Court Opinion

ID: 4438500
Source: CourtListenerOpinion
Date Created: 2019-09-16 17:00:29.847708+00
Date Added: 2024-06-11T14:51:34.580564
License: Public Domain

RECOMMENDED FOR FULL-TEXT PUBLICATION
                               Pursuant to Sixth Circuit I.O.P. 32.1(b)
                                      File Name: 19a0242p.06

                    UNITED STATES COURT OF APPEALS
                                   FOR THE SIXTH CIRCUIT

 MARK GERTH,                                             ┐
                                 Petitioner-Appellant,   │
                                                         │
                                                          >      No. 17-4091
        v.                                               │
                                                         │
                                                         │
 WARDEN,      ALLEN      OAKWOOD       CORRECTIONAL      │
 INSTITUTION,                                            │
                                 Respondent-Appellee.    │
                                                         ┘

                         Appeal from the United States District Court
                        for the Southern District of Ohio at Cincinnati.
                       No. 1:16-cv-00598—Susan J. Dlott, District Judge.

                            Decided and Filed: September 16, 2019

              Before: DONALD, LARSEN, and NALBANDIAN, Circuit Judges.

                                      _________________

                                          COUNSEL

ON BRIEF: Kort W. Gatterdam, CARPENTER, LIPPS & LELAND, LLP, Columbus, Ohio,
for Appellant. Mary Anne Reese, OFFICE OF THE OHIO ATTORNEY GENERAL,
Cincinnati, Ohio, for Appellee.
                                      _________________

                                           OPINION
                                      _________________

       NALBANDIAN, Circuit Judge. An Ohio jury convicted Mark Gerth of a dozen counts
related to his theft of an SUV and high-speed escape from police, which ended when he plowed
into a taxicab in downtown Cincinnati and killed its two occupants. Gerth now seeks federal
habeas relief, alleging that his appellate counsel failed to argue that the trial court improperly
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denied his request to proceed pro se. Because Gerth procedurally defaulted his claim, we
AFFIRM the district court’s denial of his habeas petition.

                                                        I.

                                                       A.

        In the early morning of March 16, 2011, a Cincinnati police officer on patrol in the city’s
Over-the-Rhine neighborhood spotted a red Toyota SUV and ran its license plate number, only
to discover that it had been reported stolen.1 The SUV stopped after the officer activated his
police cruiser’s emergency lights. But when the officer stepped out of his cruiser to speak with
the driver, the SUV sped away. Officers pursued the SUV through residential streets while the
SUV weaved around traffic and blazed through traffic signals.

        The pursuit ended tragically. Speeding over 75 miles-per-hour, the SUV raced through a
red light in downtown Cincinnati before swiping the front end of a vehicle and then slamming
into a taxicab. The SUV finally came to rest after hitting a parking meter and catching fire. The
SUV’s driver took off on foot, leaving his passenger, who sustained fractures to his leg, inside
the burning vehicle. Rescue workers ultimately freed the passenger from the SUV, and he
survived, but the taxicab’s occupants fared worse. The driver, Mohamed Sidi, died instantly, and
his passenger, Tonya Hairston, died on her way to the hospital.

        Officers apprehended the SUV’s driver shortly after he fled on foot and later identified
the man as Mark Gerth. Although Gerth suffered only minor injuries, police took him to a
hospital, where a toxicology test revealed that he had alcohol, marijuana, and cocaine in his
system.     At trial, a forensic toxicologist testified that the amount of cocaine in Gerth’s
bloodstream would have undermined Gerth’s ability to drive.

        The State charged Gerth with a dozen counts related to the crash: two counts of felony
murder, four counts of aggravated vehicular homicide, one count each of aggravated vehicular
assault and of vehicular assault, two counts of leaving the scene of the accident, one count of

        1These facts come from the last reasoned decision on Gerth’s underlying conviction, State v. Gerth, No. C–
120392, 2013 WL 1820817 at *1-3 (Ohio Ct. App. May 1, 2013).
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failure to comply with the order or signal of a police officer, and one count of receiving stolen
property.

                                                B.

