized by the Ohio Revised [Code] violates
the Eight Amendment and the Fourteenth Amendment clauses of the
U.S. Constitution and the cruel and unusual punishment provisions
and due process clauses of the State Constitution in that several of
the aggravating circumstances set forth in Ohio Revised Code
2929.04 (a) are overbroad and vague and fail to reasonably justify
the imposition of the ultimate sentence.
SECOND ASSIGNMENT OF ERROR: The court erred in failing to allow the Defendant
to inspect the grand jury transcript.
1. Where the Defendant moves to dismiss and to inspect the grand jury
transcript for purposes of showing that the indictment against him
was not based upon probable cause and that the indictment was
11
founded on illegal and incompetent evidence, the Defendant has a
right to inspect the Grand Jury Testimony.
THIRD ASSIGNMENT OF ERROR: The court erred in denying Defendant’s motion to
bifurcate the trial and sever the charges.
1. Where a defendant is charged with aggravated murder with a
specification that he had previously been convicted of murder and
further in the second count of the indictment charged with having
firearms while under disability, is it improper for the Court to try all
charges together and to refuse to bifurcate the trial and to have the
proof of specification at the sentencing hearing if the defendant is
found guilty and further to refuse to sever the charge of having
weapons while under disability so that no evidence would be
introduced as to defendant’s prior crimes.
2. Where the Defendant is charged with aggravated murder with a
specification that he has previously committed a homicide and also
while having weapons while under a disability, Defendant’s right to
a trial by an impartial jury is violated by requiring all charges to be
tried at once, in violation of the Ohio Revised Code, so as to allow
the prosecution to introduce by way of evidence on having weapons
while under disability, evidence which could not otherwise be
introduced at the trial in chief.
FOURTH ASSIGNMENT OF ERROR: The judgment was against the manifest weight of
evidence and contrary to law.
1. Where the Defendant, in an aggravated murder case is bound over
to the grand jury and indicted on the testimony of one witness and
the State then fails to present that witness at Trial, but instead
presents other witnesses who contradict the fact that that witness
was even at the scene , the judgment is against the manifest weight
of the evidence and the credibility of the State's case fails entirely;
and
2. Where the State presents no evidence that the Defendant in any way
plotted, schemed or planned to kill the deceased, and there is no
evidence of prior calculation and design the Defendant may only be
convicted of murder and not aggravated murder.
FIFTH ASSIGNMENT OF ERROR: The court erred in not dismissing the specification
of the indictment that the Appellant had committed a prior homicide, on the basis that such
12
specification was too remote in time to be used against Appellant.
1. Where the prior murder conviction of the Defendant occurred
thirteen (13) years prior to the homicide in question, to allow such
homicide to be used as a basis of an aggravating circumstance is
improper and should have been stricken from the indictment.
SIXTH ASSIGNMENT OF ERROR: The court erred in imposing the death penalty as the
court found as aggravating factors not listed in the Ohio Revised Code and factors which were
improper for consideration under the Ohio Revised Code.
1. Where the court finds as aggravating circumstances four factors
which are not listed in the Ohio Revised Code as aggravating
circumstances, and not charged in the indictment as specifications,
and considers these circumstances in imposing death, the Court errs
in imposing the death penalty and the death penalty must be
reversed.
SEVENTH ASSIGNMENT OF ERROR: Under the proportionality review required by
this court, the penalty imposed upon Von Clark Davis is out of proportion to the other sentences
given for similar crimes in this court.
1. Under ORC 2929.05, where this Court is required to consider
whether the sentence is excessive or disproportionate to the penalty
imposed in similar cases, the penalty imposed upon Von Clark
Davis is excessive.
(State Court Record, ECF No. 4-4, PageID 546-53).
The Twelfth District rejected all seven Assignments of Error and affirmed the trial court’s
death sentence. Davis I, 1986 WL 5989. The panel noted that Ohio’s death penalty scheme had
been generally upheld as constitutional, and thus the First Assignment and each of its subassignments were without merit. Id. at *2-5 (citations omitted). As to the Second Assignment,
the panel concluded that Davis had not demonstrated a particularized need that outweighed the
general need for grand jury secrecy. Id. at *5-6, citing Ohio R.Crim.P. 6(e); United States v.
Calandra, 414 U.S. 338, 344-45 (1974); State v. Greer, 66 Ohio St. 2d 139 (1981). The Appellate
13
court found that the Third Assignment (failure to sever) was without merit; as the charges arose
out of the same transaction, joinder was proper, and joinder raised only a risk of prejudice, one
which never materialized: “The evidence of the prior convictions was simple and distinct; there
was no elaboration as to the details of appellant’s prior second degree murder conviction.” Id. at
*7-8, citing Ohio Rev. Code § 2941.04; Ohio R.Crim.P. 8(a), 14. Similarly, the panel concluded
that, because “evidence of appellant’s 1971 second degree murder conviction was here offered, in
connection with R.C. 2929.04(A)(5), simply to demonstrate that appellant had, in fact, previously
been convicted of an offense an essential element of which was the purposeful killing of another[,]”
Davis’s Fifth Assignment (not dismissing the specification in the indictment that he had committed
a prior homicide) was unavailing Id. at *10. The Twelfth District found, contrary to Davis’s
Fourth Assignment, that there was sufficient evidence that his murder of Butler was the product
of prior calculation and design, despite Davis’s state of mind at the time not being established. Id.
at *9, quoting State v. Davis, 8 Ohio App. 3d 205, 206-07 (8th Dist. 1982); citing State v. Robbins,
58 Ohio St. 2d 74 (1979).
On Davis’s Sixth Assignment, the appellate panel concluded that the three-judge panel’s
findings of five aggravated circumstances was improper because they were not strictly confined to
the eight statutorily permitted aggravating factors. Davis I, 1986 WL 5989 at *5, 10-11, citing
Godfrey v. Georgia, 446 U.S. 420, 428-29 (1980); Ohio Rev. Code §§ 2929.03(F), 2929.04(A).
Nonetheless, the Twelfth District concluded that “although the trial court improperly considered
non-statutory aggravating circumstances, this does not require that appellant’s sentence be set
aside[,]” as there was sufficient evidence that the validly considered aggravating circumstances
outweighed the mitigating factors. Id. at *12, quoting State v. Jenkins, 15 Ohio St. 3d 164, 199200 (1984); citing Zant v. Stephens, 462 U.S. 862 (1983). The panel also overruled his Seventh
14
Assignment, conducting its statutorily mandated proportionality analysis under Ohio Rev. Code §
2929.05(A) and opining “that the death penalty is appropriate in this case sub judice and is not
excessive or disproportionate to the penalty imposed in similar cases.” Id. (citations omitted).
2.
Supreme Court of Ohio
Davis then appealed to the Supreme Court of Ohio, raising as propositions of law the same
seven assignments of error raised with the Twelfth District, and added Proposition of Law VIII:
“Where the testimony of the State’s Witness is contradictory to the point that credibility is
questionable and the state presents no evidence of prior calculation and design, the conviction of
aggravated murder was against the manifest weight of the evidence.” (State Court Record, ECF
No. 4-6, PageID 740). The Supreme Court of Ohio sustained Davis’s Seventh Proposition of Law,
noting that “[t]he trial essentially made ‘prior calculation and design’ an aggravating circumstance.
It is an element of aggravated murder, but it is not an aggravating circumstance listed in R.C.
2929.04(A).” Davis II, 38 Ohio St. 3d at 372. The panel also rejected the State’s contention “that
consideration of nonstatutory aggravating circumstances does not constitute reversible error.” Id.
at 369, citing Barclay v. Florida, 463 U.S. 939 (1983); Zant, 462 U.S. 862. In both Barclay and
Zant, the United States Supreme Court “held that review of such a defect required an inquiry into
‘the function of the finding of aggravating circumstances under [state] law and the reason why this
aggravating circumstance is invalid.’” Id. at 370, quoting Barclay, 463 U.S. at 951; citing Zant,
462 U.S. at 884. The Supreme Court of Ohio noted that “Florida’s statutory framework for
implementation of capital punishment is similar to Ohio’s[,]” id., citing Jenkins, 15 Ohio St. 3d at
207, and that, in Barclay, the death sentence was upheld despite the consideration of improper
aggravating circumstances, as “the [United States] Supreme Court was persuaded by the fact that
15
the evidence of the defendant’s record was otherwise admissible, and that in reviewing similar
errors, the Florida Supreme Court did not mechanically apply a harmless error analysis.” Id., citing
Barclay, 463 U.S. at 956-58.
“However,” the court continued, “it is significant to note that in Barclay, unlike the case at
bar, the trial court did not find any mitigating factors to be present[,]” Davis II, 38 Ohio St. 3d at
370 (emphasis in original), and that when there are mitigating factors found, “the case will
generally be remanded for resentencing.” Id., citing Elledge v. State, 346 So.2d 998, 1002-03 (Fla.
1977). Remand was necessary, the court concluded, because the aggravating circumstances in
Ohio Rev. Code §2929.04(A) were meant to guide the sentencing court; accordingly, the
statutorily-mandated independent review conducted by the appellate court, even if accurate,
cannot function as a “cure-all” for an improper trial court analysis. Id. at 372. However, the court
affirmed Davis’s conviction, and stated that “[w]e have not found the evidence in the instant action
to be legally insufficient to justify imposition of the death penalty.” Id. at 373 (emphasis in
original). Accordingly, the court remanded the case for a “resentencing hearing at which the state
may seek whatever punishment is lawful, including, but not limited to, the death sentence.” Id.
(emphasis added). Finally, the court found that, because Davis was sentenced initially by a threejudge panel, and would be resentenced by a three-judge panel, the court’s holding in State v. Penix,
32 Ohio St. 3d 369, 371 (1987), which barred reimposition of the death penalty when the initial
sentencing and resentencing both proceeded before a jury, did not apply to Davis. Id.; see also id.
at 374 (Holmes, J., concurring in part and dissenting in part):
The sole concern of the majority in Penix was that Ohio’s death
penalty statute did not expressly provide for either re-impaneling the
original sentencing jury or impaneling a new jury upon remand from
an appellate court, coupled with the realization of the practical
difficulties inherent in such an undertaking. Such practical concerns
are obviously not present in trials held before a three-judge panel.
16
B.
First Resentencing
On remand, Davis was represented by Timothy Evans, Garretson, and Michael Shanks,
and promptly moved to withdraw his jury waiver and to be resentenced to life imprisonment (State
Court Record, ECF No. 4-11, PageID 1119-22). Davis moved to disqualify the three-judge panel
and, in the alternative, prohibit any such panel from imposing a death sentence in light of Penix.
Id. at PageID 1125-26, citing 32 Ohio St. 3d 369. Davis argued that, were he to be resentenced by
a three-judge panel, he would be disadvantaged vis-à-vis an inmate for whom a jury would
consider the imposition of the death penalty upon resentencing, as the panel would “not come to
this resentencing with the same state of mind, knowledge of this case, nor disposition to hear this
matter as when the case was originally heard.” Id. at PageID 1126. However, in a July 25, 1989,
affidavit, Daniel G. Eichel, the First Assistant Prosecuting Attorney for Butler County, averred
that during the March 2, 1988, oral argument for Davis II, Evans, representing Davis, “was asked
by one of the Justices whether the death penalty could again be sought on remand; Mr. Evans
replied in the affirmative, and agreed with the Justice’s comment that Penix would not apply
because this was a three-judge panel rather than a jury trial.” Id. at PageID 1149.
Judges Bruewer, Moser, and Stitsinger were again empaneled to conduct the resentencing,
and on July 31, 1989, the panel overruled all of Davis’s motions (State Court Record, ECF No. 411, PageID 1168-69). The first resentencing of Davis began with the resumption of deliberations
on August 4, 1989, and on August 7, the panel resentenced Davis to death, finding the following
mitigating factors to be “of slight weight”:
l) The Defendant adjusted well to prison routine and during his stay
in prison, obtained a high school GED and an associate degree in
Business Administration, and studied for and worked as a dental
technician.
17
2 ) There has always been a good family relationship between the
Defendant and all members of his family, including his stepfather.
3 ) Since his release on parole, he has maintained at least partial
employment.
4) As testified by the psychologist, Defendant has a compulsory
(sic) personality disorder or explosive disorder which may have
contributed to the violence in this case.
Id. at PageID 1176-77. The panel found that those mitigating factors “were overwhelmingly
counterbalanced and outweighed by the aggravating circumstance of his prior conviction for
purposeful killing, demonstrating rather convincingly that a prior life sentence was no deterrent at
all for this Defendant.” Id. at PageID 1177.
1.
Twelfth District Court of Appeals
On appeal from the sentence on remand, Davis was represented by Randall M. Dana of the
Ohio Public Defender (State Court Record, ECF No. 4-12, PageID 1227), and raised the following
Assignments of Error:
FIRST ASSIGNMENT OF ERROR: The trial court erred to the prejudice of Appellant
Davis by failing to allow him to present all available, relevant mitigating evidence at his
resentencing hearing.
1. A capital defendant, facing the possibility of a death sentence, must
be entitled to introduce all available relevant mitigating evidence at
a resentencing hearing.
SECOND ASSIGMENT OF ERROR: The trial court erred to the prejudice of Appellant
Davis by separating during its sentencing deliberations.
1. A sentence which is determined by a three-judge panel, where the
panel conducted part of their deliberations individually and separate
from one another, is a violation of due process of law as guaranteed
18
by the Fifth, Sixth, Eighth, and Fourteenth Amendments to the
United States Constitution and Sections 9 and 16, Article I of the
Ohio Constitution.
THIRD ASSIGNMENT OF ERROR: The trial court erred to the prejudice of Appellant
Davis in overruling his motion to prohibit three-judge panel from resentencing to death and his
motion to withdraw jury waiver.
1. The fact that a capital defendant tried before a three judge panel is
eligible for the death penalty at a resentencing hearing, while a
capital defendant tried before a jury is not, violates the principles of
the due process and equal protection clauses; and
2. The jury waiver executed by Appellant Davis was not knowing,
intelligent, and voluntary...
FOURTH ASSIGNMENT OF ERROR: The death sentence imposed in DefendantAppellant (sic) case was inappropriate and disproportionate and violated the Eighth and Fourteenth
Amendments to the United States Constitution and Sections 9 and 16, Article I of the Ohio
Constitution.
1. The imposition of a death sentence is inappropriate and a violation
of Appellant’s rights as guaranteed by the Eighth and Fourteenth
Amendments and Sections 9 and 16, Article I of the Ohio
Constitution where the sentencer does not consider all of the
relevant mitigating evidence and accord each mitigating factor its
proper weight; and
2. A sentence of death is disproportionate and a violation of
Appellant's rights under the Eighth and Fourteenth Amendments to
the United States Constitution and Sections 9 and 16, Article I of the
Ohio Constitution where it is shown to be excessive when compared
to cases already decided by the court in which the death penalty has
been imposed.
FIFTH ASSIGNMENT OF ERROR: The trial court erred in imposing the death sentence
on Appellant Davis because the death penalty scheme in Ohio is unconstitutional.
1. The death penalty constitutes cruel and unusual punishment;
19
2. Ohio’s capital punishment scheme allows for imposition of the
death penalty in an arbitrary and discriminatory manner;
3. The death penalty violates due process;
4. Ohio’s capital punishment scheme is unconstitutional because it
requires proof of mitigating factors by a preponderance of evidence;
5. Ohio’s death penalty does not ensure a sufficiently individualized
determination in sentencing;
6. Ohio’s capital felony murder scheme fails to narrow those offenders
eligible for the death penalty;
7. The death penalty scheme imposes an impermissible risk of death
on capital defendant’s (sic) who choose to exercise their right to a
jury trial;
8. Adequate appellate review of death sentences is precluded because
trial courts do not file life [sentence] opinions;
9. Ohio courts’ proportionality review fails to meaningfully
distinguish between those capital defendants for whom death is
appropriate, and those who are not; and
10. Ohio’s capital statutes are mandatory in nature.
(State Court Record, ECF No. 4-12, PageID 1283-93).
The Twelfth District overruled all five Assignments on October 29, 1990. Davis III, 1990
WL 165137. As to the First Assignment, the panel held that “upon remand the lower court is
required to proceed from the point at which the error occurred.” Id. at *2, citing State ex rel.
Stevenson v. Murray, 69 Ohio St. 2d 112, 113 (1982). As the reversible error (improper weighing
of evidence) occurred after the submission of evidence, the procedural posture on remand was for
the trial court to weigh properly the evidence already submitted in the first sentencing phase. “As
the supreme court expressly held, a mere reweighing was all that was required.” Id., citing Davis
II, 38 Ohio St. 3d at 373. Moreover, and contrary to the Second Assignment, as the “three-judge
panel . . . is presumed to consider only the relevant material and competent evidence in arriving at
20
a judgment, unless the contrary appears from the record[,]” it was not error for the panel not to
remain sequestered during the deliberative period between August 4 and August 7, 1989. Id. at
*3, citing State v. White, 15 Ohio St. 2d 146, 151 (1968); Ohio Rev. Code § 2945.33.
The panel also overruled both sub-assignments in Davis’s Third Assignment, holding that
his initial jury waiver was knowing, intelligent, voluntary, and not the result of misinformation,
and “[t]he fact that subsequent decisional law may or may not have affected the tactical decision
to waive the right to trial by jury provides no avenue of relief for appellant at this stage of the
proceedings.” Davis III, 1990 WL 165137, at *3. “With respect to the ability of the three-judge
panel to reimpose the death penalty, . . . the supreme court ruled that on remand ‘the state may
seek whatever punishment is lawful, including, but not limited to, the death sentence.’ We have
no discretion to disregard this mandate.” Id., quoting Davis II, 38 Ohio St. 3d at 373; citing Nickell
v. Gonzalez, 34 Ohio Nolan v. Nolan, 11 Ohio St. 3d 1, syllabus (1984). In rejecting Davis’s
Fourth Assignment that the sentence imposed was disproportionate, the panel evaluated three
other, purportedly similar, cases in which death sentences were imposed, and “[i]n comparing the
facts and circumstances . . . with the instant case, we cannot say that the sentence of death is
excessive.” Id. at *4, citing State v. Lawson, No. CA8-05-044, unreported (Ohio App. 12th Dist.
Jun. 4, 1990); State v. Watson, No. CA88-02-014, 1989 WL 30739 (Ohio App. 12th Dist. Mar. 31,
1989), aff’d in part and rev’d in part, State v. Watson, 61 Ohio St. 3d 1 (1991); State v. DePew,
No. CA85-07-075, unreported (Ohio App. 12th Dist. Jun. 29, 1987), aff’d, State v. DePew, 38 Ohio
St. 3d 275 (1988). In so holding, the panel also purported to discharge its statutorily-mandated
independent review obligation. Id., citing Ohio Rev. Code § 2929.05(A); State v. Steffen, 31 Ohio
St. 3d 111 (1987). The panel summarily dismissed Davis’s Fifth Assignment and arguments that
Ohio’s death penalty scheme is unconstitutional, noting that “[e]ach of the . . . arguments was
21
considered and rejected” by the Supreme Court of Ohio. Id. at *5 (citations omitted).
2.
Supreme Court of Ohio
In his appeal to the Supreme Court, Davis was represented by Dana, Joann Bour-Stokes,
and Linda Prucha (State Court Record, ECF No. 4-14, PageID 1489), and raised as Propositions
of Law the Assignments of Error he had raised to the Twelfth District. Id. at PageID 1490-97.
The Supreme Court of Ohio rejected all of Davis’s Propositions and, in its own independent
review, found the death sentence to be proportionate and appropriate. Davis IV, 63 Ohio St. 3d at
50-51, citing Ohio Rev. Code § 2929.04(A)(5); State v. Mapes, 19 Ohio St. 3d 108 (1985),
overruled on other grounds in State v. DePew, 38 Ohio St. 3d 275, 285 (1988), and vacated in
part on other grounds by Mapes v. Coyle, 171 F.3d 408 (6th Cir. 1999), and Mapes v. Tate, 388
F.3d 187 (6th Cir. 2004).
C.
First Post-Conviction Petition
1.
Application and Denial at Trial Court
On October 8, 1993, Davis, represented by Bour-Stokes, James Kura, and Prucha, filed a
Petition to Vacate or Set Aside Sentence pursuant to Ohio Revised Code § 2953.21 (“Initial
Petition”), raising twenty-eight causes of action (State Court Record, ECF No. 4-17, Page ID 182464, ECF No. 4-18, PageID 1865-1934.). On October 18, 1993, the State filed an Answer and
Motion to Dismiss, arguing that twenty-seven of the causes were barred by res judicata, as they
were raised on direct appeal and adjudicated on the merits against Davis, or they were issues that
could and should have been raised on direct appeal but were not (State Court Record, ECF No. 422
20, PageID 2037-39, citing Ohio Rev. Code § 2953.21; Greer, 39 Ohio St. 3d at 244; State v.
Perry, 10 Ohio St. 2d 175, 179-80 and syllabus (1967). The State claimed that the following
causes of action were barred by res judicata and otherwise were foreclosed as a matter of law by
Davis IV:
1. First: Trial court overruling request for inspection of grand jury
transcript;
2. Second: Insufficiency of evidence to support conviction;
3. Third: Refusal to sever charges in the indictment;
4. Fourth: Capital specification was too remote in time;
5. Sixth: Refusal to allow introduction of additional mitigation
evidence in first resentencing;
6. Seventh: Improper review as to the propriety of the death sentence
by the Twelfth District;
7. Eighth: Impropriety of death sentence;
8. Ninth:
Failure by three-judge panel to sequester during
deliberations in first resentencing;
9. Tenth: Failure to allow Davis to withdraw his jury waiver prior to
first resentencing;
10. Eleventh:
The statutorily-mandated appellate review for
proportionality is “fatally flawed,” as the comparators are only those
cases in which a death sentence was also imposed 4;
11. Twelfth: Ohio’s death penalty legislation is unconstitutional;
12. Fourteenth: No meaningful independent appellate review;
13. Twenty-Second: Conviction “was obtained through the use of an
unnecessarily suggestive identification procedure”;
4
The State also argued that the Eleventh, Fourteenth, and Fifteenth Causes were “claim[s] relating to the validity of a
judgment rendered in the Court of Appeals and is [sic] not cognizable by this court upon postconviction proceedings
pursuant to R.C. 2953.21” (State Court Record, ECF No. 4-20, PageID 2043-45, citing State v. Murnahan, 63 Ohio
St. 3d 60 (1992), superseded by Ohio R.App.P. 26(B)).
23
14. Twenty-Third: Death sentence is defective due to introduction of
improper rebuttal testimony at sentencing phase in first sentencing;
15. Twenty-Sixth: Davis’s prior conviction in 1971 for purposeful
killing, was an improper death specification;
16. Twenty-Seventh: IATC for failure to investigate the validity of the
death specification; and
17. Twenty-Eighth: Failure to allow Davis to introduce additional
mitigation evidence at first resentencing.
Id. at PageID 2039-54.
Additionally, the State argued that the following claims were waived for failure to raise on
direct appeal:
1. Fifth: Ineffective assistance of trial counsel (“IATC”) in advising
Davis to waive his right to a jury trial;
2. Ninth: See infra;
3. Thirteenth: Improper weighing of mitigation evidence in first
resentencing 5;
4. Fifteenth: Appellate presumption that a three-judge panel considers
“only relevant, material and admissible evidence,” and that they
need not worry about joinder of offenses or sequestration during
deliberations as would a jury, constituted unconstitutional
deference;
5. Sixteenth: Ohio Revised Code § “2929.03(D)(3) is unconstitutional
in failing to prescribe a standard of proof for three-judge panels” 6;
6. Seventeenth: Original jury waiver was ineffective because “he was
not informed that by waiving a jury he subjected himself to a greater
risk of being sentenced to death”;
5
The State also argued that Davis had failed to state a claim upon which relief could be granted, because “the trial
court is not required to accept as mitigating everything offered by the defendant and accepted into evidence,” and
“such error, if any, by the trial court in its sentencing decision may be cured by the independent sentence assessments
in the Court of Appeals and Ohio Supreme Court.” (State Court Record, ECF No. 4-20, PageID 2044).
6
The State also noted that the statute at issue does set forth a burden of proof (State Court Record, ECF No. 4-20,
PageID 2046, citing Ohio Rev. Code §2929.03(D)(2-3)).
24
7. Eighteenth: Original jury waiver was ineffective because he was
misinformed of the respective burdens of proof by which the State
would have to prove Davis’s guilt to a jury versus a three-judge
panel;
8. Twentieth: Original jury waiver was ineffective because Davis only
made waiver after the improper denial of his motion to sever; and
9. Twenty-First: IATC in connection by failing to preserve an option
for Davis to withdraw his jury waiver.
(State Court Record, ECF No. 4-20 PageID 2040-54).
The State did not argue waiver or res judicata as to Davis’s Nineteenth Cause of Action—
that his jury waiver was ineffective because “he was not informed that Judges Stitsinger and Moser,
as attorneys[,] prior to their election to office as judges of the Butler County Common Pleas Court,
had represented the Federal National Mortgage Company in a 1970 foreclosure action against
defendant and his then-wife, Ernestine Davis[.]” (State Court Record, ECF No. 4-20, PageID
2049). Nonetheless, the State claimed that the claim failed as a matter of law because: (i) the
Judges’ past work was not material to their adjudication of Davis’s criminal charges; (ii) Davis
had not alleged prejudice; (iii) there is no evidence in the record that his waiver was not informed,
knowing, and voluntary; and (iv) his “self-serving affidavit, that he would not have waived a jury
had he been informed of such facts, is insufficient to warrant an evidentiary hearing.” Id. The
State did not expressly address Davis’s Twenty-Fourth and Twenty-Fifth Causes of Action which
were, respectively, his inability to introduce the testimony of lay witness Elbert Avery, and the
panel’s denial of his request for expert assistance at the first resentencing (State Court Record,
ECF No. 4-18, PageID 1919-22).
On June 28, 1994, Judge Matthew J. Crehan of the Butler County, Ohio, Court of Common
Pleas conducted a hearing on the State’s Motion to Dismiss and, and on November 1, 1994, issued
an order dismissing all claims except for the Nineteenth Cause of Action (State Court Record, ECF
25
No. 4-20, PageID 2093, 2099-2100). Judge Crehan rejected Davis’s argument that “the defense
of res judicata is invalid in a post-conviction action due to the classification of the action as a civil
proceeding governed by Civ. R. 12(B)[,]” noting that “”[t]he law in Ohio as to the defense of res
judicata in a post-conviction action has a long history.” Id. at PageID 2095-96, citing State v.
Sentz 70 Ohio St. 3d 527, 529 (1994); Perry, 10 Ohio St. 2d 175. He then concluded “that each of
the petitioner’s enumerated Causes of Action, except the Nineteenth Cause of Action, were raised
or could have been raised at trial or on direct appeal, and were adjudicated against the defendant,
hence res judicata bars Von Clark Davis’s petition for postconviction relief” on all causes of action
except the Nineteenth, which required evidence dehors the record to adjudicate. Id. at PageID
2096, 2098.
