Source: s3://data.kl3m.ai/documents/govinfo/USCOURTS/USCOURTS-ca6-05-03568/USCOURTS-ca6-05-03568-0/pdf.json

Nature of Suit Code: 535
Nature of Suit: Habeas Corpus - Death Penalty
Cause of Action: 

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RECOMMENDED FOR FULL-TEXT PUBLICATION

Pursuant to Sixth Circuit Rule 206

File Name: 08a0045p.06

UNITED STATES COURT OF APPEALS

FOR THE SIXTH CIRCUIT _________________

JOHN FAUTENBERRY,

 Petitioner-Appellant,

v.

BETTY MITCHELL, Warden,

 Respondent-Appellee.

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No. 05-3568

Appeal from the United States District Court

for the Southern District of Ohio at Cincinnati.

No. 00-00332—James L. Graham, District Judge.

Argued: July 26, 2007

Decided and Filed: January 25, 2008 

Before: BATCHELDER, MOORE, and GILMAN, Circuit Judges.

_________________

COUNSEL

ARGUED: Dennis Lyle Sipe, BUELL & SIPE CO., Marietta, Ohio, for Appellant. Steven W.

Schierholt, ATTORNEY GENERAL’S OFFICE OF OHIO, Columbus, Ohio, for Appellee.

ON BRIEF: Dennis Lyle Sipe, BUELL & SIPE CO., Marietta, Ohio, for Appellant. Matthew C.

Hellman, ATTORNEY GENERAL’S OFFICE OF OHIO, Columbus, Ohio, Lisa M. Stickan,

ATTORNEY GENERAL’S OFFICE OF OHIO, Cleveland, Ohio, for Appellee. 

BATCHELDER, J., delivered the opinion of the court, in which GILMAN, J., joined.

MOORE, J. (pp. 21-30), delivered a separate dissenting opinion.

_________________

OPINION _________________

ALICE M. BATCHELDER, Circuit Judge. Petitioner John Fautenberry (“Fautenberry”),

a prisoner in the state of Ohio awaiting execution, appeals the district court’s denial of his petition

for writ of habeas corpus. Fautenberry raises eight issues on appeal. Finding no merit in any of

them, we AFFIRM the judgment of the district court.

I.

In November 1990, Fautenberry, who had recently quit his job as a cross-country truck

driver, met Donald Nutley at a truck stop outside Portland, Oregon, and the two men went target

shooting together. After they had finished and were leaving the range, Fautenberry shot Nutley in

1

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the head and stole $10,000 from him. Fautenberry then drove to Cincinnati, Ohio, where he stayed

with his sister for a short time before traveling to Connecticut to visit an old friend. In February

1991, while en route back to Cincinnati, Fautenberry — out of money and in need of gasoline to

continue his travels — stopped at a truck stop in New Jersey. There he met Gary Farmer, who, after

learning of Fautenberry’s need for money, offered to buy Fautenberry breakfast and give him money

in exchange for sex. Fautenberry got into the cab of Farmer’s truck, shot Farmer in the head, and

took his wallet. Fautenberry then returned to his sister’s residence in Cincinnati.

On February 17, 1991, after another brief stay in Cincinnati, Fautenberry again left his

sister’s residence, this time on foot, in search of money. Fautenberry walked down Highway 125,

in the eastern suburbs of Cincinnati, stopped at the on-ramp to Interstate 275, and began hitchhiking.

Joseph Daron offered to give Fautenberry a ride. Daron intended to travel only ten miles north to

his home in Milford, Ohio, but, upon learning that Fautenberry wanted to go north to Columbus,

Ohio, he drove Fautenberry an extra ten miles and dropped him near the intersection of Interstate

275 and Interstate 71, which goes directly to Columbus. As he exited Daron’s vehicle, Fautenberry

reached back into the car and shot Daron twice in the chest. Fautenberry then drove Daron’s car

south to Cincinnati, and threw Daron’s body into a wooded area on the north bank of the Ohio River,

where it was eventually found more than a month later by the local authorities. Fautenberry took

Daron’s car, wallet, briefcase, wristwatch, and Bible, and returned to Oregon.

Fautenberry arrived in Portland on February 24, 1991, and spent the next few days at the

Oregon coast with some old friends and acquaintances, including a woman named Christine Guthrie.

Guthrie accompanied Fautenberry back to Portland from the coast, and along the way, they stopped

on an old logging road. Fautenberry escorted Guthrie to a secluded portion of the woods, shot her

three times in the back of the head, and stole her bank card. A few days later, after withdrawing

cash from her bank account, Fautenberry traveled to Juneau, Alaska, where he began working

aboard a fishing boat. On March 13, 1991, Fautenberry met Jefferson Diffee at a local bar, and the

two men went to Diffee’s apartment. While there, Fautenberry beat Diffee, handcuffed him, and

stabbed him seventeen times, which resulted in his death. The local police discovered Fautenberry’s

fingerprints at the scene of the crime, and on March 16, 1991, they arrested him for the murder of

Diffee. The police then searched Fautenberry’s storage locker and hotel room, where they found

Daron’s briefcase, wristwatch, and Bible.

On March 17, 1991, while in police custody, Fautenberry called Federal Bureau of

Investigation (“FBI”) Agent Larry Ott and left a message indicating that he wanted to talk. Agent

Ott went to the jail, informed Fautenberry of his Miranda rights (which Fautenberry subsequently

waived), and recorded Fautenberry’s confession to the murders of Nutley, Farmer, Daron, and

Guthrie. Fautenberry accurately described the wounds inflicted upon each victim, and indicated that

robbery was the motive for each killing. A few days later, Fautenberry called his old girlfriend,

Olivia Priest-Herndon, and told her that he was “only after . . . money” and that he “did it[,] so [he]

gotta pay the price now.” Fautenberry also confessed to Tom Nelson of the Portland Police

Department, informing Nelson where the bodies of Nutley and Guthrie were located. In August

1991, Fautenberry pleaded guilty in an Alaskan state court to the murder of Jefferson Diffee, and

the court sentenced him to 99 years’ imprisonment.

In September 1991, the Alaskan authorities transferred Fautenberry to Hamilton County,

Ohio, the county in which Cincinnati is located, where a grand jury had returned a five-count

indictment charging Fautenberry with two counts of aggravated murder (both pertaining to the death

of Daron), aggravated robbery, theft of a motor vehicle, and theft of a credit card. The aggravated

murder charges included two specifications, either of which would render Fautenberry eligible for

the death penalty under Ohio law: (1) killing Daron while committing aggravated robbery; and

(2) killing Daron as part of a course of conduct involving the purposeful killing of two or more

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1

 Under Ohio law, a capital defendant who waives his right to trial by jury and elects to be tried by the court,

is actually tried by a three-judge panel. See Ohio Rev. Code § 2945.06. Furthermore, even on a no-contest plea, the

prosecution must produce evidence to prove aggravated murder with the specified aggravating circumstances. See Ohio

R. Crim. Pro. 11(c)(3).

persons. See Ohio Rev. Code § 2929.04(A). Fautenberry waived his right to a trial by jury and later

proffered a no-contest plea to all counts and specifications in the indictment.

The prosecution presented the three-judge panel1

 with evidence, including the murder

weapon, various other pieces of physical evidence, and transcripts of Fautenberry’s confessions to

Agent Ott, Officer Nelson, and Ms. Priest-Herndon. After reviewing this evidence, the court

concluded beyond a reasonable doubt that Fautenberry was guilty of all counts and specifications

in the indictment, and accepted his plea. In September 1992, the three-judge panel held a sentencing

hearing. The defense presented its mitigating evidence, which included testimony from Fautenberry,

Dr. Nancy Schmidtgoessling, and friends who knew Fautenberry well. Those friends included

Louise Corcoran (a long-time friend of Fautenberry’s family), Ms. Priest-Herndon (Fautenberry’s

former girlfriend with whom he had lived), and Mary Theresa Slayback (a friend with whom

Fautenberry lived during his early twenties). After hearing all of this evidence, as well as the

testimony of the six law-enforcement officers presented during the mitigation hearing by the

prosecution, the three-judge panel imposed the death penalty, finding that, despite the defense’s

“thorough job in presenting the[] mitigating factors,” it was beyond a reasonable doubt that the

aggravating factors sufficiently outweighed the mitigating factors.

Fautenberry appealed to the state appellate court, which affirmed his conviction and sentence

in 1994. See State v. Fautenberry, No. C-920734, 1994 WL 35023 (Ohio Ct. App. February 9,

1994). The Ohio Supreme Court also affirmed on direct appeal, see State v. Fautenberry, 650

N.E.2d 878 (Ohio 1995), and the United States Supreme Court denied Fautenberry’s request for

review, see Fautenberry v. Ohio, 516 U.S. 996 (1995). In March 1996, Fautenberry filed a motion

for reconsideration with the Ohio Supreme Court, arguing that he had received ineffective assistance

of appellate counsel during his direct appeal to that court. That motion was summarily denied in

May 1996. See State v. Fautenberry, 677 N.E.2d 1194 (Ohio 1997). In July 1996, Fautenberry

filed, pursuant to Ohio App. R. 26(B), an application for reopening (i.e., a motion for delayed

reconsideration) with the state court of appeals, alleging ineffective assistance of appellate counsel

during his direct appeal to that court. This application was denied because Fautenberry “failed to

demonstrate that there [was] good cause for filing []his application more than two years after th[e]

court’s judgment was journalized.” The Ohio Supreme Court affirmed that decision. See State v.

Fautenberry, 677 N.E.2d 1194 (Ohio 1997). Also in July 1996, Fautenberry filed his petition for

post-conviction relief. The trial court denied the petition, and the court of appeals affirmed that

denial. See State v. Fautenberry, No. C-971017, 1998 WL 906395 (Ohio Ct. App. December 31,

1998). The Ohio Supreme Court then declined to review Fautenberry’s petition, see State v.

Fautenberry, 709 N.E.2d 849 (Ohio 1999), and refused Fautenberry’s request for reconsideration,

see State v. Fautenberry, 711 N.E.2d 1015 (Ohio 1999).

In May 2000, Fautenberry filed his petition for a writ of habeas corpus with the federal

district court, asserting nineteen grounds for relief. The State moved to dismiss, contending that

many of Fautenberry’s claims had been procedurally defaulted. The district court partially granted

the State’s motion and dismissed some of Fautenberry’s claims. In a later opinion and order, the

district court addressed the substance of Fautenberry’s non-defaulted claims, found them to be

without merit, and denied Fautenberry’s petition for habeas relief. The district court issued a

certificate of appealability on nine of Fautenberry’s claims (two of which relate to his claim for

ineffective assistance of trial counsel during the pretrial and plea hearing, and which Fautenberry

has consolidated for purposes of this appeal). Fautenberry asserts eight claims on appeal, and we

will address them separately.

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II.

“We review de novo the district court’s denial of . . . [a] petition for a writ of habeas corpus.”

Clinkscale v. Carter, 375 F.3d 430, 435 (6th Cir. 2004). Fautenberry filed his habeas petition after

the enactment of the Antiterrorism and Effective Death Penalty Act of 1996 (“AEDPA”); we will

therefore review his claims under the standards set forth in that statute. See Lindh v. Murphy, 521

U.S. 320, 336 (1997). AEDPA permits a federal court to grant a writ of habeas corpus only where

the state court’s adjudication “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.” 28 U.S.C. § 2254(d)(1). “A federal habeas court may issue the writ under the

‘contrary to’ clause if the state court applies a rule different from the governing law set forth in

[Supreme Court] cases, or if it decides a case differently than [the Supreme Court has] done on a set

of materially indistinguishable facts.” Bell v. Cone, 535 U.S. 685, 694 (2002). “The [federal] court

may grant relief under the ‘unreasonable application’ clause if the state court correctly identifies the

governing legal principle from [Supreme Court] decisions but unreasonably applies it to the facts

of the particular case.” Id. “An unreasonable application of federal law is different from an

incorrect application of federal law.” Woodford v. Visciotti, 537 U.S. 19, 25 (2002) (quotations

omitted). We may not issue the writ “simply because [we] conclude[] in [our] independent judgment

that the relevant state-court decision applied clearly established federal law erroneously or

incorrectly.” Williams v. Taylor, 529 U.S. 362, 411 (2000). Instead, we must find that “the state

court’s application of clearly established federal law [was] objectively unreasonable.” Cone, 535

U.S. at 694. When identifying the relevant, controlling federal law for purposes of AEDPA analysis,

we look to “the holding, as opposed to the dicta, of [the Supreme] Court’s decisions as of the time

of the relevant state-court decisions.” Williams, 529 U.S. at 412.

A. Ineffective Assistance of Trial Counsel During the Penalty Phase of the Proceedings

Fautenberry’s primary argument — to which he devoted most of his time at oral argument

— is that his trial counsel rendered ineffective assistance during the penalty phase of his

proceedings. An ineffective-assistance claim has two components: (1) counsel’s performance must

have been deficient, and (2) counsel’s deficient performance must have prejudiced the defendant.

Strickland v. Washington, 466 U.S. 668, 687 (1984). “[T]he proper standard for attorney

performance is that of reasonably effective assistance,” id., as measured by “prevailing professional

norms.” Rompilla v. Beard, 545 U.S. 374, 380 (2005) (quotation marks and citations omitted). To

establish deficient performance, the habeas petitioner must show that “counsel’s representation fell

below an objective standard of reasonableness.” Strickland, 466 U.S. at 687-88. When evaluating

counsel’s performance, we “must indulge a strong presumption that counsel’s conduct falls within

the wide range of reasonable professional assistance.” Darden v. Wainwright, 477 U.S. 168, 186

(1986).

