Court Opinion

ID: 1044645
Source: CourtListenerOpinion
Date Created: 2013-10-08 02:15:30.004979+00
Date Added: 2024-06-11T12:28:12.882449
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IN THE COURT OF CRIMINAL APPEALS OF TENNESSEE
                         AT NASHVILLE
                           Assigned on Briefs April 17, 2013

               RICHARD C. TAYLOR v. STATE OF TENNESSEE

                 Appeal from the Circuit Court for Williamson County
                       No. CR115330      Robbie T. Beal, Judge

                  No. M2012-02365-CCA-R3-PC             Filed - 06/07/2013

The Petitioner, Richard C. Taylor, pled guilty to first degree premeditated murder and agreed
to a life sentence. The Petitioner filed a pro se petition for post-conviction relief making
several contentions regarding his competency. The Petitioner then filed a motion requesting
a mental evaluation. The trial court held a hearing wherein it determined that the Petitioner
had filed his petition beyond the statute of limitations. The trial court further determined,
however, that the statute of limitations should be tolled if the Petitioner was, in fact,
incompetent. It ordered the Petitioner to provide an affidavit from a treating physician saying
he was incompetent at the time he entered his plea. The Petitioner failed to so do, and the
trial court summarily dismissed the Petitioner’s petition. On appeal, the Petitioner contends
that the trial court erred when it dismissed his petition because he was mentally incompetent
to enter his guilty plea. After a thorough review of the record and applicable authorities, we
conclude there exists no error in the judgment of the post-conviction court. Accordingly, the
judgment of the trial court is affirmed.

  Tenn. R. App. P. 3 Appeal as of Right; Judgment of the Circuit Court Affirmed

R OBERT W. W EDEMEYER, J., delivered the opinion of the Court, in which T HOMAS T.
W OODALL and J AMES C URWOOD W ITT, J R., JJ., joined.

Richard C. Taylor, Henning, Tennessee, pro se.

Robert E. Cooper, Jr., Attorney General and Reporter; Michelle Consiglio-Young, Assistant
Attorney General; Kim Helper, District Attorney General; and Derek Smith, Assistant
District Attorney General, for the appellee, State of Tennessee.

                                         OPINION
                              I. Facts and Procedural History

       This case arises from the Petitioner’s killing of a correctional officer in August 1981.

                                         A. First Trial

       At the Petitioner’s first trial, it was undisputed that the killer was the Petitioner. State
v. Taylor, 771 S.W.2d 387, 389 (Tenn. 1989). The issue raised in defense of the murder
charge was that the Petitioner was insane at the time of the homicide. Id. The Tennessee
Supreme Court summarized the facts presented at the Petitioner’s first trial as follows:

                The record shows that [the Petitioner] believed that he had been treated
       unfairly by Officer Moore on several occasions. [The Petitioner] blamed
       Moore for preventing [the Petitioner] from receiving a stereo and television set
       left to him by an inmate who had been transferred from the Turney Center. On
       the day of the killing, Moore reprimanded the [Petitioner] for failing to
       properly clean the hall. The incident that “set off” [the Petitioner], however,
       occurred an hour or two before the killing when Moore removed a towel that
       another inmate, Tony Bedwell, had hung over the window in a cell door to dry
       and pushed the towel under the door. When Bedwell asked Moore what was
       going on, Moore explained the regulations against covering the window in the
       cell door. To Bedwell, the incident was “nothing big,” but [the Petitioner],
       who had seen what happened, advised Bedwell to “kick [Moore] up the side
       of his head.” Bedwell next saw the [Petitioner] when he and Wayne Patterson
       came to Bedwell’s cell to ask if Bedwell had a knife.

              Around 9:00-9:30 p.m., the [Petitioner] approached Moore as he stood
       talking to some inmates, cursed and asked Moore, “Now what are you going
       to do, S.O.B.?” [The Petitioner] then grabbed Moore and began to stab him
       repeatedly with a prison-made knife. Pleading with [the Petitioner] to stop,
       Moore retreated down the hall. [The Petitioner] continued to hold on to Moore
       and continued to stab him. Other inmates protested and tried to come to the
       aid of Moore, but were warned off by [the Petitioner] brandishing his knife.

              After the stabbing, [the Petitioner] returned to his cell block, where he
       concealed the knife in a closet and changed his clothing. Officer Moore died
       about forty minutes later in the prison infirmary from internal bleeding caused
       by a wound that had penetrated his inferior vena cava. He also had suffered

                                                -2-
potentially fatal stab wounds to the pancreas and the spleen.

        Several inmates described [the Petitioner’s] appearance and actions.
According to inmate Patterson, the [Petitioner] was “hyper” and nervous.
After the killing the [Petitioner] walked around the hallway “in shock,”
disoriented, bumping into people and the wall. Patterson said [the Petitioner]
was shaking and trembling, with an “expression on his face like a wild horse.”
The officers who apprehended [the Petitioner] after the killing, however, while
remarking that he was shaking and stuttering and appeared nervous, said that
[the Petitioner] was not confused, was responsive, coherent and understood
their questions. [The Petitioner] indicated he understood his rights and signed
a waiver but refused to sign a confession or allow his confession to be written
down.