Judge Crehan conducted an evidentiary hearing on the Nineteenth Cause of Action on
January 11, 1995 (State Court Record, ECF No. 4-20, PageID 2121). During the hearing, Judges
Moser and Stitsinger testified that they were involved more than 250 foreclosure actions in the
years 1969 and 1970 and did not recall the proceedings against Davis and Ernestine, even after the
action was brought to their attention in 1984. Id. at PageID 2159-60. Judge Crehan concluded
that, because there was no indication that Judges Moser and Stitsinger’s involvement affected the
proceedings or the judgment in the 1984 trial and sentencing and 1989 first resentencing, they did
not exhibit the “bias, prejudice, or other disqualifying factors” that would have made their presence
on the panel improper. Id. at PageID 2161. Further, as Judges Moser and Stitsinger were unaware
of their past litigation against Davis at the time of Davis’s jury waiver, their failure to inform Davis
did not negate the validity of his jury waiver. Id. at PageID 2161-62, citing Adams v. United States
ex rel. McCann, 317 U.S. 269, 281 (1942); State v. Jells, 53 Ohio St. 3d 22, 26 (1990). Concluding
“that there was no infringement of Petitioner’s Constitutional rights so as to render the judgements
26
in this case to be void or voidable[,]” Judge Crehan dismissed the Nineteenth Cause of Action and,
consequently, his Petition as a whole. Id. at PageID 2162.
2.
Twelfth District Court of Appeals
Davis appealed the trial court’s denial of his Petition to the Twelfth District and raised
twenty-one Assignments of Error. First, he claimed that “the trial court erred when it denied
Appellant Davis an evidentiary hearing based on the doctrine of res judcata.” (State Court Record,
ECF No. 4-21, PageID 2232). The Second through Twentieth Assignments of Error concerned
the trial court’s dismissal of the various causes of action in his Petition. Id. at PageID 2234-49.
Finally, he claimed that the fifty-page briefing limit in a complex capital case meant that his
postconviction remedy was so inadequate as to constitute a denial of due process. Id. at PageID
2249.
On September 30, 1996, the Twelfth District rejected all three Assignments of Error, and
affirmed the trial court’s denial of the petition. As to the issue of res judicata, the Twelfth District
noted that “[t]he [trial] court may refuse to grant a hearing . . . if a constitutional claim is advanced
but the issue was or could have been raised at trial or on direct appeal.” Davis VI, 1996 WL
551432, at *2, citing Ohio Rev. Code § 2953.21(E); Perry, 10 Ohio St. 2d at 175, paragraph nine
of the syllabus; State v. Combs, 100 Ohio App. 3d 90, 97 (Ohio App. 1st Dist. 1994). The court
rejected Davis’s arguments that res judicata is not a defense that may be raised in a motion to
dismiss, and “that res judicata cannot bar a post-conviction relief claim supported by evidence
outside the record.” Id., citing Ohio Civ.R. 12(B)(6). The court noted that a postconviction
petition, although civil in nature, is a creature of statute, meaning that Ohio Revised Code §2953.21
et seq. governed, not the Ohio Rules of Civil Procedure, and the statutory provisions had been
27
consistently interpreted to allow for summary dismissal of a petition if it “does not allege facts
which, if proved, would entitle the prisoner to relief.” Id., citing Perry, 10 Ohio St. 2d at 175,
paragraph two of the syllabus. The court also noted that the Supreme Court of Ohio had upheld
the use of res judicata to summarily dismiss those claims brought in postconviction that were or
could have been raised at trial or on direct appeal. Id., citing State v. Lester, 41 Ohio St. 2d 51,
54-55 (1975). Adhering to that precedent, the Twelfth District summarily concluded that the trial
court did not err in dismissing without a hearing those claims that were barred by res judicata, and
overruled Davis’s First Assignment of Error, and also analyzed and overruled Assignments of
Error Nos. 2-6, 8-14, and 16-20 (the dismissals of Davis’s specific causes of action as barred by
res judicata) on that basis. Id. at*3-9.
The appellate panel considered and overruled the Seventh Assignment—the presumption
that a three-judge panel only considers “proper and competent evidence”—as procedurally
defaulted and improperly raised in a postconviction petition, as that presumption is applied at the
appellate, rather than trial, level. Davis VI, 1996 WL 551432, at *5, citing State v. Murnahan, 63
Ohio St. 3d 60, 63 (1992); Combs, 100 Ohio App. 3d at 97. The court held that Davis’s Fifteenth
Assignment—that improper evidence regarding his prior homicide conviction was introduced in
rebuttal in the penalty phase—was a constitutional issue available to him on direct appeal, and
thus, could not be raised in postconviction. Id., citing Perry, 10 Ohio St. 2d at 175, paragraph
seven of the syllabus. Finally, the panel concluded that Davis’s Twenty-First Assignment failed
on its merits, as the trial court did not abuse its discretion in denying Davis’s motion to file an
oversized brief. Id., citing State v. Bonnell, 61 Ohio St. 3d 179, 185-86 (1991); State v. Powell,
90 Ohio App. 3d 260, 271-72 (Ohio App. 1st Dist. 1993). Overruling all Twenty-One Assignments
28
of Error, the Twelfth District affirmed the denial of Davis’s post-conviction petition. Id. at *10. 7
The Supreme Court of Ohio declined jurisdiction over Petitioner’s appeal. Davis VII, 77 Ohio St.
3d 1520.
D.
Application to Reopen Direct Appeal
On August 21, 1998, Davis, represented by Lori Leon and John Marshall, filed
Applications to Reopen his Direct Appeals from both his original trial and sentencing and first
resentencing under Ohio R.App.P. 26(B) and Murnahan, claiming ineffective assistance of
appellate counsel (“IAAC”). Davis VIII, 86 Ohio St. 3d at 213. Therein, Davis argued that “[a]
reasonable probability exists that, but for such ineffective assistance, Mr. Davis’ aggravated
murder conviction would have been reversed and his death sentence would have been vacated.”
(State Court Record, ECF No.4-25, PageID 2802). Davis claimed that he should be excused from
the time limitations in Rule 26(B) and Murnahan, as the alleged ineffective assistance pertained
to a judgment filed by the Twelfth District in 1986, long before the Murnahan decision or Rule
26(B) was issued. Id. at PageID 2804. He argued that the inexperience of his appellate counsel,
who had never represented a capital defendant on appeal before, resulted in his failing to raise the
following Assignments of Error:
1. His conviction resulted from supposed eyewitnesses being subjected
to unnecessarily and unconstitutionally suggestive identification
procedures by police;
2. IATC due to the decision to call a prejudicial witness, who identified
Davis as the killer, as an adverse witness for the purposes of
7
Davis, in the appendix to his appellant brief, raised nine additional assignments of error, none of which differed
substantively from the twenty-one raised in his appellant brief (State Court Record, ECF No. 4-21, PageID 2321-53).
The panel “reviewed the nine assignments of error raised in the appendix to appellant’s brief and conclude[d] that
each was properly dismissed by the trial court on res judicata grounds.” Davis VI, 1996 WL 551432, at *9 n.3.
29
impeaching him;
3. The trial court erred in denying his motion to sever the charges,
which led to his jury waiver, and IATC in failing to ensure waiver
was voluntary;
4. IATC in failing to inform him of the consequences of his waiver,
which gave rise to a greater possibility of a death sentence;
5. The jury waiver was invalid;
6. IATC in failing to inform Davis that decision of three judge panel
would be subject to more deferential review on appeal than jury
verdict;
7. Rebuttal evidence introduced by the state in the sentencing phase
was improper, and IATC in failing to object to the introduction of
said evidence;
8. Ohio’s death penalty scheme regarding proof of mitigating factors
is unconstitutional, and IATC was ineffective in failing to object to
same;
9. Racial discrimination exists in the selection of the grand jury
foreperson, grand jury members, and petit jury members, and IATC
in failing to file motions to quash or dismiss the indictment on that
ground; and
10. Presiding judge erred in considering Davis’s failure to take
responsibility for the crimes, and trial counsel was ineffective in
failing to object to same.
Id. at PageID 2804-10.
On January 13, 1999, the Twelfth District denied reopening (Entry, unreported, copy at
State Court Record, ECF No. 4-25, PageID 2855 et seq.). The panel noted the Supreme Court of
Ohio’s holding that:
[A]n applicant who seeks to reopen an appellate judgment
journalized before July 1, 1993 may not simply rely on the fact that
App.R. 26(B) did not exist within the ninety days following
journalization of the appellate judgment, but must show good cause
why he or she did not attempt to invoke the procedures available
under former App.R. 26 and 14(B).
Id. at PageID 2858, quoting State v. Reddick, 72 Ohio St. 3d 88, 90 (1995). The Twelfth District
30
also noted that, when Rule 26(B) was amended in light of Murnahan, the amended rule provided
for newly viable applications to reopen to be filed no later than September 30, 1993; yet, Davis’s
“applications were filed . . . nearly five years after the effective date of App.R. 26(B).” Id at
PageID 2858-59. As Davis had not even attempted to demonstrate good cause as to why he did
not file a timely application with respect to his original trial and sentencing, the application was
now improper. The Twelfth District also held that the recent withdrawal of his appellate attorney
from his first resentencing (who could not, of course, raise an IAAC claim against himself) was
not, without more, good cause to excuse his late filing as to the direct appeal from that latter
resentencing. Id. at PageID 2859-60. Absent any good cause, the panel denied the applications as
untimely. Id. at PageID 2860.
The Supreme Court of Ohio affirmed the Twelfth District’s ruling that the applications
were untimely, noting that:
Admittedly, counsel cannot be expected to argue their own
ineffectiveness. However, Davis has gone through several different
sets of appellate lawyers since his initial appeal in 1986. Moreover,
Lori Leon has represented him since at least March 1997, and Davis
has not explained his failure to file between March 1997 and August
1998. Even if we were to find good cause for earlier failures to file,
any such good cause “has long since evaporated. Good cause can
excuse the lack of a filing only while it exists, not for an indefinite
period.”
Davis VIII, 86 Ohio St. 3d at 214, quoting State v. Fox, 83 Ohio St. 3d 514, 516 (1998) (per
curiam); citing State v. Lentz, 70 Ohio St. 3d 527, 529-30 (1994).
E.
First Federal Court Petition
1.
Initial Proceedings
On April 28, 1997, Davis filed his Petition for Writ of Habeas Corpus (“First Petition”) in
31
this Court, raising twenty-eight claims for relief (Davis IX, No. C-1-97-402, ECF No. 1). On
December 23, 1997, Judge James L. Graham concluded that ten of the claims in the First Petition
were procedurally barred and allowed the remaining eighteen to proceed (Opinion and Order, ECF
No. 29, docketed in the instant case at ECF No. 16-1). On March 31, 2000, Judge Graham denied
Davis’s motion for an evidentiary hearing (Order, ECF No. 130). While on October 5, 2000, Davis
filed an Amended Petition for Writ of Habeas Corpus (ECF No. 132), the Court “later concluded
that the additional [fourteen] issues” raised therein “were also procedurally barred.” Davis X, 475
F.3d at 766. On September 4, 2001, Judge Graham entered an Order dismissing the First Petition,
without an evidentiary hearing, and directing final judgment to be entered (Davis IX, ECF No. 139,
docketed in the instant case at ECF No. 16-2), but also issuing a certificate of appealability as to
the eighteen non-defaulted issues. Davis X, 475 F.3d at 766. Judgment was entered the same day
(Davis v. Coyle, ECF No. 140).
On September 18, 2001, Davis filed a timely Motion to Alter or Amend the Judgment
(“Motion to Amend,” ECF No. 141). On January 17, 2002, Judge Graham issued an Opinion and
Order denying the Motion to Amend. Davis v. Coyle, No. C-1-97-402, 2002 WL 193579. Judge
Graham noted that Davis had relied upon Greer v. Mitchell, 264 F.3d 663 (6th Cir. 2001), and
Mapes v. Coyle, 171 F.3d at 429, “for the proposition that an evaluation of all of the circumstances,
especially on issues of attorney ineffectiveness, can only be accomplished with full and fair
discovery and a full and fair evidentiary hearing.” Id. at *1. Judge Graham noted that, unlike in
Greer and Mapes, Davis’s IAAC claims were procedurally defaulted, and concluded that Davis
had not established the cause and prejudice necessary to excuse the procedural default. Id. at *2.
Moreover, an evidentiary hearing was not necessary, because the Court’s enforcement of
procedural default and denials on the merits of Davis’s claims for relief were based on “undisputed
32
principles of constitutional law and essentially assumed as true the facts alleged by petitioner.” Id.
Accordingly, the Court held, Davis had not demonstrated “a clear error of law or manifest
injustice[,]” such that would justify granting his Motion to Amend and convening an evidentiary
hearing. Id. at *3.
The Court also rejected Davis’s argument that statements from then-Supreme Court of
Ohio Associate Justice Paul Pfeifer that “the Ohio Supreme Court’s statutorily-mandated
proportionality review under O.R.C. 2929.05 is little more than lip service[,]” Davis IX, 2002 WL
193579, at *3 (internal quotation marks and citation omitted), constituted newly discovered
evidence “that the Ohio Supreme Court does not conduct appellate review in good faith, thereby
violating petitioner's due process rights.” Id. The Court found that, because the statements were
made prior to the Entry of Judgment, they could have been discovered with reasonable diligence
by Petitioner prior to the Initial Petition’s dismissal, and thus were not “newly discovered,” such
that relief under Rule 59(e) was warranted. Id. at *4. Also, the lack of any constitutional guarantee
of proportionality review, along with Sixth Circuit precedent rejecting a challenge to Ohio’s
proportionality analysis, meant that Justice Pfeifer’s statements were not a viable basis upon which
to alter judgment. Id., citing Pulley v. Harris, 465 U.S. 37 (1984); Greer, 254 F.3d at 691. Finally,
Judge Graham rejected Davis’s argument that Dr. Fisher’s appointment not as a defense expert,
but as a neutral presentence investigation “expert pursuant to O.R.C. § 2929.03(D)(1), who was
obligated to report his findings to the prosecution and the trial court[,]” was a viable basis upon
which to alter or amend the judgment. Id. at *5. The Court noted that Davis was raising this
argument for the first time, despite the argument’s not being based on newly-discovered evidence;
consequently, Davis was “not entitled to Rule 59 relief based on [that] argument[.]” Id., citing
Sault Ste. Marie Tribe of Chippewa Indians v. Engler, 146 F.3d 367, 374 (6th Cir. 1998).
33
2.
Sixth Circuit
Davis timely appealed the denial of his habeas corpus petition to the Sixth Circuit, raising
the eighteen issues certified by Judge Graham, and a nineteenth issue certified by the Sixth Circuit
panel. Davis X, 475 F.3d at 766. However, Davis subsequently” abandoned several of those
certified questions.” Id.
Most of the remaining issues present challenges to the process of the
petitioner’s resentencing, including his contentions that he should
have been allowed to withdraw his jury waiver prior to resentencing
because it had been involuntarily entered at the time of his original
trial, that it was error to deny his requests both for the appointment
of additional experts and to introduce new mitigation evidence, that
the three-judge panel should not have separated during
deliberations, and that the Ohio Court of Appeals did not review
adequately on direct appeal either his original sentence or the
reimposed sentence. Davis also challenges the district court’s
determination that several of the issues in his habeas petition were
procedurally defaulted either because they were not raised on direct
appeal in the state courts or because they were raised in an untimely
motion to reopen his appeal in state court.
Id. The appellate panel noted that, despite the Supreme Court of Ohio’s order remanding the case
“‘for a new sentencing trial at which the [improper factors] shall not be considered as aggravating
circumstances in the weighing process[,]’ . . . the reconstituted three-judge panel declined to
interpret the ruling to require a full sentencing trial, or even an evidentiary hearing.” Id. at PageID
769 (emphasis and brackets in original), quoting Davis II, 38 Ohio St. 3d at 372. The trial court
panel heard argument from Davis and the State and allowed Davis to make a proffer as to certain
additional mitigating evidence he would have presented. However, the panel also set forth its
belief that its job, on remand, was to weigh the sole aggravating factor—the killing of Ernestine
Davis—against the mitigation factors as they existed at the time of Butler’s killing, and its opinion
34
consisted of little more than a recitation of the statutory mitigation factors and a conclusion the
aggravating circumstance outweighed those mitigating factors. Id. at 769-70.
The Sixth Circuit held that the failure by the trial court to allow Davis to present evidence
of “his exemplary behavior on death row in the time between the two sentencing hearings violated
his rights under the Fifth, Sixth, Eighth, and Fourteenth Amendments[,]” as “the right of a
defendant to present evidence of good behavior in prison is particularly relevant when a prediction
of future dangerousness figures centrally in a prosecutor’s plea for imposition of the death
penalty.” Davis X, 475 F.3d at 770-71, citing Skipper v. South Carolina, 476 U.S. 1, 5 (1986);
Eddings v. Oklahoma, 455 U.S. 104, 112 (1982); Lockett v. Ohio, 438 U.S. 586, 597, 604 n.12
(1978). This was of concern in Davis’s case, as the State argued during resentencing “that Davis’s
status as a repeat offender rendered him too dangerous for anything other than a death sentence[.]”
Id. at 772. In light of the above consideration, the Ohio appellate courts’ conclusions that Lockett
and its progeny are satisfied if a defendant can introduce evidence of good behavior between arrest
and trial “w[ere] ‘contrary to’ United States Supreme Court decisions[,]” id., citing Williams
(Terry) v. Taylor, 529 U.S. 362, 413 (2000), and thus, not subject to deference under the AEDPA.
28 U.S.C. § 2254(d)(1). “[B]ecause the improperly-excluded mitigation evidence was never put
into the record[,] . . . the case must be remanded for a new sentencing hearing.” Id. at 774-75,
citing Skipper, 476 U.S. at 8.
The Sixth Circuit rejected Davis’s argument that the denial of his motion to sever, and his
consequent decision to waive his right to a jury trial, were grounds for federal habeas relief; i.e.,
“that misjoinder of the counts ‘resulted in prejudice so great as to deny [a defendant] . . . his right
to a fair trial.’” Davis X, 475 F.3d at 777 (alteration in original), quoting United States v. Lane,
474 U.S. 438, 446 n.8 (1986). The court noted that the Ohio appellate courts’ upholding of the
35
trial court’s decision, as state court interpretations of state law, “and, as a result, we must accept
as binding the state supreme court’s interpretation of the interaction between the capital
specification-election provision, and the rules for joinder and severance of criminal charges.” Id.,
citing Ohio Rev. Code § 2929.022(A); Davis II, 38 Ohio St. 3d at 364; Davis I, 1986 WL 5989 at
*8. The panel concluded that that, while “[w]ithout question, a risk of undue prejudice exists
whenever joinder of counts permits introduction of evidence of other crimes that would otherwise
be inadmissible[,]” the Supreme Court had previously held in a similar case “that the prejudice
suffered by a defendant in such a case does not rise to the level of a violation of due process.” Id.
at 777-78, citing Spencer v. Texas, 385 U.S. 554, 560-62 (1967).
The Sixth Circuit also rejected Davis’s argument that the trial court violated his equal
protection rights in denying his motion to withdraw his jury waiver before resentencing in light of
the Supreme Court of Ohio’s intervening holding “that a capital defendant who is sentenced by a
jury in the first instance becomes ineligible for the death penalty following reversal of that
sentence.” Davis X, 475 F.3d at 779, citing Penix, 32 Ohio St. 3d at 373, abrogated by Ohio Rev.
Code § 2929.06(B). The court noted that, while in Ring v. Arizona, the Supreme Court
[D]id recognize that Sixth Amendment jurisprudence now requires
that a jury find, beyond a reasonable doubt, any fact necessary to
increase a defendant's authorized punishment. Ring, however, postdates not only the petitioner's sentencing and resentencing, but also
the denial of habeas relief by the district court. Consequently, the
state courts cannot be faulted for failing to analyze Davis's motion
to withdraw his jury waiver under a fundamental-rights-analysis
when the right in question had yet to be recognized by the Supreme
Court in the context raised by the petitioner.
Id. at 780, citing Ring, 536 U.S. 584, 602 (2002). The panel also found that the statute did not lack
any conceivable reasonable basis, such that it would violate the “rational basis prong of an equal
protection analysis.” Id. Thus, the panel concluded, Davis’s resentencing by a three-judge panel
36
did not entitle him to federal habeas relief. Id.
Nonetheless, the Sixth Circuit expressed, in dicta, concerns about the continued validity of
the jury trial waiver on remand for resentencing:
We note that under Ohio Revised Code § 2945.05, a waiver of jury
trial “may be withdrawn by the defendant at any time before the
commencement of trial.” Granted, the resentencing hearing that we
order today will not constitute a “trial” in the sense that the
petitioner's guilt or innocence is again at issue. However, in this
case, the proceeding can indeed be considered the functional
equivalent of “trial” because, unlike sentencing in a non-capital
case, it will take the form of an evidentiary proceeding on the
question of whether Davis should receive the death penalty or some
form of a life sentence.
Moreover, we think there is a legitimate question as to whether a
criminal defendant should be held to a jury waiver entered almost
25 years before his newly-mandated sentencing hearing. In the Sixth
Circuit, at least, we have recognized that a defendant's jury waiver
entered prior to the first trial of his case does not bar his right to a
jury trial on the same case after remand from a reviewing court.
Id. at 780, quoting Ohio Rev. Code § 2945.05, citing United States v. Groth, 682 F.2d 578, 580
(6th Cir. 1982).
F.
Second Resentencing
On remand, Davis was represented by Randall Porter and Melynda Cook-Reich (State
Court Record, ECF No. 4-29, PageID 3231). On May 26, 2008, they filed a Motion to Preclude
Imposition of the Death Penalty on the basis that Ohio’s lethal injection protocol constituted cruel
and unusual punishment. Id. at PageID 3329-52. They also moved to dismiss the capital
specification in the indictment (State Court Record, ECF No. 4-34, PageID 4053-97), to suppress
pretrial and trial eyewitness identifications, id. at PageID 4102-07, and for limited discovery. Id.
at PageID 4108-12. Davis filed a memorandum setting forth his argument that he was “entitled to
37
have a jury for purposes of his re-sentencing hearing[,]” id. at PageID 4155, and filed a Motion to
Preclude the State from Seeking the Death Penalty (State Court Record, ECF No. 4-35, PageID
4218-36). On May 11, 2009, a three-judge panel of Judges Andrew Nastoff (Presiding), Charles
L. Pater, and Keith M. Spaeth was appointed to hear testimony in the second resentencing (State
Court Record, ECF No. 4-38, PageID 4837).
The resentencing hearing took place from September 8-10, 2009, “to determine whether
the single aggravating circumstance in this case outweighed the mitigating factors beyond a
reasonable doubt.” (State Court Record, ECF No. 4-39, PageID 4926; see also 2nd Resent’g Tr.,
ECF No. 5-7, PageID 8199 (statement of Judge Pater that “we are not going to take into
consideration any other aggravating circumstance other than” the 1971 conviction.)). During oral
argument, Judge Pater termed “ludicrous” Davis’s argument that the panel, in its consideration of
the aggravating circumstance, could “only take cognizance of the fact that there was a previous
conviction . . . when the person committed the murder at question in the current case[,]” rather
than the fact that Davis’s previous conviction was for the purposeful killing of his significant other
(2nd Resent’g Tr., ECF No. 5-7, PageID 8201). The State argued that testimony regarding the prior
killing—not merely the fact of conviction—was allowed at the original trial, and that the law of
the case dictated that such evidence could be considered in the panel’s weighing of the aggravating
circumstance. Id. at PageID 8203-04. The court ruled that:
[W]hile the law requires us to consider evidence and testimony
about the nature and circumstances of the aggravating circumstance
that is relevant to the aggravating circumstance, what the state is
going to be expected to present is evidence that is re1evant to the
conviction, the nature and circumstances relevant to the fact of the
conviction so that is what the State is going to be limited to as we
go forward.
Id. at PageID 8211. Counsel for the State, in opening statements, stated that Davis would be
sentenced under the statute as it was written at the time of the murder, which meant that he was
38
ineligible for life without parole. Rather, if the panel decided not to sentence Davis to death, the
maximum sentence that could be imposed was thirty years to life for murder, with eighteen months
of his sentence for having a weapon to be served consecutively. As Davis had already been
incarcerated for twenty-five years, Randall Porter, counsel for Davis, conceded that Davis would
be eligible for parole within six years. Id. at PageID 8227. However, Porter argued that, while
life without parole was not a possible de jure sentence, it was almost certain to be the de facto
sentence, as “Cynthia Mausser, who is the head of the Ohio Parole Board, who will testify [that]
based upon his prior record, [and] the fact that he committed the second murder, while he was still
on parole from the first murder . . . he will not be paroled.” Id. at PageID 8225-26. Prior to the
beginning of live testimony, Davis gave an unsworn statement, in which he apologized for “the
pain and grief I have caused the Butler family with the horrendous loss of their loved one . . . I will
repeat[: T]his was nothing but any evil act by me.” Id. at PageID 8235. Upon questioning by
Cook-Reich, Davis expressly affirmed that his statement constituted him taking responsibility for
Butler’s murder. Id. at PageID 8235-36.
The three-judge panel then heard testimony from Frances 8 Welland, Davis’s prison pen
pal, who described Davis’s good character in their correspondence and face-to-face meetings, and
Davis’s true remorse over what he had done (2nd Resent’g Tr., ECF No. 5-7, PageID 8236-52).
Victor Davis, Davis’s younger brother, testified regarding their father’s abandoning the family
when he and Davis were young, id. at PageID 8270-71, and that Davis expressed true remorse
while incarcerated. Id. at PageID 8278. After his testimony, Judge Pater stated that he “didn’t
know who the witnesses were going to be at the trial today[,]” but that he had known Victor “since
high school days and we are good friends, but I do think I can fairly and impartially decide this
8
Erroneously transcribed as “Francis.” (2nd Resent’g Tr., ECF No. 5-7, PageID 8237).
39
matter, so I just wanted to put that on record.” Id. at PageID 8285-86. Subsequently, counsel for
the State informed the Court that he had gone to high school with Judge Pater’s wife, and Judge
Nastoff stated that, while he did not know Victor personally, he knew of Victor’s (seemingly
positive) reputation in the community. Id. at PageID 8286-87.
Sherry Davis, daughter of Davis and Ernestine, testified that she and Davis “have a strong
bond[,]” despite Davis having been incarcerated for almost her entire life (2nd Resent’g Tr., ECF
No. 5-7, PageID 8289). She stated she had forgiven Davis for killing Ernestine, continuing that “I
have had my mother taken away from me. I would not like to see my father taken away from me
as well.” Id. at PageID 8290-91. Charles Tipton, Davis’s stepfather, testified that he and Davis
had been “very, very close” when Davis was a child, never missing a weekly fishing trip. Id. at
PageID 8297. Alluster Tipton, Davis’s mother, testified that Nicholas Davis, her ex-husband and
Davis’s father, was in and out of their lives before he left for good, and had a drinking problem
that affected their household. She also stated that Davis would still be a part of her life, even if he
were incarcerated for the rest of his life. Id. at PageID 8307-08, 8310-11. Carol Smith, Davis’s
sister, testified that Davis was still “a good person deep inside[,]” and that even though “he has
taken [lives], but the part that he does is good right now, and I would like to see it continued.” Id.
at PageID 8319, 8320. After her testimony, Judge Mastoff stated on the record that, prior to
becoming a judge, he had prosecuted Smith’s son, i.e., Davis’s nephew, in a capital murder case,
although the death penalty was not imposed. Id. at PageID 8321. Porter responded that, “we were
aware that your Honor, that you were involved in the prosecution, and we made a decision long
ago not to challenge you on that.” Id. at PageID 8322.