       A half-dozen attorneys have represented Gerth throughout his criminal trial, appeals, and
collateral attacks on his conviction and sentence. In August 2011, months before his April 2012
trial date, Gerth moved to replace his first court-appointed attorney. The court granted Gerth’s
motion and appointed new trial counsel, but in October 2011, Gerth moved to replace that
attorney too. The court denied Gerth’s motion, explaining, “we do have to move this case along.
It has been delayed and really been delayed by continuances and all that, most of or all of which
are at the request of the defendant.” (R. 5-4, Tr. at PageID #482.)

       That ruling did not deter Gerth. When the court held a December 2011 evidentiary
hearing, Gerth interrupted as soon as the proceeding began and stated, “I would like to fire [his
counsel].” (R. 5-5, Tr. at PageID #490.) Despite the court’s attempts to proceed with the
hearing, Gerth continued to interrupt until he “voluntarily absented” himself from the courtroom.
(Id. at PageID #493–94.) Gerth then filed another motion to remove his counsel, and things
came to a head when the court addressed that motion at a March 12, 2012 hearing. After
extensive crosstalk between the court and Gerth, the court denied the motion, explaining that
“[w]e’re not continuing the case.” (R. 5-7, Tr. at PageID #555.) Gerth then responded, “I would
rather represent myself than allow this man to represent me.” (Id. at PageID #556.) The court
denied that request.

       After that hearing adjourned, Gerth filed a motion requesting to proceed pro se. The
court permitted Gerth to read aloud the motion on April 2, the day of jury selection, and then
denied the motion on two grounds. First, the court described Gerth’s mental illness, for which
Gerth had been hospitalized. (R. 5–8, Tr. at PageID #582–83.) Second, the court explained that
Gerth’s pro se request was untimely and “an attempt . . . to further delay this trial.” (Id. at
PageID #584.) The court noted that Gerth “had been disruptive in the past hearings,” so much so
that the court “had to eject him . . . because, again, he attempted to interfere with the
administration of justice.” (Id.) The court found that while Gerth was competent to stand trial,
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he was “not competent to make a knowing[], intelligent[] and voluntary waiver of his counsel.”
(Id. at PageID #585.) So Gerth’s second court-appointed attorney represented him at trial.

       The jury convicted Gerth on all twelve counts, and the trial court sentenced him to
582-months to life in prison. A new attorney represented Gerth on appeal and argued that
insufficient evidence supported Gerth’s convictions for felony murder and receiving stolen
property.   But the Ohio Court of Appeals affirmed Gerth’s convictions, Gerth, 2013 WL
1820817, at *3, and the Ohio Supreme Court declined to exercise discretionary review of that
decision, State v. Gerth, 994 N.E.2d 464 (Ohio 2013) (table). The trial court then denied Gerth’s
untimely pro se petition for post-conviction relief, and the Ohio Court of Appeals affirmed that
decision as well.

       Gerth then filed his first application to reopen his appeal under Ohio R. App. P. 26(B).
Proceeding pro se, Gerth alleged that his appellate counsel was ineffective by not raising three
arguments: (1) that the trial court failed to conduct an inquiry under Faretta v. California, 422
U.S. 806 (1975), to determine whether Gerth made his pro se request knowingly, intelligently,
and voluntarily, and then improperly denied Gerth’s request; (2) that trial counsel rendered
ineffective assistance by failing to adequately investigate the case and oppose his consecutive
sentences; and (3) that the trial court erred by imposing sentences on both of his two convictions
for leaving the scene of the accident. The Ohio Court of Appeals, which reviewed Gerth’s
application, discussed only the third assignment of error and ordered a reopened appeal. The
court appointed new appellate counsel and instructed counsel to “present in the appellant’s brief
an assignment of error concerning the matter identified here as a ground for reopening, along
with any other nonfrivolous assignment of error or argument not previously considered.” (R. 5,
Ex. 39, Order Grant’g Appl. to Reopen Appeal at PageID #263.)

