Court Opinion

ID: 4881069
Source: CourtListenerOpinion
Date Created: 2021-09-02 20:02:37.498685+00
Date Added: 2024-06-11T08:03:15.455796
License: Public Domain

RECOMMENDED FOR PUBLICATION
                                 Pursuant to Sixth Circuit I.O.P. 32.1(b)
                                        File Name: 21a0207p.06

                    UNITED STATES COURT OF APPEALS
                                    FOR THE SIXTH CIRCUIT

                                                              ┐
 IN RE: KAREEM JACKSON,
                                                              │
                                                 Movant.       >        No. 21-3102
                                                              │
                                                              ┘

                       On Motion for Leave to File a Second or Successive
                       Habeas Corpus Petition and On Motion to Remand.
           United States District Court for the Southern District of Ohio at Columbus;
                No. 2:20-cv-03934—Algenon L. Marbley, Chief District Judge.

                              Decided and Filed: September 2, 2021

                     Before: BOGGS, MOORE, and CLAY, Circuit Judges.
                                  _________________

                                             COUNSEL

ON MOTION FOR LEAVE TO FILE A SECOND OR SUCCESSIVE HABEAS CORPUS
PETITION AND ON MOTION TO REMAND: Alan C. Rossman, Bevlynn J. Sledge,
OFFICE OF THE FEDERAL PUBLIC DEFENDER, Cleveland, Ohio, for Movant.
ON RESPONSE: Stephen E. Maher, OFFICE OF THE OHIO ATTORNEY GENERAL,
Columbus, Ohio, for Respondent.

       The panel delivered the order of the court. MOORE, J. (pp. 8–14), delivered a separate
concurring opinion. BOGGS, J. (pp. 15–16), delivered a separate dissenting opinion.

                                       _________________

                                               ORDER
                                       _________________

       Kareem Jackson, an Ohio death-row prisoner represented by counsel, has filed two
motions. He requests leave to file a second or successive 28 U.S.C. § 2254 habeas corpus
petition. See 28 U.S.C. § 2244(b)(3)(A). He also moves the Court to remand his pending
petition to the district court, arguing that his petition is not “second or successive” such that his
 No. 21-3102                                In re Jackson                                 Page 2

claims must meet the requirements of § 2244(b). For the following reasons, Jackson’s motion to
remand is DENIED; his application for permission to file a second or successive habeas corpus
petition is GRANTED.

       Jackson was convicted of six counts of aggravated murder (with capital specifications),
three counts of aggravated robbery, four counts of kidnapping, and one count of felonious
assault, and sentenced to death. He exhausted direct-appeal and state post-conviction remedies
and then filed a federal habeas corpus petition, which was denied. See Jackson v. Bradshaw,
681 F.3d 753 (6th Cir. 2012).      We denied a prior motion for remand and application for
permission to file a second or successive petition in a previous order. In re Kareem Jackson, No.
15-4055 (6th Cir. Jan. 13, 2016) (order).

       Jackson returned to the district court in August 2020 and filed the federal habeas corpus
petition now before us, asserting that:     the prosecution withheld material and exculpatory
evidence in violation of Brady v. Maryland, 373 U.S. 83 (1963); the prosecution presented false
and coerced testimony in violation of Napue v. Illinois, 360 U.S. 264 (1959); and Ohio’s post-
conviction scheme violates the Supremacy Clause. The warden filed a motion to transfer the
action to this Court, arguing that, under § 2244(b), Jackson needed permission from a court of
appeals before filing a successive petition. Relying on Panetti v. Quarterman, 551 U.S. 930
(2007), and Stewart v. Martinez-Villareal, 523 U.S. 637 (1998), Jackson responded that his
claims were not previously ripe for review and therefore not subject to § 2244(b)’s requirements.
The warden replied that In re Wogenstahl, 902 F.3d 621 (6th Cir. 2018) (per curiam), controlled
and required that the action be transferred to this Court. The district court granted the warden’s
transfer motion.

       Before this Court, Jackson only includes his Brady and Napue claims in his corrected
application for leave to file a successive habeas petition. Specifically, Jackson claims that the
government suppressed a statement from a key eyewitness, Rebecca Lewis, that her initial
description of the suspect did not match Jackson, but rather matched that of an alternative
suspect. He also claims under Brady that another witness statement supporting the inference that
the alternative suspect committed the murders was suppressed. Under Brady, as well as Napue,
 No. 21-3102                               In re Jackson                                     Page 3

Jackson contends that his counsel recently received a declaration from the witness Ivana King
that she had been coerced by police into testifying that Jackson confessed to the murders.

