Maples v. Thomas,
565 U.S. 266 (2012)

Annotate this Case



No. 10–63



on writ of certiorari to the united states court of appeals for the eleventh circuit

[January 18, 2012]

     Justice Scalia, with whom Justice Thomas joins, dissenting.

     The Alabama Court of Criminal Appeals held that Cory Maples’ appeal from the denial of his state postconviction petition was barred because he had not filed a notice of appeal within the allotted time. The Court now concludes that Maples has established cause for his procedural default by reason of abandonment by his attorneys. Because I cannot agree with that conclusion, and because Maples’ alternative argument fares no better, I would affirm the judgment.



     Our doctrine of procedural default reflects, and furthers, the principle that errors in state criminal trials should be remedied in state court. As we have long recognized, federal habeas review for state prisoners imposes significant costs on the States, undermining not only their practical interest in the finality of their criminal judgments, see Engle v. Isaac, 456 U. S. 107 –127 (1982), but also the primacy of their courts in adjudicating the constitutional rights of defendants prosecuted under state law, id., at 128. We have further recognized that “[t]hese costs are particularly high . . . when a state prisoner, through a procedural default, prevents adjudication of his constitutional claims in state court.” Coleman v. Thompson, 501 U. S. 722, 748 (1991) . In that situation, the prisoner has “deprived the state courts of an opportunity to address those claims in the first instance,” id., at 732, thereby leaving the state courts without “a chance to mend their own fences and avoid federal intrusion,” Engle, 456 U. S., at 129. For that reason, and because permitting federal-court review of defaulted claims would “undercu[t] the State’s ability to enforce its procedural rules,” ibid., we have held that when a state court has relied on an adequate and independent state procedural ground in denying a prisoner’s claims, the prisoner ordinarily may not obtain federal habeas relief. Coleman, 501 U. S., at 729–730.

     To be sure, the prohibition on federal-court review of defaulted claims is not absolute. A habeas petitioner’s de-fault in state court will not bar federal habeas review if “the petitioner demonstrates cause and actual prejudice,” id., at 748—“cause” constituting “something external to the petitioner, something that cannot fairly be attributed to him,” that impeded compliance with the State’s procedural rule, id., at 753. As a general matter, an attorney’s mistakes (or omissions) do not meet the standard “because the attorney is the petitioner’s agent when acting, or failing to act, in furtherance of the litigation, and the petitioner must ‘bear the risk of attorney error.’ ” Ibid. (quoting Murray v. Carrier, 477 U. S. 478, 488 (1986) ). See also Link v. Wabash R. Co., 370 U. S. 626 –634, and n. 10 (1962).

     When an attorney’s error occurs at a stage of the proceedings at which the defendant has a constitutional right to effective assistance of counsel, that error may constitute cause to excuse a resulting procedural default. A State’s failure in its duty to provide an effective attorney, as measured by the standard set forth in Strickland v. Washington, 466 U. S. 668 (1984) , makes the attorney’s error chargeable to the State, and hence external to the defense. See Murray, supra, at 488. But when the client has no right to counsel—as is the case in the postconviction setting, see Pennsylvania v. Finley, 481 U. S. 551, 555 (1987) —the client bears the risk of all attorney errors made in the course of the representation, regardless of the egregiousness of the mistake. Coleman, supra, at 754 (“[I]t is not the gravity of the attorney’s error that matters, but that it constitutes a violation of petitioner’s right to counsel, so that the error must be seen as an external factor”).


     In light of the principles just set out, the Court is correct to conclude, ante, at 14, that a habeas petitioner’s procedural default may be excused when it is attributable to abandonment by his attorney. In such a case, Coleman’s rationale for attributing the attorney’s acts and omissions to the client breaks down; for once the attorney has ceased acting as the client’s agent, “well-settled principles of agency law,” 501 U. S., at 754, no longer support charging the client with his lawyer’s mistakes. The attorney’s mistakes may therefore be understood as an “external factor,” ibid., and in appropriate circumstances may jus-tify excusing the prisoner’s procedural default.