       The [Petitioner] offered to cooperate if the officers would get his blue
jeans and television. When asked why he had stabbed Moore, [the Petitioner]
said that he “thought it was his daddy.” When asked another time why he had
attacked Moore, [The Petitioner] said he had become angry when he had seen
Moore pull the towel from Bedwell's door and made up his mind “that that
would be the last time he [Moore] would mess with anybody.”

        The State introduced in evidence several letters the [Petitioner] had
written shortly after the killing to friends who were inmates. In them, [the
Petitioner] shows an awareness of his actions and explains his motives for the
killing. ( E.g.: “It’s hard to say why I took Moore’s life. Let’s just say that I’m
not a gopher. There’s something I just don’t go for.”; “I just want you to know
that the main thing behind killing that guard was just that, the killing.” “Hey,
I went in there to see that TBI man and put a crazy act on him. And, hey, my
past mental record will put a lot of shit into this game, Rap.”; “Hell, I must
have stood there with the shank in my hands for about five minutes before
Moore looked away. And then I said, ‘Wham, now, mother fucker, what are
you going to do.’ That Moore just looked at me and started running up, up that
hall and I . . . was right behind him, then grabbed him by his collar and let out
a roar like a lion and was shanking the hell out of him until you run up and got
me to stop.”; “I told those boys . . . that I did it and I told a couple of guards
that I did it, but they ain’t got no taped or written statements and that’s what
counts.”)

      [The Petitioner], who was twenty-one, had a history of juvenile
problems and mental and emotional difficulties that had led to several mental

                                        -3-
evaluations before the killing of Officer Moore. He had been in the drug and
alcohol abuse program at the DeBerry Correctional Institute, a state facility for
prisoners with psychiatric problems, before coming to the Turney Center. As
a result of his having swallowed broken glass, [the Petitioner] was incarcerated
in West-100, the section of the main penitentiary in Nashville for prisoners
with mental problems, from late May 1981, until July 2, 1981, when he was
returned to the Turney Center. [The Petitioner] had been on several
anti-psychotic drugs over this period but there was no record of his receiving
any medication on the date of the killing.

       [The Petitioner’s] fellow inmates described him as a loner, moody, and
strange. He was characterized as “hyper all the time.” One inmate stated,
“Richard is a nice guy when he’s . . . got his medicine. When he ain’t got his
medicine, you don’t want to mess with him.” He had been involved in several
incidents of violence toward fellow inmates and the prison staff.

       Two attorneys described the [Petitioner’s] excited and disoriented
manner when they had met him three or more months after the killing. He told
them a “breathing voice” (he described as his father’s) had told him to stab
Moore. He claimed to have a difficult time remembering what occurred on
August 19. Chip Burson, coordinator of psychological services at the
maximum security ward at the main prison while [the Petitioenr] was there in
June 1981, testified that [the Petitioner] had been reclusive, agitated,
disoriented, and shaky. He was seen talking to himself in his cell, and Burson
had felt he should have been transferred to DeBerry.

        After reviewing the [Petitioner’s] history and institutional record,
defense expert Dr. Michael Stein, a psychologist who had conducted a six-hour
clinical interview of and administered two tests to the [Petitioner] on March
30, 1984, diagnosed [the Petitioner] as suffering from borderline personality
disorder, paranoid personality disorder and brief reactive psychosis. He opined
that at the time of the killing [the Petitioner] was suffering from a psychotic
episode as the result of a mental disease or defect and could not therefore
appreciate the wrongfulness of his acts or conform his conduct to legal norms.
Dr. Stein explained that the letters were the [Petitioner’s] attempt to establish
an identity as a “macho convict criminal type” to compensate for the weak
sense of identity common to borderline personalities. On cross examination,
however, Dr. Stein admitted that [the Petitioner] also met most of the
diagnostic criteria for an antisocial personality.

                                       -4-
              A second defense expert, Jonathan Lipman, a doctor of pharmacology
       with a specialty in neuropharmacology (the study of the effect of drugs on the
       brain), testified about the effect of anti-psychotic or neuroleptic drugs like
       those taken by the [Petitioner] on the brain and about these drugs’ side effects,
       such as shaking and grimacing, indicative of tardive dyskinesia. Dr. Lipman
       also testified about supersensitivity psychosis, a psychosis caused by the
       withdrawal of anti-psychotic drugs from someone who had been taking them
       for some time, and noted that [the Petitioner’s] history indicated he could have
       been suffering from such a psychosis at the time of the killing.