       Jackson also filed a motion to remand the case to the district court. The warden filed a
response opposing the application and the motion. Jackson has filed a reply.

I. Motion to Remand

       Jackson argues that § 2244, which governs the finality of federal habeas proceedings,
does not apply in this case. He contends our decision in Wogenstahl contravenes prior precedent
and therefore is not controlling. See Darrah v. City of Oak Park, 255 F.3d 301, 310 (6th Cir.
2001) (“[W]hen a later decision of this court conflicts with one of our prior published decisions,
we are still bound by the holding of the earlier case.”). Wogenstahl does not contradict our prior
decisions in In re Jones, 652 F.3d 603, 605 (6th Cir. 2010), and Hill v. Mitchell, 842 F.3d 910,
925 (6th Cir. 2017), as Jackson claims.        In Jones, we found that the petitioner’s claim
challenging changes to Michigan’s parole system that took effect after the petitioner’s original
petition had been filed was not second or successive so as to require § 2244(b) authorization.
Jones, 652 F.3d at 605–06. Hill found that a particular Brady claim did not relate back to a
general Brady claim for habeas relief in the original petition that had been “completely bereft of
specific fact allegations or evidentiary support and was not tied to any particular theory of
relief.” Hill, 842 F.3d at 924. Since these decisions do not implicate the holding in Wogenstahl,
we are bound to follow the later opinion. See Freed v. Thomas, 976 F.3d 729, 738 (6th Cir.
2020) (recognizing that a holding of a published panel opinion binds later panels unless the
decision is overruled en banc or by the Supreme Court).

       In Wogenstahl, we held that a habeas claim was ripe if the facts underlying the claim
“had already occurred when he filed his petition, although Wogenstahl was unaware of these
facts.” In re Wogenstahl, 902 F.3d at 627–28. In particular, in that case as in this one, we found
that the petitioner’s Brady claim fell “within the scenario contemplated by § 2244(b)(2)(B),”
because he was raising claims that he did not raise in his first petition and he was relying on
recently discovered facts. Id. at 628. Accordingly, we held that “Wogenstahl’s petition is both
 No. 21-3102                                   In re Jackson                                       Page 4

second-in-time and second or successive, and he must therefore pass through the gatekeeping
mechanism of § 2244(b)(2)(B).” Id. at 628. So too here.1

II. Application to File a Second or Successive Habeas Petition

        Under § 2244(b)(2)(B), a claim for habeas relief based on new facts like Jackson’s, rather
than new law, see § 2244(b)(2)(A), must be dismissed unless:

        (i) the factual predicate for the claim could not have been discovered previously
        through the exercise of due diligence; and
        (ii) the facts underlying the claim, if proven and viewed in light of the evidence as
        a whole, would be sufficient to establish by clear and convincing evidence that,
        but for constitutional error, no reasonable factfinder would have found the
        applicant guilty of the underlying offense.

28 U.S.C. § 2244(b)(2)(B).

        This Court “may authorize the filing of a second or successive application only if it
determines that the application makes a prima facie showing that the application satisfies
the requirements of this subsection.” Id. at § 2244(b)(3)(C). A prima facie showing involves the
presentation of “sufficient allegations of fact together with some documentation that would
‘warrant a fuller exploration in the district court.’” In re Lott, 366 F.3d 431, 433 (6th Cir. 2004)
(quoting Bennett v. United States, 119 F.3d 468, 469 (7th Cir. 1997)).

        It is unclear precisely how Jackson obtained the two witness statements that he claims
were suppressed under Brady, which bears on the question of whether “the factual predicate for
the claim could not have been discovered previously through the exercise of due diligence.”
28 U.S.C. § 2244(b)(2)(B)(i). According to Jackson, police suppressed evidence that Rebecca
Lewis, who was a key witness at trial, had initially described the suspect who had hit her in the
head with a gun in a way that did not match Jackson, but did match a shorter alternative suspect,
“Little Bee.” Jackson also claims that a statement from a neighbor supports the inference that
Little Bee committed the murders. Jackson suggests that these statements were unobtainable
under Ohio law until the Ohio Supreme Court’s decision in State ex rel. Caster v. Columbus,