Cynthia Mausser testified as the chair of the Adult Parole Board of the Ohio Department
of Rehabilitation and Corrections (“ODRC”), having previously worked at the office of the Ohio
40
Public Defender (2nd Resent’g Tr., ECF No. 5-7, PageID 8335-38). She explained that, if a board
member is “leaning towards” releasing an offender, a psychological assessment will be conducted
on the inmate, and the examining psychologist will submit a report evaluating the inmate, which
will be part of the board’s evaluation of specified risk factors and its general assessment of risk.
Id. at PageID 8340-42. Mausser testified that as to one of the seventeen statutorily mandated
factors, the seriousness of the previous offense on a scale from one to thirteen, aggravated murder
would be rated a thirteen. Id. at PageID 8344. She also stated that factors present with Davis—
seriousness of the offense, that he committed the offense while on parole—would increase his
“criminal history risk” score. Id. at PageID 8344-46. More importantly, Davis would require a
full board hearing and a majority of board members voting for release before parole could be
granted. Id. at PageID 8346-47.
Mausser testified that repeat criminal behavior and a recommendation by the court against
release would be considered “negative factors” by the board (2nd Resent’g Tr., ECF No. 5-7,
PageID 8348-49). She concluded her direct testimony by stating that it was highly unlikely that
an inmate with Davis’s circumstances would be granted parole at his first hearing, and that “that
person would have to -- would likely spend a large portion of the remainder of their life in prison.”
Id. at PageID 8365. However, she conceded on cross-examination that her testimony was based
on her years of service on the board, and that she could not reasonably predict how a particular
board member might vote—indeed, she testified, it would be inappropriate for her even to guess
as to how she or other board members might vote if Davis’s case were to come before the board.
Id. at PageID 8378-79.
Jerome Steinman, an attorney who volunteered at an Alcoholics Anonymous (“AA”) group
where Davis was incarcerated, testified that he and Davis participated in approximately 48 AA
41
meetings per year between 1990 and 1993 (2nd Resent’g Tr., ECF No. 5-7, PageID 8382-83).
Steinman stated that in those meetings, Davis disclosed that he was “in blackout” when he killed
Butler. Id. at PageID 8383. On cross-examination, Steinman testified that Davis’s statements that
he drank only a little was not inconsistent with him being an alcoholic, as many alcoholics
understate the amount of their drinking. Id. at PageID 8385. Steinman also said that only drinking
one beer, eating food, and driving a car the night of the murder (as Davis had indicated in previous
statements to law enforcement) were not necessarily inconsistent with Davis’s statement to
Steinman that Davis was in a blackout state when he killed Butler. Id. at PageID 8386.
Prior to Patrick Michael (“Rick”) Rotundo testifying, Judge Pater indicated that, while he
did not “know Rick Rotundo very well[,] I know his brother, Jerry and his little sister Debbie. I
know the two of them quite well and I know the Rotundo family[.]” (2nd Resent’g Tr., ECF No.
5-8, PageID 8396-97). Counsel for Davis declined to voir dire Judge Pater on the issue. Id. at
PageID 8397. Rotundo testified that he lived next door to Davis for approximately six years, and
that Charles and Alluster Tipton and their children were “like my second family[,]” id. at PageID
8398, and that he and Davis “were like brothers.” Id. at PageID 8403. He testified that they drank
together sporadically, but that the environment was “not similar to the Animal House.” Id. at
PageID 8400. Scott Nowak, the Program Specialist Director for the Ohio State Penitentiary at
Youngstown, id. at PageID 8406-07, testified that Davis had been housed in the “extended
privilege unit” of death row since May 2006, meaning he had had no behavior violations since at
least May 2003. Id. at PageID 8417-19.
Robert Smith, Ph.D., testified as an expert psychologist and certified addiction specialist,
(2nd Resent’g Tr., ECF No. 5-8, PageID 8420-22). He conducted two interviews with Davis in
2009, doing a “comprehensive psychosocial history . . . , a diagnostic workup and a mental status
42
examination.” Id. at PageID 8432. Dr. Smith also interviewed Charles and Alluster Tipton, Elliot
Davis (Davis’s brother), Victor Davis, Carol Smith, and Rick Rotundo, in an attempt “to get
corroborating data[,]” id. at PageID 8433, for the statements made to him by Davis, voluminous
documents relating to Davis and the case, and psychological evaluations from 1971 through 2002.
Id. at PageID 8434-37. From the review and evaluation, he opined:
[T]hat at the time of the offense[,] Von was suffering from two
psychological disorders. One would be alcohol dependence and the
other would be borderline personality disorder. And that both of
these disorders were present and that they interfered with his
cognitive functioning, that they impaired or diminished his ability at
the time of the offense.
Id. at PageID 8438.
Dr. Smith described how borderline personality disorder is characterized by poor impulse
control, and that lack of control manifested itself early in Davis’s life, when he went absent without
leave (“AWOL”) from the Navy in an attempt to reconnect with his biological father, with whom
he had not been in contact for several years (2nd Resent’g Tr., ECF No. 5-8, PageID 8440-41). As
borderline personality disorder was not an accepted diagnosis until 1987, it could not have been
evaluated by the trial court as a mitigating factor during his initial sentencing. Id. at PageID 8450.
Dr. Smith testified that the borderline personality disorder and alcohol dependence did not render
Davis “totally unable to appreciate that his behavior was wrong[,]” id. at PageID 8442, and that
the original examining psychologist was correct to conclude that Davis’s capacity was not so
severely diminished that he would have a colorable defense of not guilty by reason of insanity. Id.
at PageID 8450-51. “But [the original examining psychologist] did indicate during his testimony
that there was evidence of an explosive psychiatric disorder.” Id. at PageID 8451. Dr. Smith also
testified that the 1994 psychological evaluation of Davis, in which he was diagnosed with “mood
disorder and mixed personality disorder with anti-social traits . . . is not inconsistent with
43
borderline.” Id. at PageID 8451-52. Dr. Smith stated that Davis’s home life, in which his mother
and birth father, Nicholas Davis, were “dysfunctional” and “had significant problems that
prevented them from being able to be there for him.” Id. at PageID 8458-59. While Charles Tipton
tried to be a more stabilizing influence on Davis, he and Alluster did not get married until “Von is
14[,] and by that point Von’s use of alcohol, his investment in school, his other problems” had
taken over. “He is running the streets, he is with his peers, . . . [s]o although I think Charles would
have been well intentioned, he couldn’t have that impact.” Id. at PageID 8465. Davis increasingly
used alcohol to deal with his emotional discomfort and jealousy over Ernestine and Butler
becoming involved with other men. Id. at PageID 8467. His borderline personality disorder
caused him to overreact to stress, in a manner that is “very aggressive and very angry.” Id. at
PageID 8469. While Davis had had treatment for his alcohol abuse, a condition he had had since
the age of seventeen, id. at PageID 8477, he had not been treated simultaneously for BPD. Dr.
Davis stated that: “If you treat just one disorder and not the other, the individual will not be
successful in their recovery. . . . [S]o as a result, he continued to abuse alcohol[,]” in addition to
continuing to suffer from BPD. Id. at PageID 8473.
Nonetheless, Dr. Smith testified, people with borderline personality disorder and “with
alcohol dependence do very well in a structured environment . . . like prison,” because “first of
all, what you’ve done is you’ve greatly reduced the likelihood that they can access alcohol and
drugs.” (2nd Resent’g Tr., ECF No. 5-8, PageID 8473). “The second thing is, if I have . . .poor
decision making and difficulty with relationships, in a prison setting, I don’t have a lot of decisions
to make, I don’t have lots of opportunities to act out and I also don’t form lots of relationships.”
Id.
On cross-examination, Dr. Smith conceded that he did not prepare a written report on
44
Davis, as he had not been asked to by counsel; rather, the PowerPoint slides he created were “a
summary of my findings and of my opinion . . . contain[ing] everything that would be in a report[.]”
(2nd Resent’g Tr., ECF No. 5-8, PageID 8485-86). Dr. Smith also stated that, in their meetings
Davis was not “all that motivated to helping himself[,]” id. at PageID 8488; rather, he minimized
the extent of his substance abuse issues and denied that he had any personality disorder. Id. Dr.
Smith acknowledged that Davis’s statements to him, in which he accepted responsibility as the
sole person responsible for Butler’s murder, were inconsistent with his testimony during the guilt
phase of the initial trial, in which he averred that it was Silkey Carr who killed Butler. Id. at
PageID 8489-90.
He also opined that Davis’s borderline personality disorder and alcohol
dependence, while serious, did not rise to the level of psychosis, legal insanity, or other inability
to discern right from wrong. Id. at PageID 8492-93.
In closing arguments, Cook-Reich reiterated that Davis was asking the panel to reject the
sentences of death or twenty years to life imprisonment, and impose a sentence of thirty years to
life, because based on “the evidence presented[,] 30 to life is in essence . . . life without the possible
(sic) of parole. And it is LWOP, because of his history, no parole board I submit to you is going
to by majority vote release Von Clark Davis[.]” (2nd Resent’g Tr., ECF No. 5-8, PageID 8533).
Cook-Reich referenced Mausser’s testimony that “she has never seen an aggravated murder
defendant come up for parole, let alone an aggravated murder with death specifications . . . . What
are the chances that the first one that comes before them, Von Clark Davis, that they are going to
let that person out?” Id. at PageID 8537. She also pointed to Davis’s troubled family history as a
significant one of the mitigating factors, which “are explanations, not excuses or justifications.”
Id. at PageID 8538. She emphasized Davis’s flawless behavioral record while incarcerated and
his reestablishment of a relationship with his daughter. Id. at PageID 8542-43.
45
Upon the completion of closing arguments, the panel queried whether the eighteen month
sentence for having a weapon under disability would necessarily be served consecutively to any
sentence less than death (2nd Resent’g Tr., ECF No. 5-8, PageID 8554-56). The parties agreed that
it was within the trial court’s discretion to impose the sentences consecutively, although if the
panel did not specify that the sentences were to run consecutively, then they would run
concurrently. Id. at PageID 8556-58. After deliberating for approximately one hour, id. at PageID
8558, 8560, the panel found that “the aggravating circumstance that the defendant was found guilty
of committing outweighs the mitigating factors presented in this case by proof beyond a reasonable
doubt and hereby imposes on the defendant, Von Clark Davis, the sentence of death.” Id. at
PageID 8558-59. Davis’s counsel asked “that new counsel be appointed so the ineffectiveness
challenge can be made on direct appeal as appropriate[,]” id. at PageID 8560; the panel indicated
they would grant that request upon the filing of notice of appeal. Id.
In its written opinion filed September 21, 2009, the panel summarized and evaluated the
aggravating circumstance, the statutory mitigation factors, and the mitigation evidence presented
by Davis (State Court Record, ECF No. 4-39, PageID 4926-31, citing Ohio Rev. Code §
2929.04(B)).
The panel found that, in accordance with their statutory duty under section
2929.04(B), the aggravating circumstance—Davis’s conviction for purposefully killing
Ernestine—“deserves great weight.” Id. at PageID 4932. The judges concluded that there was
“nothing mitigating about the nature and circumstances of the [capital] offense itself[,]” and that
the love of his family and the forgiveness by his daughter were entitled to very little weight. Id.
The panel also concluded that Davis’s dysfunctional upbringing was entitled to little weight, and
that “the separate testimony of Defendant’s family and friends does not support Dr. Smith’s
conclusion that Defendant suffered an extreme and dysfunctional upbringing. . . . Dr. Smith’s
46
diagnos[e]s” of borderline personality disorder and alcohol dependence “even if valid, [are]
entitled to little weight in mitigation.” Id. at PageID 4932, 4933. The judges gave no weight to
Mausser’s testimony as to “the probability that Defendant would never be released from prison if
given a sentence less than death[,]” finding it “highly speculative.” Id. at PageID 4933. “The
panel considered the Defendant’s good behavior while in prison, the Defendant’s advanced age,
and the Defendant’s remorse and apology during his unsworn statement. The panel attributes little
weight to each factor.” Id. The court gave no weight to Davis’s arguments that a life sentence
would be cheaper than execution and would bring closure to the victim’s family. Id. at PageID
4933-34.
1.
Twelfth District Court of Appeals
Davis was represented on appeal by Alan Freedman, Laurence Komp, and John Parker
(State Court Record, ECF No. 4-42, PageID 5485), and raised the following assignments of error:
FIRST ASSIGNMENT OF ERROR: The trial court erred in violation of the Eighth
Amendment and Due Process to allow a 25-year old, stale jury waiver to stand when there was a
new penalty hearing.
1. The trial court erred in violation of the Eighth Amendment and Due Process
to allow a 25-year old, stale jury waiver to stand when there was a new
penalty hearing; and
2. Appellant did not knowingly, intelligently and validly waive his jury in
1984 for a sentencing hearing in 2009.
SECOND ASSIGNMENT OF ERROR: The three-judge panel erred in not considering
and giving effect to mitigating evidence.
1. Whether the trial court in giving no weight to mitigation; and
47
2. Whether the trial court listened to mitigation.
THIRD ASSIGNMENT OF ERROR: The trial court erred in not precluding the death
penalty and enforcing the then-existing provisions of Ohio Revised Code § 2929.03(C)(2)(a).
1. Whether the trial court violated the constitution in applying a revised
and amended O.R.C. 2929.03 in order to make death an available
option.
FOURTH ASSIGNMENT OF ERROR: Appellant’s death sentence is disproportionate
and inappropriate, in violation of the Eighth and Fourteenth Amendments of the United States
Constitution and Sections 9 and 16 of the Ohio Constitution.
FIFTH ASSIGNMENT OF ERROR: Twenty-six years on Ohio’s death row constitutes
cruel and unusual punishment under the state and federal constitution, and international law.
1. Executing Appellant after such a lengthy stay on death row
constitutes cruel and unusual punishment. Lackey v. Texas, 514
U.S. 1045, 115 S.Ct. 1421 (1995) (Stevens, J., dissenting from
denial of certiorari); and
2. Executing Appellant after such a lengthy stay on death row violates
international law.
(State Court Record, ECF No. 4-42, PageID 5486-90).
On February 11, 2011, the Twelfth District rejected each of his five assignments. The
appellate court found that challenges to the validity of his jury waiver were barred by res judicata
and law of the case, as it had been repeatedly challenged in prior litigation, and upheld as knowing,
intelligent, and voluntary each time. Davis XI, 2011-Ohio-787, ¶ 16. The court “reiterate[d] that
the trial court, before accepting Davis’ waiver, performed a colloquy advising Davis of his rights
and what he was giving up by executing his waiver.” Id. at ¶ 29. The panel also rejected Davis’s
argument that “should this court apply the current version of R.C. 2929.06(B), such application
would violate the Ohio Constitution's prohibition against retroactive laws, as well as the ex post
facto clause of the federal constitution.” Id. at ¶ 44. The appellate court concluded that the
48
amended statute, which dropped the requirement that a defendant waiving his right to a jury must
have his guilt and sentence determined by the original three-judge panel, is remedial, rather than
substantive, in nature, and thus, its application was not impermissibly retroactive or otherwise an
ex post facto law. Id. at ¶¶ 45, 47, citing OHIO CONST., art. II, § 28; State v. Walls, 96 Ohio St. 3d
437, 2002-Ohio-5059, ¶¶ 9-10. The panel so concluded because the amended law “affects only
the methods or procedures by which the Butler County Court of Common Pleas implemented
Davis’ jury waiver. . . . The amendment did not, however, change the fact that Davis had the right
to avoid a jury and have his guilt and penalty determined by a panel of judges.” Id. at ¶ 49. Finally,
the appellate court “also f[ou]nd that the amendment is not violation of the ex post facto clause of
the federal constitution.” Id. at ¶ 57, citing Collins v. Youngblood, 497 U.S. 37, 41 (1990). The
panel noted “there is no language in the previous version [of the statute] that directed a court to
enter a life sentence if the panel could not perform its duties[,]” id. at ¶ 59, that the Supreme Court
of Ohio opted not to extend the holding of Penix (which forbade the imposition of a death sentence
on remand when the original sentence was imposed by a jury that could not be reassembled) to
Davis’s situation, leaving it open to the trial court panel’s discretion as to the appropriate sentence
on remand. Id. at ¶ 60, citing Penix, 32 Ohio St. 3d at 369. As “Davis was subject to either life
imprisonment or death” under the former and amended versions of the statute, id. at ¶ 62, “Davis’
jury waiver is still valid, and . . . R.C. 2929.06(B) is not unlawfully retroactive or does not
otherwise violate the ex post facto clause of the United States Constitution[.]” Id. at ¶ 63.
The Twelfth District also found meritless Davis’s Second and Fourth Assignments of Error,
“that the New Panel erred by not considering or giving the proper effect to his mitigation evidence,
and that the panel's sentence was improper[,]” respectively. Davis XI, 2011-Ohio-787, ¶ 68. The
appellate court contrasted the original and first resentencing panel’s refusal to consider all relevant
49
mitigating evidence, in violation of Skipper, id. at ¶73, citing 476 U.S. at 4, with the second panel
hearing evidence and considering:
Davis’ borderline personality disorder, alcohol abuse, love and
support of family members and friends, the testimony of Davis’
daughter that she has forgiven her father for killing her mother,
Davis’ good behavior in prison, childhood and family experience,
and the impact of each upon Davis’ personality development and
mental health, remorse and apology, age (62), probability of no
release from prison, whether a sentence of life in prison would bring
closure to the victim's family, and the savings to taxpayers should a
life sentence be imposed.
Id. at ¶ 75. “While Davis disagrees with the amount of weight . . . the panel assigned to each
factor, the fact that the panel assigned less weight to the factors than he believes they deserve is
not the same as the panel failing to consider the evidence.” Id. at ¶ 84, citing State v. Newton, 108
Ohio St. 3d 13, 2006-Ohio-81, ¶ 60. The appellate court found that the trial court had not abused
its discretion in its evaluation of the mitigation factors, and in its statutorily-mandated independent
review of Davis’s death sentence, found “that the penalty imposed in the case at bar is not excessive
or disproportionate.” Id. at ¶ 105.
Finally, the Twelfth District overruled Davis’s Fifth Assignment—that the imposition of
the death penalty after twenty-six years on death row was unconstitutional—noting that Justice
Stevens’s dissent from denial of certiorari in Lackey “is not binding on this, or any, court. It merely
expressed Justice Steven’s [sic] desire to have the court address at what point the state's desire for
retribution is satisfied by imprisonment as opposed to execution.” Davis XI, 2011-Ohio-787, ¶
119, citing 514 U.S. 1045. The panel also noted that other states had upheld as constitutional
execution after similarly lengthy stays on death row, id. at ¶ 122 (citations omitted), and that
“recently, the Supreme Court was again offered the opportunity to address whether a lengthy stay
of 32 years on death row constitutes cruel and unusual punishment, and declined to do so.” Id. at
¶ 123, citing Thompson v. McNeil, 556 U.S. 1114 (2009). Finally, the court rejected Davis’s
50
argument “that his time on death row, as well as the death penalty in general, violates international
law specific to Article VII of the International Covenant on Civil and Political Rights[,]” holding
that, because the United States specifically reserved certain rights when it ratified the Covenant,
“United States courts are not bound by international law on the issue of capital punishment where
the death penalty is upheld as constitutional.” Id. at ¶ 124, citing Buell v. Mitchell, 274 F.3d 337,
371 (6th Cir. 2001).
2.
Supreme Court of Ohio
On June 22, 2011, Davis filed his merit brief with the Supreme Court of Ohio, raising as
his five Propositions of Law the same Assignments of Error he had raised in the Twelfth District
(State Court Record, ECF No. 4-43, PageID 5849-52). On April 22, 2014, the Supreme Court of
Ohio overruled the propositions and affirmed the death sentence. Davis XIV, 2014-Ohio-1615.
The court held that Davis’s request for reconsideration of Davis II, in light of Padilla v. Kentucky,
was barred by res judicata. Id. at ¶ 31, citing 559 U.S. 356, 374 (2010). The court concluded that
res judicata and the law of the case doctrine did not foreclose adjudication on the merits as to his
first proposition—that the trial court erred in not allowing him to withdraw his jury waiver. Id. at
¶ 32. However, the court again distinguished cases in which “a conviction was either reversed on
appeal or was set aside, necessitating a retrial on the issue of guilt or innocence[,]” id. at ¶¶ 33-34
(citations omitted), in which the original jury waiver is voided, and that of Davis, whose case was
remanded solely for purpose of sentencing, in which the waiver is not voided. Id. at ¶ 34. The
court further noted that because Davis had had his original guilt and sentencing phases tried before
a three-judge panel, under Ohio law, a jury could not be impaneled for the purpose of resentencing.
Id., citing Ohio Rev. Code § 2929.06(B). As the Sixth and Eighth Amendments do not guarantee
51
a jury determination of a death sentence, id. at ¶ 39, citing Harris v. Alabama, 513 U.S. 504, 515
(1995), overruled on other grounds by Alleyne v. United States, 570 U.S. 99 (2013); Spaziano v.
Florida, 468 U.S. 447, 459 (1984), overruled by Hurst v. Florida, 577 U.S. ___, 136 S.Ct. 616
(2016), “even were we to hold the 1984 jury waiver insufficient or inapplicable as to the 2009
resentencing hearing, we would find no constitutional bar to conducting that hearing without a jury
pursuant to R.C. 2929.06(B).” Id. at ¶ 40. “Therefore, we overrule Davis’s first proposition of
law.” Id. at ¶ 43.
The court, in rejecting Davis’s Third Proposition, concluded that Ohio Rev. Code §
2929.06(B) was remedial, not substantive, in nature, and thus, did not violate the Ohio
Constitution’s retroactivity clause. Davis XIV, 2014-Ohio-1615, ¶ 47, citing OHIO CONST., art. II,
§ 28; Van Fossen v. Babcock & Wilcox Co., 36 Ohio St. 3d 100, paragraph one of the syllabus,
107 (1988), superseded on other grounds by Ohio Rev. Code § 2745.01. The court noted that it
had recently held that the statute did not violate the retroactivity clause with respect to a capital
defendant who was “sentenced to death after a jury trial . . . , [but] he obtained habeas corpus relief
from his death sentence, obliging the trial court to resentence him[,]” id. at ¶ 49, citing State v.
White, 132 Ohio St. 3d 344, 2012-Ohio-2583, ¶¶ 1-2, 48, and while “Davis was sentenced by a
three-judge panel, . . . in all relevant respects his situation is indistinguishable from White’s for
the purposes of the inquiry here.” Id. at ¶ 50. The court similarly concluded that the statute did
not violate the Ex Post Facto Clause of the United States Constitution, as it “does not fall within
any of the four categories of ex post facto laws identified in Calder [v. Bull, 3 U.S. (3 Dall.) 386,
390 (1798)].” Id. at ¶ 55, quoting White, 2012-Ohio-2583, ¶ 64.
The court similarly found unavailing Davis’s Second Proposition, “that [the] three-judge
panel violated the Eighth Amendment . . . by giving either insufficient weight or no weight at all
52
to his mitigating evidence.” Davis XIV, 2014-Ohio-1615, ¶ 56, citing Eddings, 455 U.S. 104. The
court noted that the second resentencing panel heard extensive mitigation testimony and assigned
weight to that testimony. Id. at ¶¶ 57-58. That is all the panel was required to do under Eddings;
consequently, any failure to assign particular weight or reach any particular conclusion was an
insufficient basis for an Eighth Amendment claim. Id. at ¶¶ 59-68 (citations omitted). Moreover,
in its statutorily-mandated independent review of the death sentence, the court affirmed the lower
courts’ conclusions that the aggravating circumstance outweighed the several mitigating factors.
Id. at ¶¶ 80-116. The court concluded that “[t]he mitigating factors are not strong[,]” and noted
that “[t]he aggravating circumstance here, the prior conviction of murder, is one that this court has
described as ‘very strong,’ and ‘significant[,]’” id. at ¶ 116, and that the court “ha[d] approved
death sentences in which the prior-murder-conviction specification . . . was the sole aggravating
circumstance presented.” In so doing, the court rejected Davis’s Fourth Proposition. Id. at ¶¶ 11617, quoting State v. Taylor, 78 Ohio St. 3d 15, 34 (1997); State v. Carter, 64 Ohio St. 3d 218, 228
(1992); citing Ohio Rev. Code §§ 2929.04(A)(4-5); Mapes, 19 Ohio St. 3d 108 (1985).
The court also rejected Davis’s Fifth Proposition, that to execute Davis almost thirty years
after initially being sentenced to death would violate the Eighth Amendment, noting that
“[n]umerous courts have rejected claims that delays between the imposition and the execution of
a death sentence constitute cruel and unusual punishment.” Davis XIV, 2014-Ohio-1615, ¶ 71
(citations omitted). The court rejected Davis’s argument that the three-judge panel’s improper
sentencing procedures being the cause of the delay, rather than frivolous appeals by Davis,
constituted an Eighth Amendment violation, noting that “[d]elay, in large part, is a function of the
desire of our courts to get it right, to explore exhaustively, or at least sufficiently, any argument
that might save someone’s life[,]” and that “even if it were held that delay . . . constitutes cruel and
53
unusual punishment,” it is by no means clear that “commutation of the death penalty will turn out
to be the appropriate remedy.” Id. at ¶ 72, quoting Chambers v. Bowersox, 157 F.3d 560, 570 (8th
Cir. 1998); McKenzie v. Day, 57 F.3d 1461, 1467 (9th Cir. 1995); citing Elledge v. Florida, 525
U.S. 944, 945 (1998) (Breyer, J., dissenting from the denial of certiorari). Further, while the court
acknowledged the decisions cited by Davis from foreign courts “that, in his view, establish an
international norm recognizing that long postsentencing delays of execution are cruel[,]” id. at ¶
74 (citations omitted), the court rejected his argument that “lengthy waits between sentencing and
execution contravene ‘our society’s evolving standards of decency.’ Absent some such showing,
the foreign cases Davis cites cannot advance his Eighth Amendment claim.” Id. at ¶ 77, quoting
Roper v. Simmons, 543 U.S. 551, 563 (2005). Having rejected all five Propositions of Law, the
court “affirm[ed] the judgment of the court of appeals, affirming Davis’s sentence of death.” Id.
at ¶ 118.
G.
Second Post-Conviction Petition
On October 21, 2011, Davis, represented by Kort Gatterdam and Erik P. Henry, filed a
Second Post-Conviction Petition with the trial court (State Court Record, ECF No. 4-46, PageID
6236 et seq.), claiming that his counsel was ineffective at his 2009 resentencing (First through
Seventh Grounds for Relief) and in his initial 1984 trial (Eighth Ground) by the following acts or
omissions:
1. Failure to investigate fully mitigation evidence;
2. Failure to present adequately mitigation evidence;
3. Decision to call Cynthia Mausser in mitigation;
4. Decision to call Dr. Smith in mitigation;
54
5. Decision not to call John Lee in mitigation;
6. Decision not to seek recusal of Judge Mastoff from resentencing
panel;
7. Informing Davis, contrary to the controlling statutory language, that
a sentence of life without parole was an option; and
8. Advising Davis to waive his right to a jury trial.
Id. at PageID 6242-59. In his Ninth Ground, Davis argued that “Ohio’s post-conviction procedures
do not provide an adequate corrective process,” and are thus violative of the United States and
Ohio Constitutions. Id. at PageID 6260-62.