“A convicted defendant making a claim of ineffective assistance must identify the acts or

omissions of counsel that are alleged not to have been the result of reasonable professional

judgment.” Strickland, 466 U.S. at 690. Fautenberry contends that his trial counsel rendered

deficient performance by: (1) failing to communicate meaningfully with him, (2) failing to conduct

a “reasonable” investigation for mitigating evidence, and (3) failing to retain “reasonable and

necessary” experts. The state court rejected this claim, relying primarily on Fautenberry’s refusal

to cooperate. We address Fautenberry’s three allegations in turn.

First, Fautenberry contends that his counsel failed to communicate meaningfully with him.

The Sixth Amendment, however, protects the criminal defendant’s right to “adversarial process”;

that is, to “have counsel[,] acting in the role of advocate[,] . . . require the prosecution’s case to

survive the crucible of meaningful adversarial testing.” United States v. Cronic, 466 U.S. 648, 656

(1984) (quotation marks and citations omitted).

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2

 The State disputes whether Fautenberry actually suffers from a functional brain impairment. Because it is

not dispositive to our analysis of this ineffective-assistance claim, we will assume without deciding that Fautenberry does

in fact have some sort of organic brain damage.

[T]he appropriate inquiry focuses on the adversarial process, not on the accused’s

relationship with his lawyer as such. If counsel is a reasonably effective advocate,

he meets constitutional standards irrespective of his client’s evaluation of his

performance. It is for this reason that we attach no weight to either respondent’s

expression of satisfaction with counsel’s performance at the time of his trial, or to

his later expression of dissatisfaction.

Id. at 657 n.21 (citations omitted). Thus, at its root, the ineffective-assistance analysis is based on

“an objective standard of reasonableness.” Strickland, 466 U.S. at 688.

The record shows that any communication problems between Fautenberry and his attorneys

were the result of Fautenberry’s own determined refusal to communicate, not a lack of availability

of, or effort by, counsel. The record contains abundant evidence indicating that Fautenberry

independently resolved not to communicate or cooperate with anyone, including his lawyers.

Fautenberry’s former girlfriend, Ms. Priest-Herndon, testified that Fautenberry told her of his

tactical decision not to communicate with his attorneys because he “thought that was his best way

to beat this thing.” As the district court aptly noted, Fautenberry “has not cited, and the court is not

aware of, any Supreme Court case holding that the Sixth Amendment requires counsel to persuade

a recalcitrant client to do that which he . . . refused to do.” We find nothing objectively

unreasonable in these attorneys’ inability to communicate meaningfully with Fautenberry, who

steadfastly refused to communicate with them. See Strickland, 466 U.S. at 691 (“The reasonableness

of counsel’s actions may be determined or substantially influenced by the [accused’s] own

statements or actions.”).

The evidence proffered to demonstrate that counsel had failed to communicate with

Fautenberry is wholly unpersuasive. Fautenberry relies heavily upon statements in the medical notes

recorded during his pretrial incarceration, in which he said, “I just want to be treated like a human

being,” and “I[ am] as good as dead now.” When considered in their proper context, these

statements, contrary to Fautenberry’s contention, do not demonstrate a dysfunctional attorney-client

relationship. Instead, they display Fautenberry’s despondency because of the situation at hand —

he had been incarcerated for six months awaiting trial for a murder that he had already (on at least

three occasions) confessed to committing. Fautenberry also relies on the affidavit of Dr. Susan D.

Shorr, a mitigation specialist who assisted his attorneys during their preparation for the sentencing

hearing, in which she opined that Fautenberry became uncooperative and noncommunicative only

“[a]s a result of the breakdown of the relationship between . . . Fautenberry and his attorneys.” This

unsubstantiated statement contradicts Ms. Priest-Herndon’s testimony that Fautenberry had told her

of his independent, tactical decision not to communicate with his lawyers, but it substantiates all

other accounts that Fautenberry, in fact, refused to communicate. Fautenberry’s attempts to blame

his counsel for his own recalcitrance and unwillingness to communicate do not demonstrate that

counsel were deficient in failing to communicate meaningfully with Fautenberry.

Second, Fautenberry argues that his attorneys rendered ineffective assistance by failing to

conduct a “reasonable” mitigation investigation that would have discovered his organic brain

damage.2

 Fautenberry contends that further investigation would have revealed his past head injuries

and alerted his attorneys to the likelihood that he had permanent brain damage. We conclude,

contrary to Fautenberry’s assertion, that counsel did in fact conduct a reasonable mitigation

investigation.

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3

 We have assumed for the sake of argument that Fautenberry does have some sort of organic brain damage.

See n.2, supra.

Defense counsel interviewed and procured extensive testimony from lay witnesses, including

Louise Corcoran (a close family friend) and Ms. Priest-Herndon (Fautenberry’s former girlfriend).

These women testified regarding Fautenberry’s unstable family environment and emotionally

abusive upbringing. Defense counsel also garnered the assistance of numerous experts, including

Dr. Nancy Schmidtgoessling and Dr. James Tanley. In fact, counsel hired Dr. Tanley for the express

purpose of conducting a neuropsychological examination — the most effective means possible of

determining whether Fautenberry had a brain impairment. But Fautenberry refused to submit to the

examination. Counsels’ inability to discover or establish organic brain damage is directly

attributable to Fautenberry’s refusal to cooperate, rather than any insufficiency in the investigation.

Had Fautenberry not impeded Dr. Tanley’s examination, the doctor presumably would have

discovered, verified, and revealed any such brain damage. We will not find counsel deficient simply

because they did not succeed in discovering his brain damage or pursue unspecified, alternate

avenues (which may or may not have revealed the brain damage). In light of the “strong

presumption that counsel’s conduct falls within the wide range of reasonable professional

assistance,” Darden, 477 U.S. at 186, Fautenberry’s attorneys conducted a sufficient and reasonable

mitigation investigation under the circumstances Fautenberry created.

Third, Fautenberry contends that his counsel failed to retain “reasonable and necessary”

experts, asserting that neither Dr. Schmidtgoessling nor Dr. Tanley provided him with a reasonable

level of assistance. We find this argument baseless. Dr. Tanley provided as much assistance as was

possible under the circumstances: He attempted to examine Fautenberry to determine whether he

suffered from a brain impairment, but Fautenberry refused to participate in the examination. Thus,

any deficiencies in Dr. Tanley’s assistance were the result of Fautenberry’s admitted refusal to

cooperate, rather than any shortcoming of Dr. Tanley or any flaw in his work. We conclude as well

that any alleged defect in Dr. Schmidtgoessling’s assistance cannot be attributed to counsel.

Fautenberry argues that Dr. Schmidtgoessling misdiagnosed his mental condition when she

concluded that he did not suffer from organic brain damage. Even if we assume that Dr.

Schmidtgoessling did misdiagnose Fautenberry,3

 “[a] licensed practitioner is generally held to be

competent, unless counsel has good reason to believe to the contrary.” Lundgren v. Mitchell, 440

F.3d 754, 772 (6th Cir. 2006). Fautenberry has not shown that counsel had “good reason” to believe

that Dr. Schmidtgoessling was incompetent, and we conclude that it was objectively reasonable for

counsel to rely upon the doctor’s opinions and conclusions. See Campbell v. Coyle, 260 F.3d 531,

555 (6th Cir. 2001) (holding, in a case where there was “no evidence that [the expert] was

incompetent[] or that [the petitioner’s] lawyers had any reason to question [the expert’s] professional

qualifications,” that “it was objectively reasonable for . . . trial counsel to rely upon [the expert’s]

diagnosis”). Under these circumstances, any inadequacies in Dr. Schmidtgoessling’s expert

assistance — assuming there were any — cannot be the basis for a meritorious ineffective-assistance

claim. Accordingly, we find no deficiency in counsels’ performance.

Even if Fautenberry could show that his counsels’ performance was deficient, he has not

established that he was prejudiced by that performance. The prejudice prong requires the petitioner

to show that “there is a reasonable probability that, but for counsel’s unprofessional errors, the result

of the proceeding would have been different.” Darden, 477 U.S. at 184. “When a [petitioner]

challenges a death sentence such as the one at issue in this case, the question is whether there is a

reasonable probability that, absent the errors, the sentencer . . . would have concluded that the

balance of aggravating and mitigating circumstances did not warrant death.” Strickland, 466 U.S.

at 695. We thus “reweigh the evidence in aggravation against the totality of available mitigating

evidence,” which, in this case, includes the mitigation evidence that was omitted because of

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counsel’s alleged deficiencies. See Wiggins v. Smith, 539 U.S. 510, 534 (2003). A petitioner does

not establish the prejudice element where he shows only that his counsel failed to present

“cumulative” mitigation evidence, that is, evidence already presented to the jury. Broom v. Mitchell, 441 F.3d 392, 410 (6th Cir. 2006). Rather, “to establish prejudice, the new evidence that a habeas

petitioner presents must differ in a substantial way — in strength and subject matter — from the

evidence actually presented at sentencing.” Clark v. Mitchell, 425 F.3d 270, 286 (6th Cir. 2005).

Fautenberry argues that he was prejudiced because, due to counsel’s alleged deficiencies,

the jury did not hear evidence about (1) his personal struggle with, and his family’s history of,

depression, (2) the connection between his abusive childhood and the commission of these murders,

(3) his head injuries and resulting organic brain damage, and (4) the sexual aspects of the murders

he committed. But, Corcoran and Priest-Herndon testified extensively regarding Fautenberry’s

rough upbringing, his difficult family life, his poor relationships with the father figures in his life,

his mother’s constant struggle with depression, and his longing for acceptance. After hearing this

testimony, as well as all the other mitigating evidence, the three-judge panel concluded that the

mitigating factors included: (1) Fautenberry’s “past history”; (2) his “abuse[] as a child”; (3) the

“rage of his childhood”; (4) his abuse of drugs and alcohol; and (5) his “low self-esteem and

rejection.” The omitted mitigation evidence of Fautenberry’s depression, his family’s history of

depression, and his abusive childhood mirrors the evidence actually presented at the sentencing

hearing, and therefore its omission cannot be held to have prejudiced his mitigation defense. See

Broom, 441 F.3d at 410. Furthermore, the three-judge panel had already heard some evidence about

the sexual nature of the murders. At the guilt phase, the prosecutor had informed the court that prior

to Fautenberry’s murder of Farmer in New Jersey, Fautenberry agreed to have sex with him in

exchange for money. See Gillard v. Mitchell, 445 F.3d 883, 896 (6th Cir. 2006) (stating that the

sentencer was “privy” to evidence introduced during the guilt phase of trial and that counsel need

not reintroduce it during the sentencing hearing). Thus, the court was aware that at least one of

Fautenberry’s murders contained a sexual element, and, to the extent that Fautenberry relies upon

this already-disclosed evidence, we find that it is cumulative and insufficient to establish prejudice.

Inclusion of the non-cumulative evidence (i.e., evidence of organic brain damage and the

sexual nature of some of the murders) — which purportedly would have explained his impulsive and

violent nature, inability to tolerate frustration, and sexual confusion — does not create “a reasonable

probability that . . . the sentencer . . . would have concluded that the balance of aggravating and

mitigating circumstances did not warrant death.” See Strickland, 466 U.S. at 695. Furthermore, we

question whether evidence of the sexual nature of the murders is even mitigating. The three-judge

panel might just as well have viewed Fautenberry’s apparent strategy of preying on gay victims as

an aggravating factor. Nor do the side-effects of organic brain damage significantly mitigate

Fautenberry’s actions. According to Fautenberry’s medical reports, “[b]rain impairment of the sort

. . . apparent in . . . Fautenberry’s case can . . . cause serious problems in such areas of day-to-day

functioning as impulse control[,] modulation of affect[,] planning[,] problem-solving[,] and the

capacity to tolerate frustration.” It is highly unlikely that this sort of evidence would have altered

the three-judge panel’s decision to impose the death sentence for Fautenberry’s murder of Daron,

which they found was “contemplated and calculating” — a conclusion that is not at all mitigated or

reduced by the traits associated with or the side effects of organic brain disorder. In short, when we

aggregate all the mitigating evidence, including Fautenberry’s brain disorder and the sexual nature

of the crimes (to the extent that those are even mitigating), and reweigh this evidence against the

aggravating factors, we find that “these mitigating factors pale before the simple fact that

[Fautenberry’s] actions were plotted, vicious, persistent[,] and utterly callous,” which was the

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4

 At one point in his brief, Fautenberry implies that the state court’s denial of his ineffective-assistance claim

was contrary to the Supreme Court’s decision in Rompilla v. Beard, 545 U.S. 374 (2005). This argument is wholly

meritless. Federal law for purposes of AEDPA is defined as “the holding, as opposed to the dicta, of [the Supreme]

Court’s decisions as of the time of the relevant state-court decisions.” Williams, 529 U.S. at 412. First, Rompilla was

decided in 2005, long after Fautenberry had concluded his proceedings in state court. Second, the holding in Rompilla

is inapposite here. Contrary to Fautenberry’s argument, the Court in Rompilla did not hold that counsel, even though

faced with his client’s uncooperative and obstructive behavior, rendered deficient performance by failing to conduct

additional mitigation investigation. The court made no such statement, holding instead that “the lawyers were deficient

in failing to examine the court file on [the petitioner’s] prior conviction.” Rompilla, 545 U.S. at 383.

finding of the three-judge panel. Accordingly, even if trial counsel rendered deficient performance,

we find that those deficiencies did not prejudice Fautenberry.4

B. Trial Counsel’s Alleged Conflict of Interest

Fautenberry next contends that one of his trial counsel labored under a conflict of interest,

which rendered his assistance per se ineffective and violated Fautenberry’s Sixth Amendment rights.