        1
        Jackson does not argue, nor would such an argument be successful, that Napue claims fare differently
under Wogenstahl than the Brady claims at issue in this case.
 No. 21-3102                                In re Jackson                                   Page 5

89 N.E.3d 598 (Ohio 2016), expanded the discovery mechanisms available to defendants who
had exhausted their direct appeals. However, Caster was not decided until December 2016, and
Jackson presented these witness statements to us in April 2016. Thus, while Jackson may not
have been able to obtain these witness statements until well after his trial, it cannot be because of
the precedent overturned in Caster. However, Jackson’s proposed petition also explains that
“the exculpatory evidence was first disclosed by the State in Clemency-related Public Records
Act litigation,” which presumably would not have been available until Jackson’s date of
execution approached. (Habeas Petition, R. 1-2, Page ID #52.) We conclude that Jackson has a
made a prima facie showing that the witness statements implicating Little Bee could not have
been discovered earlier through the exercise of due diligence.

       Jackson similarly argues that the facts underlying his Brady/Napue false testimony claim
were unavailable until Ivana King provided Jackson’s counsel with a declaration that law
enforcement had intimidated her into falsely testifying that Jackson had confessed to the
murders. Jackson has made a prima facie argument that this evidence was suppressed as well
and that he could not have obtained it through the exercise of due diligence.             See In re
McDonald, 514 F.3d 539, 545 (6th Cir. 2008) (finding that claims regarding coerced testimony
could not have been discovered for purposes of § 2244(b) application until key witness provided
an affidavit regarding coercion).

       Jackson has also met his obligation to make a prima facie showing under
§ 2244(b)(2)(B)(ii) that “the facts underlying the claim, if proven and viewed in light of the
evidence as a whole, would be sufficient to establish by clear and convincing evidence that, but
for constitutional error, no reasonable factfinder would have found the applicant guilty of the
underlying offense.” At this stage, “we simply must determine whether there are ‘sufficient
allegations’ together with ‘some documentation’ so as to require a district court to engage in
additional analysis in order to ascertain whether but for the constitutional error, no reasonable
factfinder would have found [Jackson] guilty of the underlying offense.” In re McDonald,
514 F.3d at 547 (quoting In re Lott, 366 F.3d at 533).

       The first constitutional error alleged is Jackson’s Brady claim that the government
suppressed eyewitness statements implicating an alternative suspect, Little Bee, who was shorter
 No. 21-3102                               In re Jackson                                   Page 6

than Jackson, as well as evidence of King’s coerced testimony. To establish a Brady violation:
“The evidence at issue must be favorable to the accused, either because it is exculpatory, or
because it is impeaching; that evidence must have been suppressed by the State, either willfully
or inadvertently; and prejudice must have ensued.” Banks v. Dretke, 540 U.S. 668, 691 (2004)
(quoting Strickler v. Greene, 527 U.S. 263, 281–82 (1999)).            In this case, the suppressed
statements were both exculpatory and impeaching, and, for the reasons explained above, Jackson
has made a prima facie case that the state suppressed this evidence.

       Jackson has also shown that “but for the constitutional error, no reasonable factfinder
would have found [him] guilty of the underlying offense,” which would suffice to demonstrate
prejudice under Brady. 28 U.S.C. § 2244(b)(2)(B)(ii); see In re Wogenstahl, 902 F.3d at 629.
For example, in McDonald, we found that granting leave to file a second or successive petition
was appropriate after a key witness signed an affidavit that she had been coerced into providing
perjured testimony. McDonald is distinguishable from this case in that “[a]t McDonald’s trial,
the state did not present any eyewitnesses who saw McDonald at the scene of the crime.” In re
McDonald, 514 F.3d at 547. But in evaluating a Brady claim, “a court must consider the
materiality of withheld evidence only by evaluating the evidence collectively, not item by item.”
Hughbanks v. Hudson, 2 F.4th 527, 536 (6th Cir. 2021) (cleaned up). Here, the allegedly
suppressed statement by Lewis, in combination with King’s recantation of Jackson’s confession,
could undermine eyewitness accounts connecting Jackson to the crime. Another eyewitness,
Nikki Long, also initially provided police with a statement regarding the murder suspect
consistent with Lewis’ description of a shorter perpetrator than Jackson; however, Jackson’s trial
counsel did not focus their defense on the height of the perpetrator because they were unaware
that both Lewis and Long had provided an identical description in their first statements to police.
The testimony of Jackson’s co-defendant, Derrick Boone, would thus be left as the only
eyewitness account that identified Jackson as the shooter. The Supreme Court has recognized
that “incriminating testimony from inmates, suspects, or friends or relations of the accused” may
have less probative value than “eyewitnesses with no evident motive to lie.” House v. Bell,
547 U.S. 518, 552 (2006); see also In re Keith, No. 18-3544, 2018 WL 8807240, at *3 (6th Cir.
Oct. 26, 2018) (granting leave to file a second or successive habeas petition despite existence of
eyewitness testimony).
 No. 21-3102                                 In re Jackson                                 Page 7