     I likewise agree with the Court’s conclusion, ante, at 15, that Maples’ two out-of-state attorneys of record, Jaasi Munanka and Clara Ingen-Housz, had abandoned Maples by the time the Alabama trial court entered its order denying his petition for postconviction relief. As the Court observes, ante, at 15–16, without informing Maples or seeking leave from the Alabama trial court to withdraw from Maples’ case, both Munanka and Ingen-Housz left Sullivan & Cromwell’s employ and accepted new positions that precluded them from continuing to represent Maples. This conduct amounted to renunciation of their roles as Maples’ agents, see 1 Restatement (Second) of Agency §119, Comment b (1957) (hereinafter Restatement 2d), and thus terminated their authority to act on Maples’ behalf, id., §118. As a result, Munanka’s and Ingen-Housz’s failure to take action in response to the trial court’s order should not be imputed to Maples.

     It is an unjustified leap, however, to conclude that Maples was left unrepresented during the relevant window between the Alabama trial court’s dismissal of his postconviction petition and expiration of the 42-day period for filing a notice of appeal established by Alabama Rule of Appellate Procedure 4(a)(1) (2009). Start with Maples’ own allegations: In his amended federal habeas petition, Maples alleged that, at the time he sought postconvic- tion relief in Alabama trial court, he “was represented by Sullivan & Cromwell of New York, New York.” App. 256. Although the petition went on to identify Munanka and Ingen-Housz as “the two Sullivan lawyers handling the matter,” id., at 257, its statement that Maples was “represented” by the firm itself strongly suggests that Maples viewed himself as having retained the services of the firm as a whole, a perfectly natural understanding. “When a client retains a lawyer who practices with a firm, the presumption is that both the lawyer and the firm have been retained.” 1 Restatement (Third) of the Law Governing Lawyers §31, Comment f, p. 222 (1998). Admittedly, in connection with the attempt before the Alabama trial court to extend the time for appeal, Sullivan & Cromwell partner Marc De Leeuw submitted an affidavit stating that the firm’s lawyers “handle pro bono cases on an individual basis” and that the lawyers who had appeared in Maples’ case had followed that practice, “attempt[ing] not to use the firm name on correspondence or court papers.” App. to Pet. for Cert. 257a. But Maples’ habeas petition is the pleading that initiated the current litigation; and surely the allegations that it contained should be given priority over representations made to prior courts.*

     In any case, even if Maples had no attorney-client relationship with the Sullivan & Cromwell firm, Munanka and Ingen-Housz were surely not the only Sullivan & Cromwell lawyers who represented Maples on an individual basis. De Leeuw’s affidavit acknowledged that he had “been involved in [Maples’] case since the summer of 2001,” ibid., roughly a year before Munanka and Ingen-Housz left Sullivan & Cromwell, and it further stated that after “Ms. Ingen-Housz and Mr. Munanka” learned of the court’s initial order denying the State’s motion to dismiss Maples’ postconviction petition in December 2001, “the lawyers working on this case for Mr. Maples prepared for the evidentiary hearing” Maples had requested, id., at 258a. Moreover, when Sullivan & Cromwell attorney Felice Duffy filed a motion to appear pro hac vice before the Alabama trial court in connection with the attempt to extend the deadline, she stated that she had “worked on [Maples’] case since October 14, 2002,” App. 231, months before the procedural default took place.

     According to the Court, see ante, at 17, De Leeuw’s affidavit does not make clear how he was “involved” in Maples’ case or whether lawyers other than Munanka and Ingen-Housz were among those who prepared for the anticipated evidentiary hearing; and Duffy’s motion does not make clear what her “wor[k]” entailed. But there is little doubt that Munanka and Ingen-Housz were not the only attorneys who engaged in the preparations; and that De Leeuw was “involved” and Duffy “worked” as lawyers for Maples (what other role could they have taken on?). De Leeuw’s distinction between “Ms. Ingen-Housz and Mr. Munanka” and “the lawyers working on his case for Mr. Maples” would have been senseless if the latter category did not extend beyond the two named attorneys.

     In sum, there is every indication that when the trial court entered its order dismissing Maples’ postconviction petition in May 2003, Maples continued to be represented by a team of attorneys in Sullivan & Cromwell’s New York office. The Court nonetheless insists that the actions of these attorneys are irrelevant because they had not been admitted to practice law in Alabama, had not entered appearances in the Alabama trial court, and had not sought to substitute for Munanka and Ingen-Housz. See ante, at 18–19. The Court does not, however, explain why these facts establish that the attorneys were not Maples’ agents for the purpose of attending to those aspects of the case that did not require court appearance—which would certainly include keeping track of orders issued and filing deadlines. The Court’s quotation from the Restatement of Agency, ante, at 18, that the “failure to acquire a qualification by the agent without which it is illegal to do an authorized act . . . terminates the agent’s authority to act,” 1 Restatement 2d, §111, at 290, omits the crucial condition contained at the end of the section: “if thereafter he [the agent] should infer that the principal, if he knew the facts, would not consent to the further exercise of the authority.” There was no basis whatever for these attorneys to infer that Maples no longer wanted them to represent him, simply because they had not yet qualified before the Alabama court. Though it would have been “illegal” for these attorneys to file a notice of appeal without being authorized to practice in Alabama, nothing prevented them from first seeking to secure admission to practice, as Munanka and Ingen-Housz initially had done, and then filing a notice of appeal.