       As instructed, Gerth filed a timely brief addressing three assignments of error. The first
two assignments related to the third ground for reopening the appeal: Gerth alleged that his first
appellate counsel failed to argue that his convictions and sentences for leaving the scene of the
accident should have merged. And Gerth identified a new assignment of error that he did not
previously address in his Rule 26(B) application, contending that his first appellate counsel failed
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to make a Confrontation Clause argument. But Gerth’s brief did not mention Faretta or the trial
court’s denial of his request to proceed pro se.

       Although the Ohio Court of Appeals rejected the Confrontation Clause assignment of
error, it sustained the first two assignments of error, vacated Gerth’s sentence, and remanded the
matter to the trial court to resentence Gerth on just one count of leaving the scene of the accident.
State v. Gerth, No. C-120393, 2014 WL 5306631, at *3 (Ohio Ct. App. Oct. 17, 2014). The trial
court then resentenced Gerth to a term of 546-months to life in prison. Gerth appealed his
resentencing with a different appellate attorney and alleged that the findings in the record did not
support the sentence. That appeal did not succeed.

       After his resentencing, Gerth filed another application to reopen his appeal under Rule
26(B), again through new counsel. This time, Gerth argued that his second appellate counsel—
that is, his appellate counsel on the reopened appeal—rendered ineffective assistance by failing
to raise six additional arguments on the reopened appeal. Only one is relevant here: his second
appellate counsel’s failure to argue that the trial court neglected to conduct a Faretta inquiry and
improperly denied Gerth’s request to proceed pro se.

       The Ohio Court of Appeals denied Gerth’s second application to reopen his appeal,
noting that Ohio law “makes no provision for a successive application” and holding that res
judicata barred all of Gerth’s claims. (R. 5, Ex. 50, Order Den. Appl. to Reopen Appeal at
PageID #393.) Gerth appealed the denial to the Ohio Supreme Court, but that court declined to
review the appeal. State v. Gerth, 36 N.E.3d 190 (Ohio 2015) (table).

                                                       C.

       With nowhere to turn in state court, Gerth petitioned for a writ of habeas corpus in
federal court under 28 U.S.C. § 2254, raising three grounds for relief from his state court
conviction. Relevant to this appeal, Gerth alleges that his appellate counsel rendered ineffective
assistance by not arguing that the trial court failed to conduct a Faretta inquiry and improperly
denied his request to proceed pro se.2              The magistrate judge filed an initial report and

       2We   call this claim Gerth’s “Faretta argument.”
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recommendation, which concluded that although Gerth had preserved the Faretta argument for
review, it should be dismissed with prejudice. Nonetheless, the magistrate judge issued a
supplemental report recommending that the district court grant a certificate of appealability on
Gerth’s Faretta argument. The district court adopted the recommendations and denied the
petition with prejudice while also granting a certificate of appealability on the Faretta argument.
Gerth appeals the denial of his petition.

                                                II.

       We review de novo the district court’s denial of a habeas petition. Babick v. Berghuis,
620 F.3d 571, 576 (6th Cir. 2010). Because the district court neither conducted an evidentiary
hearing nor made factual findings of its own, we defer to the state court’s factual findings and
presume that they are correct, absent a showing of clear and convincing evidence to the contrary.
Hodgson v. Warren, 622 F.3d 591, 598 (6th Cir. 2010).

       Before we reach the merits of a habeas petition, however, we review whether the
petitioner has satisfied the state procedural requirements for litigating his federal claim in state
court. Bickham v. Winn, 888 F.3d 248, 250–51 (6th Cir. 2018) (citing Seymour v. Walker, 224
F.3d 542, 550 (6th Cir. 2000)). If he has not satisfied those requirements—and procedurally
defaulted his claim—he cannot present the claim in federal court. Id. at 251. We review de
novo whether the petitioner has procedurally defaulted his claim. Id.

                                                A.