       Under Napue, the prosecution must “ensure[] that it does not knowingly allow false
testimony, and correct[] testimony known to be false.” United States v. Fields, 763 F.3d 443,
463 (6th Cir. 2014). In this case, King’s new declaration claims that she was coerced by police
into stating that Jackson confessed to her. Napue claims also have a prejudice-like prong in that
“a new trial is required if the false testimony could in any reasonable likelihood have affected the
judgment of the jury.” Carter v. Mitchell, 443 F.3d 517, 535 (6th Cir. 2006) (cleaned up). This
threshold can be met when the knowingly misleading testimony is offered by a “key prosecution
witness.” Id. That is the case here, where King testified that Jackson told her “he had done two
people,” which we previously described as “quite incriminating evidence.” Jackson, 681 F.3d at
763.

       As the district court observed in its order transferring Jackson’s petition, this is not his
second federal habeas petition, but his fourth. However, in this instance, Jackson has met his
burden to make “a prima facie showing that the application satisfies the requirements” of
§ 2244(b)(2)(B). 28 U.S.C. § 2244(b)(3)(C).

       We DENY Jackson’s motion to remand and GRANT him permission to file the proposed
petition as to his Brady and Napue claims.
 No. 21-3102                                In re Jackson                                   Page 8

                                      ___________________

                                        CONCURRENCE
                                      ___________________

       KAREN NELSON MOORE, Circuit Judge, concurring. I agree that In re Wogenstahl,
902 F.3d 621, 628 (6th Cir. 2018) (per curiam), compels us to conclude that Kareem Jackson’s
new habeas petition is “second or successive” within the meaning of the Antiterrorism and
Effective Death Penalty Act of 1996 (“AEDPA”), 28 U.S.C. § 2244(b)(2), and thus that we must
deny his motion to remand. With that being the case, I agree that we should grant the relief that
Jackson requests in the alternative: authorization to pursue that petition in the district court. See
28 U.S.C. § 2244(b)(3).      I write separately, however, to explain why I now believe that
Wogenstahl—an opinion that I joined—was wrongly decided. In the absence of Wogenstahl,
I would conclude that Jackson’s new petition is not second or successive and would thus grant
his motion to remand.

       As the majority opinion notes, AEDPA employs various gatekeeping mechanisms that
inhibit a person’s ability to pursue a “second or successive” habeas petition.           28 U.S.C.
§ 2244(b)(2). Substantively, AEDPA restricts the sorts of second-or-successive petitions that a
district court may entertain to those involving claims based on (1) “a new rule of constitutional
law, made retroactive to cases on collateral review by the Supreme Court,” or (2) newly
discovered facts that “would be sufficient to establish by clear and convincing evidence that, but
for constitutional error, no reasonable factfinder would have found the applicant guilty of the
underlying offense.” Id. Procedurally, AEDPA prevents a person from pursuing a “second or
successive” petition in the district court without preauthorization from the court of appeals,
which may be granted only if the proposed petition “makes a prima facie showing that the
application satisfies” AEDPA’s substantive requirements for second-or-successive petitions. 28
U.S.C. § 2244(b)(3)(A), (C). Whether a petition qualifies as “second or successive” is thus of
significant consequence for persons like Jackson who are seeking habeas relief.

       Yet determining whether a petition is truly “second or successive” is not as simple as
counting to two because “[t]he Supreme Court has made clear that not every numerically second
 No. 21-3102                                In re Jackson                                   Page 9

petition is ‘second or successive’ for purposes of AEDPA.” In re Bowen, 436 F.3d 699, 704 (6th
Cir. 2006). Rather, “[t]he phrase ‘second or successive petition’ is a term of art,” Slack v.
McDaniel, 529 U.S. 473, 486 (2000), with a meaning informed at least in part by the historical
“abuse of the writ doctrine,” Bowen, 436 F.3d at 704. The abuse-of-the-writ doctrine is “a
complex and evolving body of equitable principles informed and controlled by historical usage,
statutory developments, and judicial decisions.” McCleskey v. Zant, 499 U.S. 467, 489 (1991).
But simply stated, “[u]nder the abuse of the writ doctrine, a numerically second petition is
‘second’ when it raises a claim that could have been raised in the first petition but was not so
raised, either due to deliberate abandonment or inexcusable neglect.” Bowen, 436 F.3d at 704.

