Court Opinion

ID: 2974722
Source: CourtListenerOpinion
Date Created: 2015-09-22 17:22:21.69677+00
Date Added: 2024-06-11T15:33:20.352428
License: Public Domain

NOT RECOMMENDED FOR FULL-TEXT PUBLICATION
                          File Name: 07a0014n.06
                           Filed: January 8, 2007

                                          04-3301

                        UNITED STATES COURT OF APPEALS
                             FOR THE SIXTH CIRCUIT

MELVIN BONNELL,                               )
                                              )
       Petitioner-Appellant,                  )
                                              )
v.                                            )   ON APPEAL FROM THE UNITED
                                              )   STATES DISTRICT COURT FOR THE
BETTY MITCHELL,                               )   NORTHERN DISTRICT OF OHIO
                                              )
       Respondent-Appellee.                   )

       Before: DAUGHTREY, GILMAN, and SUTTON, Circuit Judges.

       MARTHA CRAIG DAUGHTREY, Circuit Judge. The petitioner, Melvin Bonnell, is

a prisoner on Ohio’s death row, having been convicted of aggravated burglary and capital

murder in the death of Robert Eugene Bunner in November 1987.                  Following the

unsuccessful exhaustion of his remedies in state court, Bonnell filed a petition for a writ of

habeas corpus in federal district court but was denied relief there as well. He now appeals

the district court’s judgment, contending (1) that the state improperly suppressed

exculpatory evidence, (2) that the district court erred in denying him discovery and an

evidentiary hearing on his allegations of suppression and destruction of such exculpatory

evidence, (3) that the prosecution failed to correct materially false testimony at trial, and

(4) that the prosecution was guilty of misconduct throughout the trial. Because the
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Bonnell v. Mitchell

certificate of appealability that creates our jurisdiction to review the district court’s judgment

does not cover the second issue, we must confine our review to the remaining three

issues. As to them, we find no reversible error on the part of the district court, and we

therefore affirm the decision denying relief to the petitioner.

                      I. FACTUAL AND PROCEDURAL BACKGROUND

       On direct appeal from Bonnell’s conviction in state court, the Supreme Court of Ohio

offered the following summary of the relevant evidence heard by the jury in this case:

              Shirley Hatch, Edward Birmingham and Robert Eugene Bunner
       shared an apartment on Bridge Avenue in Cleveland, Ohio. On November
       28, 1987, at approximately 3:00 a.m., Hatch heard someone knock at the
       kitchen door of the apartment. Hatch asked who was at the door and a voice
       replied, “Charles.” Bunner opened the door and the appellant, Melvin
       Bonnell, entered the apartment and closed the door behind him. Appellant
       uttered an expletive directed at Bunner and then proceeded to fire two
       gunshots at Bunner at close range. Bunner fell to the floor and Hatch, who
       had witnessed the shooting, ran to a bedroom where Birmingham was
       sleeping. Hatch heard two more gunshots, awoke Birmingham to tell him
       that Bunner had been shot, and then fled from the apartment to call
       paramedics. Birmingham went to the kitchen.
               Upon entering the kitchen, Birmingham observed appellant who was
       on top of Bunner “. . . pounding him in the face.” Birmingham also observed
       bullet holes in Bunner’s body. Birmingham grabbed appellant and ejected
       him from the apartment.
               At approximately 3:40 a.m., two Cleveland police officers were
       patrolling Bridge Avenue in a police cruiser when they observed a blue
       vehicle being driven backwards on Bridge Avenue with its headlights off.
       The officers attempted to stop the vehicle, and a high-speed chase ensued
       when the driver of the vehicle failed to stop. During the chase, the officers
       never lost sight of the vehicle except, perhaps, for a few seconds. The
       officers never saw anyone in the vehicle except the driver. No one exited the
       vehicle during the chase. The chase ended when the driver of the blue