       A petitioner seeking a writ of habeas corpus must comply with two procedural
requirements, both grounded in the interests of comity and federalism, before a federal court may
review the petitioner’s claim. First, the petitioner must exhaust all available opportunities to
pursue his claim in state court before he may litigate that claim in federal court. 28 U.S.C.
§ 2254(b)(1)(A). This exhaustion requirement “is designed to avoid the ‘unseemly’ result of a
federal court ‘upset[ting] a state court conviction without’ first according the state courts an
‘opportunity to . . . correct a constitutional violation.’” Davila v. Davis, 137 S. Ct. 2058, 2064
(2017) (quoting Rose v. Lundy, 455 U.S. 509, 518 (1982)) (alterations in original). Second, and
relatedly, the procedural default doctrine bars our review if the petitioner has not followed the
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state’s procedural requirements for presenting his claim in state court. Coleman v. Thompson,
501 U.S. 722, 732 (1991). Thus, a federal court will not review a habeas petition if “the last
state-court judgment denying relief on the claim rests on a procedural state-law ground that is
‘independent of the federal question and is adequate to support the judgment.’” Lovins v.
Parker, 712 F.3d 283, 295 (6th Cir. 2013) (quoting Coleman, 501 U.S. at 729–30).

       The government argues that these doctrines preclude us from reviewing Gerth’s
ineffective assistance of counsel claim. But Gerth argues that the government itself has forfeited
these arguments. After Gerth filed his habeas petition alleging several examples of ineffective
assistance of appellate counsel, the government filed an answer, in which it argued both that
Gerth had procedurally defaulted his Faretta argument and that the argument was meritless. The
magistrate judge disagreed with the government’s procedural default argument, finding that the
claim was “preserved for review under 28 U.S.C. § 2554(d)(1),” but nevertheless recommended
dismissing the claim on the merits. (R. 14, R. & R. at PageID #1190.) The government did not
object to the magistrate judge’s rejection of its procedural default argument, either after the
initial report and recommendation or after the supplemental report and recommendation. So
Gerth contends that the government cannot raise the argument on appeal.

       A party may forfeit its ability to raise an issue that the magistrate judge has rejected if the
party did not timely object to the magistrate judge’s findings and recommendations. See Fed. R.
Civ. P. 72(b)(2); United States v. Walters, 638 F.2d 947, 949–50 (6th Cir. 1981). But that rule is
not absolute. For one, we have held that when a party substantially prevails before a magistrate
judge, it “does not waive the right to appeal secondary issues resolved against him by failing to
object to the recommendation.” Souter v. Jones, 395 F.3d 577, 586 (6th Cir. 2005). And in the
habeas context, we have considered the government’s procedural default argument on appeal—
even when a magistrate judge recommended denying a habeas petition on the merits and the
government did not object to the implicit rejection of its procedural default argument. Vanwinkle
v. United States, 645 F.3d 365, 371 (6th Cir. 2011). In Vanwinkle, we explained that after the
magistrate judge had ruled in the government’s favor on the merits, “the government merely
chose not to object to this finding by raising an alternative ground for finding in its favor.” Id.
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We said it would be “illogical” to require the government to raise an objection in that posture.
Id. That same reasoning applies here.

                                                   B.

       We turn now to the government’s argument that Gerth procedurally defaulted his habeas
claim. Gerth’s federal claim is that he received ineffective assistance of counsel because his
appellate counsel did not raise the Faretta argument to overturn his state court conviction. But
Gerth, of course, has had several appeals and still more attorneys, so to orient ourselves, we
review the history of Gerth’s trial and appeals.

       Gerth’s first opportunity to raise the Faretta argument was on the direct appeal of his
criminal conviction, although his appellate counsel did not do so. After the Ohio Court of
Appeals affirmed his conviction, Gerth sought to reopen his appeal under Rule 26(B), a post-
conviction mechanism to challenge the adequacy of appellate counsel.             When a criminal
defendant applies to reopen his appeal under Rule 26(B), he must present:

       One or more assignments of error or arguments in support of assignments of error
       that previously were not considered on the merits in the case by any appellate
       court or that were considered on an incomplete record because of appellate
       counsel’s deficient representation[.]

Ohio R. App. P. 26(B)(2)(c).       The Ohio Court of Appeals, which considers Rule 26(B)
applications, must grant the application “if there is a genuine issue as to whether the applicant
was deprived of the effective assistance of counsel on appeal.” Ohio R. App. P. 26(B)(5). And
if the Ohio Court of Appeals grants the application, the case “shall proceed as on an initial appeal
in accordance with these rules except that the court may limit its review to those assignments of
error and arguments not previously considered.” Ohio R. App. P. 26(B)(7).