       Among the circumstances where the Supreme Court has recognized that a second-in-time
petition is not “second or successive” is where the petition contains a claim that was unripe at the
time of the earlier habeas petition(s). See Panetti v. Quarterman, 551 U.S. 930, 947 (2007).
Because an unripe claim cannot be raised in a habeas petition, the failure to raise such a claim
earlier does not amount to an abuse of the writ and thus does not render a subsequent petition
including the claim second or successive. See id. A quintessential example is a claim that the
petitioner is incompetent to be executed under Ford v. Wainwright, 477 U.S. 399, 409–10
(1986). See Panetti, 551 U.S. at 947. Such a claim does not ripen until execution is imminent,
and thus will typically be unripe when a petitioner files their first habeas petition. See Stewart v.
Martinez-Villareal, 523 U.S. 637, 644–45 (1998). Accordingly, in Panetti, the Court held that a
Ford claim brought in a second-in-time petition did not trigger § 2244(b)’s gatekeeping
requirements because the petition was not second or successive. 551 U.S. at 947. In this circuit,
we have extended the Court’s reasoning to cover ex-post-facto claims that turn on changes to the
law that occurred after an earlier petition and thus were previously unripe. See In re Jones,
652 F.3d 603, 605–06 (6th Cir. 2010) (per curiam).

       Jackson argues that the habeas petition before us is not second or successive because that
it contains previously unripe claims brought under Brady v. Maryland, 373 U.S. 83 (1963), and
Napue v. Illinois, 360 U.S. 264 (1959). He argues that his Brady claim ripened when he obtained
the underlying police report and witness statements through an Ohio Public Records Act request
and that his Napue claim became ripe only after Ivana King disclosed the falsity of her trial
 No. 21-3102                                       In re Jackson                                         Page 10

testimony.      As the majority order correctly concludes, Wogenstahl forecloses Jackson’s
argument. There we held that a Brady claim becomes ripe when “the predicates underlying . . .
[the] claim[]” (i.e., the suppression of the evidence in question) occur, even if the petitioner “was
unaware of th[o]se facts” when they filed their first petition, 902 F.3d at 627–28. Because the
allegedly suppressed evidence and King’s allegedly false trial testimony occurred well before
Jackson’s earlier habeas petitions, Wogenstahl compels the conclusion that the two claims were
ripe at that time and that his new petition is second or successive. See id.

        Yet Jackson has convinced me that Wogenstahl was wrongly decided.                                    Upon
consideration of Jackson’s arguments, I believe that his claims cannot be materially
distinguished from the Ford claim addressed in Panetti. There are three considerations that
informed the Court’s holding in Panetti: (1) the “implications for habeas practice” of treating
Jackson’s habeas petition as second or successive; (2) AEDPA’s purposes; and (3) the abuse-of-
the-writ doctrine. See Panetti, 551 U.S. at 942–48. As recently explained by judges in the
Fourth and Eleventh Circuits, those three considerations compel the conclusion that Congress did
not intend to subject previously unavailable Brady-type1 claims like Jackson’s to § 2244(b)’s
gatekeeping requirements for second-or-successive habeas petitions. See Scott v. United States,
890 F.3d 1239, 1256–58 (11th Cir. 2018) (unanimous panel concluding that, if not for prior
precedent, petition including previously unavailable Brady claim would not be second or
successive); Long v. Hooks, 972 F.3d 442, 486–88 (4th Cir. 2020) (en banc) (Wynn, J.,
concurring) (collecting cases).