              The State presented the testimony of two experts, Dr. John Filley, a
       psychiatrist at the Middle Tennessee Mental Health Institute, [MTMHI] who
       had examined [the Petitioner] on two occasions, and Dr. Mohammad Rahib,
       a psychiatrist who had examined [the Petitioner] in late 1979 and early 1980.
       Both men diagnosed [the Petitioner] as having an antisocial personality
       disorder, and Dr. Rahib stated there was little substantiation for the theory of
       supersensitivity psychosis. Neither believed [the Petitioner] was suffering
       from a mental disease or defect that met the standards of Graham v. State, 547
S.W.2d 531 (Tenn. 1977).

               In surrebuttal, [the Petitioner] presented Dr. Jan Mayer, a psychiatrist,
       who testified that the concept of supersensitivity psychosis was accepted by
       some members of the medical-scientific community and not by others. Dr.
       Patricia Corey, a psychiatrist who had examined [the Petitioner] at MTMHI in
       late 1979, recounted [the Petitioner’s] bizarre behavior at that time and her
       initial diagnosis of psychosis associated with drug (amphetamines)
       intoxication.

State v. Taylor, 771 at 389-391. The Tennessee Supreme Court affirmed the Petitioner’s
conviction and sentence. Id. at 389.

                      B. First Petition for Post-Conviction Relief

       The Petitioner filed a petition for post-conviction relief. Richard C. Taylor v. State,
No. 01C01-9709-CC-00384, 1999 WL 512149, at *1 (Tenn. Crim. App., at Nashville, July
21, 1999), no Tenn. R. App. P. 11 application filed. After conducting several evidentiary
hearings in 1994 and 1995, the post-conviction court concluded that the Petitioner’s attorney
(“Counsel”) was ineffective during both the guilt and penalty phases of the trial and granted
post-conviction relief. Id. The post-conviction court directed that the Petitioner be evaluated
for competency before the new trial began. The State appealed. On appeal, this Court

                                              -5-
affirmed the lower court’s grant of a new trial after review of the Petitioner’s petition for
post-conviction relief. Id.

                                      C. Second Trial

       Before the Petitioner’s second trial, but after he received post-conviction relief, the
Petitioner filed several pro se motions in the trial court, including a motion requesting that
he represent himself. State v. Richard C. Taylor, No. M2005-01941-CCA0R3-DD, 2008 WL
624913, at *1 (Tenn. Crim. App., at Nashville, Mar. 7, 2008), no. Tenn. R. App. P. 11
application filed. After the Petitioner’s competency was determined, a second trial was held.
Id. This Court summarized the competency evidence as follows:

       The trial court determined it could not rule on the [Petitioner’s] pro se motions
       until after a competency hearing, and it appointed Attorneys Thomas Overton
       and John Appman to represent the Petitioner. The parties agreed to select an
       independent psychiatrist to evaluate the [Petitioner]. However, when they
       failed to do so, and when the trial court learned the Administrative Office of
       the Courts lacked funds available to pay a court witness, on May 10, 2000, the
       trial court directed the Forensic Services Division of the Middle Tennessee
       Mental Health Institute (“MTMHI”) to evaluate the [Petitioner’s] competency
       to stand trial. The court’s order provided that the [Petitioner] could move the
       court within fifteen days for funding of an independent evaluation. On August
       21, 2000, MTMHI wrote a letter informing the trial court the [Petitioner] was
       incompetent to stand trial, and they outlined a treatment and assessment plan.
       In response to this letter, the trial court scheduled a competency hearing. On
       November 1, 2000, MTMHI wrote a follow-up letter to the trial court stating
       that the [Petitioner] met the standard for commitment as a result of a mental
       illness. On December 13, 2000, the trial court appointed Attorney Virginia
       Lee Story as guardian ad litem over the [Petitioner’s] affairs.

               On January 26, 2001, the trial court held a competency hearing. After
       hearing testimony from employees of MTMHI, the trial court found the
       [Petitioner] incompetent to stand trial because of a mental illness as outlined
       in Tennessee Code Annotated section 33-7-301(b)(1)(A). The court ordered
       the [Petitioner] committed to the custody of MTMHI for treatment and
       directed a competency re-evaluation at least every six months. On August 7,
       2001, [the Petitioner]’s guardian ad litem filed a motion for judicial review on
       [the Petitioner]’s behalf protesting the involuntary administration of
       medication. On September 18, 2001, following a hearing, the trial court
       ordered the continued administration of medicine to the [Petitioner].

                                              -6-
        On January 10, 2002, MTMHI informed the trial court that the
[Petitioner] remained incompetent to stand trial. On May 6, 2002, MTMHI
wrote the court a letter stating that the [Petitioner]’s condition had improved
sufficiently so that he was competent to stand trial and assist in his defense.
MTMHI also informed the court that the [Petitioner] no longer met the
standard for commitment. On May 23, 2002, MTMHI informed the trial court
that “[t]hings have changed rather suddenly over the past four days” and that
it would be a mistake to transfer the [Petitioner] to the custody of the TDOC
because his “psychiatric condition had rapidly and significantly deteriorated.”
On July 1, 2002, MTMHI informed the court that the [Petitioner] showed
improvement since the events described in the May 23rd letter and stated that
the [Petitioner] was competent to stand trial and no longer met the standards
for commitment at MTMHI. On July 3, 2002, the trial court granted
[Petitioner]’s ex parte motion for funds for an independent psychiatric
evaluation. On August 14, 2002, the trial court replaced Attorney Overton
with Attorney Hershell Koger as lead counsel for the [Petitioner].