The State moved to dismiss the “petition for failure to state a claim upon which relief can
be granted. In the alternative, the State request[ed] that summary judgment be granted in favor of
the State.” (State Court Record, ECF No. 4-47, PageID 6461). The State claimed that most of the
alleged instances of deficient performance in Grounds One through Seven were nothing more than
judgment calls “not outside the norms of professional practice” that did not produce the results
desired by Davis. As a matter of law, the State argued, such judgment calls cannot form the basis
of a viable claim under Strickland v. Washington, 466 U.S. 668 (1984). Moreover, the State
claimed that, even if the judgment calls had fallen outside the norms of professional practice, the
purported errors were not so egregious as to change the outcome of the initial trial or second
resentencing, as is required under Strickland. Id. at PageID 6471-84. As to Davis’s Eighth
Ground, the State noted that the amendments to Ohio Rev. Code §§ 2953.21 that took effect on
September 21, 1995, imposed a time restriction on postconviction petitions for claims that were
already ripe—no later than one year after the enactment of the amendments. Id. at PageID 6484,
citing Ohio Rev. Code § 2953.21(A)(2); 1995 S.B. 4; State v. Freeman, Nos. 73784-87, 1998 WL
855613, at * 1 (Ohio App. 8th Dist. Dec. 10, 1998). As the claim regarding advice to Davis as to
his initial jury waiver was ripe at the time of the amendments, the State argued, his failure to bring
55
the claim by September 21, 1996 rendered the Eighth Ground time-barred. Id. at PageID 648485. Finally, the State argued that Davis’s Ninth Ground was barred by res judciata for failure to
raise the claim on direct appeal, and was also meritless. Id. at PageID 6485-86, citing State v.
Ketterer, 126 Ohio St. 3d 448, 2010-Ohio-3831, ¶ 59.
On November 26, 2012, the trial court issued an Entry and Order dismissing the petition
and denying Davis’s motion to conduct discovery (State Court Record, ECF No. 4-47, PageID
6633). The trial court noted that the Strickland test had been adopted by the Supreme Court of
Ohio to evaluate ineffective assistance of counsel claims, and that trial courts are permitted to
evaluate the “deficient performance” and “prejudice” prongs in either order. Id. at PageID 6636,
quoting State v. Bradley, 42 Ohio St. 3d 136, 143 (1989); Strickland, 466 U.S. at 697. As to the
First Ground, the court concluded that the evidence that Davis claimed had not been presented had
actually been presented by counsel in a different form; thus, “[t]rial counsel’s performance was
not deficient for failing to [investigate and] call these additional witnesses. For the same reasons,
Davis has failed to establish that he was prejudiced[.]” Id. at PageID 6638. The court concluded
that the gravamen of Davis’s Second Ground—counsel’s “presenting a summary of his prison unit
file to the three-judge panel instead of the entire unit file”—was a “strategic decision” that was
comfortably within the realm of trial strategy. Id. at PageID 6638-39. The court found his Third
Ground—decision to call Cynthia Mausser—could have been raised on direct appeal and thus was
barred by res judicata. Also, because her testimony could have just as easily been helpful as
harmful, the Third Ground also failed on its merits. Id. at PageID 6640-41. The court found that
Dr. Smith’s focus during his testimony on Davis’s borderline personality disorder and substance
abuse problems was proper, as the evidence underlying his opinions was relevant and wellsupported, and “[h]indsight cannot affect the evaluation of trial counsels’ performance.” Id. at
56
PageID 6644. “Furthermore, had trial counsel asked Dr. Smith to provide an opinion as to Davis’s
ability to adapt to society, his testimony would have been largely cumulative. The panel heard
testimony from Scott Nowak, Jerome Stineman, and pen pal Franc[e]s Welland and admitted the
aforementioned institutional summary as an exhibit.” Id. Thus, Davis’s Fourth Ground was not
viable. Similarly, the trial court rejected Davis’s Fifth Ground, failure to call investigator John
Lee as a mitigation witness to present interview summaries, because the panel heard direct
testimony from many of Lee’s interview subjects (e.g., members of Davis’s extended family), such
that his testimony would have been cumulative. Id. at PageID 6646.
The court concluded that Davis’s Sixth and Eighth Grounds—failing to seek recusal of
Judge Nastoff and original counsel’s failure to advise Davis of all consequences of a jury waiver—
were barred by res judicata (State Court Record, ECF No. 4-47, PageID 6647, 6648). Finally, the
court found that Davis’s Seventh Ground, that trial counsel erroneously advised Davis that the
panel could impose a sentence of life without parole, was factually baseless (supported by nothing
more than Davis’s self-serving affidavit) and, even if true, did not prejudice Davis. Id. at PageID
6647-48. In rejecting Davis’s Ninth Ground—that Ohio’s postconviction relief procedure is a
constitutionally inadequate corrective process—the court noted that the Third District Court of
Appeals had rejected an argument that courts are constitutionally required to allow postconviction
petitioners to take discovery, and concluded that “[b]ecause Davis’ argument attacking the
constitutionality of R.C. 2953.21 is in no way related to the events of his re-sentencing hearing, it
is not appropriate for the Court to consider” in his postconviction petition, as any constitutional
deprivation did not occur “during the proceedings resulting in the petitioner’s conviction.” Id. at
PageID 6649-50, citing State v. Fitzpatrick, No. C-030804, 2004-Ohio-5615 (Ohio App. 1st Dist.
Oct. 22, 2004); State v. Yarbrough, No. 17-2000-10, 2001 WL 454683, *11 (Ohio App. 3rd Dist.
57
Apr. 30, 2001). Having rejected all of Davis’s Grounds for Relief, the trial court dismissed his
Second Post-Conviction Petition and deemed the dismissal a final appealable order. Id. at PageID
6650, citing Ohio Civ.R. 54(B).
On appeal to the Twelfth District, Davis raised three Assignments of Error. For the First
Assignment, ineffective assistance of trial counsel, he raised as issues for review the First through
Eighth Grounds for Relief in his Second Post-Conviction Petition. For the Second Assignment,
Davis raised his Ninth Ground for Relief below—that “Ohio’s post-conviction procedures do not
provide an adequate corrective process, in violation of the” United States and Ohio constitutions.
In his Third Assignment, Davis claimed that “the trial court erred when it refused to allow appellant
to conduct discovery or grant an evidentiary hearing, in violation of appellant’s rights under R.C.
2953.21 and the Sixth, Eight, and Fourteenth Amendments to the United States Constitution.”
(State Court Record, ECF No. 4-48, PageID 6779-80).
On September 9, 2013, the Twelfth District overruled all three assignments, concluding
that the trial court did not abuse its discretion in finding that the alleged instances of ineffective
assistance did not form the basis of a viable Strickland claim. Davis XIII, 2013-Ohio-3878, ¶¶ 931. The panel summarily dispensed with Davis’s Second Assignment, noting that the Twelfth
District and its sister districts “already determined that ‘the statutory procedure for postconviction
relief constitutes an adequate corrective process[,]” and that the panel saw “no reason to deviate
from this prior precedent.” Id. at ¶ 34, quoting State v. Lindsey, No. CA2002-02-002, 2003-Ohio811, ¶ 13 (Ohio App. 12th Dist. Feb. 24, 2003). The appellate court overruled Davis’s Third
Assignment on similar grounds, reiterating the well-established precedent that a postconviction
petitioner has no right to discovery or an evidentiary hearing absent a showing of good cause, id.
at ¶¶ 38-39 (citations omitted), and that:
58
[T]he trial court properly determined that Davis’ claims alleging
ineffective assistance of counsel lacked merit and were otherwise
barred by res judicata. Therefore, we likewise find no abuse of
discretion in the trial court's decision not to hold an evidentiary
hearing and to deny Davis’ request to conduct discovery in this
matter.
Id. at ¶ 40. The Supreme Court of Ohio declined to consider Davis’s appeal, Davis XV, 143 Ohio
St. 3d 1441, 2015-Ohio-3427, and the United States Supreme Court denied Davis’s petition for
certiorari on January 25, 2016. Davis v. Ohio, 136 S.Ct. 988, 989 (Mem.) (2016).
III.
LEGAL STANDARDS
A.
28 U.S.C. § 2254
As Davis is imprisoned based on a state court judgment, he may petition for a writ of habeas
corpus “only on the ground that he is in custody in violation of the Constitution or laws or treaties
of the United States.” 28 U.S.C. § 2254(a). A petition “shall not be granted with respect to any
claim” that:
[W]as adjudicated on the merits in State court proceedings unless
the adjudication of the claim—(1) resulted in a decision that was
contrary to, or involved an unreasonable application of, clearly
established Federal law, as determined by the Supreme Court of the
United States; or (2) resulted in a decision that was based on an
unreasonable determination of the facts in light of the evidence
presented[.]
28 U.S.C. § 2254(d).
A habeas corpus petitioner must also satisfy additional procedural
requirements, including but not limited to exhaustion of State court judicial remedies.
28 U.S.C. § 2254(b). Pursuant to the Antiterrorism and Effective Death Penalty Act of 1996
(“AEDPA”), Pub. L. 104-132, 110 Stat. 1214, this Court’s review of any claim adjudicated on its
merits in a State court proceeding is sharply circumscribed; “a determination of a factual issue
59
made by a State court shall be presumed to be correct. The applicant shall have the burden of
rebutting the presumption of correctness by clear and convincing evidence.”
28 U.S.C. §
2254(e)(1).
A state court may be found to have acted “contrary to” federal law in two ways: (1) if the
state court’s decision is “substantially different from the relevant precedent” of the U.S. Supreme
Court; or (2) if “the state court confronts a set of facts that are materially indistinguishable from a
decision of [the U.S. Supreme] Court and nevertheless arrives at a result different from [U.S.
Supreme Court] precedent.” Williams (Terry), 529 U.S. 362 at 405, 406. A state court does not
act contrary to federal law simply because its application of federal law was incorrect. Rather, the
decision must have been “mutually opposed[,]” id. at 406, to “clearly established Federal law, as
determined by the Supreme Court,” 28 U.S.C. § 2254(d)(1), which encompasses only the holdings
of Supreme Court decisions, and not their dicta. Williams (Terry), 529 U.S. at 412.
The “unreasonable application” standard is distinct from and more deferential than that of
“clear error.” “It is not enough that a federal habeas court, in its independent review of the legal
question, is left with a firm conviction that the state court decision was erroneous. . . . Rather, that
application must be objectively unreasonable.” Lockyer v. Andrade, 538 U.S. 63, 75, 76 (2003)
(internal quotation marks omitted). “[E]valuating whether a rule application was unreasonable
requires considering the rule’s specificity. The more general the rule, the more leeway courts have
in reaching outcomes in case-by-case determinations.” Yarborough v. Alvarado, 541 U.S. 652,
664 (2004). However, this deferential standard applies only when the state court has addressed
the merits of a claim raised on appeal; “[w]here a state court has not adjudicated a claim on the
merits, the issue is reviewed de novo by a federal court on collateral review.” Trimble v. Bobby,
804 F.3d 767, 777 (6th Cir. 2015).
60
B.
Exhaustion, Procedural Default, and Res Judicata
A federal habeas corpus petitioner must exhaust his claims in the state court before he may
bring those claims before this Court. 28 U.S.C. § 2254(b)(2). This can be shown by demonstrating
that: (1) the highest court of a state has adjudicated the merits of the claim; or (2) under state law,
the claims are procedurally barred. Gray v. Netherland, 518 U.S. 152, 161-62 (1996). “[T]he
doctrine of exhaustion requires that a claim be presented to the state courts under the same theory
on which it is later presented in federal court.” Wong v. Money, 142 F.3d 313, 322 (6th Cir. 1998).
However, if a claim is procedurally barred under state law because “a state prisoner has defaulted
his federal claims in state court pursuant to an independent and adequate state procedural rule,
[then] federal habeas review of the claims is barred.” Coleman v. Thompson, 501 U.S. 722, 750
(1991).
Under Ohio law, failure to make timely objections at trial or to raise the issue on direct
appeal from the trial court, if possible, bars a petitioner from raising that claim in a federal habeas
corpus petition. Seymour v. Walker, 224 F.3d 542, 555 (6th Cir. 2000), citing Perry, 10 Ohio St.
2d 175, paragraphs eight and nine of the syllabus; Leroy v. Marshall, 757 F.2d 94, 97-99 (6th Cir.
1985); see also, e.g., Coleman v. Mitchell, 244 F.3d 533, 538-39 (6th Cir. 2001) (holding that the
“Perry rule” regarding res judicata was an adequate and independent state law ground upon which
to find a claim procedurally defaulted, and thus, bar its consideration of claims in district courts);
Wong, 142 F.3d at 322 (“Under Ohio law, the failure to raise on appeal a claim that appears on the
face of the record constitutes a procedural default under the State’s doctrine of res judicata.”) A
claim of ineffective assistance of counsel—i.e., an argument that failure to make timely objections
at trial should be excused—normally must “be presented to the state courts as an independent claim
61
before it may be used to establish cause for a procedural default.” Murray v. Carrier, 477 U.S.
478, 489 (1986).
Further, in raising the claims in the state court, a petitioner must set out why he believes
his federal constitutional rights have been violated to avoid procedural default. 28 U.S.C. § 2254;
Gray, 518 U.S. at 162-63. The procedural default analysis focuses on the “last explained state
court judgment.” A decision by a state supreme court in which the court declines to exercise
jurisdiction over an appeal from an intermediate appellate court, but that does not provide reasons
for its declination, does not constitute the “state judgment” upon which this Court resolves the
procedural default question. Munson v. Kapture, 384 F.3d 310, 314 (6th Cir. 2004), citing Ylst v.
Nunnemaker, 501 U.S. 797, 805 (1991). However, the threshold for what constitutes an “explained
state court judgment” is modest—the Sixth Circuit has held that an order from a state supreme
court stating nothing more than “that the petitioner had failed to meet the burden of establishing
entitlement to relief under [Michigan Rule of Criminal Procedure] 6.508(D) – though brief –
constituted the last explained state court decision in the case.” Id. (internal quotation marks
omitted), quoting Simpson v. Jones, 238 F.3d 399, 407-08 (6th Cir. 2000). A decision by a state
court to review the merits of an otherwise-defaulted claim, as an act of grace to an appellant, does
not save that claim from being procedurally defaulted in the federal district court. Coleman v.
Mitchell, 268 F.3d 417, 429 (6th Cir. 2001); Amos v. Scott, 61 F.3d 333, 342 (5th Cir. 1995). Finally,
a District Court may not consider claims raised collaterally in a habeas corpus petition that are not
supported by substantial evidence from outside the trial or appellate record. Mapes v. Coyle, 171
F.3d at 421-22.
Nonetheless, there are certain requirements that the State must prove by a preponderance
of the evidence before the procedural default rule bars claims in this Court. First, a petitioner must
62
have actually violated the state procedural rule; a state court’s mistaken interpretation of a rule, or
mistaken finding that the petitioner violated that rule, will not suffice. Lee v. Kemna, 534 U.S.
362, 376-77, 387 (2002); Trevino v. Texas, 503 U.S. 562, 567 (1992). Second, the case must not
fall within an exception to the state procedural rule which the petitioner is alleged to have violated;
e.g., if the gravamen of a petitioner’s ineffective assistance of counsel claim is based on evidence
outside the trial court record, then failure to raise that claim on direct appeal does not constitute a
procedural default. Morales v. Mitchell, 507 F.3d 916, 937 (6th Cir. 2007). Third, the state court,
in its last explained decision, must expressly state that a claim has been procedurally defaulted by
failing to comply with a procedural rule; otherwise, “[w]hen a federal claim has been presented to
a state court[,] and the state court has denied relief, it may be presumed that the state court
adjudicated the claim on the merits in the absence of any indication [of such a holding] or statelaw procedural principles to the contrary.” Harrington v. Richter, 562 U.S. 86, 99 (2011). Finally,
the state procedural rule must be “adequate”—that is, it must have been “clearly announced, firmly
established[,] and regularly and consistently applied by the state[].” (Traverse, ECF No. 234, Page
ID 16253, citing Ford v. Georgia, 498 U.S. 411, 423-24 (1991); James v. Kentucky, 466 U.S. 341,
348-49 (1984); Hathorn v. Lovorn, 457 U.S. 255, 262-63 (1983); Davis v. Wechsler, 263 U.S. 22,
24 (1923)).
A petitioner may circumvent the procedural default bar by “demonstrat[ing] cause for the
default and actual prejudice as a result of the alleged violation of federal law, or demonstrate that
failure to consider the claims will result in fundamental miscarriage of justice.” Coleman, 501
U.S. at 750; McCleskey v. Zant, 499 U.S. 467, 494-95 (1991). The Sixth Circuit has adopted a
four-part test in Maupin v. Smith, 785 F.2d 135 (6th Cir. 1986), under which this Court must
examine whether: (1) a petitioner failed to comply with a procedural rule; (2) the state court
63
enforced the procedural rule; (3) the state procedural bar is “an adequate and independent ground”
upon which the state can foreclose federal review; and (4) a petitioner can demonstrate good cause
for not complying with the procedural rule, and actual prejudice from enforcement of the default.
Id. at 138. A petitioner must show that an objective factor, external to petitioner, prevented him
from complying with the procedural rule, Murray, 477 U.S. at 488; and that his trial was “infected
with error so ‘plain’ that the trial judge and prosecutor were derelict in countenancing it, even
absent the defendant’s timely assistance in detecting it.” United States v. Frady, 456 U.S. 152,
163 (1982), citing FED.R.CRIM.P. 52(b).
Procedural default may also be excused if a petitioner can show, by a preponderance of the
evidence, that he is “actually innocent,” such that “a court cannot have confidence in the outcome
of the trial[,]” Lott v. Coyle, 261 F.3d 594, 602 (6th Cir. 2001), quoting Schlup v. Delo, 513 U.S.
298, 316 (1995), and thus, his conviction constitutes a “fundamental miscarriage of justice.”
Coleman, 501 U.S. at 750; Murray, 477 U. S. at 515. Finally, as a procedural default is not an
adjudication on the merits, if a petitioner can successfully set aside such a default, then this Court
must review the claim de novo. Harrington, 562 U.S. at 99.
IV.
ANALYSIS
A.
Jury Waiver Grounds for Relief
1.
Claim One: Jury Waiver not Knowing, Intelligent, and Voluntary
Davis sets forth five reasons as to why his conviction and death sentence are void due to
the impermissible waiver of his fundamental right to a jury trial:
a.
Mr. Davis’s jury waiver was not voluntary because the trial
court’s denial of his motion to sever forced him to waive
jury.
64
b.
Mr. Davis’s jury waiver was not knowing and intelligent
because he did not know at the time of the waiver that Ohio
Supreme Court would refuse to apply the rule of Penix to his
case and hold him eligible to be resentenced to death.
c.
Mr. Davis’s jury waiver was not knowing and intelligent
because he did not know when he waived his right to a jury
trial in favor of being tried before three specifically
identified judges that he was also waiving his jury-trial rights
twenty-five years in the future to instead be tried before an
entirely different panel of three unknown judges.
d.
Mr. Davis’s jury waiver was not knowing and intelligent
because he did not know that two of the three judges on his
panel represented a party adverse to him in a prior case.
e.
Mr. Davis’s jury waiver was not knowing and intelligent
because he did not know that a different standard of proof
would be applied to him on appeal from a decision by threejudge panel than would have been applied to an appeal from
a jury verdict.
(Petition, ECF No. 6, PageID 8565, 8626, citing U.S. CONST. ART. III § 2, 5th Am., 6th Am., 8th
Am., 14th Am.; Brady v. United States, 397 U.S. 742, 748 (1970); Adams v. United States ex rel.
McCann, 317 U.S. 269, 275 (1942); Patton v. United States, 281 U.S. 276, 312 (1930), abrogated
on other grounds by Williams v. Florida, 399 U.S. 78 (1970)).
a.
Sub-Claim 1(C) is not Cognizable
In the Return of Writ, the Warden argues that sub-claim 1(C)—the continuing validity of
a jury waiver—is non-cognizable, on the basis that “although the Sixth Amendment guarantees
the right to trial by jury, neither the Sixth nor the Eighth Amendment creates a constitutional right
to be sentenced by a jury, even in a capital case.” (Return of Writ, ECF 17, PageID 9043-44
(emphasis removed), quoting Davis XIV, 2014-Ohio-1615 at ¶ 39). In his Traverse, Davis notes
that the quoted portion of Davis XIV relies on the Supreme Court’s holdings in Spaziano v. Florida,
65
which, along with Hildwin v. Florida, was expressly overruled by Hurst v. Florida in 2016 (ECF
No. 29, PageID 9173-74, citing Hurst, 577 U.S. ____, 136 S.Ct. 616, 619, 623-24 (2016);
Spaziano, 468 U.S. 447 (1984); Davis XIV, 2014-Ohio-1615 at ¶ 39; see also Hildwin, 490 U.S.
638 (1989)). Davis is correct that Hurst overruled Spaziano and Hildwin’s upholding of the
constitutionality of Florida’s capital sentencing scheme, in which a judge made the critical
findings, as “wrong, and irreconcilable with Apprendi.” 136 S.Ct. at 624, citing Apprendi, 530
U.S. 466 (2000). “In Ring [v. Arizona], we held that another pre-Apprendi decision—Walton [v.
Arizona]—could not ‘survive the reasoning of Apprendi.’ Walton, for its part, was a mere
application of Hildwin’s holding to Arizona's capital sentencing scheme.” Id., quoting Ring, 536
U.S. 584, 603 (2002); citing Walton, 497 U.S. 639 (1990); Hildwin, 490 U.S. 638. Yet, the
Supreme Court recently reaffirmed that Ring is retroactive only on direct appeal, not on collateral
review. McKinley v. Arizona, 140 S.Ct. 702, 709 (2020) (Ginsburg, J., dissenting), citing Schiro
v. Summerlin, 542 U.S. 348, 358 (2004); Teague v. Lane, 489 U.S. 288, 310 (1989) (plurality
opinion).
Given the Supreme Court’s identical treatment of Florida and Arizona’s capital
sentencing regimes and refusal to apply Ring retroactively on collateral review, the undersigned
cannot reasonably conclude that Hurst would apply retroactively, either. Accordingly, sub-claim
1(C), failure to be sentenced by a jury on remand, is not cognizable and should be dismissed.
b.
Remainder of Claim Reviewed De Novo
The Warden argues that the other four sub-claims are barred “for failure to present the
claims for state court adjudication in respect to the state court judgment currently under attack that
was final on March 2, 2015.” (Return of Writ, ECF No. No. 17, PageID 9039, citing Davis v.
Ohio, 135 S.Ct. 1494 (2015)). “Under these circumstances, it is of no legal import that the trial
66
phase jury waiver claims in habeas claims 1, 2 and 4, except 1(C) and 2(B), were earlier presented
to the state courts in respect to a state court judgment that no longer exists[.]” Id. at PageID 903940, citing Davis X, 464 F.3d 761. Alternatively, he claims that, because the claims were previously
raised and rejected by this Court in Davis IX and the Sixth Circuit did not disturb those rulings in
Davis X, the Court should summarily adjudicate those claims based on the same reasoning as in
Davis IX. To do otherwise the Warden argues, would give Davis an improper “do over” on those
claims. Id. at PageID 9040-43, citing King v. Morgan, 807 F.3d 154, 159 (6th Cir .2015); Davis X,
475 F.3d at 779-80 (Claims 1(A-B)); Davis IX, ECF No. 16-2, PageID 8980-93 (Claim 1(D)), and
ECF No. 16-1, PageID 8927-28, 8937, ECF No. 16-2, Page 8950 n.1 (Claim 1(E)).
Yet, Davis argues correctly that, contrary to the Warden’s argument as to Ground One—
and fifteen of his grounds for relief—King does not create a procedural bar for “identical claims
[which] have already been denied in prior federal habeas proceedings.” (Traverse, ECF No. 29,
PageID 9152 (internal quotation marks omitted), citing King, 807 F.3d at 159; Return of Writ,
ECF No. 17, PageID 9039-43, 9065, 9067-71, 9073). Davis claims that a petitioner obtains habeas
relief and is resentenced via a new judgment, a subsequent habeas petition is not “second or
successive” one “even if the claimant previously filed petitions that challenged the original
sentence and even if he raised or could have raised the same claims in those earlier petitions.” Id.
(emphasis in original), quoting King, 807 F.3d at 159; citing Magwood v. Patterson, 561 U.S. 320
(2010). Davis claims that, pursuant to King, his claims are not second or successive even though
the “new judgment” is only a new sentence, rather than the underlying conviction. Id. at PageID
9152-53, citing Magwood, 561 U.S. at 328-29, 331, 349-50 (Kennedy, J., dissenting at 349-50);
In re Stansell, 828 F.3d 412, 416 (6th Cir. 2016); King, 807 F.3d at 157.
Davis’s interpretation of King is correct. That Davis raised and was unsuccessful with
67
these claims previously is irrelevant; he is challenging the most recent death sentence.
“Accordingly, while this Court is free to review its prior rulings on the same claims, there is no
procedural bar to this Court’s ability to again address those claims on the merits.” (Traverse, ECF
No. 29, PageID 9155). Moreover, upon resentencing, the statute of limitations clock reset, and the
law-of-the-case doctrine does not apply.
Thus, the sub-claims are properly before this Court.
Arizona v. California, 460 U.S. 605, 618 (1983); King, 807 F.3d at 159-60; Scott v. Churchill, 377
F.3d 565, 569 (6th Cir. 2004).
c.
Procedural Default
d.
As discussed above, the Warden argues that the sub-claims are procedurally defaulted
because Davis failed to raise them in the state courts after his second resentencing. There is no
dispute that: Davis did not raise these sub-claims in state court after his 2009 resentencing; they
relate to his original conviction, rather than the resentencing; and that they are substantively
identical to the claims that were presented to and rejected by this Court in Davis IX. Davis presents
two arguments as to why the sub-claims are not procedurally defaulted. First, Davis argues that
the claims have already been fairly presented in the state courts, and that because the factual bases
and legal claims contained in the sub-claims are identical to those previously presented, including
to this Court in Davis IX, they are not “new claims” and, thus, are not procedurally defaulted
(Traverse, ECF No. 29, PageID 9156-57, citing Gray v. Netherlands, 518 U.S. 152, 162-63 (1996);
Vasquez v. Hillery, 474 U.S. 254, 260 (1986); Anderson v. Heirless, 459 U.S. 4, 6 (1982); Picard
v. Connor, 404 U.S. 270, 275-76 (1971); Richey v. Bradshaw, 498 F.3d 344, 352 (6th Cir. 2007);
Pillette v. Foltz, 824 F.2d 494,496 (6th Cir. 1987)).
68
Second, Davis argues that, because the sub-claims were adjudicated on their merits
previously, and pertain to his original trial and conviction, rather than his second resentencing, it
would have been futile for him to raise them again. Thus, he claims, this Court should find that
“there is an absence of available State corrective process” for those sub-claims, and, consequently,
there was no procedural default (Traverse, ECF No. 29, PageID 9159, quoting 28 U.S.C. §
2254(b)(1)(B)(i); Turner v. Bagley, 401 F.3d 718, 724 (6th Cir. 2005); Sherley v. Parker, No. 995535, 2000 WL 1141425, *5, 229 F.3d 1153 (TABLE) (6th Cir. 2000)). 9
Davis’s first argument—that the Court should treat the sub-claims as identical to those in
Davis IX—is inconsistent with his argument elsewhere—that the Court should review these subclaims de novo, as if they had not been raised in this Court before. Nonetheless, the Court need
not address whether the sub-claims are procedurally defaulted, because they are without merit.
e.