       Gerth filed two applications under Rule 26(B). In his first application, Gerth identified
three assignments of error, alleging that his appellate counsel: (1) failed to raise the Faretta
argument; (2) failed to conduct a meaningful investigation into the facts and law of his case; and
(3) failed to argue that the trial court improperly sentenced him on two counts of leaving the
scene of an accident. Although the Ohio Court of Appeals granted Gerth’s application and
reopened the appeal, it never addressed the Faretta argument.          Instead, the court focused
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exclusively on Gerth’s third assignment of error and concluded that Gerth “demonstrated a
genuine issue as to whether he was denied the effective assistance of counsel.” (R. 5, Ex. 39,
Order Grant’g Appl. to Reopen Appeal at PageID #263.) And then the court instructed Gerth’s
new appellate counsel to present in his brief an assignment of error about the sentencing issue, as
well as “any other nonfrivolous assignment of error or argument not previously considered.”
(Id.)

        Adopting the magistrate judge’s recommendations, the district court determined that the
Ohio Court of Appeals silently rejected Gerth’s Faretta argument as a basis for reopening the
appeal. The government asks us to draw the same conclusion—and Gerth does not argue
otherwise. Although their instincts are correct, their precise conclusion here is not. True, when a
party presents a federal claim before a state court and the claim goes unaddressed, we “must
presume that the federal claim was adjudicated on the merits.” Ross v. Pineda, 549 F. App’x
444, 455 (6th Cir. 2013) (quoting Johnson v. Williams, 568 U.S. 289, 301 (2013)). But we do
not draw that inference here because the Ohio Court of Appeals was not adjudicating the issues
in Gerth’s Rule 26(B) application on the merits. Instead, the Ohio Court of Appeals had to
determine whether any of the issues Gerth raised warranted reopening his appeal, and it found
that Gerth’s third assignment of error did. As soon as the Ohio Court of Appeals identified one
assignment of error as grounds for reopening the appeal, it could stop its analysis without
addressing Gerth’s other assignments of error. Thus, we cannot infer that the Ohio Court of
Appeals rejected Gerth’s Faretta argument.

        When the Ohio Court of Appeals granted Gerth’s 26(B) application, it also appointed
Gerth new appellate counsel and instructed Gerth to bring any nonfrivolous assignment of error
that it had not previously considered. That instruction opened the door for Gerth to raise his
Faretta argument, but he did not do so. Instead, he raised three different assignments of error on
the reopened appeal; the Ohio Court of Appeals sustained two of the three assignments and
remanded the case to the trial court for resentencing. Gerth, 2014 WL 5306631, at *3.

        After the district court resentenced him, Gerth filed his second Rule 26(B) application,
this time alleging that his second appellate counsel—i.e., his attorney on the reopened appeal—
rendered ineffective assistance. In that application, Gerth identified six assignments of error,
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including that his second appellate counsel failed to raise the Faretta argument on the reopened
appeal. The Ohio Court of Appeals, however, did not address whether any of those alleged
errors created a genuine issue of whether Gerth received effective assistance of counsel. Rather,
the court explained that Rule 26(B) “makes no provision for a successive petition” and that, in
any case, “the challenges that Gerth advances here to his appellate counsel’s effectiveness in
prosecuting his appeal either were or could have been raised in his first application.” (R. 5, Ex.
50, J. at PageID #393–94.) Thus, the court held that the “doctrine of res judicata bars him from
presenting these challenges in this successive application” and denied Gerth’s 26(B) application.
(Id. at PageID #394.) Gerth appealed the Ohio Court of Appeals’ decision to the Ohio Supreme
Court, but that court declined to review the appeal.