Fautenberry argues that attorney Michael Walton had a conflict of interest because he was a trustee

for Anderson Township, the township in which Daron’s body was found; as a trustee, Walton had

a fiduciary duty to the citizens of that township to ensure that the criminal laws were upheld; and

Walton’s duty to the citizens of that township conflicted with his duty to Fautenberry. The state trial

court addressed this claim, contained in Fautenberry’s petition for post-conviction relief, and found

the following facts: (1) “No evidentiary documents demonstrate that Anderson Township or the

Anderson Township Trustees had an interest in the outcome of [Fautenberry’s] trial”; and (2) “No

evidentiary documents demonstrate that service as a Township Trustee hampered [Fautenberry’s]

attorneys in any way.” The state appellate court determined that, “absent evidence of an actual

conflict, there is no presumption of prejudice arising from the mere fact that defense counsel also

serves in some capacity as a public official.” Fautenberry, 1998 WL 906395, at *5. The court then

rejected Fautenberry’s claim, finding that Fautenberry had “not presented any evidence to support

the conclusion that Walton’s position on the board [of trustees] in any way influenced his ability to

defend Fautenberry at trial.” Id.

A habeas petitioner asserting an ineffective-assistance claim generally must show that his

counsel’s performance was deficient and that the deficiency resulted in prejudice. Strickland, 466

U.S. at 687. But a habeas petitioner can establish an ineffective-assistance claim without having to

show prejudice if he demonstrates that his counsel labored under an “actual conflict” of interest.

See Cuyler v. Sullivan, 446 U.S. 335, 348 (1980); Strickland, 466 U.S. at 692 (“Prejudice is

presumed only if [the petitioner] demonstrates that counsel actively represented conflicting interests

and that an actual conflict of interest adversely affected his lawyer’s performance.”) (quotations

omitted). “An ‘actual conflict,’ for Sixth Amendment purposes, is a conflict of interest that

adversely affects counsel’s performance.” Mickens v. Taylor, 535 U.S. 162, 171 n.5 (2002).

Fautenberry has not established an “actual conflict.” He does not challenge the state court’s

factual findings that “[n]o evidentiary documents demonstrate that . . . the Anderson Township

Trustees had an interest in the outcome of [his] trial” or that “[n]o evidentiary documents

demonstrate that service as a Township Trustee hampered [his] attorneys in any way.” See 28

U.S.C. § 2254(e)(1) (providing that “a determination of a factual issue made by a [s]tate court shall

be presumed to be correct” unless the habeas petitioner “rebut[s] the presumption of correctness by

clear and convincing evidence”). After independently reviewing the record, we find that

Fautenberry has failed to demonstrate that his “counsel actively represented conflicting interests”

or that any alleged conflict “adversely affected his lawyer’s performance.” See Strickland, 466 U.S.

at 692. Accordingly, we find this claim baseless.

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C. The Prosecution Withheld Material Exculpatory Evidence in Violation of Brady

Fautenberry next argues that the prosecution withheld material exculpatory evidence in

violation of Brady v. Maryland, 373 U.S. 83 (1963). The State argues that this claim has been

procedurally defaulted. A claim is procedurally defaulted and is thus unreviewable by a federal

habeas court where the “habeas petitioner fail[ed] to obtain consideration of [that] claim by a state

court . . . due to [his] failure to raise that claim before the state courts while state-court remedies

[were] still available.” Seymour v. Walker, 224 F.3d 542, 549-50 (6th Cir. 2000). Fautenberry

admits that he did not present his Brady claim to the state courts, but argues that the prosecution’s

failure to disclose the evidence is both the cause of and the prejudice resulting from the default. See

Wainwright v. Sykes, 433 U.S. 72, 87 (1977) (discussing “cause” and “prejudice”). A habeas

petitioner shows “cause” where he demonstrates that he failed to raise a constitutional issue because

it was “reasonably unknown to him” at the time. Amadeo v. Zant, 486 U.S. 214, 222 (1988). The

district court found that most of the challenged Brady evidence had not been disclosed to

Fautenberry during his state-court proceedings, and the State does not directly dispute the “cause”

element. Thus we will assume without deciding that Fautenberry satisfied that element.

The question of whether we may excuse Fautenberry’s procedural default, therefore, turns

on the issue of prejudice. “Prejudice, for purposes of procedural default analysis, requires a showing

that the default of the claim not merely created a possibility of prejudice to the defendant, but that

it worked to his actual and substantial disadvantage, infecting his entire trial with errors of

constitutional dimensions.” Jamison v. Collins, 291 F.3d 380, 388 (6th Cir. 2002) (citing United

States v. Frady, 456 U.S. 152, 170-71 (1982)). Procedural default analysis on the issue of prejudice

mirrors Brady materiality analysis, see id., so in determining whether Fautenberry has procedurally

defaulted his Brady claim, we will follow the Supreme Court’s example and proceed under a Brady

materiality analysis. See Strickler v. Greene, 527 U.S. 263, 282 (1999). Evidence is deemed

material for purposes of Brady “only if there is a reasonable probability that, had the evidence been

disclosed to the defense, the result of the proceeding would have been different.” United States v.

Bagley, 473 U.S. 667, 682 (1985). In a case such as this, involving a guilty or no-contest plea, the

habeas petitioner may establish prejudice by showing that there is a reasonable probability that, but

for the non-disclosure of evidence, “he would not have [entered his plea] and would have insisted

on going to trial.” See Hill v. Lockhart, 474 U.S. 52, 59 (1985). Alternatively, he can show that the

findings and decision by the three-judge panel “would have been different.” Bagley, 473 U.S. at

436. Our analysis must consider the totality of the undisclosed evidence, not each item in isolation.

Id.

Fautenberry contends that the prosecution failed to produce five categories of exculpatory

evidence: (1) evidence suggesting that FBI Agent Ott violated Fautenberry’s Fifth Amendment right

to counsel by contravening the rule announced in Edwards v. Arizona, 451 U.S. 477, 484-85 (1981)

(upon requesting counsel, an accused may not be subjected to further questioning until counsel is

provided, unless the accused reinitiates the questioning); (2) evidence indicating that the State of

Ohio lacked jurisdiction and that venue was improper in Hamilton County, Ohio; (3) evidence

demonstrating that victim Joseph Daron had verbal arguments with his girlfriend and another friend

just prior to his disappearance; (4) evidence relating to the sexual nature of the murders; and

(5) evidence indicating that Fautenberry was depressed and suicidal just prior to the murders. For

the following reasons, we find that Fautenberry has failed to establish that any of this evidence is

material for purposes of Brady.

First, the undisclosed documents concerning Fautenberry’s interaction with Agent Ott do not

establish an Edwards violation. Fautenberry was arrested on May 16, 1991, and sometime during

the following day, while in police custody, he invoked his Fifth Amendment right to counsel.

According to Edwards and its progeny, an accused in police custody who has invoked his Fifth

Amendment right to counsel is protected from further police questioning so long as “the accused

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himself [does not] initiate[] further communication, exchanges, or conversations with the police.”

Edwards, 451 U.S. at 484-85; see also Van Hook v. Anderson, 488 F.3d 411, 415 (6th Cir. 2007) (en

banc). Here, the evidence shows that it was Fautenberry himself who initiated communications with

Agent Ott, after invoking his right to counsel. Sometime in the evening of May 17, 1991, a few

hours after asking to speak with a lawyer, Fautenberry called Agent Ott and left a message indicating

that he wanted to talk. At this point, Fautenberry had clearly initiated further communications with

the police, and Agent Ott did not violate Fautenberry’s Fifth Amendment right to counsel by

questioning him at that time. The alleged Brady evidence shows only that Agent Ott returned

Fautenberry’s call a few hours later and left a message stating that Fautenberry should call him if

he still wanted to talk. After waiting for two hours without hearing from Fautenberry, Agent Ott

called the jail, made arrangements to visit Fautenberry, spoke with Fautenberry (apparently without

any objection or refusal on the part of Fautenberry), and received Fautenberry’s confession to the

four murders.

Fautenberry contends that this newly discovered evidence establishes an Edwards violation.

We disagree. Fautenberry’s mere failure to return Agent Ott’s call and “confirm” his desire to speak

does not negate Fautenberry’s prior, unambiguous initiation of further communication. To be sure,

had Fautenberry reinvoked his Fifth Amendment right to counsel after initiating communication

with Agent Ott, he would have been protected from further questioning, but Fautenberry does not

assert that he did so and the alleged Brady evidence does not demonstrate that he did so. In order

to invoke one’s Fifth Amendment right to counsel, the “suspect must unambiguously request

counsel,” meaning that “he must articulate his desire to have counsel present sufficiently clearly that

a reasonable police officer in the circumstances would understand the statement to be a request for

an attorney.” Davis v. United States, 512 U.S. 452, 459 (1994) (holding that an ambiguous mention

of an attorney is not a request for counsel). The alleged Brady evidence does not indicate that

Fautenberry renewed his request for an attorney, unambiguously or otherwise, and is therefore

insufficient to establish an Edwards violation or to require the suppression of his confession to

Agent Ott. Moreover, all of the events that transpired during this time were known to Fautenberry

and there is no basis for assuming that the non-disclosure of this evidence affected his decision to

enter his no-contest plea. See Bagley, 473 U.S. at 682.

Second, the undisclosed evidence does not establish that Ohio lacked jurisdiction or that

Hamilton County was not the proper venue for prosecution. The state court found that Fautenberry

entered Daron’s car at “the on-ramp to [Interstate] 275 off of Highway 125,” see Fautenberry, 1994

WL 35023, at *2, which is located to the east of Cincinnati, near the border of Hamilton County,

Ohio, and Clermont County, Ohio. The state court concluded that Daron drove north on Interstate

275 to a destination “some ten miles north of Milford, Ohio,” see id., and dropped Fautenberry at

a “restaurant near the junction of Interstate 71,” see Fautenberry, 650 N.E.2d at 880. The state court

determined that Fautenberry shot Daron at this location, see id., which is in Hamilton County, Ohio;

and that Fautenberry dumped Daron’s body on the north bank of the Ohio River, near the

intersection of Highway 52 and Interstate 275, see Fautenberry, 1994 WL 35023, at *2, which is

also in Hamilton County, Ohio. The body was later found in this general vicinity. It is therefore

clear, based on the facts as found by the state court, that Ohio had jurisdiction over this murder, see

Ohio Rev. Code §§ 2901.11(A)(1), 2901.11(B) (stating that a “person is subject to criminal

prosecution and punishment in [Ohio] if . . . [t]he person commits an offense under the laws of

[Ohio], any element of which takes place in [Ohio],” and that the elements of a homicide offense

“include[ ] the act that causes death”), and that Hamilton County was the proper venue. See Ohio

Rev. Code § 2901.12(A) (noting that venue is proper “in the territory of which the offense or any

element of the offense was committed”). None of the proffered Brady material rebuts any of these

factual findings by clear and convincing evidence; thus we must presume that these factual findings

are correct. See 28 U.S.C. § 2254(e)(1).

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5

 Fautenberry’s Brady claim with regard to most of this evidence fails for an additional reason: The Brady rule

applies only to evidence that was “known to the prosecution but unknown to the defense.” United States v. Agurs, 427

U.S. 97, 103 (1976) (emphasis added); see also United States v. Mullins, 22 F.3d 1365, 1371 (6th Cir. 1994). Regardless

of his guilt in the commission of the murders, Fautenberry knew the details about his interaction with Agent Ott and his

own state of mind (i.e., his depression and suicidal tendencies). Furthermore, by pleading no contest, Fautenberry

admitted the facts charged in the indictment, so he also knew the location where he shot Joseph Daron and any pertinent

sexual aspects of the murders. With the lone exception of the evidence pertaining to Joseph Daron’s relationships,

Fautenberry or his counsel had knowledge of all this “undisclosed evidence.”

Fautenberry argues that two pieces of evidence indicate that the murder occurred in the

Commonwealth of Kentucky. First, the prosecutor, in his recitation of the facts during the plea

hearing, stated that the murder occurred at “a restaurant and motel parking lot just past the junction

of I-71 and I-275.” Fautenberry emphasizes that Interstate 275 — a highway that circles Cincinnati

— and Interstate 71 intersect twice, once in the State of Ohio and once in the Commonwealth of

Kentucky. This argument, of course, entirely ignores the overwhelming evidence indicating that

Daron picked up Fautenberry in an eastern suburb of Cincinnati, Ohio, and drove north to

Columbus, Ohio. This one arguably ambiguous statement by the prosecutor is woefully insufficient

to rebut the abundant evidence indicating that this murder occurred near the intersection of Interstate

275 and Interstate 71 in Hamilton County, Ohio. Second, a psychiatric report, which contains a

second-hand account of Fautenberry’s description of the murder, states that Fautenberry “drove to

Kentucky[,] pulled over[,] . . . [and] shot the man in the chest a couple of times.” This hearsay

statement is contradicted by all the evidence in the record and does not amount to clear and

convincing evidence to rebut the state court’s factual findings.

The alleged Brady evidence consists of FBI intra-department communications indicating

uncertainty about jurisdiction and venue, and instructing the officers to obtain more evidence on

these issues. These documents do not establish that jurisdiction or venue were proper elsewhere;

at best, they call these issues into question. Even if we were to assume, as alleged by Fautenberry,

that this evidence creates a genuine ambiguity as to the location of the murder, both jurisdiction and

venue would nevertheless be proper in Hamilton County, Ohio. Ohio law provides that “[w]hen the

offense involves the death of a person, and it cannot reasonably be determined in which jurisdiction

the offense was committed, the offender may be tried in the jurisdiction in which the dead person’s

body or any part of the dead person’s body was found.” Ohio Rev. Code § 2901.12(J). It is

undisputed that Daron’s body was found on the north bank of the Ohio River in Hamilton County,

Ohio. Therefore, even if the evidence as to the location of the murder were unclear, both jurisdiction

and venue would lie in Hamilton County. We conclude that this evidence was not material because

it did not establish an error in jurisdiction or venue.