Davis has not met his Burden Under 28 U.S.C. § 2254(d)
The Sixth Circuit, in Davis X, considered and addressed sub-claim 1(A): that the trial
court’s denial of his motion to sever the charges of aggravated murder and possessing a firearm
under a disability (his prior murder conviction) rendered his jury waiver involuntary. 475 F.3d at
775-79. The panel noted that “[i]n denying Davis’s motion for severance, the Ohio courts applied
state law and, as a result, we must accept as binding the state supreme court’s interpretation of the
interaction between the capital specification-election provision, and the rules for joinder and
severance of criminal charges.” Id. at 777, citing Ohio Rev. Code § 2929.022(A). Moreover, the
Davis X court noted, the Supreme Court has repeatedly held that when prior felony convictions are
9
Davis’s citation of Sherley was merely “229 F.3d 1153,” leading the Court to believe that it was a published,
precedential opinion, when in fact it is not. Unpublished opinions must be cited properly. COLUMBIA LAW REVIEW
ASS’N ET AL. EDS., THE BLUEBOOK : A UNIFORM SYSTEM OF C ITATION, Rule 10.8.1 (20th ed. 2015).
69
introduced to the jury for sentencing purposes, “the conceded possibility of prejudice is believed
to be outweighed by the validity of the State’s purpose in permitting introduction of the evidence.”
Id. at 777-78 (internal quotation marks omitted), quoting Spencer, 385 U.S. at 561; citing Marshall
v. Lonberger, 459 U.S. 422 (1983). Consequently, “the prejudice suffered by a defendant in such
a case does not rise to the level of a violation of due process[.]” id., quoting Spencer, 385 U.S. at
562, and “[b]ecause the denial of Davis’s motion for severance did not constitute a denial of the
petitioner’s due process right to a fair trial, that ruling cannot be said to have rendered his waiver
of a jury trial involuntary.” Id. at 778-79. Davis does not argue that the legal holdings of the
published decision in Davis X are not binding upon this Court, just as they would be in a factually
unrelated case. Further, Davis concedes that there are no facts regarding the trial court’s decision
to sever that were not before the Sixth Circuit in Davis X. Hence, the Court concludes that subclaim 1(A) is no more meritorious now than it was in 2007.
Sub-claim 1(B)—that the waiver was not knowing and intelligent because Davis could not
have known that the Supreme Court of Ohio would refuse to extend Penix as to him, and thus leave
him eligible for a death sentence upon resentencing—was considered de novo by the Sixth Circuit.
Davis X, 475 F.3d at 779. The panel held that, even in light of Ring, “the state courts cannot be
faulted for failing to analyze Davis’s motion to withdraw his jury waiver under a fundamentalrights-analysis when the right in question had yet to be recognized by the Supreme Court in the
context raised by the petitioner.” Id. at 780. The appellate court reiterated the well-settled
precedent that prisoners and capital defendants are not “suspect classes” that would subject the
waiver statute to strict scrutiny. Id. at 779, citing Mass. Bd. of Retirement v. Murgia, 427 U.S.
307, 312 (1976); Tigner v. Cockrell, 264 F.3d 521, 526 (5th Cir. 2001); Hadix v. Johnson, 230 F.3d
840, 843 (6th Cir. 2000). Finally, the panel affirmed this Court’s ruling:
70
[T]hat a sound, rational basis did indeed exist in this case for the
different treatment of defendants resentenced after jury trials and
those resentenced after trials before three-judge panels. According
to the district court, there are obvious difficulties presented in trying
to reassemble the original trial jury to participate in a resentencing
hearing. By contrast, the three judges who comprised the original
panel in the petitioner’s case were still available to resentence the
petitioner. Because such a distinction is arguably rational, we must
conclude that Davis’s equal protection challenge to the original
denial of his motion to withdraw his jury waiver is without merit.
Id. at 780 (internal quotation marks and citation omitted).
Davis, in arguing that sub-claim 1(B) is viable (Traverse, ECF No. 29, PageID 9166),
emphasizes language in Davis X, in which the panel stated that the second resentencing:
[C]an indeed be considered the functional equivalent of ‘trial’
because, unlike sentencing in a non-capital case, it will take the form
of an evidentiary proceeding on the question of whether Davis
should receive the death penalty or some form of a life sentence.
Moreover, we think there is a legitimate question as to whether a
criminal defendant should be held to a jury waiver entered almost
25 years before his newly-mandated sentencing hearing. In the Sixth
Circuit, at least, we have recognized that a defendant’s jury waiver
entered prior to the first trial of his case does not bar his right to a
jury trial on the same case after remand from a reviewing court. . . .
Likewise, the Ohio courts have held, in reversing a conviction “on
the basis that [the defendant] was neither charged [with] nor found
guilty of an essential element of the offense,” that the defendant’s
“previous waiver of a jury trial is also inherently revoked by the
reversal of the conviction and the [amended] indictment.”
Davis X, 475 F.3d at 780-81, quoting State v. McGee, 128 Ohio App. 3d 541, 545 (Ohio App. 3rd
Dist. 1998); citing Sinistaj v. Burt, 66 F.3d 804, 808 (6th Cir.1995); United States v. Groth, 682
F.2d 578, 580 (6th Cir.1982); United States v. Lee, 539 F.2d 606, 608 (6th Cir. 1976). Yet, the
panel concedes that McGee is “not directly on point, because Davis is not facing a new indictment,”
id. at 781, and while the panel stated that “the reasoning of the Ohio court in McGee should
certainly inform the sentencing court’s determination of the viability of Davis's jury waiver on
remand[,]” id., any failure to do so by the trial court cannot constitute a violation of “clearly
71
established federal law,” and thus cannot form the basis of a viable habeas claim. 28 U.S.C. §
2254(d)(1). Sub-claim 1(B) should accordingly be denied.
Davis argues that the last reasoned state court decision as to sub-claim 1(D)—that Davis
could not have made a knowing, intelligent, and voluntary jury waiver because he did not know
that two of the judges on the panel had prosecuted a foreclosure case against him more than a
decade prior to his trial—was Davis VI (Traverse, ECF No. 29, PageID 9171, citing 1996 WL
551432). In that case, the Twelfth District relied on State v. D’Ambrosio, in which the Supreme
Court of Ohio “held that D’Ambrosio’s waiver was not retroactively rendered invalid by the
judge's involvement in the other defendant's case. The court found no evidence that because of
the prior proceeding, the judge had ‘formed an opinion as to the facts at issue in [the] subsequent
proceeding.’” Davis VI, 1996 WL 551432, at * 8 (alterations added), quoting 67 Ohio St. 3d 185,
188-89 (1993). The panel concluded that because, “at the time of the appellant’s trial, neither the
two judges in question nor appellant had any recollection of the judges’ involvement in the 1970
foreclosure action[,]| id., there could not have been any bias (and hence, actual prejudice) to Davis
as a result of them adjudicating his case. Further, the court that “the trial court[’s] conclu[sion]
that as a factual matter it did not believe appellant’s claim that had he been aware of the foreclosure
information, he would not have waived a jury trial” was not clearly erroneous. Id. Consequently,
the court was “not persuaded that appellant’s postwaiver awareness of the judges’ foreclosure
involvement rendered appellant’s jury waiver unknowing or unintelligent so as to implicate
appellant’s constitutional rights.” Id., citing D’Ambrosio, 67 Ohio St. 3d at 189; State v. Dickerson
45 Ohio St. 3d 206, 209-10 (1989).
In Davis IX, this Court considered and rejected this sub-claim because “[a] valid jury
waiver does not require that the defendant be fully aware at the time of the waiver of all the
72
circumstances which may arise during his trial. . . . The burden rests upon the petitioner to
demonstrate that the waiver was prima facie invalid.” (ECF No. 16-2, PageID 8981, citing Sinistaj,
66 F.3d at 808; Milone v. Camp, 22 F.3d 693, 704 (7th Cir. 1994)). The Court noted that “[m]ost
questions concerning a judge’s qualifications to hear a case are not of a constitutional nature,” id.
at PageID 8982, citing Bracv. Gramley, 520 U.S. 899, 904 (1997); Tumey v. Ohio, 273 U.S. 510,
523 (1927), and concluded that the trial judges’ mere involvement in a civil action against Davis
fourteen years prior to the trial—a point not remembered by anyone prior to or during the trial—
did not constitutionally preclude them from adjudicating Davis’s guilt and sentence. Accordingly,
Davis’s inability to show evidence of bias on the part of the judges or prejudice resulting therefrom
meant that their involvement did not render his waiver constitutionally invalid. Id. at PageID 8984.
Bracy, Tumey, and Sinistaj are still binding precedent upon this Court, and Davis does not
present any new evidence of bias on the part of the judges that could reasonably be said to have
resulted from their prosecuting a foreclosure action against Davis and Ernestine in 1970.
Accordingly, this Court’s analysis in Davis IX remains sound, and sub-claim 1(D) should be
dismissed.
Davis claims that Davis VI was the last reasoned state court decision on sub-claim 1(E)—
that his waiver was not knowing and voluntary because of the greater standard of proof imposed
upon him in the penalty phase proceedings before a three-judge panel rather than a jury (Traverse,
ECF No. 29, PageID 9172-73, citing 1996 WL 551432, at *7-8). Davis argues that there was no
adjudication on the merits in that decision because he “fairly presented to the state courts his claim
that he was misinformed by the trial court as to the proper standard of proof[,]” id. at PageID 9173,
yet, the Twelfth District held that “[t]his is an issue that could have been raised on direct appeal,
however, and is barred from post-conviction consideration on res judicata grounds.” Davis VI,
73
1996 WL 551432 at * 7, citing Combs, 100 Ohio App. 3d at 97. This argument ignores the
immediately preceding sentence in the opinion: “The Ohio Supreme Court held in Dickerson that
the standard of proof is the same before a three-judge panel and a jury.” Id., citing 45 Ohio St.3d
at 208-209. Thus, Davis VI could reasonably be read as an adjudication on the merits (albeit brief),
an adjudication entitled to deference under 28 U.S.C. § 2254(d). Harrington, 562 U.S. at 100-01.
Yet, even if the above decision was based solely on Ohio’s res judicata rule, that rule has been
upheld repeatedly as an adequate and independent state ground of decision under Maupin. See,
e.g., Williams v. Bagley, 380 F.3d 932, 967 (6th Cir. 2000); ); Coleman v. Mitchell, 268 F.3d 417,
428-29 (6th Cir. 2001); Bonnell v. Mitchell, 212 F. App’x 517, 529 (6th Cir. 2007). Finally, Davis
does not attempt to explain why he did not raise this sub-claim until postconviction, even though
all the relevant facts underpinning the sub-claim were available to Davis on direct appeal.
Accordingly, sub-claim 1(E) should be denied as procedurally defaulted.
2.
Claim Two: Court Violated Davis’s Sixth, Eighth, and Fourteenth
Amendment Rights by Enforcing Jury Waiver in Resentencings
Davis sets forth two reasons why the continued enforcement of his jury waiver upon
resentencing was unconstitutional
a.
The trial court violated Mr. Davis’s rights under the Eighth and
Sixth Amendments and the Due Process Clause by enforcing
his prior jury waiver at his first resentencing when he had no
knowledge at the time of the waiver that Ohio Supreme Court
would refuse to apply the rule of Penix to his case and hold him
eligible to be resentenced to death; and
b.
The trial court violated Mr. Davis’s rights under the Eighth and
Sixth Amendments and the Due Process Clause by enforcing a
stale jury waiver at a new penalty hearing twenty-five years
later before an entirely different panel of judges.
(Petition, ECF No. 6, PageID 8565).
74
a.
Sub-claim 2(B) is not Cognizable
The Warden argues that sub-claim 2(B) must be dismissed because, as with sub-claim 1(C),
the right to be sentenced by a jury in a capital case, established by Ring and Hurst, is not retroactive
on collateral review, only on direct appeal (Return of Writ, ECF No. 17, PageID 9043-44, citing
Hurst, 136 S.Ct. at 624 (Breyer, J., concurring in the judgment). The undersigned agrees. Justice
Ginsburg’s dissent in McKinley reaffirmed the well-settled precedent that any claim of violation
of right to a jury trial under Hurst is not cognizable in habeas; at the very least, the continued
enforcement of the waiver by the trial court is not a violation of clearly established federal law
required for habeas relief. See Williams (Terry), 529 U.S. at 379-80, citing Teague, 489 U.S. 288
(“It is perfectly clear that AEDPA codifies Teague to the extent that Teague requires federal habeas
courts to deny relief that is contingent upon a rule of law not clearly established at the time the
state conviction became final.”) Accordingly, sub-claim 2(B) should be dismissed.
b.
Petitioner has not met his burden under 28 U.S.C. § 2254(d) as
to Sub-Claim 2(A)
The gravamen of sub-claim 2(A)—that the state courts violated Davis’s constitutional
rights by not applying Penix to him on remand—is virtually identical to sub-claim 1(B)—that his
waiver was not knowing, voluntary, and intelligent because he could not have foreseen the refusal
to apply Penix. For the same reasons that sub-claim 1(B) was unavailing, sub-claim 2(A) is as
well. When a state court decides on the merits a federal constitutional claim later presented to a
federal habeas court, the federal court must defer to the state court decision unless that decision is
contrary to or an objectively unreasonable application of clearly established precedent of the
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United States Supreme Court. 28 U.S.C. § 2254(d)(1); Harrington, 562 U.S. at 100; Brown v.
Payton, 544 U.S. 133, 140 (2005); Bell v. Cone, 535 U.S. 685, 693-94 (2002); Williams (Terry),
529 U.S. at 379. Deference is also due under 28 U.S.C. § 2254(d)(2) unless the state court decision
was based on an unreasonable determination of the facts in light of the evidence presented in the
State court proceedings. The state courts’ interpretations of state law are entitled to deference
under the AEDPA, and because a fair-minded jurist could differentiate the factual and procedural
circumstances in Penix and those in Davis, and do so in a manner not inconsistent with Supreme
Court precedent. Harrington, 562 U.S. at 102. For those reasons, that sub-claim 2(A) should be
dismissed.
B.
Mitigation Evidence Claims for Relief
1.
Claim Five: Court failed to Consider all Mitigating Evidence
Davis argues that the second resentencing panel failed to give the particularized,
individualized consideration of mitigating evidence has been “repeatedly stressed” since capital
punishment was reinstated, by ignoring or inappropriately discounting mitigation evidence
presented (Petition, ECF No. 6, PageID 8669-70, citing Porter v. McCollum, 558 U.S. 30, 42-43
(2009) (per curiam); Penry v. Lynaugh, 492 U.S. 302, 319 (1989), abrogated on other grounds by
Atkins v. Virginia, 536 U.S. 304 (2002); Eddings, 455 U.S. at 113-14, 117; Lockett, 438 U.S. at
605; Woodson v. North Carolina, 428 U.S. 280, 304 (1976); Gregg v. Georgia, 428 U.S. 153, 206
(1976)). He claims that the second resentencing panel violated his constitutional rights in the
following ways:
76
•
Failing to assign any specific weight to certain mitigation evidence,
which is a due process violation;
•
Assigning “little weight” to Davis’s good behavior in prison; even
though Supreme Court of Ohio had previously assigned it “some
weight”;
•
Giving little weight to his personality disorder and alcohol
dependence, despite being required to consider existence of mental
illness or defect by statute;
•
Giving little or no weight to Davis’s family background and
childhood experiences, and discounting it without explanation;
•
Giving insufficient weight to the remorse shown by Davis and the
love he received from family and friends, despite the Supreme Court
of Ohio stating that that was a mitigating factor;
•
Giving no weight “to evidence that Mr. Davis would never be
released from prison if given a life sentence, evidence of the
economic benefit to tax payers (sic) if given a life sentence, and the
closure a life sentence would bring to the victim’s family”; and
•
Starting with a desire to put Davis to death, and worked backwards
from there. Impermissibly discounting this evidence is further proof
thereof.
Id. at PageID 8671-74, citing Rompilla v. Beard, 545 U.S. 374 (2005); Wiggins v. Smith, 539 U.S.
510 (2003); Eddings, 455 U.S. at 115; State v. Smith, 87 Ohio St. 3d 424, 447 (2000); Davis IV,
63 Ohio St. 3d at 52 (Wright, J., dissenting); State Court Record, ECF No. 4-39 PageID 4931-34,
4947, ECF No. 4-46, PageID 6375-77.
Davis’s argument finds little, if any, support in the actual opinion from the resentencing
panel. The opinion stated that the panel considered each of the factors listed by Davis (State Court
Record, ECF No. 4-39, PageID 4927-28) and summarized the testimony of Davis’s family and
friends, prison personnel, Mausser, and Dr. Smith. Id. at PageID 4928-31. That the trial court
appeared to give less weight to his good behavior than did the Supreme Court of Ohio is
immaterial.
77
Similarly, the panel summarized and considered the testimony regarding Davis’s
borderline personality disorder and alcohol dependence, along with the testimony of the love that
his family and friends have for him—specifically, that Davis’s daughter had forgiven him for
murdering her mother—prior to giving little weight to those mitigating factors (2nd Resent’g Op.,
ECF No. 4-39, PageID 4932-33). Contrary to Davis’s argument, the trial court stated that it
considered “[c]hildhood and family experience, and the impact of each upon Defendant’s
personality development and mental health;” id. at PageID 4928, and the opinion summarized the
relevant testimony. Importantly, the panel “noted that Defendant did not request a pre-sentence
investigation or mental examination pursuant to R.C. 2929.03(D)(1)[.]” Id. Thus, Davis’s case is
not one in which his due process rights were violated because he was prevented from introducing
certain evidence. Rather, he disagrees with the weight afforded to that evidence by the trial court,
which is not a constitutional violation.
Contrary to Davis’s argument, there was no evidence presented that he would never be
released from prison if he was not sentenced to death. Indeed, Mausser testified that she could not
promise that Davis would never be paroled, and that it would be inappropriate for her to guess how
a parole board member might vote (2nd Resent’g Tr., ECF No. 5-7, PageID 8378-79). Finally,
Davis’s argument that the resentencing panel had decided before the hearing to sentence Davis to
death, and thus did not give a fair and meaningful review to his mitigation evidence (Petition, ECF
No. 6, PageID 8674), quotes Davis IV, which was the Supreme Court of Ohio’s review of Davis’s
first resentencing. In that proceeding, the three-judge panel was identical to the one that conducted
the original trial, and did not entertain any new evidence. The panel for the second resentencing
was completely different from the one for the original and first resentencing, and did hear
additional evidence. Thus, Justice Wright’s statement in dissent is immaterial and does not form
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the basis for habeas corpus relief. Claim Five is unavailing and should be dismissed.
2.
Claim Six: Capital Specification Was Too Remote in Time
Davis argues that the use of his 1971 murder conviction as the capital specification in Count
One of the Indictment, which ultimately resulted in his 1984 death sentence, was unconstitutional
for two reasons (Petition, ECF No. 6, PageID 8676, citing Ohio Rev. Code § 2929.04(A)(5)).
First, he notes that during the thirteen-year gap between the homicides, the Supreme Court
invalidated the death penalty and allowed it anew, and Ohio enacted a new statutory scheme for
capital punishment. Id., citing Lockett, 438 U.S. 586; Furman v. Georgia, 408 U.S. 238 (1972).
Davis claims that “[t]his offense was too remote in time to be used as a specification for the death
penalty” and “has no relationship to the present offense. Rather, § 2929.04(A)(5) “acts as an ex
post facto application of a sentencing enhancement provision that did not exist in 1971[,]” in
violation of Article 1, Section 10 of the United States Constitution. Id. at PageID 8676-77, citing
Stogner v. California, 539 U.S. 607, 611-13 (2003); Carmell v. Texas, 529 U.S. 513, 521-25
(2000); Calder v. Bull, 3 U.S. (3 Dall.) 386, 390 (1798). Second, Davis claims that using his “prior
conviction in charging him regarding a subsequent crime subjects him to jeopardy twice for a
single offense by the same jurisdiction.” Id. at PageID 8677, citing Blockburger v. United States,
284 U.S. 299, 304 (1932).
The last reasoned state court opinion on the issue is Davis II, in which the Supreme Court
of Ohio held that the prior conviction was not too remote in time to serve as the capital
specification, noting that “[t]he General Assembly has placed no time limits on the use of the prior
conviction and it is not required to do so[,]” and that it had previously upheld a death sentence
“which involved the aggravating circumstance of an eleven-year-old prior conviction.” 38 Ohio
79
St. 3d at 369 n.9, citing State v. Mapes, 19 Ohio St. 3d 108 (1985), conditional writ of habeas
corpus on other grounds aff’d in Mapes v. Tate, 388 F.3d 187. Davis argues that Davis II was
“contrary to the clear holdings of the [United States] Supreme Court[,]” which requires a trial court
to use aggravating and mitigating factors to distinguish who is truly deserving of the death penalty
(Traverse, ECF No. 29, PageID 9226-27, citing Lewis v. Jeffers, 497 U.S. 764, 776 (1990); Zant
v. Stephens, 462 U.S. 862, 877 (1983)). He also claims that “use of this offense as an aggravating
circumstance was unconstitutionally retroactive because it attached new legal consequences to
events completed before enactment of Ohio’s current death penalty scheme . . . in 1981.” Id. at
PageID 9227, citing Landgraf v. U.S.I. Film Prods., 511 U.S. 244, 265 (1994); Ohio Rev. Code §
2929.04(A)(5).
Neither argument is persuasive. In Mapes, the homicide conviction that served as the
capital specification also predated the reenactment of Ohio’s capital punishment regime in 1981.
19 Ohio St. 3d at 119. Yet, the death sentence in Mapes was not vacated because of the year in
which the defendant was sentenced for the prior homicide or the length of time between the first
conviction and the second homicide. Accordingly, the Davis II decision did not run afoul of clearly
established precedent with respect to Davis’s ex post facto argument.
Davis’s focus on the time in between his sentence for killing Ernestine and his death
sentence ignores the similarities between the two crimes: murder of a significant other during an
argument, and the remoteness in time can be explained almost completely by the time Davis spent
incarcerated for killing Ernestine.
Moreover, Davis does not cite any caselaw—and the
undersigned is unaware of any—in which a court held that use of a prior conviction as an
aggravating circumstance violated Blockburger and thus constituted a Double Jeopardy violation.
The specification does not attach a new consequence to the prior conviction. Rather, it serve the
80
same purpose as recidivism statutes generally: it attaches a potentially more severe consequence
to the later conviction in the hopes of dissuading persons from committing the second offense.
Accordingly, Claim Six should be dismissed.
C.
Ineffective Assistance of Counsel Claims for Relief
Davis raises several claims of ineffective assistance of trial and appellate counsel. The
Court examines them in turn, noting that when the issue is ineffective assistance of counsel, the
federal court is required to be doubly deferential. Harrington, 562 U.S. at 100.
1.
Claim Three: Failure to Effectively Investigate and Present Character
Evidence
Davis argues that he was denied effective assistance of trial counsel in violation of
Strickland at his first and second resentencing hearingsw. “Defense counsel failed to reasonably
investigate and present mitigating evidence of Mr. Davis’s good prison behavior even though this
information was known, available and relevant” and “despite the Sixth Circuit remanding the case
for a new penalty phase in order to consider this very evidence.” (Petition, ECF No. 6, PageID
8652, citing Skipper, 476 U.S. at 5; Davis X, 475 F.3d at 774-75). Noting that the Eighth
Amendment requires a sentencing court to consider a defendant’s character, background, and
history, Davis claims that counsel, in failing to investigate and present evidence that he would not
be a harm to the community if he were released, fell below the standard of competent
representation. Id. at 8652-53, citing Boyde v. California, 494 U.S. 370, 377-78 (1990); Lockett
v. Ohio, 438 U.S. 586, 604 (1978). Davis argues that counsel’s inadequate representation
81
prejudiced him, as the first resentencing court found that his continued danger to the community
was an aggravating circumstance in reimposing a death sentence. Id. at PageID 8654, citing Davis
X, 475 F.3d at 770, 773. The trial court in the first resentencing did not consider any new evidence,
and there is no indication in the record that the panel was willing to entertain new evidence. Thus,
any failure to adequately investigate mitigation evidence was necessarily irrelevant; even if an
exhaustive investigation unearthed myriad mitigation evidence, said evidence would not have been
considered by the first resentencing panel. Moreover, the panel’s failure to consider new evidence
was one of the reasons the Sixth Circuit vacated the death sentence and remanded for a second
resentencing. Davis has not explained how deficient performance by counsel with respect to the
first resentencing could have prejudiced him. Therefore, he does not have a viable Strickland
claim with respect to the first resentencing.
Davis claims that this incompetent representation continued in the second resentencing,
when counsel called only one witness, Nowak, to discuss Davis’s exemplary prison record, and
Nowak “testified for a meager thirteen pages without offering any substantive or anecdotal
evidence regarding his interactions with Mr. Davis. In addition, defense counsel introduced only
a single exhibit, a two-page institutional summary prepared by Mr. Nowak.” (Petition, ECF No.
6, PageID 8654-55, citing State Court Record, ECF No. 4-50, PageID 7112-13; 2nd Resent’g Tr.,
ECF No. 5-8, PageID 8406-19). Davis claims that he was not even “asked by his attorneys for
names of other guards, caseworkers or other prison personnel.” Id. at PageID 8655, citing State
Court Record, ECF 4-46, PageID 6270. “Neglecting to investigate and talk to favorable witnesses
cannot be a reasonable trial strategy. The Sixth Circuit reversed the case because this very evidence
existed but had not been presented.” Id. at PageID 8656. Further, despite Davis having a prison
record replete with evidence of ambition (e.g., completion of his General Equivalency Diploma)
82
and good behavior, Nowak’s testimony failed to cover and highlight the “highly relevant”
mitigating evidence contained in the institutional summary. Id. at PageID 8655-57, citing State
Court Record, ECF No. 4-46, PageID 6281-6364. Consequently, Davis argues, “[c]ounsel’s
performance” at the second resentencing “fell well below an objective standard of reasonableness
and the prevailing professional norms as articulated in the ABA Guidelines[,]” and counsel’s
failure to present all the mitigating evidence prejudiced Davis by ensuring that the single
aggravating circumstance—his prior homicide conviction—outweighed the mitigating factors. Id.
at PageID 8658, citing Wiggins v. Smith, 539 U.S. at 525; Strickland, 466 U.S. 668.
The parties agree that the last reasoned state court opinion is Davis XIII (Return of Writ,
ECF No. 17, PageID 9045-46; Traverse, ECF No. 29, PageID 9200-01). Therein, the Twelfth
District panel noted that “contrary to his claims otherwise, Davis explicitly states as part of his
submitted affidavit that he ‘discussed with my attorneys all my certificates, job evaluations, good
conduct as well as guards and case managers that have seen me in prison since 1984.’” 2013Ohio-3878 at ¶ 16 (citation omitted). Davis also conceded that, in addition to Nowak, counsel also
called Stineman, “who testified that Davis regularly attended Alcoholics Anonymous meetings
where he was an active participant. Nowak also specifically testified as to Davis’ good behavior
and noted Davis’ position in the ‘extended privilege unit’ or ‘honor block.’” Id. After noting
Davis’s comprehensive work history summary, id. at ¶ 17, the panel concluded that “the evidence
presented at Davis’ third sentencing hearing demonstrates his strong work ethic, good behavior,
and trustworthiness while in prison. In turn, we agree with the trial court’s decision finding any
additional testimony regarding his ‘exemplary prison record’ would have been cumulative.” Id.
at ¶ 18. Consequently, the panel held, Davis’s claim that providing additional evidence “would
have saved his life . . .is purely speculative and is otherwise not supported by the record.” Id.
83
(internal quotations marks and citation omitted).
Davis claims that “[t]here is no reasonable strategy that would including [sic] leaving out
evidence that the federal court held was compelling enough to support a grant of habeas relief.