        That leaves us with the following question: does Ohio’s res judicata doctrine act as a
procedural bar to our review of Gerth’s federal claim? To answer that question, we apply the
four-part test from Maupin v. Smith, 785 F.2d 135, 138 (6th Cir. 1986) and decline to review
Gerth’s claim if: (1) Gerth failed to comply with Ohio’s res judicata doctrine; (2) Ohio courts
enforce that doctrine; (3) res judicata is an adequate and independent state ground for denying
review of a constitutional claim; and (4) Gerth cannot show cause and prejudice excusing the
default. See Webb v. Mitchell, 586 F.3d 383, 397 (6th Cir. 2009) (citing Maupin, 785 F.2d at
138).

        We consider first whether Gerth has complied with Ohio’s res judicata doctrine. The
Ohio Supreme Court has described res judicata as the rule:

        [T]hat a final judgment rendered by a court of competent jurisdiction on the
        merits is conclusive as to the rights of the parties and their privies, and, as to
        them, constitutes an absolute bar to a subsequent action involving the same claim,
        demand or cause of action.

State v. Davis, 894 N.E.2d 1221, 1223 (Ohio 2008) (internal quotation marks omitted). That
doctrine applies to 26(B) proceedings. Indeed, the Ohio Supreme Court has repeatedly held that
“[o]nce ineffective assistance of counsel has been raised and adjudicated, res judicata bars its
relitigation.” State v. Twyford, 833 N.E.2d 289, 290 (Ohio 2005) (quoting State v. Williams,
790 N.E.2d 299, 300–01 (Ohio 2003)). When the Ohio Court of Appeals granted Gerth’s first
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26(B) application, appointed Gerth counsel, and reopened Gerth’s appeal, Gerth could have
raised all of the alleged deficiencies in his representation on direct appeal, including that his first
appellate counsel rendered ineffective assistance by not raising the Faretta argument. But
Gerth’s second appellate counsel never raised the Faretta argument on the reopened appeal, and
that decision precludes Gerth from raising the argument again in state court. That Gerth’s
second appellate counsel may have erred by not raising the Faretta argument does not change
this underlying fact: res judicata bars Gerth from raising the Faretta argument in a second 26(B)
application when he could have raised that argument on the reopened appeal.

       The second Maupin factor asks us to determine whether Ohio courts enforce res judicata.
They do. See Twyford, 833 N.E.2d at 290; Williams, 790 N.E.2d at 300–01; State v. Cheren, 652
N.E.2d 708, 708–09 (Ohio 1995). And under the third Maupin factor, we must consider whether
res judicata is an adequate and independent state ground to foreclose our review of Gerth’s
federal claim. We have repeatedly said that it is. See, e.g., Landrum v. Mitchell, 625 F.3d 905,
934 (6th Cir. 2010) (“The Ohio Court of Appeals’s reliance on res judicata was an adequate and
independent state ground to foreclose habeas relief in federal court.”); Fautenberry v. Mitchell,
515 F.3d 614, 633 (6th Cir. 2008); Williams v. Bagley, 380 F.3d 932, 967 (6th Cir. 2004); Martin
v. Mitchell, 280 F.3d 594, 604 (6th Cir. 2002).

       Our analysis turns on the fourth Maupin factor: whether Gerth can show cause and
prejudice to excuse his default. In Murray v. Carrier, the Supreme Court explained that a
petitioner seeking to show cause must identify “some objective factor external to the defense
[that] impeded counsel’s efforts to comply with the State’s procedural rule.” 477 U.S. 478, 488
(1986). One such example is “attorney error rising to the level of ineffective assistance of
counsel.” Hargrave-Thomas v. Yukins, 374 F.3d 383, 388 (6th Cir. 2004); see also Edwards v.
Carpenter, 529 U.S. 446, 451 (2000) (citing Murray, 477 U.S. at 488–89).

       Gerth argues that his second appellate counsel rendered ineffective assistance by not
raising the Faretta argument on the reopened appeal—and that the deficient representation
serves as cause for his procedural default. Gerth’s argument has merit only if his attorney’s
ineffectiveness amounted to a constitutional violation. Coleman, 501 U.S. at 754. And that turns
on whether Gerth had a constitutional right to counsel on the reopened appeal: there can be no
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constitutional violation if Gerth had no constitutional right to counsel at the stage of the
proceeding allegedly tainted by ineffective assistance. See Carter v. Mitchell, 693 F.3d 555, 565
(6th Cir. 2012). So we must determine whether Gerth had a constitutional right to counsel after
the Ohio Court of Appeals granted his first Rule 26(B) application and reopened his appeal.