The remainder of the alleged Brady evidence — evidence regarding Daron’s arguments prior

to his disappearance, the sexual nature of the murders, and Fautenberry’s depression and suicidal

inclinations — is not material for Brady purposes. In fact, the evidence is virtually insignificant in

light of the overwhelming evidence both of guilt (i.e., the confessions to Agent Ott, Officer Nelson,

and Ms. Priest-Herndon and the physical evidence connecting Fautenberry to Daron’s murder) and

the sentencing specifications (i.e., the three-judge panel’s finding that the “mitigating factors pale

before the simple fact that [Fautenberry’s] actions were plotted, vicious, persistent[,] and utterly

callous”). Considering as we must the cumulative effect of all the alleged Brady evidence, we

conclude that Fautenberry has failed to establish a “reasonable probability” that the disclosure of

this evidence would have altered either his decision to enter a no-contest plea or the three-judge

panel’s sentence of death. See Bagley, 473 U.S. at 682. Because this evidence is not material under

Brady, Fautenberry cannot show prejudice to excuse his procedural default. See Jamison, 291 F.3d

at 388. And because Fautenberry cannot establish prejudice to excuse his procedurally defaulted

Brady claim, he is not entitled to habeas relief on that basis.5

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D. Ineffective Assistance of Trial Counsel During the Pretrial Preparation and Plea

Hearing

Fautenberry argues that his trial counsel rendered ineffective assistance during their pretrial

preparation and at the plea hearing. In his habeas petition, Fautenberry presents three subparts to

this ineffective-assistance claim: (A) counsel failed to engage in an adequate investigation, (B)

counsel provided him with erroneous information regarding the implications of pleading no contest

to the charges against him, and (C) counsel failed to hold the prosecution to its burden of proof at

the plea hearing. The district court determined that each subpart of this ineffective-assistance claim

had been procedurally defaulted. The court granted Fautenberry a certificate of appealability only

on Subparts A and C, so we do not address the allegations asserted under Subpart B.

The State argues that we should affirm the district court’s conclusion that Fautenberry

procedurally defaulted this claim. A habeas petitioner procedurally defaults a claim where “a state

procedural rule . . . prevents the state courts from reaching the merits of the petitioner’s claim.”

Seymour, 224 F.3d at 549-50. Federal courts must consider four factors when determining whether

a habeas petitioner has procedurally defaulted a claim. Gonzales v. Elo, 233 F.3d 348, 353 (6th Cir.

2000); see also Maupin v. Smith, 785 F.2d 135, 138 (6th Cir. 1986).

First, the court must determine that there is a state procedural rule that is applicable

to the petitioner’s claim and that the petitioner failed to comply with the rule.

Second, the court must decide whether the state courts actually enforced the state

procedural sanction. Third, the court must decide whether the state procedural

forfeiture is an “adequate and independent” state ground on which the state can rely

to foreclose review of a federal constitutional claim.

Jacobs v. Mohr, 265 F.3d 407, 417 (6th Cir. 2001) (quoting Maupin, 785 F.2d at 138) (alterations

omitted). “Once the court determines that a state procedural rule was not complied with and that

the rule was an adequate and independent state ground,” the court must move to the fourth factor.

Maupin, 785 F.2d at 138. The fourth factor allows a petitioner to avoid or excuse procedural default

if he demonstrates “that there was cause for him to not follow the procedural rule and that he was

actually prejudiced by the alleged constitutional error.” Id. (quotation omitted).

Under Subpart A of this claim, Fautenberry contends that his counsels’ performance was

deficient because: (1) they did not interview a sufficient number of the prosecution’s potential

witnesses, (2) they did not object to venue in Hamilton County, and (3) they did not file a motion

to suppress Fautenberry’s confession to Agent Ott. Fautenberry presented this claim to the state

court in his petition for post-conviction relief, but he alleged only that counsel were ineffective

because they failed to object to venue; he did not challenge counsels’ failure to interview a sufficient

number of witnesses or to file a suppression motion. Because Fautenberry undeniably did not

present these allegations to the state courts, we find that the district court correctly held that they

were procedurally defaulted. See Seymour, 224 F.3d at 549-50.

The state appellate court addressed the only allegation presented to it, namely, that counsel

did not object to venue, and held, pursuant to State v. Cole, 443 N.E.2d 169 (Ohio 1982), that “this

is a claim which could and should have been raised by Fautenberry on direct appeal and is, therefore,

barred by the doctrine of res judicata.” Fautenberry, 1998 WL 906395, at *3. In Cole, the Ohio

Supreme Court held that res judicata is a proper basis upon which to dismiss an ineffectiveassistance claim in a petition for post-conviction relief where a defendant who is represented by new

counsel on direct appeal fails to raise that claim and the basis for that claim “could fairly be

determined without examining evidence outside the record.” 443 N.E.2d at 171. We have in the

past recognized that Ohio’s application of res judicata pursuant to Cole is an actually enforced,

adequate and independent state ground upon which the Ohio state courts consistently refuse to

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6

 Fautenberry argues that because most of the evidence supporting the allegations in Subpart A of this

ineffective-assistance claim was the alleged Brady evidence, the prosecution’s failure to provide him with this evidence

constitutes the cause and prejudice to excuse his procedural default. Because, as already noted, Fautenberry’s Brady

claim lacks merit, that claim cannot constitute cause and prejudice to excuse procedural default.

review the merits of a defendant’s claims. See Byrd v. Collins, 209 F.3d 486, 521-22 (6th Cir. 2000)

(“Ohio state courts consistently invoke Cole and apply res judicata when a defendant, who is

represented by new counsel on direct appeal, fails to raise at that stage of the litigation an ineffective

assistance of trial counsel claim appearing on the face of the record.”); see also Mapes v. Coyle, 171

F.3d 408, 421 (6th Cir. 1999) (rejecting the habeas petitioner’s attempt to “demonstrate Ohio’s

wavering commitment to its procedural default rules”). We therefore conclude that Fautenberry has

procedurally defaulted the allegation that counsel failed to object to venue. In short, then,

Fautenberry has procedurally defaulted all the claims of deficiency raised in Subpart A.6

Even if we were to conclude that Fautenberry did not procedurally default Subpart A of this

ineffective-assistance claim, we would find it to be without merit. First, Fautenberry argues that his

counsel did not interview a sufficient number of the prosecution’s potential witnesses. Noting that

his attorneys billed most of their investigation time in one-hour increments, he surmises that they

were not interviewing any of the out-of-state witnesses. This argument is based on sheer

speculation; it does not account for the reasonable inference that counsel interviewed some of the

witnesses (including out-of-state witnesses) via phone. Fautenberry does not indicate how many

witnesses were actually interviewed or how many more should have been interviewed. Fautenberry

has the burden of establishing his counsel’s deficiency, and this speculative argument is insufficient

to support an ineffective-assistance claim. Second, Fautenberry cannot establish that he was

prejudiced by counsel’s failure to raise the venue issue because the evidence overwhelmingly

indicated that the murder occurred in Hamilton County and, to the extent that the evidence was less

than conclusive on this issue, venue was proper in the jurisdiction where Daron’s body was found,

which was Hamilton County. See Ohio Rev. Code § 2901.12(J). Finally, Fautenberry cannot

establish prejudice from counsel’s failure to file a motion to suppress the statements made to Agent

Ott because he cannot prove that conversation was improper, as there is no evidence of an Edwards

violation. See Edwards, 451 U.S. at 484-85.

In Subpart C of this claim, Fautenberry alleges that his trial counsel should not have

stipulated to the prosecution’s evidence at the plea hearing. Fautenberry readily admits that he did

not raise that portion of his claim on direct appeal or during post-conviction proceedings, but

contends that he preserved this issue by raising it in his motion for reconsideration with the Ohio

Supreme Court and his application for reopening with the Ohio Court of Appeals. Both

Fautenberry’s motion for reconsideration with the Ohio Supreme Court and his application for

reopening with the court of appeals alleged ineffective assistance of appellate counsel. This claim,

on the other hand, alleges ineffective assistance of trial counsel. The district court correctly

concluded that the allegations in Fautenberry’s motions for reconsideration and reopening, which

argued only ineffective assistance of appellate counsel, did not fairly present his ineffective

assistance of trial counsel claim to the state court, and that Fautenberry had defaulted Subpart C of

this claim.

E. Waiver of Right to a Jury Trial During the Penalty Phase of the Proceedings

Fautenberry argues here that although he waived his right to a jury trial during the guilt phase

of his proceedings, he did not waive his right to a jury trial during the penalty phase. The substance

of this argument is entirely different from the “waiver of jury trial” argument he presented to the

state trial court in his petition for post-conviction relief, in which he alleged that: (1) his attorneys

failed to gain his trust and thus failed to provide him with the necessary information regarding his

constitutional rights; (2) his attorneys provided him with incorrect information about the waiver; and

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(3) he was psychologically and mentally unable to waive his right to a jury trial. The state trial court

made the following findings of fact: (1) “[Fautenberry] was competent when the jury waiver

occurred”; (2) “[Fautenberry] acknowledged discussing the [waiver] with both attorneys”; and

(3) “[t]he court went over the law regarding the waiver and the proceedings before a three[-]judge

panel with petitioner[,] and petitioner acknowledged that he fully understood what he was doing.”

The state trial court concluded that this claim “could have been raised at trial or on direct appeal”

and therefore was “barred by res judicata.” The state appellate court, however, did not consider

whether this claim was procedurally barred, but addressed the merits of the claim and rejected it

because “the record on review show[ed] that Fautenberry was engaged in a colloquy by the judge[]

and indicated squarely that he understood that he was waiving his right to a jury trial and that no

promises had been made to him.” Fautenberry, 1998 WL 906395, at *7.

In his habeas petition, Fautenberry argues that he did not waive his right to a jury trial on the

penalty phase of his prosecution. This claim that he did not knowingly waive his right to be

sentenced by a jury is materially different from the claim he raised in the state court, which

challenged his competence and knowledge in connection with the waiver of his right to a trial by

jury and did not distinguish between the waiver of his right to a jury at the guilt phase and the waiver

of his right to a jury at the penalty phase. The argument Fautenberry raises in these habeas

proceedings, on the other hand, effectively concedes that he waived his right to a jury trial but

contends that he did not knowingly or voluntarily waive his right to be sentenced by a jury.

Before us, the State argues that Fautenberry’s claim that he did not waive his right to a jury

trial on the penalty phase has been procedurally defaulted because the state court applied res judicata

and refused to address the merits. “In determining whether state courts have relied on a procedural

rule to bar review of a claim, we look to the last reasoned opinion of the state courts . . . .” Mason

v. Mitchell, 320 F.3d 604, 635 (6th Cir. 2003). Because the state appellate court’s decision is the

“last reasoned opinion of the state courts,” we must look to that decision. That decision, however,

did not mention res judicata but addressed the merits of the waiver claim that Fautenberry raised in

his post-conviction proceedings. But that decision did not address at all the claim that Fautenberry

makes in his habeas petition and in this appeal, because Fautenberry never presented that claim to

the state post-conviction courts. We therefore conclude that although the State’s reason for claiming

procedural-default argument is incorrect, this claim is nonetheless defaulted. See Seymour, 224 F.3d

at 549-50.

Even if we were to reach the substance of this claim, we would find it to be without merit.

Fautenberry has not presented, and we have not discovered, any Supreme Court precedent

establishing that a capital defendant has a constitutional right to be sentenced by a jury in state court.

Fautenberry argues, relying on Hicks v. Oklahoma, 447 U.S. 343 (1980), that Ohio statutory law

creates a right to be sentenced by a jury and that the Fourteenth Amendment protects that right.

Fautenberry’s reliance on Hicks is misplaced. In Hicks, it was undisputed that the defendant had a

statutory right to be sentenced by the jury; the issue in that case was whether the state court violated

the defendant’s due process rights by restricting the jury’s discretion through a habitual-offender

statute that was later declared to be unconstitutional. Id. at 345-46. Here, however, Fautenberry did

not have a statutory right to be sentenced by a jury. The applicable Ohio statute states:

[I]f the offender is found guilty of both the [aggravated murder] charge and one or

more of the specifications, the penalty to be imposed on the offender . . . shall be

determined by one of the following:

(a) By the panel of three judges that tried the offender upon the offender’s

waiver of the right to trial by jury;

(b) By the trial jury and the trial judge, if the offender was tried by jury.

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7

 The quoted passage was in effect at the time of Fautenberry’s trial and sentencing in 1992. The current

statute, amended as of 1995, is identical.

Ohio Rev. Code § 2929.03(C)(2) (1981).7 See also Ohio R. Crim. Pro. 11(c)(3).

Fautenberry clearly and expressly waived his right to a jury trial. His waiver stated: I, John

Fautenberry, . . . hereby knowingly, intelligently[,] and voluntarily waive and relinquish my right

to a trial by Jury, and elect to be tried by a Judge of the Court in which the said cause be pending.”

The trial court explained Fautenberry’s rights and asked him if it was his desire to knowingly,

intelligently, and voluntarily relinquish his right to a jury trial; he responded in the affirmative. The

trial court also informed Fautenberry that if his waiver were accepted and if he pleaded guilty to the

charges against him, he would be sentenced by a three-judge panel (rather than a jury). We find,

as did the state court, that Fautenberry knowingly and voluntarily waived his right to a jury trial.

We conclude further that he did not have a statutory right (let alone a constitutionally protected

right) to be sentenced by a jury. This case, therefore, is distinguishable from Hicks, and we find no

basis upon which to grant habeas relief.

F. Knowing and Voluntary Nature of the No-Contest Plea

Fautenberry next argues that he did not knowingly or voluntarily enter his no-contest plea.