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       vehicle crashed into the side of a funeral chapel. The officers removed the
       driver from the vehicle and placed him on the ground. Both officers identified
       appellant as the driver of the vehicle.
              Shortly after the accident, Cleveland police officers Stansic and
       Kukula arrived at the crash site and saw a man lying on the ground with
       police officers standing over him. However, officers Stansic and Kukula left
       the accident scene almost immediately thereafter in response to a radio call
       regarding the shooting at the Bridge Avenue apartment.
               Upon arriving at the apartment, officers Stansic and Kukula
       interviewed Hatch and Birmingham who provided the officers with a
       description of Bunner’s assailant. The officers recognized the witnesses’
       description as meeting the description of the man they had observed at the
       accident scene. The officers asked Birmingham to accompany them to the
       hospital where the man had been transported following the accident. At the
       hospital, Birmingham identified appellant as Bunner’s assailant.
              Bunner died as a result of a gunshot wound to the chest. An autopsy
       revealed that Bunner was shot twice, once in the chest and once in the pubic
       region. Both bullets were recovered from the body.
               Police officers retraced the chase scene and found a .25 caliber
       automatic pistol which was later identified as appellant’s. The weapon was
       test-fired and the test bullets were compared to the bullets found in Bunner’s
       body. The test bullets and the bullets retrieved from Bunner’s body had the
       same characteristics, and test casings matched spent bullet casings found
       at the murder scene.
              Appellant was tried before a jury for the aggravated murder of Robert
       Bunner and for the commission of an aggravated burglary. The jury found
       appellant guilty on one count of aggravated burglary, one count of
       aggravated (felony) murder, and one count of aggravated murder for
       purposely, and with prior calculation and design, causing Bunner’s death.
       In addition, appellant was found guilty of a death penalty specification in
       connection with each count of aggravated murder. For each count of
       aggravated murder, the trial judge, following the jury’s recommendation,
       imposed a sentence of death. The court of appeals affirmed the convictions
       and death penalty.

State v. Bonnell, 573 N.E.2d 1082, 1084-85 (Ohio 1991).

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       The appellant was unsuccessful in securing relief on direct appeal, relief pursuant

to his application for delayed reconsideration, or relief through state post-conviction

procedures. He thus filed a habeas corpus petition in federal district court on March 1,

2000, raising 20 constitutional claims. The district court also denied relief to the petitioner

and rejected Bonnell’s requests for additional discovery and for an evidentiary hearing on

his claims of prosecutorial destruction and suppression of exculpatory evidence. The court

did, however, grant a certificate of appealability on six of the 20 claims raised in the habeas

corpus petition, only three of which have been presented for review on appeal to this court.

                                      II. DISCUSSION

       “This court reviews a district court’s legal conclusions in a habeas proceeding de

novo and its factual findings for clear error.” Greer v. Mitchell, 264 F.3d 663, 671 (6th Cir.

2001) (citing Lucas v. O’Dea, 179 F.3d 412, 416 (6th Cir. 1999)). Decisions by state courts

on the merits of constitutional claims raised by the petitioner are, however, subject to a

more deferential standard of review.

       Because Bonnell filed his petition for issuance of the writ of habeas corpus on

March 1, 2000, well after the April 24, 1996, effective date of the Antiterrorism and

Effective Death Penalty Act of 1996 (AEDPA), Pub.L.No. 104-132, 110 Stat. 1214 (1996),

the provisions of that act govern the resolution of this dispute. See Lindh v. Murphy, 521

U.S. 320, 336 (1997); Greer, 264 F.3d at 671. Pursuant to the provisions of AEDPA, a

federal court may not grant the writ unless the state court adjudication on the merits either:

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       (1) resulted in a decision that was contrary to, or involved an unreasonable
       application of, clearly established Federal law, as determined by the
       Supreme Court of the United States; or
       (2) resulted in a decision that was based upon an unreasonable
       determination of the facts in light of the evidence presented in the State court
       proceeding.

28 U.S.C. § 2254(d).

       As explained by the United States Supreme Court in Williams v. Taylor, 529 U.S.

362, 412-13 (2000):

       Under the “contrary to” clause, a federal habeas court may grant the writ if
       the state court arrives at a conclusion opposite to that reached by this Court
       on a question of law or if the state court decides a case differently than this
       Court has on a set of materially indistinguishable facts. Under the
       “unreasonable application” clause, a federal habeas court may grant the writ
       if the state court identifies the correct governing legal principle from this
       Court’s decisions but unreasonably applies that principle to the facts of the
       prisoner’s case.

Moreover, in deciding whether a state court ruling involved an “unreasonable application”

of federal law, a habeas court does not focus merely upon whether the state court decision

was erroneous or incorrect; rather, a federal court may issue a writ of habeas corpus only

if the state court’s application of clearly-established federal law was objectively

unreasonable. See id. at 409-11.