       There is no dispute that Gerth had a constitutional right to counsel on direct appeal. See,
e.g., Evitts v. Lucey, 469 U.S. 387, 393–94 (1985); Douglas v. California, 372 U.S. 353 (1963).
But it is equally well-settled that Gerth did not have a constitutional right to counsel when he
applied to reopen his appeal before the Ohio Court of Appeals.             The Supreme Court has
explained that a defendant has “no constitutional right to an attorney in state post-conviction
proceedings” and therefore “cannot claim constitutionally ineffective assistance of counsel in
such proceedings.” Coleman, 501 U.S. at 752. And sitting en banc, we concluded that the 26(B)
application is “part of the collateral, postconviction process rather than direct review” and held
that a defendant who applies to reopen his appeal under Rule 26(B) has no constitutional right to
counsel at the application stage. Lopez v. Wilson, 426 F.3d 339, 351 (6th Cir. 2005) (en banc).
But Lopez does not answer our question: whether Gerth had a constitutional right to counsel
after the Ohio Court of Appeals granted his 26(B) application, appointed Gerth counsel, and
reopened the appeal.

       We hold that a reopened appeal under Rule 26(B) is also part of the collateral,
postconviction process—and that Gerth therefore did not have a constitutional right to counsel at
that stage of the proceeding. Rule 26(B)’s text makes clear that a reopened appeal is not simply
a do-over of the direct appeal. For one, the rule limits the arguments that the petitioner can raise
on the reopened appeal. The court itself may “limit its review to those assignments of error and
arguments not previously considered [on direct appeal].” Ohio R. App. P. 26(B)(7). And
although the rule states that “[i]f the application is granted, the case shall proceed as on an initial
appeal,” id., the petitioner cannot make just any legal argument on the reopened appeal. Rather,
the Ohio Court of Appeals “shall vacate its prior judgment and enter the appropriate judgment”
only if it “finds that the performance of appellate counsel was deficient and the applicant was
prejudiced by that deficiency.” Ohio R. App. P. 26(B)(9). “If the court does not so find, the
court shall issue an order confirming its prior judgment.” Id. These rules tell us that the
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petitioner must present all arguments on the reopened appeal within the framework of a claim for
ineffective assistance of appellate counsel. Rather than simply identify trial court errors as he
would on direct appeal, the petitioner must show that his appellate counsel made an objectively
unreasonable decision by not raising the trial court error and that he suffered prejudice because
of that decision. See Webb, 586 F.3d at 399.3