The state trial court, in resolving Fautenberry’s petition for post-conviction relief, made the factual

finding that “the plea was properly accepted,” and arrived at the legal conclusion that the plea was

knowingly, intelligently, and voluntarily entered. The state appellate court, in affirming the trial

court’s decision, evaluated Fautenberry’s three evidentiary bases for this claim: (1) the affidavit of

mitigation specialist, Dr. Shorr, which stated that defense counsel failed to “maintain a positive,

working relationship with . . . Fautenberry”; (2) documents concerning Fautenberry’s psychological

condition prior to his plea; and (3) Fautenberry’s own affidavit stating that his attorneys did not

adequately apprise him of the consequences of his plea. Fautenberry, 1998 WL 906395, at *6. The

court concluded that Dr. Schorr’s opinion was insufficient to rebut the abundant evidence in the

record demonstrating that his plea was knowingly and voluntarily entered. Id. at *7. The court

found the documents concerning his psychological condition to be unpersuasive because he “was

twice found competent to stand trial.” Id. And the court refused to give much weight to

Fautenberry’s self-serving affidavit. Id.

A guilty or no-contest plea involves a waiver of many substantial constitutional rights, see

Boykins v. Alabama, 395 U.S. 238, 243 (1969), and a court may accept a guilty or no-contest plea

only where it is a “voluntary[,] . . . knowing, intelligent act[] done with sufficient awareness of the

relevant circumstances and likely consequences,” see Brady v. United States, 397 U.S. 742, 748

(1970). On appeal, Fautenberry asserts that his plea was not knowing and voluntary for four

reasons: (1) his trial counsel incorrectly informed him that if he pleaded no contest, the three-judge

panel would not learn that he committed other murders, the three-judge panel would perceive his

no-contest plea as mitigating, and he would preserve his right to appeal the denial of his pretrial

motions; (2) he was unaware of exculpatory evidence impermissibly withheld by the prosecution

(i.e., the alleged Brady evidence); (3) he suffered from serious mental illnesses at the time of his

plea; and (4) during the plea colloquy, the court “was disorganized[,] . . . failed to [engage] in a

meaningful dialogue,” and failed to correct the misinformation provided by trial counsel.

Each asserted basis for this claim is without merit. First, aside from Fautenberry’s

unsubstantiated, self-serving affidavit, there is no evidence in the record indicating that trial counsel

incorrectly advised him of the implications of entering a no-contest plea. During the plea colloquy,

trial counsel indicated that they “explained to [Fautenberry] in detail what the plea of no contest

means” and that “he underst[ood] . . . that by pleading no contest . . . he [was] in essence giving up

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[a] substantial number of rights, particularly those that may be available to him at the appellate level

if he were to go to trial.” We agree with the state courts that Fautenberry’s own self-serving

affidavit is insufficient to rebut the contrary evidence in the record or to undermine the knowing and

intelligent nature of his plea. Second, we have already concluded, in the context of the Brady claim,

that there is no reasonable likelihood that the disclosure of the undisclosed evidence would have

altered Fautenberry’s decision to enter his plea because that evidence was not material to his

defense. Third, none of the psychological evidence indicates that Fautenberry was mentally

incapable of understanding, appreciating, and waiving his constitutional rights, and he does not

challenge the state court’s finding that he was twice found competent to stand trial. Fourth, and

most importantly, the state court’s plea colloquy was methodical and thorough, not “disorganized”

or “failing to result in a meaningful dialogue” as alleged by Fautenberry. And, at the plea hearing,

Fautenberry indicated that he did not have any questions about his rights. In sum, we reject this

claim as unfounded, and instead agree with the state court that Fautenberry knowingly and

voluntarily waived his rights during the entry of his guilty plea.

G. Admission of Victim Impact Evidence

Fautenberry argues that the state court violated his Eighth Amendment rights by admitting

victim-impact evidence. Fautenberry specifically challenges the admission of statements from

Daron’s friends and family recommending that he receive the maximum available sentence:

(1) Daron’s ex-wife stated that Fautenberry “should receive the maximum possible sentence”;

(2) Daron’s father stated that Fautenberry is “an animal with no conscience” and that “the maximum

possible sentence is the only appropriate punishment”; and (3) Daron’s supervisor at work stated that

Fautenberry committed “an extremely brutal offense” and he “should receive a maximum penalty.”

The Ohio Supreme Court addressed this argument on direct appeal and found “error in the admission

of . . . the victim-impact statements [that] relate to sentencing recommendations.” Fautenberry, 650

N.E.2d at 882. The court nevertheless was “not persuaded that such error warrant[ed] reversal”

because there was no indication that the three judges who sentenced Fautenberry “contemplated or

relied upon the victim-impact evidence which was available to them.” Id.

In Booth v. Maryland, 482 U.S. 496, 509 (1987), the Supreme Court held that the

introduction of victim-impact evidence “at the sentencing phase of a capital murder trial violates the

Eighth Amendment.” Id. Just a few years later, however, the Court retreated from this holding,

declaring that “if the State chooses to permit the admission of victim impact evidence . . . , the

Eighth Amendment erects no per se bar.” Payne v. Tennessee, 501 U.S. 808, 827 (1991). The

Payne Court noted that it overturned only that part of Booth that disallowed “evidence . . . relating

to the victim and the impact of the victim’s death on the victim’s family.” Id. at 830 n.2. The Court

did not disturb that portion of Booth that forbids “a victim’s family members’ characterization and

opinions about the crime, the defendant, and the appropriate sentence.” Id.; see also Welch v.

Sirmons, 451 F.3d 675, 703 (10th Cir. 2006) (recognizing that many circuits have found that this

portion of Booth’s holding “survived the holding in Payne and remains valid”). We agree with the

Ohio Supreme Court that the state trial court erred in admitting this evidence.

The issue, then, is whether the Ohio Supreme Court’s reasoning that this error did not

“warrant reversal” was contrary to or involved an unreasonable application of Supreme Court

precedent. Fautenberry argues that the Ohio Supreme Court’s decision was an unreasonable

application of Booth because it employed a sort of “harmless error” analysis, whereas Booth did not

require the defendant to demonstrate “actual prejudice.”

We find helpful the Tenth Circuit’s decision in Hain v. Gibson, 287 F.3d 1224, 1239-40

(10th Cir. 2002), and our unpublished decision in Brewer v. Anderson, 47 F. App’x 284, 287-88 (6th

Cir. 2002) (unpublished case). In Hain, the Tenth Circuit noted that “[t]he decision in Booth does

not expressly indicate whether the Court believed such errors to be trial errors subject to harmless

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8

 As we noted in Brewer, the Ohio Supreme Court’s finding that there was no indication that the three-judge

panel relied on the victim-impact evidence was a “factual finding that is presumed to be correct under the AEDPA.”

See Brewer, 47 F. App’x at 288. Fautenberry has failed to challenge this factual finding on appeal, much less to establish

that it was clearly erroneous, and our review of the record persuades us that the finding is correct. See Cooey v. Coyle, 289 F.3d 882, 910-11 (6th Cir. 2002) (affirming the district court’s giving deference to the Ohio Supreme Court’s factual

finding that there was “no affirmative indication that the victim impact statements were considered in sentencing [the

petitioner] to death”).

error review, or structural error[s] requiring automatic reversal.” Hain, 287 F.3d at 1239 n.11. The

Hain court thus concluded that the state court in its case did not “unreasonably appl[y] Booth in

concluding that such errors [were] subject to harmless error review.” Id. In Brewer, we reviewed,

as we do here, the admission of victim-impact evidence before a three-judge panel. The Ohio

Supreme Court, both in Brewer and in the present case, relied on State v. Post, 513 N.E.2d 754, 759

(Ohio 1987), which states: “Absent an indication that the panel was influenced by or considered the

victim impact evidence in arriving at its sentencing decision, the admission of the victim impact

statement . . . did not constitute prejudicial error.” Id. And both here and in Brewer, the Ohio

Supreme Court found no indication that the three-judge panel considered or contemplated the

victim-impact evidence available to them.8 We concluded in Brewer, 47 F. App’x at 288, that the

state court’s application of Booth was not unreasonable and we reach the same conclusion here.

“An unreasonable application of federal law is different from an incorrect application of

federal law,” Woodford, 537 U.S. at 25 (quotation marks omitted); in order to grant habeas relief

under the “unreasonable application” clause, we must determine that “the state court’s application

of clearly established federal law [was] objectively unreasonable,” Cone, 535 U.S. at 694. Contrary

to Fautenberry’s argument, Booth does not indicate whether the erroneous admission of victimimpact evidence warrants automatic reversal or whether such errors are subject to harmless-error

review. See Hain, 287 F.3d at 1239 n.11. Therefore, the Ohio Supreme Court’s decision to engage

in a form of harmless-error analysis does not constitute an unreasonable application of Booth

because Booth did not address that issue.

Moreover, we question whether Booth even applies here. Booth involved the improper

admission of victim-impact evidence to a jury, whereas this case involves the improper admission

of victim-impact evidence to a three-judge panel. The Court in Booth was greatly concerned that

the victim-impact evidence might (1) “distract the sentencing jury from its constitutionally required

task [of] determining whether the death penalty is appropriate in light of the background and record

of the accused and the particular circumstances of the crime,” Booth, 482 U.S. at 507, (2) “divert

the jury’s attention away from the defendant’s background and record[] and the circumstances of

the crime,” id. at 505, or (3) “create an impermissible risk that the capital sentencing decision will

be made in an arbitrary manner.” Id. Those considerations are severely diminished — if not entirely

obviated — when the sentencer is a judge or a three-judge panel, rather than a lay jury. We

conclude that Booth has minimal relevance when the victim-impact evidence is presented to a threejudge panel, see Brewer, 47 F. App’x at 287-88 (affirming, as a reasonable application of Supreme

Court precedent, the Ohio Supreme Court’s conclusion that “Booth does not apply to situations

where a defendant is tried by a three-judge panel rather than a jury”), and hold that the Ohio

Supreme Court did not unreasonably apply Supreme Court precedent.

H. Ineffective Assistance of Appellate Counsel

Fautenberry contends that he received ineffective assistance of counsel during his direct

appeal to the state court of appeals. The district court found that this claim had been procedurally

defaulted because Fautenberry did not present it to the state appellate court in a timely application

for reopening, which is the proper procedure in Ohio for raising ineffective assistance of appellate

counsel claims.

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The State urges us to affirm the district court’s conclusion that this claim has been

procedurally defaulted. Under Ohio law, a criminal defendant must raise his ineffective assistance

of appellate counsel claim in an application for reopening (i.e., a motion for delayed reconsideration)

filed “in the court of appeals where the alleged error took place.” State v. Murnahan, 584 N.E.2d

1204, 1209 (Ohio 1992). Ohio App. R. 26(B)(1) states that an application for reopening “shall be

filed in the court of appeals where the appeal was decided within ninety days from journalization

of the appellate judgment unless the applicant shows good cause for filing at a later time.” The state

court of appeals rejected Fautenberry’s direct appeal in February 1994, and the Ohio Supreme Court

denied his appeal in 1995. In January 1996, after the conclusion of Fautenberry’s direct appeal, the

state court appointed new counsel to represent Fautenberry during his post-conviction proceedings.

In March 1996, Fautenberry, through his new counsel, filed a motion for reconsideration with the

Ohio Supreme Court, alleging ineffective assistance of appellate counsel during his direct appeal

to that court; the motion was denied in May 1996. In July 1996, Fautenberry filed an application

for reopening with the state court of appeals, asserting ineffective assistance of appellate counsel

during his direct appeal to the court of appeals. The court of appeals denied that application because

Fautenberry “failed to demonstrate that there [was] good cause for filing []his application more than

two years after th[e] court’s judgment was journalized.” The court further reasoned that Fautenberry

could have raised the issue of ineffective assistance of appellate counsel in his “previous application

for reopening in the Supreme Court” and “provided no explanation as to why the application of res

judicata would be unjust.” The Ohio Supreme Court affirmed this decision in April 1997 “for the

same reasons articulated by the court of appeals.” Fautenberry, 677 N.E.2d at 1195.

We hold that Fautenberry has procedurally defaulted this claim. The state appellate court

denied his direct appeal in February 1994, and Fautenberry waited more than two years to file his

application for reopening with that court. Fautenberry demonstrated good cause for not filing his

application prior to January 1996, because until that point he was represented by the same counsel

on appeal and we conclude that it would be unreasonable to expect counsel to raise an ineffective

assistance claim against himself. But Fautenberry did not show good cause for failing to file his

application until July 1996, six months after the appointment of new counsel. Additionally, he did

not explain why he failed to raise this claim in his motion for reconsideration filed with the Ohio

Supreme Court in March 1996. We conclude that Fautenberry did not comply with the timeliness

requirements in Ohio App. R. 26(B) and that those time constraints are an actually enforced,

adequate and independent state ground upon which the Ohio courts consistently refuse to address

ineffective assistance of appellate counsel claims. See Coleman v. Mitchell, 244 F.3d 533, 539-40

(6th Cir. 2001) (finding that the petitioner procedurally defaulted his claim because he failed to

comply with the requirements in Ohio App. R. 26(B)); Wickline v. Mitchell, 319 F.3d 813, 823 (6th

Cir. 2003) (finding that the petitioner’s ineffective assistance of appellate counsel claims were

procedurally defaulted because he failed to comply with the rule set forth in Murnahan).

Fautenberry argues that the timeliness requirements in Ohio App. R. 26(B) are not “adequate

and independent” state grounds upon which to find that his claims have been procedurally defaulted.

Maupin, 785 F.2d at 138. “To be adequate, a state procedural rule must be firmly established and

regularly followed . . . .” Hutchison v. Bell, 303 F.3d 720, 737 (6th Cir. 2002) (quotation marks

omitted). Fautenberry relies on our decision in Franklin v. Anderson, 434 F.3d 412, 418-21 (6th Cir.