        First, the “implications for habeas practice” favor treating petitions raising previously
unavailable Brady-type claims like Jackson’s as second in time but not second or successive.
See Panetti, 551 U.S. at 943. In Panetti, the Court explained that subjecting previously unraised
Ford claims to § 2244(b)’s gatekeeping requirements was unwarranted in part because it would

        1
          Like Jackson, I use the term “Brady-type claims” to cover traditional Brady claims of suppressed evidence
and claims like Jackson’s Napue false-testimony claim, because I think that the second-or-successive analysis is the
same for both. These claims are similar in nature insofar as they are predicated on prosecutorial or police
misconduct that taints the evidence presented at trial and employ a similar analytical framework to the point where
there has been some blurring between the caselaw for the two doctrines. See Brooks v. Tennessee, 626 F.3d 878,
894–95 (6th Cir. 2010). In any case, even if one but not the other was second or successive on its own, it would not
change my reasoning because the second-or-successive inquiry calls for an analysis of the petition as a whole, not a
claim-by-claim analysis. See In re Stansell, 828 F.3d 412, 415–19 (6th Cir. 2016).
 No. 21-3102                                       In re Jackson                                         Page 11

have “seemingly perverse” implications for habeas practice. Id. In order to preserve their ability
to raise a Ford claim in the future, “conscientious defense attorneys would be obliged to file
unripe (and, in many cases, meritless) Ford claims in each and every § 2254 application. This
counterintuitive approach would add to the burden imposed on courts, applicants, and the States,
with no clear advantage to any.” Id. The same is true of Brady-type claims. Applying § 2244(b)
to such claims incentivizes petitioners to raise them in their first petition (and every petition
thereafter), even if those claims were completely meritless because the petitioner lacked any
indication of suppressed evidence or (in the case of a Napue claim) false testimony. Otherwise,
the petitioner would risk losing any later-discovered Brady-type claim to the heightened
requirements for second-or-successive petitions under § 2244(b). AEDPA does not require such
a burdensome exercise that benefits none of the parties or institutions involved. See Panetti,
551 U.S. at 943.2

        Indeed, subjecting Brady and Napue claims to § 2244(b) implicates further “perverse”
incentives well beyond those considered by the Court in Panetti. “[T]o subject Brady claims to
the heightened standard of § 2244(b)(2) is to reward investigators or prosecutors who engage in
the unconstitutional suppression of evidence with a ‘win’—that is, the continued incarceration of
a person whose trial was fundamentally unfair (and unconstitutional).” Long, 972 F.3d at 486
(Wynn, J., concurring). In other words, subjecting Brady and Brady-type claims to § 2244(b)
rewards the culpable state actors for their misconduct with a heightened gatekeeping requirement
that could prevent the petitioner from challenging that misconduct at all. Congress could not
have intended to create such a perverse incentive structure with AEDPA. Accordingly, if
anything, the “implications for habeas practice” provide an even stronger basis for concluding
that previously unavailable Brady-type claims like Jackson’s should not be treated as second or
successive. See Panetti, 551 U.S. at 946 (explaining that the Court avoids interpretations of
AEDPA that “‘produce troublesome results,’ ‘create procedural anomalies,’ and ‘close our doors

        2
           Moreover, our decision in Hill v. Mitchell, 842 F.3d 910 (6th Cir. 2016), compounds these practical
concerns within this circuit. There, we held that newly discovered suppressed evidence cannot relate back to a
catchall Brady claim for purposes of AEDPA’s one-year statute of limitations. Id. at 924–25. Thus, even if a
petitioner were to file a generic, catchall Brady-type claim attempting to protect against the possibility of later-
discovered prosecutorial misconduct, Hill suggests that they would face independent barriers to relief beyond
§ 2244(b)’s gatekeeping requirements. See id.
 No. 21-3102                                In re Jackson                                  Page 12

to a class of habeas petitioners seeking review without any clear indication that such was
Congress’ intent.’”).

       Second, as in Panetti, subjecting previously unavailable Brady-type claims to § 2244(b)’s
gatekeeping requirements would not further AEDPA’s purposes:                “comity, finality, and
federalism.” Id. at 945 (quoting Miller–El v. Cockrell, 537 U.S. 322, 337 (2003)). Respect for
states and state courts cautions against an approach—like the one in Wogenstahl—that
incentivizes the filing of meritless collateral claims in order to protect against the possibility of
raising a claim later. See Panetti, 551 U.S. at 946–47; see also Strickler v. Greene, 527 U.S.
263, 286 (1999) (“Proper respect for state procedures counsels against a requirement that all
possible claims be raised in state collateral proceedings, even when no known facts support
them.”). And as the Eleventh Circuit explained in Scott, applying § 2244(b) to second-in-time
Brady claims “is at odds with finality concerns” because it undermines the procedural fairness
that finality promotes, and can, in cases where a Brady-type violation is ultimately established,
result in new trials limited by faded memories and unavailable witnesses. 890 F.3d at 1251–52.
“Whatever finality interest Congress intended for AEDPA to promote, surely it did not aim to
encourage prosecutors to withhold constitutionally required evidentiary disclosures long enough
that verdicts obtained as a result of government misconduct would be insulated from correction.”
Id. at 1252.