A. State Suppression of Material and Exculpatory Evidence

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       In his first issue on appeal, petitioner Bonnell asserts that the State of Ohio failed

to give pretrial notice of certain pieces of evidence that either tended to exonerate him or

that cast doubt upon the veracity and credibility of prosecution witnesses. In Brady v.

Maryland, 373 U.S. 83 (1963), the United States Supreme Court imposed upon the

prosecution in a criminal case the “obligation to turn over material that is both favorable to

the defendant and material to guilt or punishment.” United States v. Bencs, 28 F.3d 555,

560 (6th Cir. 1994). “Moreover, it is well-settled that this disclosure obligation includes

evidence that could be used to impeach the credibility of a witness.” Schledwitz v. United

States, 169 F.3d 1003, 1011 (6th Cir. 1999) (citing Giglio v. United States, 405 U.S. 150,

154-55 (1972)). Nevertheless, a Brady violation will not result in a new trial for a criminal

defendant unless the court concludes that the improperly withheld evidence “could

reasonably be taken to put the whole case in such a different light as to undermine

confidence in the verdict.” Kyles v. Whitley, 514 U.S. 419, 435 (1995).

       In this case, Bonnell alleges that the prosecution withheld from him police

investigative reports that contained information that would have led the jury to a different

verdict than the one it ultimately rendered. First, the petitioner insists that the state should

have informed him whether gunshot residue tests performed on Bonnell’s jacket and hands

were positive or negative. According to the petitioner, a negative result on such laboratory

tests would indicate that the petitioner did not fire the weapon that killed Eugene Bunner.

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       After trial, the defense did obtain a report from the Cuyahoga County Coroner’s

Laboratory confirming that “no reaction” was detected when Bonnell’s jacket was tested

for the presence of nitrites. Without question, had such results been shared with the

defense team prior to trial, counsel could have advanced the argument that a negative test

result for gunshot residue proved that Bonnell was not involved in the shooting. A member

of the Cuyahoga County Trace Evidence team testified, however, that a negative gunshot

residue test result is not necessarily indicative of a lack of contact with a weapon. As

explained by the witness:

       On this particular individual I did not have any reaction for lead or barium.
       This simply means that the laboratory does not have any indications that this
       gentleman fired a gun. It does not rule out, a negative test does not, does
       not make a positive finding. It simply means that laboratorywise we have no
       evidence.

       Moreover, the appellate record contains no indication that a gunshot residue test

was ever actually performed on Bonnell’s hands. Although the petitioner’s hands were

“bagged” to preserve any traces of residue for just such a test, and although a defense

expert later stated that a firearm like the murder weapon “would produce significant

amounts of gunshot residue” “likely to be deposited on the hands of a person firing this

type of weapon,” the failure of both the prosecution and the defense to uncover any

evidence that such an examination occurred leads to a conclusion that no Brady violation

is present in this regard.

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       In any event, defense counsel was able to make use during closing argument of the

state’s failure to provide the test results on Bonnell’s hands. As one of his last statements

to the jury, the petitioner’s lawyer surmised:

       And I wonder what the tests that the police performed on [the petitioner’s]
       hands, the gun powder residue test showed. You’ll never know, will you?
       I know one thing, if they were positive, if they showed that this guy fired a
       gun, they would be here with bells on telling you that from that witness stand.
       But you’ll never know.

Thus, the petitioner was, in fact, able to present to the jury his theory that gunshot residue

tests on Bonnell were negative and that such laboratory results necessarily cast doubt

upon evidence of the petitioner’s guilt. Even in light of that argument, however, the jury still

voted unanimously to convict Bonnell of the crimes for which he was indicted. The

petitioner is thus unable to establish that disclosure of the allegedly suppressed evidence

would have altered the jury’s verdict.

       Bonnell also asserts that suppressed police investigative reports would have

established that Darryl Butcher and Joseph Stevens Egnor, also known as Joseph Popil,

should have been considered suspects for the murder and that presentation of evidence

concerning those two individuals would have deflected a finding of guilt from the petitioner.

According to Bonnell, police records would have shown that Butcher resented Bunner

because Bunner alone had avoided arrest for a prior drug transaction that involved

Butcher, Bunner, and other individuals. Furthermore, another police report memorialized

that Ed Birmingham stated in an interview “that there is talk on the street that Butcher[ ]

                                             -8-
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was the one that set up Eugene’s killing.” The information highlighted in this appeal by the

petitioner would not, however, have resulted in a different jury verdict. Despite the

evidence of animosity between Butcher and Bunner, absolutely no evidence placed

Butcher at or near the crime scene at the time of the murder. Additionally, even in the

police report mentioning the “talk on the street,” Birmingham unequivocally stated that

Bonnell killed Bunner and that there was “no way” Butcher was involved in the crime.