        Our conclusion that a reopened appeal is a collateral proceeding matches the Ohio
Supreme Court’s precedents. In Morgan v. Eads, the Ohio Supreme Court described Rule 26(B)
as creating a “separate collateral opportunity to raise ineffective-appellate-counsel claims” and
explained that a successful application “was never intended to constitute part of the original
appeal.” 818 N.E.2d 1157, 1158 (Ohio 2004). The Morgan court carefully studied the rule,
distinguishing the Ohio Court of Appeals’ jurisdiction on the reopened appeal from that court’s
jurisdiction over direct appeals and providing several reasons why Rule 26(B) proceedings are
collateral. First, the court explained that the petitioner must submit additional information
outside the trial court record to support his ineffective assistance of counsel claim; on direct
appeal, the appellate court may consider only the trial record. Id. at 1159. Second, the court
noted that the Ohio Court of Appeals ordinarily lacks jurisdiction to alter or amend its judgment
if an appeal is pending before the Ohio Supreme Court. But the Ohio Court of Appeals can
reopen an appeal under Rule 26(B), even as the direct appeal is pending before the Ohio
Supreme Court. Id. at 1159–60. Third, the court held that when the Ohio Court of Appeals
grants the 26(B) application and reopens the appeal, the original appellate decision “remains in
effect until vacated.” Id. at 1160. Thus, the 26(B) application “does not start the appeal process
all over again,” just as a successful postconviction petition under Ohio Rev. Code § 2953.21 “is
not equivalent to a new trial.” Id. Finally, the court clarified that although the Ohio Court of
Appeals must appoint counsel when it reopens an appeal, the United States Constitution does not
        3Decisions    from the Ohio Court of Appeals also underscore that the petitioner must present his substantive
arguments on the reopened appeal within the ineffective assistance of counsel framework. That court has declined
to consider assignments of error that a petitioner presented on the reopened appeal because the assignments failed to
allege ineffective assistance of appellate counsel. See, e.g., State v. Hamilton, No. 96 CA 15A, 2000 WL 1591117,
at *2 (Ohio Ct. App. Oct. 23, 2000). Indeed, the court explained that those assignments “are not properly before us
in accordance with [Rule] 26(B).” Id.; see also State v. Jones, No. 96-A-0009, 1999 WL 689944, at *2 (Ohio Ct.
App. Aug. 27, 1999) (Rule 26(B) requires petitioner to challenge appellate counsel’s effectiveness rather than
simply identify trial court errors). Under these decisions, the reopened appeal is procedurally and substantively
distinct from the direct appeal.
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compel that outcome. That Ohio appoints counsel in such cases reflects a policy choice rather
than a constitutional mandate. Id. at 1160–61. For those reasons, the Ohio Supreme Court
described the reopened appeal as “an attack on the outcome of [the direct] appeal, not a part of
the appeal,” and we find that conclusion persuasive. Id. at 1160. Because Gerth had no
constitutional right to counsel on the reopened appeal, his attorney’s performance cannot excuse
the procedural default of the Faretta argument.

        As always, there is an exception to the rule. Although the Supreme Court held in
Coleman that ineffective assistance of counsel in a postconviction proceeding cannot qualify as
cause to excuse the petitioner’s procedural default, 501 U.S. at 752, the Court has since
identified a “narrow exception” to that general rule. Martinez v. Ryan, 566 U.S. 1, 9 (2012). In
Martinez, the Court considered whether a petitioner could show cause to excuse his procedural
default in a post-conviction proceeding where—critically—that proceeding presented his first
opportunity to allege ineffective assistance of trial counsel. Id. at 5. The Court remarked that
because Arizona prohibited criminal defendants from raising ineffective assistance of trial
counsel arguments on direct appeal, the post-conviction proceeding “is in many ways the
equivalent of a prisoner’s direct appeal as to the ineffective-assistance claim.” Id. at 11. Finding
it “necessary to modify the unqualified statement in Coleman that an attorney’s ignorance or
inadvertence in a postconviction proceeding does not qualify as a cause to excuse a procedural
default,” the Court announced a “narrow exception” to Coleman: “Inadequate assistance of
counsel at initial-review collateral proceedings may establish cause for a prisoner’s procedural
default of a claim of ineffective assistance at trial.” Id. at 9.

        The Court’s holding in Martinez does not, however, dictate a similar outcome here.
Indeed, the Court’s recent decision in Davila forecloses any support that Martinez may have
offered to excuse Gerth’s procedural default. In Davila, the petitioner argued that his state-
appointed postconviction counsel failed to raise his ineffective assistance of appellate counsel
claim in his state habeas petition—and that the error provided cause to excuse his procedural
default. 137 S. Ct. at 2063. Much like the petitioner in Martinez, the petitioner in Davila could
not raise his ineffective assistance of appellate counsel claim until the postconviction, state
habeas proceeding.      The Court, however, distinguished Martinez, which “was principally
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concerned about trial errors—in particular, claims of ineffective assistance of trial counsel”—
from the “distinct context of ineffective assistance of appellate counsel.” Id. at 2066–67. So out
of “respect [for] that judgment,” the Court declined to expand Martinez to procedurally defaulted
claims of ineffective assistance of appellate counsel. Id.

          Because Gerth had no constitutional right to counsel on the reopened appeal, he cannot
excuse his procedural default. See Coleman, 501 U.S. at 752.

                                                III.

          For these reasons, we AFFIRM the district court’s denial of Gerth’s petition for habeas
corpus.