Therefore, counsel’s failure cannot be viewed as a reasonable strategic decision, but rather viewed
as a dereliction of duty that prejudiced Mr. Davis.” (Traverse, ECF No. 29, PageID 9202, citing
Wiggins, 539 U.S. at 525, Davis X, 475 F.3d at 773). Thus, he argues that Davis XIII is not entitled
to AEDPA deference, as its holding contradicts clearly established Supreme Court precedent. Id.
at PageID 9201-02, citing Rompilla, 545 U.S. at 381–90; Wiggins, 539 U.S. at 521–29; Williams,
529 U.S. at 395–97; Boyd, 494 U.S. at 377-78; Lockett, 438 U.S. at 604.
This argument is not persuasive. An attorney need not present every piece of evidence to
satisfy the constitutional requirement of constitutional, meaningful representation. Indeed, in
Strickland, the Supreme Court held that, in the face of overwhelming aggravating circumstances,
“[t]rial counsel could reasonably surmise . . . that character and psychological evidence would be
of little help. . . . On these facts, there can be little question, . . . that trial counsel’s defense, though
unsuccessful, was the result of reasonable professional judgment.” 466 U.S. at 699.
Davis’s barebones allegation that trial counsel failed to investigate and present certain
mitigation evidence is not supported by the record, including the affidavits of Davis and his postconviction counsel. As the Davis XIII court correctly explained, the evidence that Davis claims
should reasonably have been discovered and presented covered the same topics and mitigation
factors on which counsel had already put forth evidence. Such cumulative evidence is unlikely to
have changed Davis’s sentence when the aggravating circumstance could be reasonably interpreted
as “overwhelming.” As fair-minded jurists could agree that the Davis XIII decision was a
reasonable application of Strickland and its progeny, AEDPA deference must be accorded, and
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Claim Three should be dismissed.
2.
Claim Four: Failure to Advise of More Deferential Appellate Review
of Verdicts of Three-Judge Panels vis-à-vis Jury Verdicts
Davis alleges that Ohio has an effectively non-rebuttable presumption that a three-judge
panel “considered only relevant, material, and competent evidence in reaching its decision unless
the record affirmatively demonstrates otherwise[,]” and that his trial counsel was ineffective in
failing to advise him on the different standards of review prior to Davis making his jury waiver
(Traverse, ECF No. 29, PageID 9204, citing State v. Post, 32 Ohio St. 3d 380, 384 (1987); White,
15 Ohio St. 2d at 151). As discussed above, Ohio courts have consistently held that the standard
of review on appeals from jury verdicts versus verdicts from three-judge panels is identical; as
such an interpretation is not clearly erroneous, this Court is bound by the Ohio courts’ decisions
on matters of state law. Bradshaw v. Richey, 546 U.S. 74, 76 (2005). As there is no legallyrecognized difference between the standards of review, it could not have been error for trial counsel
to have failed to advise him of such, and Claim Four should be dismissed.
3.
Claim Seven: Failure to Represent Davis Adequately at Second
Resentencing Hearing
Davis claims that counsel was deficient in arguing during opening statements at the second
resentencing that Davis, if sentenced to life in prison, would never be paroled. He claims that
counsel was further deficient in calling Mausser to testify in support of that statement, even though
she did not testify that he would never be paroled, and Mausser, in a subsequent affidavit, averred
“that she did not tell defense counsel that Mr. Davis would never be paroled.” (Petition, ECF No.
6, PageID 8678-79, citing State Court Record, ECF No. 4-46, PageID 6365; 2nd Resent’g Tr., ECF
85
No. 5-7, PageID 8225-27 8323-25, 8327, 8330, 8333-35). Davis alleges that after discussing
Mausser’s proposed testimony with the mitigation expert, he indicated to his counsel that he did
not wish for Mausser to testify, but that his counsel nonetheless called her. Id. at PageID 868081, citing State Court Record, ECF No. 4-46, PageID 6271, 6275-77). Counsel compounded his
mistake by not asking Mausser on redirect examination to clarify her view that “it might be
unusual” for someone in Davis’s situation to be paroled, or to ask her how she voted, as a member
of the Parole Board, when a convict with death specifications came up for parole. Id. at PageID
8681, citing State Court Record, ECF No. 4-46, PageID 6366; 2nd Resnt’g Tr., ECF No. 5-7,
PageID 8379. In sum, Davis argues:
If counsel would have conducted a reasonable investigation and
effectively prepared for mitigation, the harmful testimony of Ms.
Mausser would not have been presented in the first place. Absent
counsel’s deficient performance, there is a reasonable probability
that the outcome of the trial would have been different and the threejudge panel would not have convicted Mr. Davis.
Id. at PageID 8681-82.
Davis argues further that counsel did not adequately prepare Dr. Smith to testify, and as a
result, “Dr. Smith left the panel with the impression that due to Mr. Davis’s borderline personality
disorder, if Mr. Davis were ever released from prison, and no longer in a structured environment,
he could kill again.” (Petition, ECF No. 6, PageID 8682). Dr. Smith averred that he was not
informed by Davis’s counsel that parole might be an issue, and Davis argues that counsel’s
decision to present Dr. Smith’s testimony that Davis was unlikely to do well in an environment
without strict limitations, “after Cynthia Mausser, the chair of the Ohio Parole Authority, could
not guarantee that Mr. Davis would not be paroled if he received a non-death sentence[,]”
constituted deficient performance under Strickland. Id. at PageID 8684, citing State Court Record,
ECF No. 4-46, PageID 6382. Further, the testimony that Dr. Smith and others gave in mitigation
86
failed “to present a full and accurate picture of Mr. Davis’s character and background,” because
counsel failed to adequately investigate and prepare witnesses to discuss issues such as Davis’s
family history, mental health, or alcohol dependence. Id. at PageID 8690-91. Finally, Davis
argues that counsel was ineffective in failing to call mitigation investigator John Lee, who Davis
claims would have presented “relevant and compelling evidence of Mr. Davis’s character, history
and background.” Id. at PageID 8685. Davis claims that, had the evidence been presented properly
and completely, there is a reasonable probability that he would not have been sentenced to death.
Id. at PageID 8688, citing Strickland, 466 U.S. at 687-88.
The last reasoned state court decision on the issue was Davis XIII, in which the appellate
panel held that the decisions to call Lee, Mausser, and Dr. Smith were “within the rubric of trial
strategy and will not be second-guessed by a reviewing court.” 2013-Ohio-3878 at ¶¶ 24-25,
quoting State v. Hanna, 95 Ohio St. 3d 285, 304, 2002-Ohio-2221. The court did not engage in
any analysis of the factual substance of Davis’s claims, and Davis argues that the dearth of analysis
means that Davis XIII is not entitled to deference. Further, Davis claims, relief is warranted
because the decisions as to calling witnesses and the testimony they elicited form them were not
within the ambit of “sound trial strategy.” (Traverse, ECF No. 29, PageID 9238-40, quoting Davis
XIII, 2013-Ohio-3878 at ¶ 25; citing Wiggins, 539 U.S. at 523-24; Strickland, 466 U.S. at 688-91).
In Wiggins, no mitigation evidence was presented at all, and “[c]ounsel’s decision not to
expand their investigation beyond the PSI and [Department of Social Services] records” prior to
deciding not to present mitigation evidence “fell short of the professional standards that prevailed
in Maryland in 1989.” 539 U.S. at 524. Indeed, Wiggins’s attorney conceded that, despite it being
standard practice for counsel representing capital defendants to prepare “a social history report[,]”
and “[d]espite the fact that the Public Defender’s office made funds available for the retention of
87
a forensic social worker, counsel chose not to commission such a report.” Id. Counsel for Wiggins
also violated the American Bar Association Guidelines by not discovering “all reasonably
available mitigating evidence[,]” and not conducting any more than a rudimentary investigation
into potential mitigating evidence. Id. (emphasis removed). In sum, Davis argues, counsel’s
performance was so patently deficient that the presumption of competent representation and heavy
deference to trial strategy set forth in Strickland and its progeny do not apply.
Wiggins is a much higher bar to relief than Davis wishes it to be. Even though Davis did
not request a presentence investigation, his attorneys retained a mitigation expert and called
witnesses to testify as to the full range of mitigation factors, including but not limited to his
childhood, substance abuse, and borderline personality disorder. Moreover, counsel faced a more
daunting challenge in crafting trial strategy than most attorneys representing capital defendants—
the fact that, despite the hearing occurring in 2009, Davis could not be sentenced to life without
possibility of parole, because such a sentence did not exist under the law at the time Davis
murdered Butler. As discussed above, it was apparent from the State’s opening statement that they
intended to rely heavily upon the fact that Davis would be eligible for parole six-and-a-half years
after resentencing if he were not sentenced to death. Even though Mausser could not testify that
Davis would never be paroled, she did testify that it was unlikely. Importantly, Davis does not
argue that he could have gotten evidence as to the unlikelihood of parole from another source.
Counsel’s decision to call Mausser and elicit certain testimony fell within the broad ambit of sound
trial strategy and did not prejudice Davis.
Moreover, the testimony by Dr. Smith adequately discussed Davis’s history of alcohol
dependence and borderline personality disorder, and Davis’s argument that Dr. Smith would have
provided more persuasive testimony had he been fully informed of Davis’s family history is purely
88
speculative. While Dr. Smith avers that he was unaware of parole’s being a possibility for Davis,
his testimony regarding the possibility of Davis’s becoming violent upon release was immaterial
to Davis’s defense, which was premised in part on his never being released. Moreover, there was
no indication in the trial court opinion that the possibility of Davis’s becoming violent upon release
influenced the panel’s decision to sentence him to death. Accordingly, any deficient performance
in calling Dr. Smith did not prejudice Davis, and thus cannot be the basis of a viable Strickland
claim. Finally, as Defendants point out, Lee “would be purely a fact witness. As a fact witness,
elementary rules of hearsay would preclude Lee from parroting out-of-court statements from
others to prove that Davis supposedly is a great guy who deserves a lenient sentence.” (Return,
ECF No. 17, PageID 9054). Moreover, even if Lee were allowed to testify as to Davis’s family
background and history and his personal character, such testimony would have been cumulative
of the testimony offered by other fact witnesses. Decisions not to present cumulative testimony—
or even attempt to do so—are generally considered sound trial strategy. As counsel’s decision not
to call Lee was not a Strickland violation, the Court should dismiss the Seventh Claim.
4.
Claim Eight: Failure to Seek Recusal of Biased Judges
Davis claims that his attorneys were ineffective in failing to voir dire Judge Pater after the
Judge revealed that was a longtime friend of Victor Davis. Davis claims his attorneys were further
ineffective in failing to discover that Judge Nastoff, prior to going on the bench, had prosecuted
Lahray Thompson, Davis’s nephew, for capital murder and that Judge Nastoff had referred to
Thompson as “a liar” during the proceedings. Finally, Davis argues that counsel were ineffective
in failing to seek recusal of Judges Nastoff and Pater after becoming aware of their alleged bias.
Their failures to conduct voir dire and seek recusal deprived Davis of his Sixth Amendment right
89
to “an opportunity to comment on facts which may influence the sentencing decision in capital
cases.” Had counsel done so, Davis argues, he would not have received a death sentence because
the panel would have concluded that Davis had an extremely dysfunctional upbringing (a factor in
mitigation) (Petition, ECF No. 6, PageID 8693-98, quoting Gardner v. Florida, 430 U.S. 349, 360,
362 (1977); citing Simmons v. South Carolina, 512 U.S. 154, 161 (1994); Strickland, 466 U.S. at
668; Gardner, 430 U.S. at 353, 360-62; State Court Record, ECF No. 4-39, PageID 4933; State
Court Record, ECF No. 4-46, PageID 6278-79, 6451-55, 6457; 2nd Resnt’g Tr., ECF No. 5-7,
PageID 8268, 8285-87).
As the Warden notes, Davis never presented his claim regarding Judge Pater to the state
courts (Return of Writ, ECF No.17, PageID 9059, citing 28 U.S.C. § 2254(b)(1)(A); State Court
Record, ECF No. 4-46, PageID 6255-56; ECF No. 4-48, PageID 6809-11), and in the last reasoned
state court decision, his claim as it pertains to Judge Pater was not discussed. See Davis XIII,
2013-Ohio-3878, at ¶ 26 (discussing only counsel’s failure to seek recusal as to Judge Nastoff).
Thus, the claim is procedurally defaulted. Wong, 142 F.3d at 322. Davis does not contest that the
claim is defaulted, but “specifically asserts ineffectiveness of trial counsel, his direct appeal
counsel, and his post-conviction counsel for failing to properly present this claim to the state courts
as cause for any default.” (Traverse, ECF No. 29, PageID 9251, citing Carrier, 477 U.S. 478).
Yet, in Carrier, the Supreme Court held that “the existence of cause for a procedural default must
ordinarily turn on whether the prisoner can show that some objective factor external to the defense
impeded counsel’s efforts to comply with the State's procedural rule.” 477 U.S. at 488. Moreover,
principles of comity dictate that a federal court is normally not the proper venue to vacate a state
court conviction or sentence without first giving the state the chance to cure any constitutional
violation. “That holds true whether an ineffective assistance claim is asserted as cause for a
90
procedural default or denominated as an independent ground for habeas relief.” Id., citing Darr v.
Buford, 339 U.S. 200, 204 (1950), overruled in part on other grounds by Fay v. Noia, 372 U.S.
391 (1963). Davis does not dispute that the ineffective assistance of trial counsel claim was
available to him on direct appeal. Consequently, Davis’s ineffective assistance claim should be
dismissed as procedurally defaulted unless Davis could show good cause to excuse appellate
counsel’s failure to raise the issue, or good cause to excuse postconviction counsel’s failure to seek
to reopen Davis’s direct appeal or raise it in Davis’s state court postconviction petition. Edwards
v. Carpenter, 529 U.S. 446, 449-50, 452-53 (2000). Davis does not allege facts that would
constitute such good cause. Accordingly, Claim Eight is procedurally defaulted as it pertains to
any failure to voir dire or seek recusal of Judge Pater.
In Davis XIII, the Twelfth District noted that “counsel explicitly stated that they were aware
of Judge Nastoff’s prior participation in Thompson's prosecution, but chose not to seek recusal.”
2013-Ohio-3878, ¶ 26. The panel concluded that Davis’s claim failed as a matter of law, as “the
decision not to seek recusal of the judge can only be viewed as strategic and will not form the basis
of an ineffective counsel claim.” Id., quoting State v. Nuhfer, No. L–07–1125, 2009–Ohio–1474,
¶ 22 (Ohio App. 6th Dist. Mar. 20, 2009). The appellate court noted that the Tenth District had not
found ineffective assistance in failing to seek recusal of a judge who was involved in a previous
prosecution of the defendant himself. Id., citing State v. Morgan, No. 12AP-241, 2012-Ohio-5773,
¶ 24 (Ohio App. 10th Dist. Dec. 6, 2012), appeal not allowed at 134 Ohio St. 3d 1488, 2013-Ohio902. But see Williams v. Pennsylvania, 579 U.S. ___, 136 S. Ct. 1899, 195 L. Ed. 2d 132 (2016).
The Warden argues that the decision, as a state court decision on a question of
constitutional law, is entitled to double deference under AEDPA, and that the claim fails even
under a de novo standard (Return of Writ, ECF No. 17, PageID 9058). In support, he notes that
91
when postconviction counsel moved to disqualify Judge Nastoff from adjudicating Davis’s
petition, based on the judge’s prior work as a prosecutor, the Supreme Court of Ohio denied the
motion because “[n]o factual basis for disqualification has been presented in the instant affidavit”
of his postconviction attorney. Id. at PageID 9058-59, quoting In re Disqualification of Nastoff,
134 Ohio St. 3d 1232, 2012-Ohio-6339, ¶ 10. In other words, Judge Nastoff’s prosecution of
Davis’s nephew was not per se grounds for disqualification; rather, there had to be some showing
that that prior involvement engendered “bias, prejudice, or a disqualifying interest” on the part of
the judge. In re Nastoff, 2012-Ohio-6339, ¶ 9.
Davis argues that: In re Nastoff is immaterial because it pertained to a motion to disqualify
due to bias, rather than a claim of ineffective assistance of counsel; Davis XIII was contrary to
clearly established Supreme Court precedent, such that it should not be accorded deference; and
the presence of Judge Nastoff tainted the death sentence “with constitutional infirmity.” (Traverse,
ECF No. 29, PageID 9247-48, quoting Strickland, 466 U.S. at 688; citing Neder v. United States,
527 U.S. 1, 8 (1999); Edwards v. Balisok, 520 U.S. 641, 647 (1997); Johnson v. United States, 520
U.S. 461, 469 (1997); Rose, 478 U.S. at 577-78; State Court Record, ECF No. 4-46, PageID 6271).
Contrary to Davis’s argument, trial before a judge with potential bias has not been held by
the Supreme Court to be structural error. See Johnson, 520 U.S. at 469 (citations omitted) (“We
have found structural errors in only a limited class of cases[.] . . . It is by no means clear that the
error here [trial judge determining a question properly reserved to the jury] fits within this limited
class of cases.”); Rose, 478 U.S. at 577-78, citing Tumey v. Ohio, 273 U.S. 510 (1927) (actual bias
on the part of the judge is structural error); Smith v. Warden, 780 F. App’x 208, 230 (6th Cir. 2019),
citing Rose, 478 U.S. at 577, Tumey, 273 U.S. at 514-15 (distinguishing from the trial judge’s
actual bias via pecuniary interest in the outcome in Tumey, which was structural error, and the trial
92
judge’s alleged potential bias from an alleged “fixed anticipatory judgment” against the defendant,
which was not). In re Nastoff, while not binding on this court, is instructive—the court found no
allegations of actual bias or prejudice on the part of Judge Nastoff. Thus, even if counsel was
deficient in not failing to seek Judge Nastoff’s recusal, there is no evidence that the deficient
performance prejudiced Davis, and it cannot serve as the basis of a Strickland claim.
As to Davis’s argument that counsel deprived him of his right to participate in decisions
affecting his possible sentence (Traverse, ECF No. 29, PageID 9249, citing Gardner, 430 U.S. at
353, 360-62), Judge Nastoff held that the claim was available to him on direct appeal but was not
presented, and thus, was barred by res judicata (State Court Record, ECF No. 4-47, citing State v.
Lawson, 103 Ohio App. 3d 307, 315 (Ohio App. 12th Dist. 1995). As Ohio’s res judicata law is
an adequate and independent state ground to find this portion of the claim procedurally defaulted,
Durr v. Mitchell, 487 F.3d 423, 432 (6th Cir. 2007), Claim Eight should be dismissed in its entirety.
5.
Claim Sixteen: Failure to Investigate Circumstances Surrounding
Prior Killing
Davis argues that his trial counsel failed to thoroughly investigate the circumstances of the
prior homicide conviction[;] consequently, Davis claims, “they failed to discover evidence
demonstrating that that killing was not purposeful, as required by the statute.” (Petition, ECF No.
6, PageID 8725, citing State Court Record, ECF No. 4-19, PageID 2032). He argues that Robert
Jones Beard’s letter was evidence that Davis did not act purposefully in killing Ernestine, and that,
had counsel discovered that letter or other evidence, Davis’s prior murder conviction could not
have been used as a capital specification and he could not have been sentenced to death. Id. at
PageID 8725-26. As with Claim Fifteen (the capital specification’s supposedly being improper),
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the Twelfth District held that the claim was barred by res judicata, Davis VI, 1996 WL 551432 at
* 4, and as with Claim Fifteen, the claim also fails on its merits. The letter from Beard could not,
by itself, have overcome the uncontested finding that Davis had purposely killed Ernestine. Davis
cites no other evidence that, had it been discovered and presented by counsel, would have rendered
his prior conviction unconstitutional. Any failure to investigate the circumstances surrounding
Davis’s killing of Ernestine did not prejudice Davis, and cannot be the basis of a viable Strickland
claim. Thus, Claim Sixteen should be dismissed.
D.
Execution Claims
1.
Claim Nine: Execution after Thirty-Six Years on Death Row is Cruel
and Unusual Punishment
Davis argues that, because the punitive justification for a death sentence weakens with
time, carrying out a death sentence after he has been on death row for more than thirty years is
gratuitous, thus constituting cruel and unusual punishment that has no place within “the evolving
standards of decency that mark the progress of a maturing society.” (Traverse, ECF No. 29, PageID
9252, 9255, 9259, quoting Trop v. Dulles, 356 U.S. 86, 101 (1958); citing Roper, 543 U.S. at 578;
Lackey, 514 U.S. 1045 (Stevens, J., respecting the denial of certiorari); Gregg v. Georgia, 428 U.S.
153, 177, 182-83 (1976)). 10 However, as the Warden correctly points out, there is not a clearly
10
In his Petition, Davis also notes that Justice Breyer has consistently, in his dissents from denials of certiorari,
inveighed against the lengthy delays between sentences and executions (Petition, ECF No. 6, PageID 8701-02, citing
Conner v. Sellers, 136 S.Ct. 2440, 2441 (Mem) (2016) (Breyer, J., dissenting from denial of certiorari and stay); Boyer
v. Davis, 136 S. Ct. 1446, 1446-47 (Mem) (2016) (Breyer, J., dissenting from denial of certiorari); Valle v. Florida,
564 U.S. 1067 (2011) (Breyer, J. dissenting from denial of stay and certiorari); Smith v. Arizona, 552 U.S. 985 (2007)
(Breyer, J. dissenting); Foster v. Florida, 537 U.S. 990 (2002) (Breyer, J. dissenting from denial of certiorari); Knight
v. Florida, 528 U.S. 990 (1999) (same); and Elledge v. Florida, 525 U.S. 944 (1998) (same).
94
established federal legal principle that delay in carrying out death sentence is cruel and unusual
under the Eighth Amendment. Dissents, no matter how eloquent and continuous, do not create
constitutional law. Accordingly, habeas relief not available for this claim (Return of Writ, ECF
No. 17, PageID 9060, citing 28 U.S.C. § 2254(d)(1); Wright v. Van Patten, 552 U.S. 120, 126
(2008); Carey v. Musladin, 549 U.S. 70, 77 (2006)). Davis’s arguments that that he should not be
penalized for the State’s faulty sentencing procedures, which caused the delay between 1984
(initial sentence) and 2007 (Davis X), are ultimately irrelevant. Even if the wait is “horrible,” as
the Supreme Court remarked more than 100 years ago, In re Medley, 134 U.S. 160, 172 (1890),
that horribleness does not by itself violate the Eighth Amendment. Nor does Davis cite any
caselaw for the proposition that the admirable work by his attorneys to twice vacate his death
sentence renders the carrying out of a new death sentence a violation of clearly established federal
law. Accordingly, Claim Nine should be dismissed.
2.
Claim Ten: Conviction Product of Unnecessarily Suggestive Police
Procedures and Unreliable Eyewitness Testimony
The evidence upon which the State relied to convict Davis was almost exclusively the
eyewitness testimony of Anthony Ferguson (before the grand jury), Reginald Denmark, Cozette
Massey, and Shelba Robertson, recapitulated in detail above. Davis notes that Ferguson and
Massey did not know Davis, and they had not seen him prior to the night of the murder. Moreover,
Ferguson and Massey did not recall seeing each other, Denmark (Massey’s girlfriend) did not see
Ferguson, and Robertson (Butler’s friend) did not see Denmark or Massey. Finally, Massey did
not go to the police until four days after the murder, and her description of Davis to investigators
was incomplete and inaccurate. Despite this, Ferguson and Massey’s identifications of Davis did
95
not come from a photo array or live lineup. Rather, investigators showed them a single photo of
Davis with Butler, a process Davis argues is unconstitutionally suggestive (Petition, ECF No. 6,
PageID 8706-08, citing Manson v. Brathwaite, 432 U.S. 98, 109 (1977); State Court Record, ECF
No. 4-28, PageID 3188-89, Trial Tr., ECF No. 5-2, PageID 7351, 7367, 7369, 7373-75, 7382-85,
7389, 7391, 7393, 7399, 7423-24; ECF No. 5-3, PageID 7495, 7498-99, 7507, 7566, 7568-70).
Consequently, Davis argues, his conviction was the product of unreliable and inadmissible
evidence, and his conviction must be vacated and reversed. Id. at PageID 8708-09.
Davis’s conviction has been upheld repeatedly by state and federal courts, even when his
death sentence was vacated. Davis X, 475 F.3d 761; Davis II, 38 Ohio St. 3d at 366. Yet, Davis
argues that the last reasoned state court decision was Davis VI, in which the Twelfth District held
that, because the claim did not require evidence dehors the record, Davis’s failure to raise it on
initial direct appeal meant that it was barred by res judicata on postconviction. 1996 WL 551432
at * 9, citing Combs, 100 Ohio App. 3d at 97. Davis argues: the lack of adjudication on the merits
means that AEDPA deference does not apply; Ohio courts have not consistently applied res
judicata as a procedural bar; and ineffective assistance of appellate counsel excuses any procedural
default (Traverse, ECF No. 29, PageID 9264-65, citing Johnson v. Williams, 568 U.S. 289, 302
(2013); James v. Kentucky, 466 U.S. 341, 348 (1984); Post v. Bradshaw, 621 F.3d 406, 424 (6th
Cir. 2010); Franklin v. Anderson, 434 F.3d 412, 420-21 (6th Cir. 2006)).
Davis’s argument is unavailing for at least three reasons. First, as discussed above, res
judicata is an adequate and independent state ground upon which to find a claim procedurally
defaulted and precluded from federal habeas review. Durr, 487 F.3d 423 at 431-32. Second, even
if Davis VI did not address the merits of this particular claim, the Supreme Court of Ohio, in Davis
II, in discussing Massey’s identification of Davis to police and Denmark and Massey’s testimony
96
regarding the night of the killing, “conclude[d] that there is sufficient evidence in the record to
support the conviction.” 38 Ohio St. 3d at 366.
Third, as the Warden notes, an identical claim was presented and rejected in his first habeas
corpus petition before this Court (Return of Writ, ECF No. 17, PageID 9061, citing Davis IX, ECF
No. 16-1, PageID 8914-22). Therein, Judge Graham followed Sixth Circuit precedent that, when
a state appellate court summarily dismisses a claim that a lower court has ruled to be procedurally
defaulted, the federal habeas court must presume that the appellate court relied upon and affirmed
the procedural default decision. Davis IX, ECF No. 16-1, PageID 8915-16, citing Rust v. Zent, 17
F.3d 155, 161 (6th Cir. 1994). Moreover, Judge Graham found there was not the requisite cause to
excuse the default, both because Davis failed to present an ineffective assistance of appellate
counsel claim on direct appeal, and because Davis failed to articulate what objective external factor
impeded appellate counsel from raising it on direct appeal (as is required to excuse the procedural
default of the underlying claim). Id. at PageID 8917-20. Further, Davis was unable to demonstrate
prejudice, as the allegedly inaccurate or inconsistent testimony by Ferguson and Massey “does not
at all undermine the credibility of the other two eyewitnesses who identified the petitioner as the
person who shot Suzette Butler.” Id. at PageID 8920. Finally, the substantial evidence of Davis’s
guilt meant that a reasonable factfinder could have imposed the death penalty, even absent the
testimony of Ferguson and Massey. Thus, it was not a miscarriage of justice for Judge Graham to
refuse to set aside the procedural default—indeed, based on the evidence before him, the refusal
was proper. Id. at PageID 8921-22, quoting Schlup v. Delo, 513 U.S. 298, 315, 329 (1995);
McCleskey, 499 U.S. at 494; citing Sawyer v. Whitley, 505 U.S. 333, 350 (1992). Davis has not
argued that there is new evidence that constitutes cause and prejudice to set aside the default. For
all these reasons, Claim Ten is not viable and should be dismissed.