Finally, the petitioner himself was aware of Butcher’s existence and could have gathered

information from him prior to trial. Thus, no Brady violation occurred in this regard.1

        Similarly, Bonnell’s assertion of a Brady violation in the non-disclosure of certain

police reports discussing Popil is flawed because of the petitioner’s failure to establish that

any material evidence was suppressed.                    Bonnell argues before this court that the

descriptions of the murderer given by Birmingham and Hatch also fit Popil, that Popil was

observed shortly after the shooting wearing a jacket stained with a substance that

appeared to be blood, and that Popil was familiar with the idiosyncrasies of the murder

weapon. Popil himself testified at trial, however, and defense counsel was given a full

opportunity to cross-examine the witness about any alleged involvement in the murder of

        1
           The Ohio Suprem e Court did not engage in an extended treatm ent of the allegation of error, instead
stating only that “[w]ith respect to appellant’s rem aining propositions of law, after careful review of the record
and case law, we fail to detect any errors that would underm ine our confidence in the outcom e of appellant’s
trial.” State v. Bonnell, 573 N.E.2d at 1089. Moreover, the decision on the issue by the Ohio Court of Appeals
involved m erely a conclusion that the claim should be viewed as a challenge to a denial of a discovery m otion,
not as an allegation of constitutional m isdeeds. See State v. Bonnell, No. 55927, 1989 W L 117828 at *6 (Ohio
App. 8 Dist. Oct. 5, 1989).

                                                      -9-
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Eugene Bunner. Because Bonnell knew of Popil’s existence2 and was able to elicit

whatever information he wished from the witness at trial, the petitioner was in no way

harmed by any suppressed reports that might have described facts about which Popil was

eventually cross-examined.

        Bonnell next contends that he should have been supplied with police reports that

could have impugned the credibility of prosecution witnesses Birmingham and Hatch.

Specifically, the petitioner alleges that the prosecution suppressed reports that would have

established the existence of conflicting statements given to the police by eyewitnesses to

the murder – statements in which they initially denied knowing the petitioner– and also

established that Hatch might have received favorable consideration in a pending assault

case based upon her testimony against Bonnell. Again, however, defense counsel was

able to cross-examine both Birmingham and Hatch about the alleged inconsistencies in the

identifications of the murderer and also question Hatch about her federal felony conviction.3

Consequently, the petitioner was not prejudiced in any way by the non-disclosure of the

alleged impeachment evidence.

        2
        In fact, Bonnell’s defense to the m urder charge was that he was out drinking with Popil on that
evening and that the petitioner eventually passed out as a result of his alcohol intake.

        3
         Birm ingham explained that he did not recognize the petitioner im m ediately after the shooting because
he had seen Bonnell only a few tim es previously, none of which were close to the tim e of the m urder. Further,
Birm ingham explained that he denied knowing “Melvin Bonnell” because he knew the petitioner only as
“Peanuts.”

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       Bonnell next attempts to establish the existence of a Brady violation by arguing that

two police officers involved in the car chase of the petitioner that ended when Bonnell

crashed into a funeral chapel gave slightly different accounts of the starting point of the

chase and mistakenly testified at trial that no police reports of the chase were prepared.

He then seeks to use reports that were prepared by other individuals to intimate that the

difference in the chase descriptions given by the police officers actually involved in the

pursuit and the accounts contained in the reports establishes that the police manufactured

evidence to coincide with their theory of the case.

       First, the descriptions of the start of the chase given by Officers Montalyo and

Jesionowski do not necessarily justify even the “trivial discrepancy” label applied to them

by the petitioner in his brief. The relevant portion of the chase occurred in an area of

Cleveland that can roughly be described as a parallelogram bounded on the north by

Bridge Avenue, on the south by Lorain Avenue, on the east by West 57th Street, and on

the west by West 58th Street. Another Cleveland road mentioned in the trial transcripts,

Fir Avenue, juts west from West 58th Street just south of the intersection of West 58th

Street and Bridge Avenue. The residence in which Eugene Bunner was murdered was

located at 5709 Bridge Avenue, between West 57th and West 58th Streets.