       Third, treating petitions raising previously unavailable Brady-type claims as second in
time but not second or successive aligns with the historical abuse-of-the-writ doctrine. The
abuse-of-the-writ doctrine generally prohibits a petitioner from raising a claim that could have
been raised in an earlier petition but was not “either due to deliberate abandonment or
inexcusable neglect.” Bowen, 436 F.3d at 704. And under the abuse-of-the-writ doctrine the
prosecution’s suppression of material evidence will excuse the failure to raise earlier a Brady
claim pre-disclosure. See Strickler, 527 U.S. at 286. Thus, the abuse-of-the-writ doctrine
supports withholding from the definition of “second or successive” those petitions raising
previously unavailable Brady-type claims. See Scott, 890 F.3d at 1252–53.

       In Wogenstahl, we reached the opposite conclusion by committing two fundamental
errors. The first is that we applied an overly narrow understanding of the rule for unripe claims
 No. 21-3102                                     In re Jackson                                       Page 13

from Panetti, concluding that a claim is “ripe” once the factual predicates for the claim occur,
even if the petitioner is unaware of those facts. See 902 F.3d at 627–28. As the Eleventh Circuit
explained in Scott, Panetti did not limit its holding in that manner. See 890 F.3d at 1256.
Indeed, we did not rely on Panetti for that rule, instead citing Jones. See Wogenstahl, 902 F.3d
at 627–28. But Jones does not compel that reading of Panetti either. In Jones, we explained that
the petitioner’s ex-post-facto claim was unripe—and thus not second or successive—because
“the events giving rise to the claim had not yet occurred” when he had filed earlier habeas
petitions. 652 F.3d at 605. This was in contrast to the petitioner’s jury-composition claim,
which was second or successive because it “challenge[d] events that occurred at his trial.” Id. at
606. But neither of the conclusions in Jones addresses whether a Brady-type claim is ripe before
disclosure of the violation occurs. In a very practical sense, disclosure or awareness of the
suppressed evidence or false testimony in question is a necessary predicate for a Brady-type
claim—a meritorious Brady-type claim simply cannot be brought prior to some form of
disclosure—and thus such a claim is unripe until the disclosure occurs. See Strickler, 527 U.S. at
286; Scott, 890 F.3d at 1256; see also Hill, 842 F.3d at 925 (“[T]he basis for a Brady claim is the
evidence that was being suppressed—not a suspicion that something was being suppressed.”).
Accordingly, Brady-type claims like Jackson’s fit neatly into Panetti’s exclusion of petitions that
include unripe claims from § 2244’s definition of “second or successive.”3

        Our second error in Wogenstahl was to suggest that exempting Brady claims from the
limitations on second-or-successive petitions “would considerably undermine—if not render
superfluous—the second-or-successive rule.” 902 F.3d at 627 (internal quotation marks and
alteration omitted) (quoting In re Coley, 871 F.3d 455, 457–58 (6th Cir. 2017)). For this, we
referred to cases rejecting interpretations of “second or successive” that would exclude a claim
from § 2244(b)’s requirements any time that the claim could not have been previously raised.
See, e.g., Magwood v. Patterson, 561 U.S. 320, 335 (2010) (rejecting an interpretation of
“second or successive” where the term “would not apply to a claim that the petitioner did not

        3
          Even if Brady-type claims were, strictly speaking, ripe before disclosure occurs, I believe that the
reasoning of Panetti would strongly support a rule that previously unavailable Brady-type claims do not render a
habeas petition second or successive because such a rule would, as explained above: (1) avoid the perverse
incentives that arise without a rule that Brady-type claims are not second or successive; (2) be consistent with
AEDPA’s purposes; and (3) align with the abuse-of-the-writ doctrine.
 No. 21-3102                                 In re Jackson                                  Page 14

have a full and fair opportunity to raise previously”); Coley, 871 F.3d at 457 (“What the
exception cannot mean is what Coley claims it means: that a petition is not second or successive
whenever it relies on a rule that did not exist when the petitioner filed his first petition.”). Such
an interpretation of “second or successive” is invalid because the circumstances covered by
§ 2244(b) are, by definition, those in which the claim could not have been previously raised
(either because they rely on a new rule of constitutional law or newly discovered facts that could
not previously have been discovered through diligence). See Magwood, 561 U.S. at 335.