        Dr. Keith A. Caruso, the expert retained by defense counsel, evaluated
the [Petitioner] and concluded that he remained incompetent to stand trial due
to Continuous Undifferentiated Schizophrenia. In a letter to counsel dated
August 16, 2002, Dr. Caruso stated that the [Petitioner] intended to dismiss
counsel and refuse taking any further medication. Dr. Caruso informed
counsel that the [Petitioner] was not only incompetent to stand trial but also
incompetent to make his own treatment decisions. MTMHI reported to the
trial court on August 29, 2002, that the [Petitioner] remained competent to
stand trial but stated that his competence was contingent upon continued
treatment. MTMHI expressed concern about the [Petitioner]’s statements that
he intended to refuse to take any more medication.

        On September 9, 2002, the trial court continued the scheduled
competency hearing until March 19, 2003. In the interim, Judge Donald P.
Harris, who presided over the case after the granting of post-conviction relief,
was replaced by Judge Russ Heldman. On December 30, 2002, the trial court
set the competency hearing for April 1, 2003. On March 10, 2003, MTMHI
updated the trial court that the [Petitioner] was competent to stand trial and
assist with his defense. MTMHI again reiterated that [Petitioner]’s continued
competence relied upon treatment, and it believed that the [Petitioner] could
effectively be treated at the DeBerry Special Needs Facility.

       On April 2 and 3, 2003, the trial court held a hearing to determine

                                      -7-
whether the [Petitioner] was competent to stand trial. Following the testimony
of the various witnesses, the trial court found the [Petitioner] competent to
stand trial under the standards set forth in State v. Blackstock, 19 S.W.3d 200
(Tenn. 2000), and the trial court set a trial date of October 15, 2003. On April
15, 2003, the trial court denied [Petitioner]’s motion for permission to seek an
interlocutory appeal to this Court. Also on April 15, 2003, the trial court
relieved Attorney Story as the [Petitioner]’s guardian ad litem.

         On or about May 12, 2003, the [Petitioner] filed a pro se motion
requesting the termination of representation by counsel and the termination of
his involuntary medication. After the [Petitioner] filed his pro se motions, his
counsel filed numerous pretrial motions on his behalf. Following a hearing on
[the Petitioner]’s pro se motions on June 10, 2003, the court granted the
[Petitioner] permission to represent himself. Having found that the [Petitioner]
knowingly and voluntarily waived his right to counsel, on June 16, 2003, the
trial court entered an order relieving counsel from further representation in this
capital case. Furthermore, the court struck from the record the many pretrial
motions filed by counsel after May 12, 2003. The court, however, denied
[Petitioner]’s request to terminate his medications. On July 15, 2003,
Attorneys Koger and Appman filed a motion for a rehearing on the trial court’s
decision to allow the [Petitioner] to represent himself and to continue the
[Petitioner]’s forced medication. On July 16, 2003, the trial court filed an
order responding to counsel’s motion. Initially, the court reiterated the fact
that it had previously granted the [Petitioner]’s request to represent himself and
stated that counsel no longer had standing to file the motions. The court then
stated it would be unconstitutional for the court to force appointed counsel
back on the case. The trial court also considered the issue of involuntary
medication in light of the recent United States Supreme Court opinion in Sell
v. United States, 539 U.S. 166 (2003), and thereafter concluded that the
involuntary medication complied with constitutional standards. The court set
the case for pretrial hearing on October 14, 2003, to address any remaining
motions and to determine whether the [Petitioner] was still competent to stand
trial.

        On August 25, 2003, MTMHI wrote the trial judge a letter stating it was
still of the opinion that the [Petitioner] remained competent to stand trial.
MTMHI also informed the court of the [Petitioner]’s impending transfer to
TDOC at the DeBerry Special Needs Correctional Facility on August 26, 2003.
On September 12, 2003, the [Petitioner] filed a pro se motion requesting, in
addition to jury instructions on premeditation, that letters he wrote after the

                                       -8-
killing of the victim be deemed inadmissable because they were the product
of torture and that a tape be barred from evidence because it was the product
of [the Petitioner]’s insanity. On October 14, 2003, the trial court entered an
interim order directing TDOC to continue administering medications to the
[Petitioner].