       Officer Montalyo testified that he and his partner, Jesionowski, were driving west on

Bridge Avenue in the early morning hours of November 28, when they observed an

individual in a blue 1980 Chevrolet backing up on Bridge Avenue toward West 58th Street

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without the use of headlights.4 The car, still being driven in reverse, then turned south onto

West 58th and, eventually, west onto Fir Avenue. When the officers followed the Chevrolet

and attempted to detain the driver, the motorist put the car into drive, turned left off Fir

Avenue back onto West 58th Street, heading north. According to Montalyo, the car then

made a right turn onto Bridge Avenue, proceeded east to West 57th Street, turned right

onto West 57th, continued south on West 57th to Lorain Avenue, turned left onto Lorain,

and continued traveling eastward on Lorain until the driver lost control of the vehicle and

crashed into the funeral home.

        Officer Jesionowski’s description of the car chase was identical to that of Montalyo

in all relevant aspects except that Jesionowski claimed that the blue Chevrolet was first

spotted by the officers not as the policemen were driving westward on Bridge Avenue, but

when their patrol car was “stopped on 57th and Bridge facing southbound.” As soon as

the driver of the Chevrolet “started backing up without headlights,” however, the officers

turned west onto Bridge Avenue and began the pursuit also described by Montalyo. It is

difficult to imagine how the two officers’ descriptions of the pursuit could be considered

substantially in conflict, based solely on whether the pursuit actually began before or after

the police turned onto Bridge Avenue. In any event, the jury’s verdict was not affected by

any constitutional violation in this regard because the alleged “discrepancy” in the officers’

testimony was not hidden in suppressed documents but, rather, surfaced during the trial

       4
        The blue Chevrolet, first seen on Bridge Avenue between W est 57th and W est 58th Streets, would
necessarily have been in the vicinity of the crim e scene at 5709 Bridge Avenue.

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testimony of the officers. Because Bonnell was able to cross-examine the police officers

regarding their recollections of the chase of the petitioner, any inconsistencies that the

petitioner felt were germane to the presentation of his defense could have been elucidated.

       Bonnell’s more traditional Brady-violation assertion, involving the police officers’

accounts of the chase of the petitioner, consists of a claim that Montalyo and Jesionowski

testified that they made no official reports of the chase, yet just such reports were

discovered by the defense team after trial. The officers did indeed testify at trial that they

did not make any reports of their activities concerning the chase of Bonnell’s vehicle.

Furthermore, as the petitioner argues on appeal, written reports of the chase did later

surface. The reports Bonnell cites, however, were not prepared by officers Montalyo and

Jesionowski, but rather by Detective Hayes and by county coroner Elizabeth Balraj. While

it is true that neither written report coincided exactly with the accounts offered by the

officers who actually participated in the chase, contrary to Bonnell’s allegations before this

court, the written reports later discovered by the defense team certainly did not indicate

unequivocally “that the high-speed chase commence[d] blocks away from the scene of the

crime at Lorraine [sic] and West 58th, and not at 57th and Bridge, the location of the

homicide.” In any event, because this allegation of error relies completely on written police

reports prepared by individuals with no first-hand knowledge of the situation being

described, the petitioner cannot establish that the jury would have altered its verdict in light

of the noted discrepancy between the officers’ trial testimony and the written reports.

Indeed, even had the chase commenced at the intersection of West 58th Street and Lorain

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Avenue, such evidence would not have undermined the evidence that Bonnell was the sole

occupant of the car and that the petitioner was identified by eyewitnesses as Bunner’s

assailant. This claim of withholding of exculpatory evidence is thus also without merit.

       Bonnell next contends that the prosecution failed to inform him of evidence the state

possessed that suggested that the petitioner confessed his complicity in the murder to a

jail inmate before trial. Even though no such testimony was offered at trial, Bonnell now

insists that if the state had disclosed to the defense that the alleged confession was

purportedly made to a prisoner who had already been released from custody prior to

Bonnell’s arrest, the petitioner would have testified at trial to rebut the prosecution’s theory

of the case. Whether Bonnell in fact did offer such a confession was, however, information

best known by the petitioner himself. Consequently, because the “withheld” evidence was

not exclusively within the possession of the prosecution, the protections afforded by Brady

are not implicated in this issue. See, e.g., Coe v. Bell, 161 F.3d 320, 344 (6th Cir. 1998)

(courts will not find a Brady violation “where a defendant knew or should have known the

essential facts permitting him to take advantage of any exculpatory information or where

the evidence is available . . . from another source” (citations and internal quotation marks

omitted)).