97
3.
Claim Twenty-One: Ohio’s Postconviction Scheme Inadequate to
Address Constitutional Claims in State Courts
Davis argues that he fairly presented his federal constitutional claims to the Ohio courts
under the state’s postconviction relief proceedings, and supported those claims with “affidavits
and other evidence dehors the record.” (Petition, ECF No. 6, PageID 8747, citing Ohio Rev. Code
§§ 2953.21 et seq.; State v. Cole, 2 Ohio St. 3d 112 (1982)). Nonetheless, Davis claims, the Ohio
courts “effectively foreclosed Mr. Davis from having his legitimate claims reviewed[,]” denying
him discovery or an evidentiary hearing during either postconviction proceeding. Id. This is
because Ohio law requires a postconviction court to examine the petition “and make a facial
determination if a hearing is required. All this must be done without the benefit of the discovery
processes available to every other civil litigant.” Essentially, Davis argues, Ohio’s postconviction
regime is a circular logic that “imposes an impossible pleading standard on petitioners.” Id. at
PageID 8748.
[A]n individual seeking post-conviction relief is not entitled to an
evidentiary hearing until he produces sufficient documentation in
the form of evidence outside the record to demonstrate that he is
entitled to relief. However, a post-conviction petitioner is not
entitled to conduct discovery to obtain the necessary documentation
to warrant a hearing until such time as he demonstrates that a hearing
is necessary.
Id., citing Ohio Rev. Code § 2953.21(A)(1)(a); Cole, 2 Ohio St. 3d at 114. Making matters worse,
Davis claims, is that “each cause of action in a postconviction petition [may] not exceed three
pages[,]” meaning that death row petitioners with complex claims are not able to fact plead
extensively in an attempt to meet their initial burden to obtain a hearing. Id. at PageID 8749, citing
Ohio Crim.R. 35. In sum, “[a]lthough, the State must provide Mr. Davis ‘with a constitutionally
98
adequate opportunity to be heard,’ Mr. Davis has been denied ‘even this rudimentary process.’”
Id. at PageID 8751, quoting Panetti v. Quarterman, 551 U.S. 930, 952 (2007). Davis argues that
“[d]eath is different. For that reason more process is due, not less.” Id., citing Ohio Adult Parole
Auth. v. Woodard, 523 U.S. 272 (1998); Lockett, 438 U.S. 586; Woodson, 428 U.S. 280. However,
there is no provision in the statute, Criminal Rule 35, or anywhere else allowing more flexibility
for death row petitioners to present their constitutional claims.
Finally, Davis argues, even if the process is adequate in theory, in practice the granting of
postconviction relief by Ohio courts is so rare that it fails to provide the meaningful opportunity
for relief required by the Fifth and Fourteenth Amendments (Petition, ECF No. 6, PageID 8750,
citing Keener v. Ridenour, 594 F.2d 581, 590 (6th Cir. 1979); Allen v. Perini, 424 F.3d 134, 13940 (6th Cir. 1970); Coley v. Alvis, 381 F.2d 870, 872 (6th Cir. 1967)).
Davis raised a nearly identical claim in his first habeas petition, which was rejected because
“the Sixth Circuit has held that alleged errors in state collateral proceedings cannot form the basis
for habeas corpus relief.” (Davis IX, ECF No. 16-2, PageID 9030, citing Kirby v. Dutton, 794 F.2d
245, 247 (6th Cir. 1986)). Kirby has never been called into question, much less overruled, as to
alleged errors arising solely out of postconviction. Thus, Claim Twenty-One should be dismissed
as not cognizable.
4.
Claims Twenty-Two through Twenty-Six: Method of Execution and
Legal Injection is Unconstitutional
Davis raises the following claims with respect to the constitutionality of Ohio’s execution
statute and protocol:
Twenty-Two: Ohio’s statutory provisions governing the imposition of
the death penalty do not meet the prescribed constitutional
99
requirements and are unconstitutional, both on their face and as applied
to Mr. Davis, in violation of his rights under the Fifth, Sixth, Eighth,
and Fourteenth Amendments of the United States Constitution;
Twenty-Three: The State of Ohio cannot constitutionally execute Mr.
Davis because the only means available under the law to execution him
violate his Eighth Amendment rights;
Twenty-Four: The State of Ohio cannot constitutionally execute Mr.
Davis because the only means available for execution violate the
Fourteenth Amendment’s Due Process and Privileges or Immunities
Clauses;
Twenty-Five: The State of Ohio cannot constitutionally execute Mr.
Davis because the only means available for execution violate the Equal
Protection Clause of the Fourteenth Amendment; and
Twenty-Six: The State of Ohio cannot constitutionally execute Mr.
Davis because the only means available for execution depend on state
execution laws that are preempted by federal law.
(Petition, ECF No. 6, PageID 8753-8835).
At the outset, the Court notes the Warden’s uncontradicted assertion that Davis failed to
present these claims in either of his state court postconviction petitions (Return of Writ, ECF No.
17, PageID 9073, 9076-77). Davis’s failure to present the claims renders them procedurally
defaulted.
Moreover, they are barred as a matter of law. When Davis filed his Petition and the Warden
filed the Return of Writ, the authoritative case on the cognizability of method of execution claims
in habeas corpus was Adams v. Bradshaw (“Adams III”), in which the Sixth Circuit held that “to
the extent that Adams challenges the constitutionality of lethal injection in general and not a
particular lethal-injection protocol, his claim is cognizable in habeas.” 826 F.3d 306, 318-21 (6th
Cir. 2016). However, shortly after Adams III was handed down, the Sixth Circuit began to alter
its jurisprudence. In In re Tibbetts, the appellate panel, while acknowledging that it could not
overturn Adams III, emphasized that any challenge to a particular method of lethal injection was
properly brought under 42 U.S.C. § 1983, rather than in habeas. 869 F.3d 403, 406 (6th Cir. 2017).
100
In (Roland) Davis v. Jenkins, a capital habeas case, the Warden asked this Court to dismiss the
petitioner’s method of execution claim in light of In re Tibbetts. Chief Judge Sargus refused,
noting that “[t]he Sixth Circuit has consistently held that ‘the prior decision remains controlling
authority unless an inconsistent decision of the United States Supreme Court requires modification
of the decision or this Court sitting en banc overrules the prior decision.’” (Roland) Davis v.
Jenkins, No. 2:10-cv-107, 2017 U.S. Dist. LEXIS 161152, *4 (S.D. Ohio Sept. 29, 2017) (Sargus,
C.J.), quoting Salmi v. Sec’y of Health & Human Servs., 774 F.2d 685, 689 (6th Cir. 1985).
Nonetheless, the Court acknowledged that Adams III and Tibbetts could be read as contradictory,
and expressed its hope “that further authority from the Sixth Circuit or Supreme Court will answer
the question of whether Tibbetts and Adams III are inconsistent and, if so, resolve that conflict.”
Id. at *5.
On October 25, 2017, the Sixth Circuit provided precisely such guidance:
A prisoner who challenges a method of execution as
unconstitutionally painful must identify an alternative means by
which he may be executed. Glossip[v. Gross] makes clear that a
prisoner cannot invalidate his death sentence simply by asserting
that every method offered by state statute will be unconstitutionally
painful. And as we explained above, the Court’s decision to
preclude this argument effectively divests us of habeas jurisdiction
over such a claim. . . . The proper method for Campbell to bring
these claims is in a § 1983 action[.]
In re Campbell, 874 F.3d 454, 465-66 (6th Cir. 2017) (emphasis in original), citing Glossip, 135
S.Ct. 2726, 2739 (2015). Crucially, the Campbell panel also stated that the language in Adams III
suggesting that a claim challenging the general constitutionality of lethal injection was cognizable
in habeas was “dictum [that] mischaracterizes both Adams II 11 and Glossip. And, of course, dictum
in a prior decision—as opposed to a holding—does not bind future panels, including this one.” Id.
11
Adams v. Bradshaw, 644 F.3d 481 (6th Cir. 2011).
101
at 464 (emphasis in original), citing 6 Cir.R. 32.1(b).
Davis argues that, because In re Campbell was neither a Supreme Court nor an en banc
decision, it could not overrule Adams III, and thus, may not alter, much less overrule, the holding
set forth in Adams III (Traverse, ECF No. 29, PageID 9380). He claims that “[t]he Campbell panel
asserted that the language in Adams III supporting Mr. Davis’s claims is dicta, but Campbell relied
on language in Glossip . . . that was itself dicta.” Id., citing Glossip, 135 S.Ct. at 2738-39; In re
Campbell, 874 F.3d at 463-64. Further, Davis claims that the In re Campbell panel’s reading of
Glossip was “also highly questionable[,]” as “[c]ognizability of lethal injection claims in habeas
corpus proceedings was not an issue before the Court in Glossip.” Id.
This Court is bound by In re Campbell’s characterization of the relevant language in Adams
III as dicta and its holding that Glossip forecloses any challenge to method of execution in habeas.
More importantly, the Sixth Circuit, in In re Smith, addressed the issue of whether In re Campbell
was still good law or if it had been abrogated by the Supreme Court’s decision in Bucklew v.
Precythe. The panel acknowledged the parenthetical in Bucklew that “(if the relief sought in a 42
U.S.C. § 1983 action would foreclose the State from implementing the [inmate’s] sentence under
present law, then recharacterizing a complaint as an action for habeas corpus might be proper).”
In re Smith, No. 17-4090, ___ F. App’x ____, 2020 U.S. App. LEXIS 16768, 2020 WL 2732228,
*2 (6th Cir. May 26, 2020) (per curiam) (alterations in original), quoting Bucklew, ___ U.S. ____,
139 S.Ct. 1112, 1128 (2019) (internal quotation marks and citation omitted). However, the panel
held that:
Smith stretches Bucklew too far. Whether an as-applied method-ofexecution claim may be brought in habeas is not implicated by the
question presented in Bucklew, its holding, or its primary legal
reasoning. The Court in Bucklew held that prisoners bringing asapplied method-of-execution challenges under § 1983 must satisfy
the Baze-Glossip test, and the Court’s analysis of the Eighth
102
Amendment, Baze, and Glossip reflects this focus. Furthermore, Hill
v. McDonough was decided before and extensively discussed in
Campbell, 874 F.3d at 460–63, meaning that the new law to
implicitly overrule Campbell would have to come from Bucklew
itself. And we cannot say that the parenthetical, combined with the
Court’s statement that the question of state law “might be relevant
to determining the proper procedural vehicle for the inmate’s
claim,” meaningfully alters the analysis in Campbell.
Id., quoting Bucklew, 139 S.Ct. at 1128 (emphasis added) citing In re Campbell, 874 F.3d at 46063 “For this reason, we must once again conclude that Smith’s proposed amendment presents
claims that are not cognizable in habeas in light of Campbell.” Id. at *3.
In re Smith put to rest any ambiguity regarding the non-cognizability of method of
execution claims in habeas corpus. Consequently, Claims Twenty-Two through Twenty-Five
should be dismissed without prejudice. The Magistrate Judge notes that Davis is a plaintiff in the
consolidated § 1983 method of execution case pending in this Court, In re Ohio Lethal Injection
Protocol, Case No 2:11-cv-1016.
As to Claim Twenty-Six, Davis argues that:
In relying on Glossip, the court in Campbell appears to have
overlooked any statutory claims in conducting its analysis. Thus,
even if this Court finds that Campbell forecloses certain
constitutional claims, Mr. Davis should be permitted to proceed on
the statutory “fundamental defect” claim set out in his Twenty-Sixth
Ground for Relief.
(Traverse, ECF No. 29, PageID 8931, citing Petition, ECF No. 6, PageID 8814). Even if Davis’s
“statutory defect” Claim Twenty-Six were not foreclosed by Glossip and In re Campbell, which it
is, it would fail on its merits. Davis argues that
Ohio’s use of drugs, including controlled substances and/or
compounded drugs, to execute Mr. Davis will result in violations of
various provisions of the Controlled Substances Act (CSA), 21
U.S.C. §§ 801, et seq., the Federal Food, Drug and Cosmetic Act
(FDCA), 21 U.S.C. §§ 301 et seq., and federal regulations issued by
the Drug Enforcement Agency (DEA) and Food and Drug
Administration (FDA).
103
...
The Ohio lethal-injection statute, Ohio Revised Code § 2949.22(A),
along with DRC’s practices, policies and protocols used to carry out
that statute, are preempted by the Controlled Substances Act (CSA),
21 U.S.C. §§ 801, et seq., the Federal Food, Drug, and Cosmetic Act
(FDCA), 21 U.S.C. §§ 301, et seq., and federal regulations issued
by the Drug Enforcement Agency (DEA) and Food and Drug
Administration (FDA).
(Petition, ECF No. 6, PageID 8815-16).
Davis makes conclusory statements that “carrying out Ohio’s lethal-injection laws as to
Mr. Davis stands as an obstacle to Congress’s full purposes and objectives behind the CSA and/or
the FDCA, and compliance with both Ohio law and federal law in this situation is impossible
because compliance with Ohio law would breach federal law” and that “Ohio’s execution laws
that contemplate inclusion of controlled substances in the course of carrying out a death sentence
are expressly and impliedly preempted by the CSA and its implementing regulations.” (Petition,
ECF No. 6, PageID 8816; see also Mut. Pharm. Co., Inc., v. Bartlett, 570 U.S. 472-73, 480 (2013),
quoting English v. Gen. Elec. Co., 496 U.S. 72, 79 (1990) (“a state law may be impliedly preempted where it is ‘impossible for a private party to comply with both state and federal
requirements’”)). Yet, formalistic recitations of the elements of a claim are insufficient to survive
a motion to dismiss under Fed.R.Civ.P. 12(b)(6), much less state a plausible claim in habeas.
Davis claims that the Ohio Department of Rehabilitation and Correction (“ODRC”) cannot
procure any drugs permitted in its execution protocol without violating the CSA and its regulations
(Petition, ECF No. 6, PageID 8818-19, citing 21 U.S.C. § 844; 21 C.F.R. §§ 1306.03-05, 1306.11).
Specifically, he claims that ODRC’s standard practice is:
[N]ot
--- to provide in the course of that transaction a valid patientspecific prescription issued for a legitimate medical purpose by a
licensed health professional authorized to prescribe drugs in the
State of Ohio. Instead, DRC provides only a certified copy of a
Death Warrant issued by the Supreme Court of Ohio for an inmate,
104
not necessarily the same inmate who will be executed with the
particular drugs obtained and/or ordered.
Id. at PageID 8819 (emphasis in original). “Further, it is impossible for DRC to obtain a valid
patient-specific prescription for any drug to be used to carry out a human execution, since there is
no drug that has been approved by FDA for the purpose of carrying out a human execution.” Id.
at PageID 8820. Moreover, Davis argues, the DRC employees cannot lawfully procure, possess,
and dispense the execution drugs, because they are not being procured, possessed, and dispensed
in compliance with FDA and Drug Enforcement Agency (“DEA”) regulations when used for
executions. Id. at PageID 8821-23, citing 21 U.S.C. §§ 331(a), 355(a), 393(b)(2), 841(a); 21
C.F.R. §§ 1301.22, 1307.11; Ohio Rev. Code §§ 4729.01(I), 4765.39(C)(1). Davis claims that
human execution is not, and can never be, a valid “off-label” use of the execution drugs, because
they are dangerous when used as directed in executions. For those reasons, Davis argues, the
State’s use of the protocol drugs in executions violates the FDCA. Id. at PageID 8823, citing 21
U.S.C. § 352. Moreover, he argues that, because thiopental sodium has never been approved by
the FDA, and none of the drugs in the protocol has been the subject of an investigative new drug
application, much less approved for use in execution, the State’s use of the drugs violates the
FDCA and FDA regulations for those reasons, too. Id. at PageID 8823-26, citing 21 U.S.C. §§
321(p), 355, 812; 21 C.F.R. § 312.20(a-b); Abigail Alliance for Better Devel. of Experimental
Drugs v. von Eschenbach, 495 F.3d 695, 697-98 (D.C. Cir. 1997).
Finally, Davis claims that the lethal injection statute and protocol that purport to enable
ODRC “to procure, obtain, import, purchase, dispense, distribute, possess and/or administer (and
any other terms of art under the CSA or FDCA) compounded drugs, including controlled
substances, as lethal-injection drugs, are in contravention of federal drug laws.” (Petition, ECF
No. 6, PageID 8828). Davis asserts that any compounding of drugs for purposes of executions
105
violates the CSA, because there is no legitimate medical purpose for an execution. Id. at PageID
8829-33, citing 21 U.S.C. §§ 353a, 353b, 21 C.F.R. § 1307.11. As adherence to state law and
federal law is impossible, Davis argues, Ohio’s lethal injection statute, regulations, and protocol
are preempted. Id. at PageID 8820, 8834, quoting 21 U.S.C. § 903; citing Bartlett, 570 U.S. at
479-80.
For two reasons, any habeas claim based on statutory preemption faces a heavy burden.
First, it is well-established that a “claim of a federal statutory violation will not be reviewed [in
habeas corpus] unless it alleges ‘a fundamental defect which inherently results in a complete
miscarriage of justice [o]r an omission inconsistent with the rudimentary demands of fair
procedure.’” Reed v. Farley, 512 U.S. 339, 356 (1994) (Scalia, J., concurring in part), quoting Hill
v. United States, 363 U.S. 424, 428 (1962). Second, except as to the Medical Device Amendments
(inapposite here), “[t]he FDCA contains no preemption clause,” Riegel v. Medtronic, Inc., 552
U.S. 312, 339 (2008) (Ginsburg, J., dissenting), and the express preemption provision in the CSA
is narrow:
No provision of this subchapter shall be construed as indicating an
intent on the part of the Congress to occupy the field in which that
provision operates . . . to the exclusion of any State law on the same
subject matter which would otherwise be within the authority of the
State, unless there is a positive conflict between that provision of
this subchapter and that State law so that the two cannot consistently
stand together.
21 U.S.C. § 903. Moreover, implied preemption exists only under two circumstances:
“Even without an express provision for preemption, we have found
that state law must yield to a congressional Act in at least two
circumstances.” First, “state law is naturally preempted to the extent
of any conflict with a federal statute.” Second, we have deemed
state law pre-empted “when the scope of a [federal] statute indicates
that Congress intended federal law to occupy a field exclusively.”
Kurns v. R.R. Friction Prods. Corp., 565 U.S. 625, 630 (2012), quoting Crosby v. Nat’l Foreign
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Trade Council, 530 U.S. 362, 372 (2000); Freightliner Corp. v. Myrick, 514 U.S. 280 287 (1995).
In support of his implied preemption argument, Davis cites Gonzales v. Oregon, wherein
the Supreme Court reiterated that “the CSA creates a comprehensive, closed regulatory regime
criminalizing the unauthorized manufacture, distribution, dispensing, and possession of
substances.” (Petition, ECF No. 6, PageID 8818, quoting 546 U.S. 243, 250 (2006)). Davis’s
reliance on Gonzales is curious, since in that case, the Supreme Court held that CSA’s preemption
did not extend to empowering the Attorney General to promulgating rules and regulations
prohibiting doctors from prescribing controlled substances under Oregon’s Death With Dignity
Act (known as “Medical Aid in Dying,” or “MAID”). 546 U.S. at 248-49, 274-75. In that case,
the Attorney General was acting under his uncontroverted rulemaking authority with respect to the
relatively novel practice of legal MAiD. Davis, on the other hand, does not identify any instance
in which the Attorney General or Secretary of Health and Human Services attempted to regulate
the use of controlled substances in lethal injection. Moreover, the constitutionality of lethal
injection in general has been upheld repeatedly. See, e.g., Glossip, 135 S.Ct. at 2732-33; Baze v.
Rees, 553 U.S. 35, 63 (2008) (Alito, J., concurring), citing Gregg v. Georgia, 428 U.S. 153, 175
(1976) (opinion of Stewart, Powell, and Stevens, JJ.); Hill v. McDonough, 547 U.S. 573, 580-81
(2006). In sum, preemption was not a persuasive argument in Gonzales v. Oregon, and it is even
less persuasive here.
Moreover, Ohio’s lethal injection statute, regulations, and protocol cannot be said to
conflict with federal law. The undersigned agrees with Davis that, if his preemption argument
were accepted, it would be impossible to implement the lethal injection protocol of Ohio and every
other state that uses the method. Yet, not only has States’ use of lethal injection been upheld
repeatedly, the federal government has evinced its intent to resume executions via lethal injection.
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In re: Federal Bureau of Prisons’ Execution Protocol Litig., 955 F.3d 106 (D.C. Cir. 2020). Thus,
Davis’s argument, if accepted, compels the conclusion that the federal government is implicitly
preempting state lethal injection laws to make lethal injection—the federal government’s intended
method of execution—impossible. Such an outcome is dubious, if not absurd, and Davis offers
no caselaw in support. In light of the above, and the strong interests in comity and federalism that
compel this Court to be cautious when determining preemption, Claim Twenty-Six is without
merit, and should be dismissed.
E.
Pretrial, Trial, and Sentencing Claims for Relief
1.
Claim Eleven: Resentencing Procedures Violated Federal and State
Constitutions
Davis argues that the first resentencing violated his Fourteenth Amendment right to equal
protection because, in light of Penix, defendants sentenced to death by a three-judge panel were
treated unfairly vis-à-vis those sentenced to death by a jury, because only defendants in the former
group could be sentenced to death upon resentencing (Petition, ECF No. 6, PageID 8710-11, citing
McCoy v. Court of Appeals of Wisc., Dist. 1, 486 U.S. 429, 435 (1988); Griffin v. Illinois, 351 U.S.
12, 17 (1956); Ohio Rev. Code § 2929.06; Penix, 32 Ohio St. 3d at 372)). Davis claims that the
second resentencing violated his Due Process rights, because under the law in effect, he could only
be resentenced to death by the original three-judge panel; yet, even though the original panel could
not be re-assembled, the new panel rejected Davis’s motion to withdraw his jury waiver, and
resentenced him to death. Id. at PageID 8712-13, citing Landgraf., 511 U.S. at 266; Ohio Rev.
Code §§ 2929.03, 2929.06, 2945.05, 2945.06. He concludes by arguing that both the first and
second resentencings violated the Ex Post Facto clause of the federal constitution; “the state court
was required to apply the statute as written at the time of Mr. Davis’s crime. To do otherwise
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violates the Fifth, Eighth and Fourteenth Amendments. Retroactive legislation is prohibited under
these Constitutional provisions.” Id. at PageID 8714, citing U.S. CONST. ART. I, § 10, amend. V,
VIII, XIV; Carmell v. Texas, 529 U.S. 513 (2000); Landgraf., 511 U.S. at 266; Lindsey v.
Washington, 301 U.S. 397 (1937); In re Medley, 134 U.S. 160 (1890), abrogated on other grounds
as discussed in Hilton v. Braunskill, 481 U.S. 770, 775 (1987); Calder, 3 U.S. 386.
As the Warden notes, this Court previously rejected Davis’s arguments that the different
panel for resentencing constituted an ex post facto violation, and held that the differentiation of
Davis from Penix did not constitute an equal protection violation (Return of Writ, ECF No. 17,
PageID 9062, citing Davis IX, ECF No. 16-2, PageID 8992). Judge Graham noted that the
difficulty in reassembling the jury for resentencing was not an issue with a three-judge panel,
which was a rational basis upon which the State could differentiate Davis from Penix. Thus, any
equal protection claim was not viable. Judge Graham continued by explaining that the change in
the statute to allow for a different three-judge panel was procedural, rather than substantive, in
nature, and a procedural change, no matter how significant, cannot form the basis of an ex post
facto claim. Davis IX, ECF No. 16-2, PageID 8991-93, quoting Corbitt v. New Jersey, 439 U.S.
212, 226 (1978); Dobbert v. Florida, 432 U.S. 282, 292-97 (1977). Moreover, since the statute
allowed for a death sentence upon resentencing, just as in the original trial, there was no greater
punishment possible, and thus was procedural in nature. Accordingly, the Twelfth District found
that there was no ex post facto violation and that applying the amended Ohio Revised Code §
2929.06(B) retroactively did not violate the Ohio or federal constitution. Davis XI, 2011-Ohio787, at ¶ 62, aff’d Davis XIV, 2014-Ohio-1615, ¶¶ 44-55.
In his Traverse, Davis concedes that the gravamen of his Due Process and Equal Protection
claims are identical (ECF No. 29, PageID 9270). He also argues that Davis XIV did not reach the
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merits on his claim, despite his fairly presenting it. Id. at PageID 9271, citing Davis XIV, 2014Ohio-1615; State Court Record, ECF No. 4-43, PageID 5884). He claims that the Supreme Court’s
discussion in Davis XIV of its holding in Davis II that Penix did not apply to Davis was not an
adjudication on the merits by the Davis XIV court, because it was contained in the background,
rather than analysis, section of the opinion. Id., citing 2014-Ohio-1615 at ¶¶ 22-26. Davis notes
that, in his appeal from the first resentencing, the Supreme Court of Ohio in Davis IV refused to
revisit its holding in Davis II, and the Sixth Circuit held that Davis IX’s implicit affirmation of
Davis II was not an adjudication on the merits. Therefore, Davis claims, AEDPA deference did
not apply (Traverse, ECF No. 29, PageID 9272, citing Davis X, 475 F.3d at 779).
Further, while the Davis X court held that the denial of his waiver withdrawal at the first
resentencing did not constitute an equal protection violation, 475 F.3d at 779-80, Davis argues that
the rational basis identified by the Sixth Circuit—the possibility that the original three-judge panel
could be reassembled, whereas the original jury could not—did not apply to his second
resentencing (Traverse, ECF No. 29, PageID 9274, citing Ohio Rev. Code § 2929.06(B); Davis X,
475 F.3d at 779-80). Given that Davis X, in dicta, cast doubt on the continued validity of a jury
waiver twenty-five years after the initial trial, Davis argues that the enforcement of his jury waiver
in the second resentencing violated his right to equal protection. Id. at PageID 9274-75, citing 475
F.3d at 780-81.
However, portion of Davis X not discussed by Davis is fatal to his equal protection claim.
The opinion noted the longstanding Sixth Circuit and Ohio precedent that a jury waiver in the
initial trial will not be valid in the event of a retrial or if the conviction is reversed. Davis X, 475
F.3d at 780-81, citing Sinistaj v. Burt, 66 F.3d 804, 808 (6th Cir.1995); United States v. Groth, 682
F.2d 578, 580 (6th Cir. 1982); United States v. Lee, 539 F.2d 602, 606 (6th Cir. 1976); State v.
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McGee, 128 Ohio App. 3d 541, 545 (Ohio App. 3rd Dist. 1998). However, the opinion continued
that McGee was “not directly on point, because Davis is not facing a new indictment[.]” Id. at 781
(emphasis added). That Davis was being resentenced with his underlying conviction intact, as
opposed to a completely new determination of guilt, is a rational basis for treating Davis differently
than McGee. It is reasonable to infer from Davis X that the Sixth Circuit was dubious of the State’s
argument that a jury waiver made in 1984 would be valid almost twenty-five years hence.
However, mere uncertainty is not itself grounds for an equal protection claim, and because there
is no independent basis upon which this court could find a due process violation, both the Equal
Protection and Due Process claims fail, even assuming de novo review is proper.