2006), to argue that an untimely application for reopening pursuant to Ohio App. R. 26(B) is not a

“firmly established and regularly followed” procedural rule, id. at 418, particularly emphasizing the

Franklin court’s statement that “[a] review of the relevant case law reveals that the Ohio Supreme

Court has been erratic in its handling of untimely Rule 26(B) applications in capital cases.” Id. at

420. Fautenberry wishes to elevate this statement to an all-encompassing, ever-applicable legal

proposition that will forever (or at least for a very long time) bar the federal courts from finding that

an ineffective assistance of appellate counsel claim has been procedurally defaulted where the state

court refused to address the merits of that claim because of the time constraints in Ohio App. R.

26(B). But the “firmly established and regularly followed” inquiry cannot be made once and for all.

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Instead we must consider whether the “adequate and independent state procedural bar . . . [was]

‘firmly established and regularly followed’ by the time as of which it [was] to be applied.” Ford

v. Georgia, 498 U.S. 411, 424 (1991) (emphasis added). Cf. Rogers v. Howes, 144 F.3d 990, 994

n.5 (6th Cir. 1998) (“[T]he question is not whether the state courts consistently apply the procedural

bar in the present.”). Put differently, we ask “whether, at the time of the petitioner’s actions giving

rise to the default, the petitioner could . . . be deemed to have been apprised of the rule’s existence.”

Hutchison, 303 F.3d at 737 (quotations and alterations omitted).

We find that, as of the time that Fautenberry should have filed his application for reopening

(i.e., when he acquired new counsel in January 1996), the time constraints in Ohio App. R. 26(B)

were firmly established and regularly followed, and he was or should have been apprised of the

rule’s existence. The Franklin decision is not to the contrary. To begin with, the facts in that case

are materially different from those here. In Franklin, the defendant had filed his application for

reopening with the court of appeals one year after the Ohio Supreme Court issued its decision in

Murnahan and just prior to the effective date of Ohio App. R. 26(B). The Ohio procedural rule in

effect at the time Murnahan was decided required that such an application be filed within ten days

from the entry of the opinion for which reconsideration was sought; Murnahan itself did not set any

time frame within which such an application was required to be filed, but opined that courts should

take a more lenient approach with regard to the time for filing. Ohio App. R. 26(B) was then created

to provide the time frame for these applications. As we observed in Franklin, at the time Franklin

filed his application for delayed reconsideration, the law regarding the time period within which

ineffective assistance of appellate counsel claims were required to be filed was unclear. But we

specifically noted in Franklin that “[f]or several years following the enactment of amended Rule

26(B) [in July 1993], the Ohio Supreme Court regularly enforced the rule’s timeliness

requirements.” Franklin, 434 F.3d at 420 (citing a string of Ohio Supreme Court cases).

Fautenberry’s circumstances are significantly different from those in Franklin. Fautenberry

did not obtain new counsel (and thus cannot be held responsible for failing to file an application for

reopening) until January 1996, which is almost four years after Murnahan was decided, and twoand-a-half years after Ohio App. R. 26(B) became effective. By that time, the 90-day time limit in

Ohio App. R. 26(B) was clearly established and Fautenberry was or should have been apprised of

its existence. Nevertheless, after obtaining his new counsel, Fautenberry waited six months —

during which he filed a motion for reconsideration with the Ohio Supreme Court in which he could

have raised this claim but did not— before filing his application for reopening. We conclude that

the holding of Franklin — in which the court stated that “Rule 26(B) is not an adequate and

independent state rule that can preclude consideration of Franklin’s ineffective assistance of

appellate counsel claim,” id. at 421 — is inapplicable here. Fautenberry has procedurally defaulted

his ineffective assistance of appellate counsel claim.

But even if this claim was not procedurally defaulted, it must fail because it is meritless. A

defendant is entitled to effective assistance of counsel during his first appeal of right, Evitts v. Lucey, 469 U.S. 387, 396 (1985), but effective assistance does not require counsel to raise every

nonfrivolous argument on appeal, Jones v. Barnes, 463 U.S. 745, 751-52 (1983). “[O]nly when

ignored issues are clearly stronger than those presented, will the presumption of effective assistance

of [appellate] counsel be overcome.” Monzo v. Edwards, 281 F.3d 568, 579 (6th Cir. 2002).

Fautenberry argues that his appellate counsel rendered ineffective assistance because they

raised only seven issues on direct appeal, and, more specifically, they failed to present four allegedly

meritorious claims on appeal: (1) the trial court’s failure to review evidence as required by Ohio

Crim. R. 11(C)(3); (2) ineffective assistance of trial counsel; (3) Ohio’s discriminatory method for

selecting grand-jury forepersons; and (4) the fact that Fautenberry was forced to wear shackles in

the presence of the trial court. The mere fact that appellate counsel confined their appeal to seven

issues does not establish that counsel were ineffective; it is often best to filter out less meritorious

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issues so that counsel can emphasize those that present the best opportunity for relief on appeal. See

Jones, 463 U.S. at 752 (“There can hardly be any question about the importance of having the

appellate advocate examine the record with a view to selecting the most promising issues for

review.”). And the four “ignored issues” were not “clearly stronger than those presented.” The first

of the four appears to be baseless. Contrary to Fautenberry’s argument, the trial court did in fact

review evidence as required by Ohio Crim. R. 11(C)(3); most notably, the prosecutor introduced and

the trial court reviewed the transcripts of Fautenberry’s confessions to Agent Ott, Officer Nelson,

and Ms. Priest-Herndon. We have already concluded that the second omitted issue — i.e.,

ineffective assistance of trial counsel — is baseless. The third omitted claim, which alleges the

impropriety of Ohio’s selection of grand-jury forepersons, was not apparent from the record on

direct appeal, and thus we do not fault appellate counsel for failing to raise that claim. Moreover,

the case upon which Fautenberry relies to challenge Ohio’s grand-jury foreperson selection process,

Campbell v. Louisiana, 523 U.S. 392, 398 (1998), was not decided until 1998, long after

Fautenberry’s direct appeal had concluded. Finally, the fourth omitted claim — that Fautenberry

was prejudiced by the wearing of shackles before the trial court — would not have had any merit

on direct appeal because under Ohio law the appellate court “presum[es] that in a bench trial in a

criminal case[,] the court consider[s] only the relevant, material, and competent evidence in arriving

at its judgment unless it affirmatively appears to the contrary.” Post, 513 N.E.2d at 759.

III.

After carefully reviewing the record and evaluating Fautenberry’s arguments on appeal, we

conclude that the district court properly denied Fautenberry’s petition for habeas relief.

Accordingly, we AFFIRM the judgment of the district court.

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________________

DISSENT ________________

KAREN NELSON MOORE, Circuit Judge, dissenting. When an attorney calls forward an

expert, especially an expert asked to provide mitigating evidence when a defendant’s life hangs in

the balance, the attorney has an obligation to ensure that the expert knows about that which she

speaks. When the majority declares that “[w]e will not find counsel deficient simply because they

did not succeed in discovering his brain damage or pursue unspecified, alternate avenues (which

may or may not have revealed the brain damage),” Maj. Op. at 6, they find no fault in the actions

of counsel who, in the face of numerous indicators of brain damage, inexcusably failed to ensure that

their expert actually tested for the organic brain disorder that she claimed to be unable to find. I

believe that the majority’s elevation of form over substance wrongly excuses ineffective assistance

of counsel; simply presenting an expert who is a doctor does not absolve counsel from an obligation

to grasp the bare rudiments of the expert’s testimony. Because I conclude that Fautenberry’s

counsel was ineffective in the penalty stage of his trial, I respectfully dissent.

In order to establish ineffective assistance of counsel on post-conviction review, “[f]irst,

petitioner must show that ‘counsel’s representation fell below an objective standard of

reasonableness.’ Second, petitioner must show that ‘there is a reasonable probability that, but for

counsel’s unprofessional errors, the result of the proceeding would have been different.’” Darden

v. Wainwright, 477 U.S. 168, 184 (1986) (citations omitted) (quoting Strickland v. Washington, 466

U.S. 668, 668, 694 (1984)).

Because this case is governed by the Antiterrorism and Effective Death Penalty Act of 1996

(“AEDPA”), codified principally at 28 U.S.C. § 2254(d), we can grant relief only if the state-court

proceedings “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.” 28

U.S.C. § 2254(d)(1). However, where “the state court did not assess the merits of a claim properly

raised in a habeas petition, the deference due under AEDPA does not apply.” Maples v. Stegall, 340

F.3d 433, 436 (6th Cir. 2003). I believe that Fautenberry has established both deficient performance

of counsel and that the deficient performance prejudiced the mitigation phase of his trial.

Furthermore, I conclude that the Ohio courts’ determination that his counsel was not deficient was

contrary to clearly established federal law.

I. Deficient Performance of Counsel

Despite the majority’s attempts to portray Fautenberry’s claim as a simple question of

whether or not his counsel exerted the appropriate level of effort in investigating potential mitigation

defenses, this case actually presents a different question: Does counsel have an obligation to ensure

that their own expert witness has fully investigated whether the defendant suffers from an organic

brain impairment before the expert witness can testify that he does not? While the majority is

content to state that “any inadequacies in Dr. Schmidtgoessling’s expert assistance . . . cannot be the

basis for a meritorious ineffective-assistance claim,” Maj. Op. at 6, I believe that simply hiring any

so-called expert, regardless of the quality of the expert’s work, does not entitle counsel to a free pass

with regards to their own performance at the mitigation phase.

A. Notice of Brain Damage

When defense counsel is on notice of past incidents that would suggest brain damage, “[w]e

can conceive of no rational trial strategy that would justify the failure of [defense] counsel to

investigate and present evidence of his brain impairment . . . .” Frazier v. Huffman, 343 F.3d 780,

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794 (6th Cir. 2003) (discussing how counsel did no investigation into the presence of an organic

brain impairment after learning from medical records that the defendant fell from a ladder), cert.

denied, 541 U.S. 1095 (2004). In this case, however, we are not asked to decide whether counsel

investigated—Fautenberry’s counsel did seek psychiatric evaluations from both Dr. Nancy

Schmidtgoessling (“Dr. Schmidtgoessling”) and Dr. James Tanley (“Dr. Tanley”)—instead we must

peer into the adequacy of counsel’s investigation.

“In assessing counsel’s performance, a court must thus consider whether counsel adequately

followed up on the ‘leads’ that were available to them.” Haliym v. Mitchell, 492 F.3d 680, 712 (6th

Cir. 2007). One such lead for defense attorneys is a history of head injuries; “head injuries were a

‘red flag’ to those in the area of psycho-social investigation, signifying the need for additional

testing . . . .” Id. at 710 (crediting an expert’s view regarding the salience of a defendant’s head

injuries). For instance, in Haliym, “Petitioner’s attorneys were on notice that Petitioner had shot

himself in the left temple, which should have strongly suggested the need to investigate whether

Petitioner had a mental defect.” Id. at 714.

Fautenberry’s counsel, while perhaps lacking the smoking gun of a brain injury present in

Haliym, certainly had ample notice of the stark facts of Fautenberry’s life that strongly suggested

the possibility of brain damage. First, his counsel was aware that physical abuse was a frequent

element in Fautenberry’s childhood. Fautenberry suffered abuse at the hands of several people over

the course of his youth. See, e.g., J.A. at 649 (Mitig. Hr’g of Sept. 14, 1992, Unsworn Stmt. of John

J. Fautenberry at 277:3-18); J.A. at 652 (Fautenberry at 280:7-23). A family friend testified that one

abuser, Donald Langdon, “back-handed [Fautenberry]’s head against the wall several times.

[Fautenberry] would appear disoriented after Donald hit him.” J.A. at 1996 (Aff. of Kenneth

Corcoran at ¶ 4). The abuse was so frequent “[a]ccording to [Fautenberry’s sister], she and

[Fautenberry] grew up thinking that getting hit was normal.” J.A. at 2190 (Aff. of Pamela Swanson

at ¶ 14).

In addition to the abuse, there were two physically traumatic events that are strongly

suggestive of the possibility of brain damage. The first incident was when Fautenberry “was hit in

the back of the head by a wooden swing, and his recollection is that he lost consciousness, although

for an uncertain amount of time.” J.A. at 1916 (Neuropsychological Evaluation by Dr. Jeffery L.

Smalldon at 8). Of the incident, one observer recalled that “when [Fautenberry] was around seven

years old, he got hit on the head with a swing. [Fautenberry] bled profusely. He was taken to a local

hospital in Norwichtown, Connecticut. It was around the time of the injury that [Fautenberry]’s

behavior changed. [Fautenberry] became mean to the people around him.” J.A. at 2185-86 (Aff.

of Louise Corcoran at ¶ 20). Fautenberrry may have been unconscious for up to seven hours and

may have suffered a fractured skull, J.A. at 1917 (Dr. Smalldon at 9), but some records suggest that

the damage may have been less severe, see J.A. at 1974 (Rep. of Med. Hist.) (noting that the swing

injury resulted in neither a concussion nor a fracture). Regardless of the exact details, the incident

still provided notice to Fautenberry’s attorneys of the possibility of an organic brain defect.

“The second major head trauma occurred when [Fautenberry] was in his late-teens and

serving in the U.S. Navy. He reports that he was laying flat atop a pontoon, reaching down over the

side to retrieve a cigarette from a lower level, when his head became wedged in between the side

of the pontoon and an approaching ship. He recalls that he was unable to breath [sic], and that he

fully expected that his head was about to be crushed.” J.A. at 1917 (Dr. Smalldon at 9). After the

incident, military doctors took x-rays of Fautenberry’s skull and found no sign of a fracture. J.A.

at 1977 (Med. Rec.).