        The probate court in Davidson County, having been informed that the
[Petitioner] was discharged by MTMHI and placed back in the custody of
TDOC, appointed Attorney Edward S. Ryan as conservator for the [Petitioner]
on September 11, 2003. Apparently, sometime thereafter, Attorney Ryan
directed TDOC to discontinue administering the [Petitioner]’s medication. On
October 14, 2003, Attorney Story filed a notice of the medications the
[Petitioner] was receiving at the time. In response to this information, the trial
court issued an order on October 16, 2003, stating that the “matter came before
the Court via two unwarranted and inappropriate filings.” The trial court
commented that “it is regrettable but both Mr. Ryan and Ms. Story are
interfering with the constitutional rights of [the Petitioner] . . . to represent
himself.” The court ordered the attorneys to stop interfering with the
[Petitioner]’s rights:

               In light of these recent actions by Mr. Ryan and Ms.
       Story, said actions in disrespect and disregard of [Petitioner]’s
       election to represent himself, it is hereby ORDERED that
       Edward S. Ryan and Virginia Lee Story, be and hereby are,
       enjoined and restrained from further interference with the
       constitutional rights of the [Petitioner], Richard C. Taylor,
       applicable to this case, that is, interfering with his state and
       federal constitutional right to represent himself in this case by
       filing papers in this Court or taking action in this Court in this
       case, presumably in his behalf, absent prior permission to do so
       from this Court.

        On October 14, 2003, the trial court conducted another hearing to
ensure the [Petitioner]’s continued competency to stand trial and to determine
whether the criteria for involuntary medication was still met. In a subsequently
filed written order, the court concluded that the [Petitioner] was still competent
to stand trial and that the involuntary medication should continue. Prior to the
start of trial, the [Petitioner], by and through Attorney Ryan, the conservator
appointed by the probate court, filed applications for extraordinary appeals in
this Court and the Court of Appeals. The [Petitioner] sought review of the

                                       -9-
       interim order filed by the trial court on October 14, 2003. The Court of
       Appeals denied the application stating that this Court had jurisdiction over the
       matter. This Court ultimately denied the application on October 22, 2003. The
       Court found the issue to be moot as the trial had already concluded, and this
       Court further concluded that it did not appear the trial court so far departed
       from the accepted and usual course of judicial proceedings that relief was
       warranted.

Id. at *1-4. The Petitioner filed a motion to represent himself, which the trial court granted.
 Id. at 5. A trial was held on the Petitioner’s charges, and the jury again convicted the
Petitioner of first degree murder.

      On appeal, the Petitioner contended that he was not competent at the time of his April
2003 competency hearing. This Court disagreed. We concluded:

              The thrust of the [Petitioner’s] argument is that the trial court
       improperly credited the State’s witnesses, while discrediting the [Petitioner]’s
       witnesses. The [Petitioner] cites the United States Supreme Court case of
       Medina v. California for the proposition that “defense counsel will often have
       the best-informed view of the defendant’s ability to participate in his defense.”
       505 U.S. 437, 450 (1992). However, Drs. Stout and Farooque [the State’s
       witnesses] had met with the [Petitioner] over 100 times, and the trial court was
       not in error in crediting their testimony. We conclude that, given these
       credibility determinations, the [Petitioner] has not proven that the evidence
       preponderates against the trial court’s decision.

        The Petitioner also contended that he was not competent to waive his right to counsel.
Id. at *20. We agreed, concluding “the [Petitioner] is entitled to a new trial based on the
inadequacy of the counsel waiver colloquy. We are not convinced that ‘[t]he public
conscience [is] satisfied that fairness dominat[ed] the administration of justice’ in this case.
State v. Coleman, 519 S.W.2d 581, 583 (Tenn. 1975) (quoting Adams v. United States ex. rel
McCann, 317 U.S. 269, 279 (1942)).” Accordingly, we reversed the case and remanded it
for a new trial.

                                       D. Guilty Plea

        After we reversed the case and remanded it for a new trial, on June 3, 2008, the
Petitioner pled guilty to first degree murder. The trial court sentenced the Petitioner to serve
a life sentence. A transcript of the guilty plea is not included in the record. In the record is
only the judgment of conviction reflecting that the Petitioner pled guilty and ordered to serve

                                              -10-
a life sentence. The “Special Conditions” section of the judgment of conviction shows that
the trial court handwrote, “Defendant waives all rights to appeal and all post-conviction
rights.”

                           E. Current Post-Conviction Petition

        On November 24, 2010, the Petitioner filed a pro se petition for post-conviction relief.
In the petition, he contended, among other things, that the trial court erred when it accepted
his guilty plea without a mental evaluation or hearing. He further contended that he had
received the ineffective assistance of counsel at his guilty plea hearing because his counsel
did not seek a mental evaluation or competency hearing.