It is undisputed that the Supreme Court of Ohio examined and rejected Davis’s claim that
the second resentencing violated the federal constitution’s Ex Post Facto Clause and the Ohio
constitution’s Retroactivity Clause. Davis XIV,2014-Ohio-1615 at ¶¶ 44-55. The court reiterated:
“The General Assembly has clearly expressed its intent that R.C. 2929.06(B) apply retroactively.”
Id. at ¶ 48 (internal quotation marks omitted), quoting State v. White, 2012-Ohio-2583 at ¶ 30. The
court further explained that:
(1) a defendant does not face greater potential sentence on
resentencing than in the original sentencing;
(2) the defendant does not have a vested or accrued right to be
sentenced by a jury;
(3) the defendant does not face any greater burden on resentencing;
(4) the defendant is not being deprived of a reliance or vested
interest in finality, and
(5) the State does not obtain a new right at the expense of the
defendant, the statute is remedial, rather than substantive in nature,
and its application did not violate the Retroactivity Clause.
Id. at ¶¶ 48-53, citing White, 2012-Ohio-2583 at ¶¶ 1-2, 12-14, 34-37, 41, 43-44. Similarly, the
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court applied its holding in White to Davis as to the Ex Post Facto Clause, finding that it did not
fit into any of the categories of ex post facto laws set forth in Calder and its progeny. Specifically,
the revision to Ohio Rev. Code § 2929.06(B) did not: (1) transform his murder and firearms
specification from innocent to criminally culpable conduct; (2) make the crimes greater in degree
than when they were committed; (3) inflict a greater punishment upon resentencing; or (4) lessen
the evidentiary burden required to convict a defendant of the crimes. Id. at ¶ 54, quoting Calder,
3 U.S. at 390; White, 2012-Ohio-2583, at ¶ 64.
Davis argues that Davis XIV was contrary to clearly established federal law, and thus,
AEDPA deference should not be accorded the decision. Specifically, he argues that his potential
sentence was enhanced upon resentencing; in support, he argues that, because the original threejudge panel could not be reconstituted, a death sentence would not have been possible under the
old version of the statute, but would be possible under the revised statute (Traverse, ECF No. 29,
PageID 9273, citing Dobbert v. Florida, 432 U.S. 282, 300 (1977); Ohio Rev. Code § 2929.06(B)).
Yet, Davis ignores the conclusion in White that “[a]pplying R.C. 2929.06(B) to a defendant whose
case was remanded for resentencing after that provision became law is analogous to extending an
unexpired statute of limitations.” 2012-Ohio-2583, at ¶ 62, citing Stogner, 539 U.S. at 618. As
White was not reversed or modified by the United States Supreme Court in any case, the decision
in Davis XIV could not have been “clearly established federal law.” Also, because the retroactivity
of Ohio Rev. Code § 2929.06(B) is a question of law, the decision could not have been “based on
an unreasonable determination of the facts in light of the evidence presented in the State court
proceeding.” 28 U.S.C. § 2254(d)(1-2). Thus, Claim Eleven should be denied.
2.
Claim Twelve: Inability to Inspect Grand Jury Transcripts
Davis argues that he had a particularized need to see the grand jury transcripts, specifically,
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the need to prepare and present a complete defense, and that his need outweighed the State’s
presumptive need to keep the testimony secret (Petition, ECF No. 6, PageID 8715, citing Crane v.
Kentucky, 476 U.S. 683, 690 (1986); California v. Trombetta, 467 U.S. 479, 485 (1984); State v.
Sellards, 17 Ohio St. 3d 169, 172-73 (1985); State v. Greer, 66 Ohio St. 2d 139 (1981)). He claims
that there was no need for secrecy at the time he was preparing for trial, since “[t]he witnesses had
already testified before the grand jury . . . If the prosecution had any concerns about shielding the
identity of grand jury witnesses, due to safety concerns or any other reason, they could have sought
a protective order prohibiting particular evidence from being disclosed.” Id.
Davis argues that, despite fairly presenting the claim on direct appeal, the Supreme Court
of Ohio violated clearly established federal law in its conclusory holding that “nothing in the record
indicates that appellant failed to receive a fair trial because he was not provided with the grand
jury testimony[,]” and thus, AEDPA deference is not appropriate (Traverse, ECF No. 29, PageID
9280, quoting Davis II, 38 Ohio St. 3d at 365). The Court need not address this argument, however,
because Davis’s overarching claim—that his inability to access the grand jury transcripts denied
him full knowledge of the evidence that might be used against him, and thus, deprived him of his
constitutional right to present a complete defense—is speculative. Nowhere in the Petition or
Traverse does Davis identify what evidence he thinks is contained in the transcripts, much less
how the outcome of his trial and sentencings would have been different if he had had access to the
transcripts. Rather, Davis is asking, more than thirty years after the grand jury issued the
indictment against him, for a grant of discovery to see the transcripts so that he might formulate a
theory based on what might be contained in there (Traverse, ECF No. 29, PageID 9279, citing
Bracy v. Gramley, 520 U.S. 899, 908-09 (1997)). Such speculation is not even sufficient under
Fed.R.Civ.P. 8, see Ashcroft v. Iqbal, 556 U.S. 662, 678-79 (2009) (“Rule 8 . . . does not unlock
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the doors of discovery for a plaintiff armed with nothing more than conclusions”), much less the
Rules Governing § 2254 Cases; consequently, Claim Twelve should be dismissed.
3.
Claim Thirteen: Discriminatory Selection of Grand Jury Foreperson
in Violation of Fifth, Sixth, Eighth, and Fourteenth Amendments
Davis claims that the Presiding Judge of the Court of Common Pleas selecting the grand
jury foreperson, who need not be part of the venire, is arbitrary and the resulting selection process
is racially discriminatory, and thus, unconstitutional (Petition, ECF No. 6, PageID 8717, citing
Ohio Rev. Code § 2939.02). “Further, according to Hamilton County[,Ohio] Common Pleas Judge
[Melba] Marsh, the common pleas judges in Hamilton County, which adjoins Butler County,
regularly exercised their statutory prerogative to select grand jury forepersons.” Id. “Based upon
the evidence regarding Hamilton County, counsel have reason to believe that the same improper
procedures were used at the time of Mr. Davis’s indictment in Butler County, an adjoining county.”
Id. at PageID 8718.
In Hughbanks v. Hudson, Petitioner Gary L. Hughbanks, Jr. was indicted by a Hamilton
County grand jury with a Caucasian forewoman chosen by Judge Marsh, who also presided over
Hughbanks’s trial.
The undersigned examined and rejected a claim based on racially
discriminatory grand jury foreperson selection, finding that the “Supreme Court of Ohio’s
adjudication [against Hughbanks] was not ‘decision that was contrary to, or involved an
unreasonable application of, clearly established federal law.’”
No. 1:07-cv-111, 2018 WL
9597457, *35-36, quoting 28 U.S.C. § 2254(d)(1) (S.D. Ohio Sept. 7, 2018) (Merz, Mag. J.). In
other words, Hughbanks actually had a basis for his claim, and it was still unavailing. Davis, on
the other hand, seems to allege that Butler County’s geographic proximity to Hamilton County
caused it to adopt the latter’s supposedly discriminatory grand jury foreperson selection policy.
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Yet, he offers no facts in support thereof. As speculation, without more, cannot serve as the basis
for a viable habeas claim, Claim Thirteen should be dismissed.
4.
Claim Fourteen: Trial Court Prohibiting Elbert Avery from Testifying
During Guilt Phase
In Davis’s case-in-chief, his counsel attempted to call Elbert Avery as a live witness to
rebut Anthony Ferguson’s testimony that Ferguson had seen Davis shoot Butler. Specifically,
Avery was prepared to testify that Ferguson had told him that Ferguson had not seen Davis shoot
Butler (Petition, ECF No. 6, PageID 8720). The panel refused to allow Avery to testify, and instead
allowed counsel to introduce a proffer of Avery’s anticipated testimony. Id., quoting Trial Tr.,
ECF No. 5-3, PageID 7515-16; citing Trial Tr., ECF No. 5-3, PageID 7495. Davis argues that the
proffer carried less weight than if Avery had testified, and that the lack of live testimony deprived
him of his fundamental right to present a complete defense. Id. at PageID 8720-21, quoting
Chambers v. Mississippi, 410 U.S. 284, 302 (1973); Washington v. Texas, 388 U.S. 14, 19 (1967).
Despite the claim being available to Davis on direct appeal, he did not raise the issue until
his first postconviction petition in state court. Consequently, the Twelfth District found that the
claim was barred by res judicata and did not address its merits (Traverse, ECF No. 29, PageID
9287, citing Davis VI, 1996 WL 551432, *9). This adequate and independent state ground
forecloses habeas relief. As to Davis’s alternative argument that appellate counsel provided
ineffective assistance for failing to raise the issue on direct appeal, Davis notes the Sixth Circuit
opinion in Hoffner v. Bradshaw. Id. at Page ID 9288, citing 622 F.3d 487 (6th Cir. 2010). The
Hoffner court held that “since at least 1996, Ohio law has provided sufficient guidance on what
constitutes a ‘good cause’ for a late filing under Rule 26(B). Furthermore, as of January 1996,
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‘the time constraints of Rule 26(B) were firmly established and regularly followed.’” 622 F.3d at
504-05, quoting Parker v. Bagley, 543 F.3d 859, 861 (6th Cir.2008); Monzo v. Edwards, 281 F.3d
568, 578 (6th Cir. 2002). Moreover, the court held that while it had, “in prior cases, found Rule
26(B) not to be an adequate and independent ground on which to find procedural default, those
precedents are not applicable here because Rule 26(B) was firmly established and regularly
followed by June 2006.” Id. at 505, citing Parker, 543 F.3d at 862.
Davis’s direct appeals from his conviction and first resentencing occurred before Rule
26(B) was enacted, but his direct appeal from his second resentencing happened well after its
enactment. Also, Davis moved under Rule 26(B) to reopen his direct appeal in 1998, but did not
raise this claim in the application. Thus, procedural default is an adequate and independent ground
upon which to find the ineffective assistance of appellate counsel claim procedurally defaulted.
Moreover, the claim fails on its merits. As discussed above, there was more than sufficient
evidence to convict Davis for the murder of Butler, even if Ferguson’s testimony were to be
discounted. Further, while the reduction of Avery’s testimony to a proffer may have prevented
Davis from defending himself in his preferred manner, that reduction was not completely
prejudicial. Davis was able to introduce Avery’s statement impeaching Ferguson without Avery
being subject to cross-examination that could have damaged Avery’s credibility. This falls well
short of the prejudice required for a Strickland claim, and Claim Fourteen should be dismissed.
5.
Claim Fifteen: Capital Specification was Invalid
Davis argues that the sole specification allowing prosecutors to seek the death penalty was
Davis’s 1971 conviction for second-degree murder, arising from killing his estranged wife,
Ernestine (Petition, ECF No. 6, PageID 8722). The death penalty specification was under Ohio
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Rev. Code §2929.04(A)(5), which is a prior purposeful killing. Id. Davis argues that he killed
Ernestine in a heat of passion and without any premeditation or purpose, and thus, lacked the
requisite mens rea for the specified prior offense. Id. at PageID 8722-23, citing State Court
Record, ECF No. 4-19, PageID 2028-29. Absent a proper death specification or other aggravating
circumstance, Davis argues, his “conviction on this aggravated specification and his death sentence
are unconstitutional and must be vacated.” Id. at PageID 8723. The parties agree that the last
reasoned court decision was Davis VI, in which the Twelfth District found the claim procedurally
barred by failing to raise it on direct appeal. 1996 WL 551432 at *4, citing State v. Lentz, 70 Ohio
St. 3d 527, 527-28, paragraph one of the syllabus (1994). Judge Graham relied in part on the
Twelfth District’s res judicata ruling to deny the claim in Davis’s first habeas petition. Davis IX,
ECF No. 16-2, PageID 8967-74.
Davis argues that Davis VI was not an adjudication on the merits of his claim. Yet, even
if res judicata were not an adequate and independent state ground, Davis’s claim is meritless. As
Judge Graham noted, “Where a defendant seeks to attack a prior conviction used to enhance the
penalty for a later conviction, the defendant must show that . . . the prior conviction was infected
with constitutional error.” Davis IX, ECF No. 16-2, PageID 8969, citing Parke v. Raley, 506 U.S.
20, 29 (1992); Johnson v. Zerbst, 304 U.S. 458, 468 (1938); Cuppett v. Duckworth, 8 F.3d 1132,
1136 (7th Cir. 1993). At the time Davis was convicted of second-degree murder, the statute
pertaining to that offense required a finding of purposeful killing. Davis’s guilty plea was, at the
very least, a decision not to contest the finding that he purposefully killed Ernestine. Against that
uncontested finding, the letter from Davis’s neighbor cannot, by itself, render the conviction for
second degree murder unconstitutional. Thus, using Davis’s 1971 conviction as the capital
specification was not constitutionally improper, and Claim Fifteen should be dismissed.
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6.
Claim Seventeen: Denial of Motion to Sever
Davis claims that the trial court’s denial of his motion to sever Counts One (aggravated
murder) and Two (possessing a weapon under a disability) caused him to waive his right to a jury
trial and proceed before a three-judge panel. Davis, on advice of trial counsel, believed that the
introduction of his prior murder conviction, the reason for the “disability,” would have so
prejudiced the jury that he could have never gotten a fair hearing on the aggravated murder count
(Petition, ECF No. 6, PageID 8729, citing State Court Record, ECF No. 4-19, PageID 1963-69;
ECF No. 4-46, PageID 6459; Trial Tr., ECF No. 5-1, PageID 7211-15, 7221). Consequently,
Davis argues, his waiver was not knowing, intelligent, and voluntary. Id. at PageID 8730. Davis
claims that the unconstitutional waiver of his jury right was a structural error, for which no showing
of prejudice is required. Nonetheless, he argues, he was prejudiced because, had the motion to
sever been granted, his prior conviction would have been excluded from trial of the aggravated
murder count under Ohio R.Evid. 403. Thus, there is a reasonable probability that the jury would
not have voted in favor of conviction and death sentence, and the lack of a jury verdict undermined
confidence in the outcome, as evidenced by remand for resentencing twice (Traverse, ECF No. 29,
PageID 9304-06, citing Fry v. Pliler, 551 U.S. 112, 121-22 (2007); Sullivan v. Louisiana, 508 U.S.
275, 280-82 (1993); Hicks v. Oklahoma, 447 U.S. 343, 346 (1980); Adams v. United States, 317
U.S. 269, 275 (1942)).
Davis argues that he fairly presented his federal constitutional claim to the Supreme Court
of Ohio on direct appeal, but that court only evaluated his Ohio statutory claim; thus, no AEDPA
deference applies (Traverse, ECF No. 29, PageID 9306-07, citing Davis II, 38 Ohio St. 3d at 364;
Ohio Rev. Code § 2929.022(A)). Yet, as Judge Graham noted, Davis IX, ECF No. 16-2, PageID
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8975, the Supreme Court of Ohio went into much greater detail than suggested by Davis. The
court held that Davis’s:
[F]urther contention that he was “forced” into waiving his right to a
jury trial because of the possibility that the jury would not follow a
curative instruction raises a mere risk of prejudice that can be best
described as speculative. . . . A jury is believed capable of
segregating the proof on multiple charges when the evidence as to
each of the charges is uncomplicated.
38 Ohio St. 3d at 364 (emphasis in original), citing Spencer, 387 U.S. at 562; State v. Torres, 66
Ohio St. 2d 340, 343-44 (1981). As the Supreme Court discussed in Spencer, there is no
constitutional bar against prior crimes being mentioned. 387 U.S. at 562. Moreover, Davis’s
argument that, but for the joinder of the counts, the prior murder conviction would have been
excluded, is speculative at best. The prior murder conviction was the basis upon which he was
charged with aggravated murder and a capital specification; it is reasonable to conclude that the
conviction would have been introduced to prove the capital specification, and it is well-established
that a prior conviction may be introduced to prove, among other things, a necessary element of a
crime. See, e.g., id. at 560; Fed.R.Evid. 404(b)(2); Ohio R.Evid. 404(B); see also State v. Allen,
29 Ohio St. 3d 53, 54 (1987) (when a prior conviction “transform[s] the crime itself by increasing
its degree[,]” it becomes “an essential element . . . and must be demonstrated beyond a reasonable
doubt.”). The Supreme Court of Ohio’s rejection of Davis’s argument that a jury would not adhere
to a limiting instruction as speculative was well-reasoned and should not be disturbed by this Court.
As the trial court’s denial of Davis’s motion to sever was not unconstitutional, that denial
cannot serve to render his waiver less than knowing, voluntary, intelligent. Claim Seventeen
should be dismissed.
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7.
Claims Eighteen and Twenty: Death Sentence is Disproportionate, and
the Product of a Constitutionally Inadequate Proportionality Review
In Claim Eighteen, Davis argues that the trial court panel’s conclusion that the sole
aggravating factor, his 1971 homicide conviction, outweighed the extensive mitigation evidence
presented resulted in a death sentence that was disproportionate, in violation of the Fifth and
Fourteenth Amendments (Petition, ECF No. 6, PageID 8732; Traverse, ECF No. 29, PageID 9313,
citing Ohio Rev. Code § 2929.05; Evitts v. Lucey, 469 U.S. 387, 401 (1985); United States v.
Hopper, 941 F.2d 419, 422 (6th Cir. 1991). Davis cites several Sixth Circuit decisions in which
death sentences were upheld only after much greater aggravating circumstances and/or much less
mitigation evidence. Id. at PageID 8733, citing Reynolds v. Bagley, 498 F.3d 549, 560 (6th Cir.
2007); Baston v. Bagley, 420 F.3d 632, 634-35 (6th Cir. 2005); DePew v. Anderson, 311 F.3d 742,
746-47 (6th Cir. 2002). Davis claims that there was no adjudication on the merits of his
constitutional claim, as the Supreme Court of Ohio only analyzed the appropriateness of the
sentence under the state statute as follows: “We have approved death sentences in cases in which
the prior-murder-conviction specification under R.C. 2929.04(A)(5) was the sole aggravating
circumstance presented.” (Traverse, ECF No. 29, PageID 9315-16, quoting Davis XIV, 2014Ohio-1615, at ¶ 117).
Davis claims that even if this analysis were to have reached the
constitutional issue, it would have been an unreasonable determination, as the death sentences in
both cases cited by the Davis XIV court were later vacated in federal habeas proceedings. Id. at
9316-17, citing Taylor, 78 Ohio St. 3d 15 writ of habeas corpus granted at Taylor v. Mitchell, 296
F. Supp. 2d 784 (N.D. Ohio 2003); State v. Mapes, 19 Ohio St. 3d 108 (1985), conditional writ of
habeas corpus aff’d at Mapes v. Tate, 388 F.3d 187).
In Claim Twenty, which is closely related, Davis argues that the Supreme Court of Ohio’s
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proportionality review, by comparing Davis only with cases in which a death sentence was
imposed, did not comport with due process (Petition, ECF No. 6, PageID 8739, citing Taylor, 78
Ohio St. 3d 15; Mapes, 19 Ohio St. 3d 108). Davis claims that the proportionality review scheme
is “ethically indefensible,” because it does not consider similarities between the capital defendant
and defendants in cases where the death penalty was not imposed. Id. at PageID 8740, quoting
State v. Murphy, 91 Ohio St. 3d 516, 562 (2001) (Pfeifer, J., dissenting).
This review process presents three constitutional problems, Davis argues. First, by only
evaluating against cases in which the death penalty is imposed, the death penalty is no longer
“limited to those offenders who commit ‘a narrow category of the most serious crimes’ and whose
extreme culpability makes them ‘the most deserving of execution.’” Id. at PageID 8741, quoting
Kennedy v. Louisiana, 554 U.S. 407, 420 (2008); Roper, 543 U.S. at 568; Atkins v. Virginia, 536
U.S. 304, 319 (2002). Second, each time the death penalty is imposed in a less serious case, the
bar for what crimes are sufficiently heinous to impose the death penalty diminishes, leading to an
ever-greater number of circumstances in which the death penalty could be applied. Id. at PageID
8743. Third, Davis claims, the analysis contravenes Gregg, which, according to Davis, held that,
if a state conducts a proportionality review, then that review is constitutional only if cases in which
the death penalty was not imposed are also considered. Id. at PageID 8742, citing Zant v. Stephens,
462 U.S. 862 (1983); Gregg, 428 U.S. at 205. Specifically, the proportionality review scheme’s
“fail[ure] to properly narrow the reach of its death penalty fails to pass constitutional muster
because it will result in arbitrary, capricious, or discriminatory death sentences.” (Traverse, ECF
No. 29, PageID 9328, citing Walker v. Georgia, 555 U.S. 979 (2008) (statement of Stevens, J.,
respecting the denial of writ of certiorari); Furman v. Georgia, 408 U.S. 238, 309-10 (1972)).
As to Claim Eighteen, Davis cites no caselaw, and the Court is not aware of any, in which
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the Supreme Court has held that a death sentence was unconstitutional despite there being
substantial mitigating evidence and a prior murder being the sole aggravating circumstance.
Moreover, while the sentences in Taylor and Mapes were vacated in habeas, neither sentence was
voided for lack of proportionality. Indeed, in Taylor, Judge James Carr noted that:
[W]hen the state courts have engaged in a proportionality review,
the district court's review is limited. The district court is to examine
the state's proportionality review only to determine whether the
imposition of death on the petitioner is patently unjust or “shocks
the conscience; the court is not to second-guess the state court's
comparison of other cases in which the death penalty was imposed.”
Moreover, the Sixth Circuit in a recent opinion stated that because
“proportionality review is not required by the Constitution, states
have great latitude in defining the pool of cases used for
comparison.”
296 F. Supp. 2d at 839-40, quoting Buell v. Mitchell, 274 F.3d 337, 369 (6th Cir. 2001);
Kordenbrock v. Scroggy, 680 F. Supp. 867, 899 (E.D. Ky. 1988). Accordingly, the trial court’s
proportionality review was not a violation of clearly established federal law. 28 U.S.C. §
2254(d)(1). Even considering all the mitigating evidence, the trial court finding that the single
aggravating circumstance—previously killing an estranged significant other, the exact crime for
which the original three-judge panel convicted him and sentenced him to death in 1984—
outweighed those mitigating factors does not “shock the conscience.” Thus, the undersigned
cannot find that the state courts’ proportionality review violated due process or constituted cruel
and unusual punishment, and Claims Eighteen and Twenty should be dismissed.
8.
Claim Nineteen: Insufficient Evidence to Support a Conviction for
Aggravated Murder
Davis argues that the testimony and evidence introduced against him at trial were
insufficient to support a conviction for aggravated murder. In support, Davis emphasizes that:
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The testimonies of Denmark, Massey, and Robertson at trial were
inconsistent and often contradictory both with each other and with
the testimony of Ferguson before the grand jury;
Massey’s identification of Davis did not occur until four days after
the killing, and was the product of unconstitutionally suggestive
police procedures;
Coleman’s testimony that Davis had acquired the gun for the
purpose of protection, rather than to kill Butler; and
Aldridge’s testimony that Davis appeared irate at the time of the
killing (which Davis argues shows he lacked the requisite mens rea
for aggravated murder).
(Petition, ECF No. 6, PageID 8735-37, citing State Court Record, ECF No. 4-28, PageID 318889; Grand Jury Tr., ECF No. 5-1, PageID 7127-52; Trial Tr., ECF No. 5-2, PageID 7240, 7351,
7360-61, 7373-75, 7382-85, 7417, 7424-26; Trial Tr., ECF No. 5-3, PageID 7450, 7499, 7503,
7569).
Given this inadequate evidence, and the lack of deoxyribonucleic acid or other
circumstantial evidence tying Davis to the murder, he argues that the State could not prove the
“prior calculation and design” element of aggravated murder beyond a reasonable doubt, and thus,
his conviction and death sentence were unconstitutional. Id. at PageID 8737-38, citing Jackson v.
Virginia, 443 U.S. 307 (1979); In re Winship, 397 U.S. 358 (1970); State v. Robbins, 58 Ohio St.
2d 74 (1979); State v. Cotton, 56 Ohio St. 2d 8 (1978).
Davis claims that the last reasoned state court opinion was Davis II, in which the Supreme
Court of Ohio did not address whether Davis acted with prior calculation and design; Davis argues
that the state court’s failure to do so means that “the state court’s adjudication in this case was
based on an unreasonable determination of the facts in light of the evidence presented in state
court.” (Traverse, ECF No. 29, PageID 9322-23, citing State v. Walker, 150 Ohio St. 3d 1509,
2016-Ohio-8295, ¶¶ 17-19; State v. Braden, 98 Ohio St. 3d 354, 2003-Ohio-1325, ¶¶ 62-65; State
v. Keenan, 81 Ohio St. 3d 133, 156-58 (1998) (Moyer, C.J., dissenting in part), writ of habeas
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corpus granted in part by Keenan v. Bagley, No. 1:01-cv-2139, 2012 WL 1424751 (N.D. Ohio
Apr. 24, 2012); Davis II, 38 Ohio St. 3d at 366).
“The General Assembly has determined that it is a greater offense to premeditate or to plan
ahead to purposely kill someone. All prior-calculation-and-design offenses will necessarily
include purposeful homicides; not all purposeful homicides have an element of prior calculation
and design.” Walker, 2016-Ohio-8295, at ¶ 18. Nonetheless, the Supreme Court of Ohio has
repeatedly rejected any “bright-line test that emphatically distinguishes between presence and
absence of prior calculation and design. Instead, each case turns on the particular facts and
evidence presented at trial.” Id. at ¶ 19 (internal quotation marks and citations omitted). Ohio
courts have traditionally considered three factors: “(1) Did the accused and victim know each
other, and if so, was that relationship strained? (2) Did the accused give thought or preparation to
choosing the murder weapon or murder site? and (3) Was the act drawn out or ‘an almost
instantaneous eruption of events?’” Id. at ¶ 20, quoting Taylor, 78 Ohio St. 3d at 19. Factor one
weighs heavily in favor of finding prior calculation and design; Butler had been Davis’s live-in
girlfriend prior to separating less than a week before the murder. Factor two has evidence in
support of and against a finding of prior calculation. As discussed above, Coleman testified that
Davis asked him to buy the firearm and ammunition for self-defense; yet, Davis had the loaded
firearm on his person when he approached Butler at the American Legion, and continued to have
it as he and Butler went outside to talk, despite there being no evidence that Butler posed any type
of threat to Davis. As to factor three, the circumstances surrounding Davis’s killing of Butler do
not neatly fall into either category. While there was no evidence that Davis went to the American
Legion intending to kill Butler, Davis and Butler were together for more than half an hour prior to
the killing. In light of the evidence presented, a finding of prior calculation and design is not
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unreasonable, and Claim Nineteen should be dismissed.
V.
CONCLUSION
For the foregoing reasons, the Magistrate Judge recommends that Davis’s Petition (ECF
No. 6) be DISMISSED, and that judgment should be entered in favor of the Warden and against
Davis. The undersigned concludes that no reasonable jurist would find that Davis “has made a
substantial showing of the denial of a constitutional right,” 28 U.S.C. § 2253(c)(2), or would
disagree with this conclusion with respect to any of the claims, and recommends that Petitioner be
denied a certificate of appealability and that this Court certify to the Sixth Circuit that any appeal
would be objectively frivolous and therefore should not be permitted to proceed in forma pauperis.
June 16, 2020.
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. 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. 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.
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