The last element that might have served as a red flag for Fautenberry’s counsel is the

presence of mental illness in his family. Fautenberry’s mother took anti-depressants, J.A. at 2188

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1

 The Supreme Court “long ha[s] referred [to these ABA Standards] as guides to determining what is

reasonable.” Rompilla, 545 U.S. at 387 (second alteration in original) (internal quotation marks omitted) (quoting

Wiggins v. Smith, 539 U.S. 510, 523 (2003)). “Considering counsel’s performance in light of the current ABA

Guidelines is proper despite the fact that the ABA Guidelines were issued well after Petitioner’s trial, as the ABA

Guidelines represent ‘a codification of longstanding, common-sense principles of representation understood by diligent,

(Swanson at ¶ 5), and Fautenberry’s grandmother “suffered from mood swings,” J.A. at 2185

(Louise Corcoran at ¶ 18).

None of these elements—the abuse, the traumatic head injuries, or the family history—are

conclusive of anything. When combined with Fautenberry’s “history of intermittent, severe

headaches,” J.A. at 1916 (Dr. Smalldon at 8), however, it should have established for his attorneys

that an investigation into Fautenberry’s mental health was of paramount importance for the

mitigation phase of his trial. Indeed, it appears that Fautenberry’s attorneys were not unaware of

the issue; Fautenberry’s counsel requested neuropsychological testing because “it is suggested that

the Defendant may be suffering from some organic impairment or underlying organic disorder.”

J.A. at 915 (Mot. for Neurological Exam.). In response to his counsel’s request, the trial court

ordered Dr. Schmidtgoessling to conduct a neurological examination, J.A. at 1065 (Entry Ordering

Neurological Exam.), and authorized funds for a psychologist and a mitigation expert, J.A. at 1066

(Granting Mot. to Employ Dr. Tieger); J.A. at 1067 (Granting Mot. to Employ Dr. Shorr). Simply

requesting neuropsychological testing, however, does not in itself guarantee that counsel’s

performance was effective.

B. An Obligation to Investigate

Many of the cases that have found ineffective assistance of counsel at the mitigation phase

are cases where the defendant’s attorneys failed to invest even a minimal amount of time into

discovering a brain defect when they were alerted to the real possibility that one might exist. Such

a “complete failure to investigate mitigating evidence constitutes ineffective assistance of counsel.”

Mason v. Mitchell, 320 F.3d 604, 620, 626 (6th Cir. 2003); see also Morales v. Mitchell, 507 F.3d

916, 931-35 (6th Cir. 2007) (finding ineffective assistance when trial counsel failed to conduct

interviews with various family members and friends, each possessing mitigating evidence). Thus,

this court has found ineffective assistance of counsel when the defendant’s attorneys were told that

there was a potential mental-health issue but never consulted with any mental-health expert, see

Harries v. Bell, 417 F.3d 631, 638 (6th Cir. 2005), and when “Petitioner’s counsel . . . failed to

diagnose Petitioner’s brain injury, despite the fact that they knew or should have known that

Petitioner shot himself in the head,” because the defendant’s attorneys never provided the defendant

with an independent psychiatric analysis, Haliym, 492 F.3d at 715-16.

Just because the starkest examples of counsel’s failures are the ones most likely to find

disapprobation by this court does not mean that counsel is ineffective only when they fail to do the

most minimal investigation. Instead, there is a sliding scale for evaluating counsel’s obligation to

investigate. On the one hand, the duty to investigate does not encompass a duty to overturn every

stone in the pursuit of every remote possibility; “reasonably diligent counsel may draw a line when

they have good reason to think further investigation would be a waste.” Rompilla v. Beard, 545 U.S.

374, 383 (2005). On the other hand, “[c]ounsel’s constitutional duty to investigate a defendant’s

background in preparation for the sentencing phase of a capital trial is ‘well-established.’” Harries, 417 F.3d at 637 (quoting Coleman v. Mitchell, 268 F.3d 417, 449 (6th Cir. 2001)). Furthermore, that

the defendant could be sentenced to death “magnifies counsel’s responsibility to investigate.” Id.;

GUIDELINES FOR THE APPOINTMENT AND PERFORMANCE OF DEFENSE COUNSEL IN DEATH PENALTY

CASES, Guideline 10.7 Commentary (Am. Bar Ass’n, Rev. Ed. 2003) (“2003 GUIDELINES”) (“This

duty [to investigate] is intensified (as are many duties) by the unique nature of the death penalty

. . . .”).1

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competent counsel in death penalty cases.’” Haliym, 492 F.3d at 717 n.28 (quoting Hamblin v. Mitchell, 354 F.3d 482,

487 (6th Cir. 2003)).

In applying this sliding scale for evaluating counsel’s duty, the importance and relevance of

the potential topic for investigation can make counsel’s obligation “particularly pressing,” Rompilla, 545 U.S. at 386, while the difficulty in obtaining or the speculative nature of the potential

information may mean that counsel is less culpable for a failure to investigate. See id. at 386 n.4.

Thus, in Rompilla, the Supreme Court found ineffective assistance of counsel when the Court

concluded that the existence of numerous red flags made the potential existence of an extreme

emotional disturbance more than remote speculation and of great significance for the defendant’s

case. See Rompilla, 545 U.S. at 392-93.

In the instant case, the possibility that Fautenberry suffered from an organic brain defect was

certainly not rampant speculation given all of the red flags that Fautenberry’s counsel should have

noticed. Accordingly, Fautenberry’s counsel were not under some cursory obligation to investigate

the potential for brain damage but were instead under a significant and pressing obligation to do so.

C. Fautenberry’s Counsel’s Investigation

Although Fautenberry’s counsel were under a significant and pressing obligation to pursue

the possibility that their client suffered from an organic brain defect, I conclude that they failed to

live up to their obligation. The mitigation testimony that they presented on Fautenberry’s mental

condition was that of Dr. Schmidtgoessling. In order to evaluate Fautenberry, Dr. Schmidtgoessling

conducted a series of tests: “I did a Raven, which is a kind of a screening test for certain lines of

organic functioning. A Bender, MMPI, Trails A and B, all those things looking at his intellectual

and cognitive functioning. I did an MMPI. That was the bulk of the information that we had in

terms of preparing our evaluation of Mr. Fautenberry.” J.A. at 669 (Mitig. Hr’g of Sept. 14, 1992,

Unsworn Stmt. of Dr. Schmidtgoessling at 297:12-18).

On the basis of her evaluation, Dr. Schmidtgoessling stated her conclusion in no uncertain

terms: “In short, the available psychological testing yielded no signs suggestive of organic

impairment.” J.A. at 1275 (Dr. Schmidtgoessling Rep. at 3). Fautenberry’s counsel, for inexplicable

reasons, did their best to impress this conclusion upon the sentencing panel; twice on direct

examination, Fautenberry’s counsel prompted Schmidtgoessling to reaffirm her conclusion. J.A.

at 669 (Hr’g, Dr. Schmidtgoessling at 297:23-24) (“As far as I could tell there were no signs of

organic impairment . . . “); J.A. at 672-73 (Hr’g, Dr. Schmidtgoessling at 300:24-301:3) (“As an

adult now, you know, in terms of a psychological description, I would say that there is no sign of

any major mental disorder. We are not talking of any schizophrenia or manic depression, nothing

like that.”). The government, in contrast, actually elicited a more favorable analysis from Dr.

Schmidtgoessling, provoking her to admit that Fautenberry did suffer from “a severe personality

disorder but not as I understand it a disease or defect.” J.A. at 684 (Hr’g, Dr. Schmidtgoessling at

312:21-24). On redirect, again Fautenberry’s attorneys provoked Dr. Schmidtgoessling to

emphasize her adverse conclusion:

Q. Mr. Tolbert asked you about the mental disease or defect and your testimony

was that John Fautenberry is not bipolar, correct?

A. Correct.

Q. He is not Schizo?

A. Correct.

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Q. He does not have this mental disease or defect, is that correct?

A. The way I understand that term, that’s right.

Q. Now I’m sure there are other mental diseases and defects than the two I have

mentioned, is that correct?

A. That pretty well covers it, though.

Q. Okay, so to qualify for this section under mental disease or defect I almost have

to be cubbyholed into that, is that accurate, I have to have one of those two?

A. Yeah.

J.A. at 694-95 (Hr’g, Dr. Schmidtgoessling at 322:15-323:8). Fautenberry’s counsel, therefore,

while under an obligation to investigate fully the possibility that Fautenberry may have an organic

mental defect, concluded that there was no defect and presented a witness during the mitigation

phase who impressed that conclusion upon the sentencing panel three separate times.

D. Use of Dr. Schmidtgoessling was Defective Assistance of Counsel

Fautenberry’s counsel’s reliance upon the testimony of Dr. Schmidtgoessling was defective.

My objection to their reliance on her testimony, however, is not that counsel repeatedly emphasized

adverse testimony, nor is it about the accuracy of her analysis; instead, I believe that her testimony

was problematic because Fautenberry’s counsel failed to possess even a rudimentary grasp of Dr.

Schmidtgoessling’s work sufficient to assess whether her conclusion was fairly grounded in her

testing.

On post-conviction review, Fautenberry has presented the opinion of Dr. Jeffrey Smalldon

(“Dr. Smalldon”) to establish that Dr. Schmidtgoessling’s testing was insufficient to support her

conclusion:

In fact, however, no recognized neuropsychological test battery was ever performed,

and thus there was not available a sufficient body of data to justify a

conclusion—one way or the other—about the presence of brain impairment. No

professional with specialized training and experience in neuropsychological

assessment would expect to learn from the limited battery of tests administered by

Dr. Schmidtgoessling whether Mr. Fautenberry is brain impaired. [The tests Dr.

Schmidtgoessling administered] do not at present enjoy widely-accepted status even

as effective means of ‘screening for’ organic brain impairment, and that data derived

from this battery, while perhaps suggestive, is not sufficient to rule out the presence

of such impairment.

J.A. at 1914 (Dr. Smalldon at 6) (emphasis added). Of course, the assertion that Dr.

Schmidtgoessling’s conclusion had no foundation in her testing is not true just because Fautenberry

and his counsel have now found an expert willing to assert as much. We do not need to take Dr.

Smalldon’s word on the matter; Dr. Schmidtgoessling herself has previously admitted in another

case that “neither she nor any other staff member at the court’s psychiatric clinic were qualified to

conduct the type of testing and evaluation that was required to diagnose Petitioner with organic brain

damage for the purpose of showing the effect of that factor at mitigation.” Powell v. Collins, 332

F.3d 376, 395 (6th Cir. 2003); see also id. at 384 (“Dr. Schmidtgoessling admitted that she was

‘definitely not equipped’ to conduct the necessary neuropsychological testing for this phase of

Petitioner’s case.”). Thus, Fautenberry’s counsel repeatedly emphasized to the sentencing panel Dr.

Schmidtgoessling’s conclusion of mental normalcy, which, as it turns out, she most likely had not

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2

 Even where there are red flags and counsel failed to investigate, we have declined to find ineffective

assistance of counsel if the petitioner is unable, even during post-conviction proceedings, to produce any evidence of

an organic brain defect. See Morales, 507 F.3d at 939; Carter v. Mitchell, 443 F.3d 517, 529 (6th Cir. 2006), cert.

denied, 127 S. Ct. 955 (2007). The case at hand, however, is not such a situation where the petitioner has failed to

provide medical evidence.

conclusively established. Had Fautenberry’s counsel been aware of the shaky foundations

underlying Schmidtgoessling’s conclusion, his counsel might have chosen not to provoke repeatedly

her erroneous assertion and they might have continued to pursue a more conclusive determination.

See id. at 400 (“Dr. Schmidtgoessling’s inability to provide conclusive evidence regarding organic

brain damage made other avenues of investigation all the more crucial.”).

Counsel presenting mitigating evidence do not need doctorates in psychology to ply their

craft; but just as counsel are required to have a basic understanding of forensic science when

presenting forensic evidence, Fautenberry’s counsel cannot call a psychologist to testify while

counsel are ignorant of the foundations of her testimony and then hide behind technical

psychological terms such as “MMPI” or “Trails A and B.” Recently, in the context of an arson

prosecution, we have held that a lawyer must possess a basic understanding of the science that

underlies his witness’s testimony:

Even more importantly, it is inconceivable that a reasonably competent attorney

would have failed to know what his expert was doing to test the State’s arson

conclusion, would have failed to work with the expert to understand the basics of the

science involved, at least for purposes of cross-examining the State’s experts, and

would have failed to inquire about why his expert agreed with the State. A lawyer

cannot be deemed effective where he hires an expert consultant and then either

willfully or negligently keeps himself in the dark about what that expert is doing, and

what the basis for the expert’s opinion is.

Richey v. Bradshaw, 498 F.3d 344, 362-63 (6th Cir. 2007) (emphasis added) (citation omitted).

Fautenberry’s attorneys were thus under an obligation to understand the basic foundations of Dr.

Schmidtgoessling’s testimony, but they failed to fulfill this obligation.

While “‘[a]n attorney is not required to be so expert in psychiatry’” so that he could diagnose

a medical condition in the absence of any indicators, Clark v. Mitchell, 425 F.3d 270, 286 (6th Cir.

2005) (alteration in original), that does not excuse deficient attorney performance when red flags

alert him to the possibility of a mental deficiency. We have repeatedly denied petitions for habeas

where the petitioner attempted to blame his attorneys for failing to diagnose brain damage despite

a total absence of red flags indicating the potential for any brain damage. See, e.g., Clark, 425 F.3d

at 285 (concluding that “[i]t was not unreasonable for Clark’s counsel, untrained in the field of

mental health, to rely on the opinions of these professionals” who concluded that there was no brain

damage); Campbell v. Coyle, 260 F.3d 531, 555 (6th Cir. 2001) (“Even though Dr. Chiappone as

a trained psychologist failed to detect any evidence of PTSD, Campbell asks us to declare that his

counsel’s independent failure to make the same diagnosis is an objectively unreasonable mistake,

depriving him of his Sixth Amendment right to the effective assistance of counsel. There is no

evidence that Dr. Chiappone was incompetent, or that Campbell’s lawyers had any reason to

question Chiappone’s professional qualifications.”).2

 An attorney, therefore, does not need to

possess the skill to diagnose his client’s hidden ailments and can generally rely on the expertise of

a licensed practitioner. See Lundgren v. Mitchell, 440 F.3d 754, 772 (6th Cir. 2006).