        On January 18, 2011, the trial court appointed Erin Walker to represent the Petitioner
for his post-conviction petition. Walker sought permission to withdraw, and the trial court
appointed the Petitioner new counsel, David Christensen. On February 11, 2011, the
Petitioner filed a pro se motion asking to proceed pro se, relieve appointed counsel, and
request a mental evaluation. On February 14, 2011, the trial court denied this motion by
order. The order stated:

              This Court originally appointed Ms. Erin Walker as counsel for [the
       Petitioner]. Subsequently, however, Ms. Walker asked to withdraw and the
       Court granted her request and appointed substitute counsel, Mr. David
       Christensen. Now upon consideration of the Petitioner’s request to proceed
       pro se, the Court finds that he reserves that right, has been involved in
       numerous legal proceedings in the past, representing himself pro se, as well as
       having counsel of record, and has made said request[ ] knowingly and
       voluntarily. Upon consideration of the request, the Court strikes its earlier
       Order finding that Mr. David Christensen shall be assigned as counsel for the
       Petitioner and will allow the Petitioner to proceed pro se with regard to this
       Post-Conviction Relief Petition.

              The Court finds that the Petitioner’s request for a mental evaluation is
       an appropriate request and shall be set at the Court’s earliest convenience. The
       Petitioner will be notified of the date for that hearing by separate order.

On April 11, 2011, the trial court ordered that a video hearing be conducted on May 9, 2011,
to determine the Petitioner’s competency.

       On May 6, 2011, the State filed a motion to dismiss the Petitioner’s post-conviction
petition without a hearing. The State argued in its motion that the Petitioner’s petition was

                                              -11-
filed beyond the statute of limitations. The State further asserted that the Petitioner waived
his right to post-conviction relief as part of his guilty plea, as evidenced by the judgment of
conviction. Finally, the State contended that the colloquy during the guilty plea hearing 1
showed that the Petitioner understood the nature of his guilty plea.

        The State attached to its motion several documents. First, the State attached a copy
of the judgment of conviction, reflecting the Petitioner’s waiver of his right to appeal and
right to file a post-conviction petition. Next, the State attached a copy of the petition for
waiver of trial and jury and request for acceptance of a plea of guilty, which was signed by
both the Petitioner and his counsel of record. The State also attached a copy of the
negotiated plea agreement signed by the Petitioner, his counsel of record, and the State’s
attorney. That document also reflected that, as part of the guilty plea, the Petitioner agreed
to waive his right to appeal and his right to seek post-conviction relief. The final document
attached by the State was a “Stipulation,” signed by the Petitioner, his counsel of record, and
the State’s attorney. That Stipulation read:

       Comes the defendant, Richard C. Taylor, in support of his/her plea in this case,
       and states that he wishes to stipulate that a factual basis for his/her plea does
       exist. I have discussed the necessity for a factual basis for my plea with my
       counsel, and I understand that I could insist that the prosecution fully recite
       that factual basis in open court. I understand the elements of the offense to
       which I am pleading; and I fully understand what the prosecution would have
       to prove if this case were to go to trial. I also aver that I understand the
       evidence the State would introduce if this case had gone to trial, and counsel
       has explained – and I understand – the applicable law in relation to the state’s
       evidence. I also understand the necessity of a “factual basis” for my plea to be
       considered knowing and voluntary. It is my wish, however, to forgo that
       recitation and enter this stipulation that there is a factual basis for my plea to
       each offense to which I am pleading guilty. I waive any objection (if any) that
       could be raised to this plea in the future based on the factual basis for my plea
       not being fully explicated in open court. I am making this stipulation
       voluntarily and knowingly. I believe it is my constitutional right to make this
       waiver, and I believe it is in my best interest to do so.

       On June 20, 2011, the trial court held a hearing on the Petitioner’s post-conviction
petition and the State’s motion to dismiss. The Petitioner represented himself at the hearing.
The State’s psychologist, who was not present at the hearing, submitted the Petitioner’s past
mental health records. Another psychologist, who had evaluated the Petitioner for the

       1
           Again, the guilty plea transcript is not included in the record on appeal.

                                                     -12-
defense, also submitted his mental health records regarding the Petitioner.

        The State then argued that the Petitioner’s petition was filed beyond the applicable
statute of limitations. It further argued that the Petitioner had waived his right to post-
conviction relief as part of the guilty plea agreement. The Petitioner countered that he had
been diagnosed with “chronic undifferentiated schizophrenia and psychosis” and that his
mental illness should toll the statute of limitations. He cited case law in support of his
contention. The Petitioner asserted that, at the time he entered his guilty plea and agreed to
waive his rights to post-conviction relief, he was suffering from a mental illness.

       The post-conviction court stated:

               The Court doesn’t put too much stock in the District Attorney’s
       representation to the Court that [the Petitioner] waived any rights to appeal or
       filings of post-conviction relief, primarily because, again, if [the Petitioner] is
       going to state that he was mentally incompetent at the time, even if it was put
       on the record that he understood what he was doing, if it can be shown that he
       was mentally incompetent at the time, then that waiver is not sufficient for any
       purpose . . . .

               The Court also agrees, obviously, with the State that he has one year in
       which to file his post-conviction relief, alleging the bases that he’s alleging
       now. That one year has long since elapsed, but [the Petitioner] is correct; if,
       in fact, he was incompetent for a significant period of that one year, then . . .
       that statute can be tolled, and the Court would have to take evidence as to
       when he regained his competence, if ever, and how much longer he should be
       given in which to file his [post-conviction petition], and that’s all a matter of
       fact that would need to be developed by the evidence.