       In his final Brady issue, Bonnell asserts that he was denied the opportunity to

challenge the prosecution’s theory of the case when he was not given, prior to trial, a police

report that indicated that drops of the victim’s blood were detected on a green vinyl pillow

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found on the back porch of the apartment where the victim lived, as well as on the railing

of that porch. According to the petitioner, had he been made aware of that evidence, and

had he known the blood samples came from the back porch of the apartment, he could

have argued successfully to the jury that the shooting and beating could not have occurred

as described by Birmingham and Hatch because those witnesses swore that the assault

was confined to the kitchen area of the apartment. Bonnell submits that, had the scuffle

occurred only in the kitchen, he himself could not have transferred the victim’s blood to the

pillow and to the railing without also having significant blood stains on his own body and

clothing, stains that were admittedly not found during forensic testing.          Rather, he

surmises, the blood stains support a theory that Bunner was shot in a different location by

another individual and then dragged into the Birmingham/Hatch/Bunner kitchen.

       It is, however, conceivable that blood from the victim could have been transferred

only to Bonnell’s hands during a kitchen fight and then from Bonnell to the railing and pillow

when Birmingham threw the petitioner from the apartment out the back door. Furthermore,

the trial testimony of the expert witness did not definitively match the blood samples to the

victim but, rather, concluded only that the blood on the pillow was consistent with the blood

type of the victim. Thus, even had the petitioner known at trial that blood samples

“consistent with” the victim’s blood type had been collected from an area of the apartment

where eyewitnesses claimed Bonnell and Bunner did not fight, it is still not reasonably

probable that the jury would have altered its verdict based on that fact alone, given the

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remaining overwhelming evidence of the petitioner’s guilt. This claim of error is thus also

without merit.

       Without question, Bonnell has highlighted various inconsistencies and weaknesses

in the prosecution’s case against him. Unfortunately for Bonnell, however, the jury that

heard the evidence presented still chose to credit the state’s theory of the case. The

petitioner has failed to establish a reasonable probability that the information later

discovered by the defense and not provided by the prosecution would have led the jury to

a different conclusion.

B. Failure to Correct Materially False Testimony or Impressions

       Bonnell next maintains that he was denied due process of law when the prosecution

failed to correct testimony offered at trial that the state knew, or should have known, was

false. Without question, “a conviction obtained through use of false evidence, known to

be such by representatives of the State, must fall under the Fourteenth Amendment. The

same result obtains when the State, although not soliciting false evidence, allows it to go

uncorrected when it appears.” Napue v. Illinois, 360 U.S. 264, 269 (1959) (citations

omitted).

       In this appeal, the petitioner points to two instances that he argues should result in

the reversal of his convictions for the reasons announced in Napue. First, Bonnell

contends that the prosecution was aware that the green vinyl pillow that contained blood

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stains consistent with the victim’s blood type did not belong to the petitioner, even though

Linda Luke, a member of the Cuyahoga County Trace Evidence team, was permitted to

testify that she received for testing “a green pillow and a jacket, property of Melvin Bonnell.”

A close examination of the statement made by Luke, however, does not confirm that the

witness made a false statement at all. Rather, in light of other information in the record,

the better interpretation of Luke’s trial testimony is that the witness explained that she

received from the police a green pillow and a jacket, and that the jacket was “property of

Melvin Bonnell.” Such an interpretation is not only grammatically plausible, but factually

probable given the wording of the Trace Evidence Department’s written report on the tests.

In that memorialization, Luke listed the items she tested as “#2237-87E-646 Green pillow”

and “#2238-87E-647 Jacket property of Melvin Bonnel [sic].” Thus, nowhere in Luke’s trial

testimony or in her written report does she attribute ownership of the pillow to the

petitioner. In any event, even if Luke had stated unequivocally that the pillow of unknown

ownership belonged to the petitioner, that brief reference in the course of the lengthy trial

would in no way have prejudiced Bonnell, especially in light of the fact that the prosecution

later announced to the trial judge, “We are going to withdraw Exhibit 23, that green pillow.”