For an attorney to fulfill his duty in the mitigation phase, one trained in law and advocacy

need not also be expert in medicine, but a lack of training in medicine cannot excuse a failure of

expertise in the law. Normally, “[c]ounsel’s diligence in obtaining not just the constitutionally

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mandated single mental health expert, but two mental health experts, shows that counsel engaged

in a reasonable investigation . . . .” Lundgren, 440 F.3d at 772. “But the mere hiring of an expert

is meaningless” when counsel fails to use the expert’s knowledge to understand the nature and limits

of the expert’s testimony. Richey, 498 F.3d at 362. Fautenberry’s counsel could not be faulted for

not diagnosing Fautenberry’s mental impairments on their own, but once they decided to present a

psychologist to the sentencing panel, they were under an obligation to understand the basics of their

witness’s testimony. See Richey, 498 F.3d at 362-63; Skaggs v. Parker, 235 F.3d 261, 269 (6th Cir.

2000) (stating that counsel had “a responsibility to present meaningful mitigating evidence” when

the court concluded that it was ineffective assistance of counsel when defense attorneys called a

neuropscyhologist who had falsified his credentials and whom counsel knew had previously done

a laughable job at the first trial); Driscoll v. Delo, 71 F.3d 701, 709 (8th Cir. 1995) (holding that

defense counsel was defective for failing “to understand the laboratory tests performed and the

inferences that one could logically draw from the results” when challenging the state’s expert).

Because they failed to grasp the basics of Dr. Schmidtgoessling’s testimony, I conclude that

Fautenberry’s counsel were defective.

This is not, in contrast to the majority’s suggestion, a question of whether or not Dr.

Schmidtgoessling was correct in her analysis. Instead, the question should be whether Fautenberry’s

attorneys were sufficiently able to evaluate the correctness of Dr. Schmidtgoessling’s analysis. Had

Fautenberry’s counsel been better equipped to scrutinize Dr. Schmidtgoessling’s testimony and

recognized the need for further investigation, they might have discovered evidence of an organic

brain impairment. Fautenberry has now presented the statement of one medical professional who

has reached quite a different conclusion than Dr. Schmidtgoessling: “It is my opinion, offered with

reasonable psychological certainty, that Mr. Fautenberry is brain impaired.” J.A. at 1922 (Dr.

Smalldon at 14). Dr. Smalldon concluded that the impairment was only “mild,” but added that it

was “by no means insignificant. ‘Mild’ when used as a descriptive adjective in this context only

serves to differentiate one classification of brain injury from other classifications where the

associated deficits might be even more dramatically apparent.” J.A. at 1922-23 (Dr. Smalldon at

14-15). According to Dr. Smalldon, “[b]rain impairment of the sort that is clearly apparent in Mr.

Fautenberry’s case can also cause serious problems in such areas of day-to-day functioning as

impulse control; modulation of affect; planning; problem-solving; and the capacity to tolerate

frustration.” J.A. at 1923 (Dr. Smalldon at 15). Thus, there was readily available to Fautenberry’s

attorneys significant mitigating evidence, and the failure to collect and present readily obtainable

evidence of this sort is classified as nothing short of an “abdication of advocacy.” Powell, 332 F.3d

at 399-400.

E. Fautenberry’s Uncooperative Behavior

The majority would excuse any failure on the part Fautenberry’s counsel on the basis that

Fautenberry refused to cooperate with Dr. Tanley. As the majority declares: “Had Fautenberry not

impeded Dr. Tanley’s examination, the doctor presumably would have discovered, verified, and

revealed any such brain damage.” Maj. Op. at 6. The fault, however, for any failure to discover

Fautenberry’s brain damage, given all of the red flags in his medical history, cannot be placed at the

feet of a man who is supposedly mentally impaired. Instead, aware of the various indicators of an

organic brain impairment, it was solely the responsibility of Fautenberry’s attorneys to pursue

zealously evidence of an impairment.

The American Bar Association’s (“ABA”) Guidelines that establish the appropriate conduct

for defense counsel in death-penalty cases specifically state that mitigating evidence must be

pursued “regardless of any statement by the client that evidence bearing upon penalty is not to be

collected or presented.” 2003GUIDELINES, Guideline 10.7(A)(2); id. at Guideline 10.7 commentary

(“The duty to investigate exists regardless of the expressed desires of a client.”); GUIDELINES FOR

THE APPOINTMENT AND PERFORMANCE OF DEFENSE COUNSEL IN DEATH PENALTY CASES, Guideline

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11.4.1(C) (Am. Bar Ass’n, 1983) (“1983GUIDELINES”). While the majority would excuse otherwise

deficient performance when counsel claims that their client made it difficult for them to find

mitigating evidence, the ABA demands that defense counsel go beyond the barriers that their client

may erect. The ABA even recognizes that when pursuing mitigating evidence, “[o]btaining such

information typically requires overcoming considerable barriers, such as shame, denial, and

repression, as well as other mental or emotional impairments from which the client may suffer.”

2003GUIDELINES, 10.7 commentary. While the ABA recognizes the challenges that defense counsel

may face and exhorts counsel to continue pursuing mitigating evidence in the face of those

challenges, the majority condones a half-hearted effort.

Our precedent, like the ABA guidelines, also directs counsel to persevere in the search for

mitigating evidence despite difficulties that the defendant may himself create. For instance, the

Supreme Court found ineffective assistance of counsel when the defendant was “even actively

obstructive by sending counsel off on false leads.” Rompilla, 545 U.S. at 381. Similarly, we have

noted that “‘defendant resistance to disclosure of information does not excuse counsel’s duty to

independently investigate.’” Harries, 417 F.3d at 638 (quoting Coleman, 268 F.3d at 449-50). In

a case where we noted that “[t]rial counsel cannot be faulted for their client’s lack of cooperation,”

Lorraine v. Coyle, 291 F.3d 416, 435 (6th Cir. 2002), cert. denied, 538 U.S. 947 (2003), neither

could we fault trial counsel for a lack of effort; in that case, counsel arranged for an EEG, a CAT

Scan, and an MRI, and counsel persisted in eventually obtaining the test results even when the

defendant initially refused. Similarly, in Byrd v. Collins, 209 F.3d 486 (6th Cir. 2000), cert. denied, 531 U.S. 1082 (2001), counsel was not held responsible when the defendant refused to allow a

psychologist or psychiatrist to interview him, id. at 526-27, because there were no red flags

indicating the potential for brain damage and increasing counsel’s obligations. As I have already

stated, counsel does not have an obligation to pursue outlandish leads; however, when there are

indicators of a significant, potential mitigating defense, counsel has an obligation to pursue it.

Regardless of whether or not there was a breakdown in communication between Fautenberry

and his attorneys, his attorneys remained obligated to investigate fully the potential presence of an

organic brain impairment. It is my conclusion, therefore, that Fautenberry has established that his

counsel were defective: his counsel was on notice that there was a significant possibility of brain

damage, they were under an obligation to investigate fully that possibility, they failed to comprehend

the basic scientific limits of Dr. Schmidtgoessling’s testimony, and their failure is not excused by

Fautenberry’s uncooperative actions.

The last court in Ohio to address Fautenberry’s ineffective-assistance claims was the Court

of Appeals for Ohio’s First District considering Fautenberry’s petition for state-postconviction relief.

The state court addressed only whether Fautenberry’s counsel was defective and concluded that

Fautenberry’s resistance to meeting with Dr. Tanley precluded any finding of defective performance.

See J.A. at 2325-29 (Op. of Dec. 31, 1998 at 3-7). The court stated that counsel’s failure to do more,

“even if true, does not make the consequences of Fautenberry’s own recalcitrance imputable to his

attorneys, nor does it cast their performance outside the ‘wide range of reasonable professional

assistance.’” J.A. at 2328 (Op. at 6). While the Ohio Court of Appeals’s holding is clearly contrary

to Rompilla, Rompilla was not decided until 2005, well after the Ohio Court of Appeals’s 1998

decision. Rompilla, however, was only the most recent case that the Supreme Court has decided on

this matter; Strickland and Burger v. Kemp, 483 U.S. 776 (1987), both held that counsel is not

deficient when they fail to investigate mitigating evidence only when they reasonably believe that

such efforts would be wasted. See Burger, 483 U.S. at 794-95; Strickland, 466 U.S. at 699.

Although these cases do not specifically address dealing with an obstinate client, such specificity

is not necessary. “[C]learly established law under [AEDPA] encompasses more than just bright-line

rules laid down by the [Supreme] Court. It also clearly includes legal principles and standards

enunciated in the Court’s decisions.” Taylor v. Withrow, 288 F.3d 846, 850-51 (6th Cir.), cert.

denied, 537 U.S. 1007 (2002). “The lack of an explicit statement” of a rule “is not determinative”

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because “[t]he Court has made clear that its relevant precedents include not only bright-line rules

but also the legal principles and standards flowing from precedent.” Id. at 852. Because

Fautenberry’s counsel could not have reasonably believed that a medical examination would have

been fruitless, their obligation to pursue that evidence did not wane simply because their client was

being difficult; holding otherwise is contrary to clearly established federal law.

II. The Prejudice Resulting From Counsel’s Deficient Performance

If Fautenberry is to prevail on his ineffective assistance of counsel claim, not only must he

prove that his counsel were defective, but also he must show that counsel’s defectiveness was

prejudicial. Because the Ohio Court of Appeals did not reach this issue, we apply no deference

under AEDPA. Maples, 340 F.3d at 436. The majority states that even if Fautenberry had presented

evidence of an organic brain impairment, “[i]t is highly unlikely that this sort of evidence would

have altered the three-judge panel’s decision to impose the death sentence for Fautenberry’s murder

of Daron, which they found was ‘contemplated and calculating’—a conclusion that is not at all

mitigated or reduced by the traits associated with or the side effects of organic brain disorder.” Maj.

Op. at 7. I must disagree; we have repeatedly held that evidence of a brain impairment is very

significant during mitigation. Furthermore, the sentencing panel’s conclusion that the murder was

“contemplated and calculating” cannot be divorced from the fact that the panel was repeatedly told

that Fautenberry was mentally healthy; evidence of a brain impairment would almost certainly cast

doubt on Fautenberry’s abilities to contemplate and calculate and would certainly raise questions

of culpability.

The hurdle for establishing prejudice is not high: “Petitioner ‘need not show that counsel’s

deficient conduct more likely than not altered the outcome in the case,’ rather, only that ‘there is a

reasonable probability that, but for counsel’s unprofessional errors, the result of the proceeding

would have been different.’” Lundgren, 440 F.3d at 770 (quoting Strickland, 466 U.S. at 694).

“Ohio is a ‘weighing’ state, which means that the aggravating circumstances must outweigh the

mitigating factors in order to impose the death penalty. Under federal law, one juror may prevent

the death penalty by finding that mitigating factors outweigh aggravating factors. As the Supreme

Court recently said in Wiggins, the ‘prejudice’ prong is satisfied if ‘there is a reasonable probability

that at least one juror would have struck a different balance.’” Id. (quoting Wiggins v. Smith, 539

U.S. 510, 523-28 (2003)). Although Fautenberry was sentenced by a panel of three judges and not

a jury, Ohio similarly requires a panel of judges to be unanimous in a death sentence. OHIO REV. CODE ANN. § 2929.03(D)(3).

Our precedent has repeatedly emphasized the significance of evidence of an organic brain

impairment during the penalty phase. In Harries, we held that it was reasonably probable that

evidence of frontal lobe damage would have changed the sentencing outcome. See Harries, 417

F.3d at 641. In Frazier, we noted that there was a significant “probability that the jury would find

that a murderer who suffers from a functional brain impairment is less morally culpable than one

who does not, even if the brain impairment did not ‘cause’ Frazier to murder Skiba.” Frazier, 343

F.3d at 798. And in Glenn v. Tate, 71 F.3d 1204 (6th Cir. 1995), we suggested that a jury’s sentence

would change when presented with evidence of an organic brain defect. See id. at 1211 (“John

Glenn’s sentencing proceeding can hardly be relied upon as having produced a just result when the

jurors were given to understand, in the unchallenged report of Dr. Siddall, that the crime was not the

product of mental retardation or organic brain disease.” (footnote omitted)). Given the importance

of evidence of an organic brain impairment during sentencing, I believe the only conclusion is that

Fautenberry could establish prejudice in his counsel’s defective performance.

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III. CONCLUSION

Given Fautenberry’s history of physical abuse, headaches, and significant head injuries, his

counsel had an obligation to investigate fully a potential mitigation defense of an organic brain

defect. This obligation did not diminish just because Fautenberry erected obstacles to his attorneys’

efforts. Had Fautenberry’s attorneys scrutinized the basis of their purported expert witness’s

conclusion, they would have realized that they had not fully investigated the presence of brain

damage as they were obligated to do. Instead, counsel were unaware of the limits of their witness’s

testimony and repeatedly emphasized to the sentencing panel that their client had no mental

deficiencies. This was both defective and prejudicial. Accordingly, I conclude that Fautenberry has

established ineffective assistance of counsel at the mitigation phase of his trial and that the Ohio

Court of Appeals’s holding was contrary to clearly established federal law. Therefore, I respectfully

dissent.

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