               So the State’s Motion to Dismiss . . . would not properly be granted at
       this time; however, the impetus is still on [the Petitioner] to show to the Court
       that there is enough of a basis for the court to believe that, in fact, he was
       incompetent at the time of the entry of this plea, or a significant portion of the
       year thereafter, to go forward with . . . his [post conviction petition] at all. . .
       .

              If he can get an affidavit from a treating physician that says that that
       physician’s opinion of [the Petitioner] is that he was incompetent at the time
       of his plea, and for a significant portion of the year thereafter, then I think
       that’s enough to defeat the State’s Motion to Dismiss and proceed then

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       factually and allow the Court to hear more evidence as to whether it’s properly
       before the Court or not. But . . . not to be too redundant, but the main impetus
       still, however, is on [the Petitioner] to at least give the Court enough threshold
       evidence to believe that that is a true issue that must be determined.

The post-conviction court then specifically explained his ruling to the Petitioner, saying:

       [E]ven if you gave me 3,000 pages of records, I’m not a [psychiatrist] or a
       doctor, I’m not going to be able to sift through that. What I’m looking for,
       basically to get your motion properly before the court, is an affidavit from
       some doctor that has reviewed the records or treated you, that is willing to state
       on the record, through affidavit, that at the time of your plea, and for a
       significant portion of time thereafter, you were [incompetent].

              ....

              If you can get me that, then the Court will allow this [post-conviction
       petition] to go forward. If you can’t, then I’m going to say that you haven’t
       reached a threshold question and I’m going to dismiss it.

The Petitioner asked for ninety days in which to get such an affidavit, and the post-conviction
court granted his request. After the conclusion of the hearing, on July 6, 2011, the court
issued an order requiring the Petitioner to provide an affidavit from a psychologist or
psychiatrist evidencing that the Petitioner was incompetent on the date of the plea.

       On September 6, 2011, the post-conviction court filed an order dismissing the
Petitioner’s petition for post-conviction relief. The order stated:

       After hearing proof and considering the entire record, the Court took the
       State’s Motion to Dismiss the Petition and the [P]etitioner’s Petition under
       advisement, ordering the [P]etitioner to file an affidavit from a psychologist
       or psychiatrist evidencing that the [P]etitioner was incompetent on the date he
       entered his plea. The court granted the [P]etitioner 90 days to provide said
       affidavit.

              On August 30, 2011, the [P]eititoner had failed to comply with the
       Court’s Order to file said affidavit, and consequently, the Court dismissed the
       Petition for Post-Conviction Relief.

       On October 13, 2011, the Petitioner filed a motion to make his medical records an

                                              -14-
exhibit to the record, and the post-conviction court granted that motion. On March 28, and
April 2, 2012, the Petitioner filed motions to amend his petition for post-conviction relief.
On April 9, 2012, the post-conviction court denied those motions on the basis that it had
dismissed the Petition for post-conviction relief.

       On April 16, 2012, the Petitioner filed a notice of appeal. On April 18, 2012, the
Petitioner filed a motion to withdraw his notice of appeal. On November 1, 2012, the
Petitioner filed a second notice of appeal. In it, he stated, “due to [P]etitioner’s chronic
schizophrenia and present psychiatric distress [he] withdrew [his original notice of appeal]
hours after writing Court of Appeals to advise it that Petitioner was experiencing
incapacitating mental illness; days later Petitioner was transfer[r]ed for mental treatment.”

                                          II. Analysis

       On appeal, the Petitioner contends the post-conviction court failed to ascertain his
competency to proceed with his post-conviction petition even though it asserted that a mental
examination was appropriate. The Petitioner also raises the issues he raised in his original
petition for post-conviction relief. The State counters first that the Petitioner’s appeal should
be dismissed because his notice of appeal was filed untimely and the interest of justice does
not warrant a waiver of the notice of appeal requirement. The State further asserts that the
post-conviction court properly dismissed the Petitioner’s post-conviction petition because the
Petitioner failed to show that the statute of limitations should be tolled.

                                     A. Notice of Appeal

        Initially, we address whether the Petitioner filed an untimely notice of appeal. The
trial court denied the Petitioner’s petition for post-conviction relief on September 6, 2011.
It is not clear whether the Petitioner had notice of this in that he filed motions to amend his
post-conviction petition in March and April of 2012. The trial court denied those motions
on April 9, 2012. The Petitioner filed his first notice of appeal on April 16, only to withdraw
it on April 18. The Petitioner then filed another notice of appeal on November 1, 2012,
citing his mental health again as a cause for the original withdrawal and subsequent delay
before filing for appeal.