       Bonnell’s second example of allegedly false testimony countenanced by the

prosecution involved statements of the police officers who participated in the car chase of

the petitioner that no police reports concerning the chase had been prepared when, in fact,

reports of the incident were generated. Again, however, a closer examination of the exact

comments offered by the witnesses demonstrates the lack of mendacity in this instance

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as well. Both Officer Montalyo and Officer Jesionowski merely confirmed at trial that they

themselves made no reports of the incident. Indeed, the reports to which the petitioner

refers on appeal were prepared by other individuals, not by the partners who followed

Bonnell until he crashed into the funeral home.

       Because no falsehoods were thus actually communicated by the witnesses

identified by Bonnell in this issue, the prosecution did not deny the petitioner a fair trial as

guaranteed by Fourteenth Amendment as alleged by the petitioner. This issue is patently

without merit.

C. Prosecutorial Misconduct

       In his final issue on appeal, Bonnell contends that his convictions must be reversed

because of numerous instances of prosecutorial misconduct during trial. This court has

recently reiterated that the critical inquiry when examining such allegations “‘is the fairness

of the trial, not the culpability of the prosecutor.’” Slagle v. Bagley, 457 F.3d 501, 516 (6th

Cir. 2006) (quoting Smith v. Phillips, 455 U.S. 209, 219 (1982)). Consequently, we must

determine “whether the improper comments or actions ‘so infected the trial with unfairness

as to make the resulting conviction a denial of due process.’” Id. at 515 (quoting Darden

v. Wainwright, 477 U.S. 168, 181 (1986)). When doing so:

       [T]his circuit employs a two-prong test. See United States v. Carter, 236
       F.3d 777, 783 (6th Cir. 2001). First, this court determines whether the
       prosecution’s conduct or remarks were improper. If the answer is affirmative,

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       then the court considers four factors to decide whether the improper acts
       were sufficiently flagrant to warrant reversal: (1) whether the evidence
       against the defendant was strong[;] (2) whether the conduct of the
       prosecution tended to mislead the jury or prejudice the defendant; (3)
       whether the conduct or remarks were isolated or extensive; and (4) whether
       the remarks were made deliberately or accidentally. Id.

Slagle, 457 F.3d at 515-16.

       In one of his prosecutorial misconduct claims, Bonnell asserts that the state

improperly questioned witnesses Michelle Janics and Charles Rowland about animosity

that the petitioner might have felt toward Rowland, possibly because Rowland was dating

Janics, Bonnell’s former girlfriend. Both Janics and Rowland testified that the petitioner

would crawl through Janics’s bedroom window “every morning” in an effort to reconcile with

her. The first time Janics mentioned the petitioner’s somewhat unusual behavior, defense

counsel objected and the trial judge directed the prosecutor to “[g]o to something else.”

Nevertheless, the prosecutor later asked Janics “whether there was any problem between

[Bonnell] and Charlie.” The court immediately sustained the interposed objection, as it did

when the prosecutor persisted in asking whether Janics “did anything in particular to avoid

[the petitioner]” and whether she wanted him “to know [her] whereabouts.”

       When Rowland took the stand following Janics’s testimony, the prosecutor asked

the witness to describe the circumstances surrounding Rowland’s last encounter with

Bonnell. The witness mentioned that he had last seen the petitioner the month before

Bunner’s murder when Bonnell “kept climbing in through the windows and threatening our

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lives.” The defense’s objection to the answer was sustained, as was the state’s follow-up

question inquiring whether Rowland “had any problems with [the petitioner].”

       Bonnell now asserts that the improper comments and questions were designed to

appeal to the jury’s passion and prejudice by casting the petitioner as a vengeful individual

with a history of entering homes and a penchant for threatening violence. To the extent

that the prosecution’s questions or the witnesses’ answers were improper, however, the

trial court promptly and consistently sustained objections raised by counsel, and on two

occasions, directed the prosecutor to move to another topic of questioning. Moreover,

consideration of the four factors listed in Carter leads to the conclusion that any impropriety

in this regard was not sufficiently flagrant to warrant reversal of the petitioner’s convictions.

First, the evidentiary case against Bonnell was extremely strong. Not only did two

eyewitnesses to the crimes identify the petitioner as the perpetrator, but police chased

Bonnell from the vicinity of the crime scene and recovered the murder weapon, a firearm

belonging to Bonnell, near the site of the ensuing car crash. Furthermore, even though the

allegedly improper remarks seemed to have been made deliberately by the prosecutor,

they were parts of only brief exchanges with two witnesses. Finally, the trial court’s

instructions to the jury and his evidentiary rulings ensured that the finders of fact were not

misled by any improper comments and also that the petitioner was not unduly prejudiced

by them.