       But concluding that second-in-time Brady-type claims are not second or successive does
not render § 2244(b)’s gatekeeping requirements superfluous because doing so does not require
the adoption of a rule that a petition is not second or successive any time that it raises claims that
could not have been raised sooner. Rather, it recognizes a limited carve-out for claims that could
not be brought sooner because of prosecutorial misconduct, leaving the gatekeeping provisions
in place for claims based on other types of newly discovered evidence (for example, a claim of
ineffective assistance of trial counsel predicated on counsel’s failure to investigate an
eyewitness). As explained above, there are good reasons—reasons grounded in AEDPA and the
Court’s interpretation of AEDPA in this context—to distinguish between these sorts of claims
when determining whether a petition is second or successive.

       In the end, however, as a panel we may not displace Wogenstahl, bound as we are by
published prior precedent. That case requires that we treat Jackson’s habeas petition as second
or successive and deny his motion to remand because his petition cannot proceed in the district
court without our preauthorization under § 2244(b)(3). Thus, with regret, I concur in the denial
of Jackson’s motion to remand.
 No. 21-3102                                  In re Jackson                              Page 15

                                        _________________

                                              DISSENT
                                        _________________

       BOGGS, Circuit Judge, dissenting. I agree with the majority that, under In re
Wogenstahl, 902 F.3d 621 (6th Cir. 2018), Mr. Jackson’s petition is second or successive, and
I concur in denying his motion to remand. But I would also deny his application for authorization
to file that second or successive petition.

       The facts that Mr. Jackson alleges in his present claims, even if all true, would not show
“by clear and convincing evidence that, but for constitutional error, no reasonable factfinder
would have found [him] guilty of the underlying offense.” 28 U.S.C. § 2244(b)(2)(B)(ii)
(emphases added). Assume that, in the absence of constitutional error, Ms. King would not have
testified and the evidence that Mr. Jackson now challenges would not have been introduced at
trial. As the Ohio Court of Appeals has noted, there was still other evidence, not drawn into
question by Mr. Jackson’s current claims, from which some reasonable juror would have
convicted him. State v. Jackson, 2019 WL 6615076, at *6–7, ¶¶ 32, 34 (Ohio Ct. App. Dec. 5,
2019) (holding that “direct testimony that Jackson fired the shots that killed Hunter and Walker,
and the evidence tying Jackson to the handgun retrieved from Williamson’s apartment, which
was found to have fired the shots that killed Hunter, . . . if found credible by a jury, would have
been sufficient to convict Jackson”).

       The majority says that if Mr. Jackson proved all of his allegations and if his defense team
had changed its legal strategy and been able to successfully impeach another eyewitness, then
“the testimony of Jackson’s co-defendant Derrick Boone would . . . be left as the only eyewitness
account that identified Jackson as the shooter.” Majority Order at 6. And, of course, the majority
is correct that “‘incriminating testimony from inmates, suspects, or friends or relations of the
accused’ may have less probative value than ‘eyewitnesses with no evident motive to lie.’” Ibid.
(emphasis added) (quoting House v. Bell, 547 U.S. 518, 552 (2006)). But “may have less
probative value” is a far cry from clear and convincing evidence that no rational factfinder would
 No. 21-3102                                 In re Jackson                                Page 16

convict Mr. Jackson. All the more so because the alleged “evidence” is contingent on speculation
about what his defense team might have done differently and with what effect.

       As the majority agrees, a prima facie showing requires “sufficient allegations of fact
together with some documentation that would ‘warrant a fuller exploration in the district court.’”
In re Lott, 366 F.3d 431, 433 (6th Cir. 2004) (quoting Bennett v. United States, 119 F.3d 468,
469 (7th Cir. 1997)). Here, Mr. Jackson’s allegations, even if proved, would not entitle him to
relief. Thus, his allegations do not warrant fuller exploration in the district court, so he has not
made the required prima facie showing. I therefore respectfully dissent from the grant of
authorization to file a second or successive petition.

                                              ENTERED BY ORDER OF THE COURT

                                              Deborah S. Hunt, Clerk