        “[I]n all criminal cases the ‘notice of appeal’ document is not jurisdictional and the
filing of such document may be waived in the interest of justice.” Tenn. R.App. P. 4(a). “In
determining whether waiver is appropriate, this Court will consider the nature of the issues
presented for review, the reasons for and the length of the delay in seeking relief, and any
other relevant factors presented in the particular case.” State v. Markettus L. Broyld, No.
M2005-00299-CCA-R3-CO, 2005 WL 3543415, at *1 (Tenn. Crim. App., at Nashville, Dec.

                                              -15-
27, 2005) (citing Michelle Pierre Hill v. State, No. 01C01-9506-CC-00175, 1996 WL 63950,
at *1 (Tenn. Crim. App., at Nashville, Feb. 13, 1996)), no Tenn. R. App. P. 11 application
filed.

       In the present case, considering the procedural history, the previous testimony
regarding the Petitioner’s mental state, and the trial court’s rulings, we conclude that the
interest of justice is served by waiver of the untimely filing of the Petitioner’s notice of
appeal. Accordingly, we will address the Petitioner’s issue on its merits.

                                 B. Statute of Limitations

        The threshold issue before us is whether the trial court erred when it determined that
the Petitioner’s appeal should be dismissed based upon it being filed beyond the applicable
statute of limitations. As part of that inquiry, we must determine whether due process
required tolling the statute.

        The burden in a post-conviction proceeding is on the Petitioner to prove his
allegations of fact by clear and convincing evidence. T.C.A. § 40-30-110(f) (2012);
Dellinger v. State, 279 S.W.3d 282, 294 (Tenn. 2009). On appeal, we are bound by the trial
court’s findings of fact unless we conclude that the evidence in the record preponderates
against those findings. Fields v. State, 40 S.W.3d 450, 456-57 (Tenn. 2001). The Post-
Conviction Procedure Act allows for the filing of only one petition attacking a single
judgment, which must be filed within one year of the final action by the highest state
appellate court to which an appeal was made or, if no appeal is taken, within one year of the
trial court’s judgment becoming final. T.C.A. § 40-30-102(a), (c) (2012). Principles of due
process may allow tolling of the statute of limitations in limited circumstances. See Burford
v. State, 845 S.W.2d 204, 208 (Tenn. 1992) (“[D]ue process requires that potential litigants
be provided an opportunity for the presentation of claims at a meaningful time and in a
meaningful manner.”). “[A] petitioner who is mentally incompetent is denied an opportunity
to raise a claim in a meaningful manner unless the statute of limitations is tolled during the
period of mental incompetence.” Seals v. State, 23 S.W.3d 272, 279 (Tenn. 2000).

       With regard to claimed mental incompetence, our Supreme Court has provided the
following regarding a petitioner’s pleading requirements:

       [T]o make a prima facie showing of incompetence requiring tolling of the
       limitations period, a post-conviction petition must include specific factual
       allegations that demonstrate the petitioner’s inability to manage his personal
       affairs or understand his legal rights and liabilities. Unsupported, conclusory,
       or general allegations of mental illness will not be sufficient to require tolling

                                              -16-
       and prevent summary dismissal under Tenn. Code Ann. § 40-30-206(b) & (f).
       The required prima facie showing may be satisfied by attaching to the petition
       affidavits, depositions, medical reports, or other credible evidence that contain
       specific factual allegations showing the petitioner’s incompetence. While
       affidavits and depositions of mental health professionals may be utilized, they
       are not essential, and a petitioner may rely upon affidavits and depositions
       from family members, prison officials, attorneys, or any other person who has
       knowledge of facts that demonstrate either the petitioner’s inability to manage
       his personal affairs or the petitioner’s inability to understand his legal rights
       and liabilities. Even if a petitioner satisfies the prima facie showing, at the
       hearing the petitioner bears the burden of proving by clear and convincing
       evidence that the statute of limitations should be tolled for incompetence, and
       that as a result of the tolling, the petition is timely. Unless this burden is
       satisfied, the petition should be dismissed as time-barred.

State v. Nix, 40 S.W.3d 459, 464-65 (Tenn. 2001) (citations omitted).

        In this case, the post-conviction court clearly informed the Petitioner, who fully
understood, that he needed to supplement the record with an affidavit in support of his
contention that he was mentally incompetent at the time he entered the guilty plea. The
Petitioner asked for and was granted ninety days in which to so do, but he never submitted
an affidavit. After the post-conviction court dismissed his petition, the Petitioner filed a
motion to supplement the record with medical records from the Tennessee Department of
Correction. Many of these records are not from the time period in which he pled guilty. In
any event, the Petitioner did not comply with the post-conviction court’s order, one which,
by all accounts, he fully understood. We conclude that the post-conviction court did not err
when it determined that due process did not require tolling the statute of limitations. The
Petitioner is not entitled to relief on this issue.

                                       III. Conclusion

        Based on the record and aforementioned authorities, we conclude that the post-
conviction court did not err when it dismissed the Petitioner’s petition for post-conviction
relief. We, therefore, affirm the judgment of the post-conviction court.

                                                    _________________________________
                                                    ROBERT W. WEDEMEYER, JUDGE

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