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       Before this court, Bonnell also identifies numerous other instances of alleged

prosecutorial misconduct.     However, none of these allegations of misconduct were

presented by Bonnell to the Ohio Court of Appeals on direct review of the petitioner’s

convictions and sentences. Consequently, when Bonnell raised these claims during his

state post-conviction proceedings, the state court found consideration of them to be barred

by the doctrine of res judicata. See State v. Bonnell, No. CR 223820 (Cuyahoga County

Ct. of Common Pleas Oct. 17, 1995) (Findings of Fact and Conclusions of Law).

       The State of Ohio thus argued before the district court, and now on appeal, that

Bonnell procedurally defaulted these claims. “When a state-law default prevents the state

court from reaching the merits of a federal claim, that claim can ordinarily not be reviewed

in federal court.” Ylst v. Nunnemaker, 501 U.S. 797, 801 (1991). An exception to that

general rule exists, however, if “the petitioner can show cause for the default and actual

prejudice, or a resultant fundamental miscarriage of justice,” Bowling v. Parker, 344 F.3d

487, 497 (6th Cir. 2003) (citing Coleman v. Thompson, 501 U.S. 722, 750 (1991)), such

that a constitutional violation has probably resulted in the conviction of an individual who

is actually innocent.

       As we have previously explained:

       In the Sixth Circuit, a four-part analysis is used when the state argues that
       a federal habeas claim is precluded by the petitioner’s failure to observe a
       state procedural rule. Maupin v. Smith, 785 F.2d 135, 138 (6th Cir. 1986).
       First, the court must ascertain whether there is an applicable state
       procedural rule. Second, the court must determine whether the state courts

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       actually enforce the rule. Third, the court must decide whether the state
       procedural forfeiture is an adequate and independent state ground on which
       the state can rely to foreclose review of a federal constitutional claim.
       Finally . . ., if the criminal defendant did not comply with the rule, the
       defendant must demonstrate that there was cause for him not to follow the
       procedural rule, and that he was actually prejudiced by the alleged
       constitutional error.

Jamison v. Collins, 291 F.3d 380, 385-86 (6th Cir. 2002).

       Prior decisions of this court have conclusively provided answers to the first three

inquiries of any Maupin analysis. In Hicks v. Collins, 384 F.3d 204, 211 (6th Cir. 2004),

cert. denied, 544 U.S. 1037 (2005), for example, the panel stated specifically that “[i]n

Ohio, res judicata bars state courts from considering constitutional claims in post-conviction

collateral attacks (brought under Ohio Rev. Code Ann. § 2953.21) when those claims have

already been or could have been fully litigated on direct appeal.” Next, in Williams v.

Bagley, 380 F.3d 932, 967 (6th Cir. 2004), cert. denied, 544 U.S. 1003 (2005), citing

numerous prior Sixth Circuit decisions, we noted that “this court has rejected claims that

Ohio has failed to apply [the doctrine of res judicata] consistently.” “Moreover, this court

has . . . held that res judicata is an adequate and independent state ground for barring

habeas review of constitutional claims.” Id. (citing Coleman v. Mitchell, 268 F.3d 417, 427,

429 (6th Cir. 2001)).

       Because Bonnell clearly did not present most of his claims of prosecutorial

misconduct in a timely manner, he may excuse his procedural default of those allegations

only by showing cause for ignoring the applicable state procedural rule and demonstrating

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that he has been prejudiced by the constitutional errors. The petitioner has failed to satisfy

this burden as well. In fact, Bonnell does not even attempt to identify a cause for the

default in his initial brief before this court. Only in his reply brief does he make even the

most cursory of attempts to argue that the ineffectiveness of his appellate counsel should

excuse his failure to have raised the prosecutorial misconduct issues on direct appeal.

Even then, the petitioner’s conclusory allegations of ineffectiveness do not prove how

Bonnell was prejudiced by specific deficiencies in his legal representation. Given such

failures in proof, and the absence of any indication that the petitioner was actually innocent

of the crimes for which he was convicted, we should find these additional claims of

prosecutorial misconduct procedurally defaulted.

                                    III. CONCLUSION

       For the reasons set out above, we AFFIRM the decision of the district court denying

issuance of the writ of habeas corpus in favor of the petitioner.

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