     It would create a huge gap in our Coleman jurisprudence to disregard all attorney errors committed before admission to the relevant court; and an even greater gap to disregard (as the Court suggests) all errors committed before the attorney enters an appearance. Moreover, even if these attorneys cannot be regarded as Maples’ agents for purposes of conducting the Alabama litigation, they were at least his agents for purposes of advising him of the impending deadline. His unawareness was the fault of counsel who were his agents, and must be charged to him. What happened here is simply “[a]ttorney ignorance or inadvertence” of the sort that does not furnish cause to excuse a procedural default. Coleman, 501 U. S., at 753.

     But even leaving aside the question of Maples’ “unadmitted” attorneys at Sullivan & Cromwell, Maples had a fully admitted attorney, who had entered an appearance, in the person of local counsel, John Butler. There is no support for the Court’s conclusion that Butler “did not even begin to represent Maples.” Ante, at 19. True, the affidavit Butler filed with the Alabama trial court in the proceeding seeking extension of the deadline stated that he had “no substantive involvement” with the case, and that he had “agreed to serve as local counsel only.” App. to Pet. for Cert. 255a. But a disclaimer of “substantive involvement” in a case, whether or not it violates a lawyer’s ethical obligations, see ante, at 19, is not equivalent to a denial of any agency role at all. A local attorney’s “nonsubstantive” involvement would surely include, at a minimum, keeping track of local court orders and advising “substantive” counsel of impending deadlines. Nor did Butler’s explanation for his failure to act when he received a copy of the trial court’s order sound in abandonment. Butler did not say, for instance, that he ignored the order because he did not consider Maples to be his client. Instead, based on “past practice” and the content of the order, Butler “assumed” that Maples’ lawyers at Sullivan & Cromwell would receive a copy. App. to Pet. for Cert. 256a.

     The Court gets this badly wrong when it states that “Butler’s failure even to place a phone call to the New York firm” demonstrates Butler’s “disclaimer of any genuinely representative role.” Ante, at 19. By equating the very attorney error that contributed to Maples’ procedural default with the absence of an agency relationship, the Court ensures that today’s opinion will serve as a template for future habeas petitioners seeking to evade Coleman’s holding that ineffectiveness of postconviction counsel will not furnish cause to excuse a procedural default. See 501 U. S., at 752–754. The trick will be to allege, not that counsel was ineffective, but rather that counsel’s ineffectiveness demonstrates that he was not a genuinely representative agent. No precedent should be so easily circumvented by word games, but the damage is particularly acute when the affected precedent is so firmly “grounded in concerns of comity and federalism.” Id., at 730.

     The Court’s last-gasp attempt to justify its conclusion that Butler was not Maples’ agent is to point out that a prosecutor sent a letter to Maples directly, informing him of the defaulted appeal. See ante, at 20. The Court reasons that the prosecutor must have thought that Maples had been abandoned by his lawyers, since to communicate with a represented party would have been a violation of ethical standards. Ibid. But even if this supposition is correct, it is hard to understand what it proves. What matters, after all, is not whether the prosecutor thought Maples had been abandoned, but whether Maples really was abandoned. And as it turns out, Butler’s conduct after learning about the default further belies any such contention. Almost immediately, Butler began to cooperate with Maples’ lawyers at Sullivan & Cromwell, filing papers as “Counsel for Mr. Maples” or “Local Counsel for Petitioner Cory Maples” in multiple courts in an attempt to rectify the mistake. See App. 229, 230, 236, 238. Had Butler reassumed his representational duties after having abandoned them? Hardly. There is no proper basis for a conclusion of abandonment interruptus.


     Maples argues in the alternative that his default should be excused because his right to due process was violated when the trial-court clerk failed to take action after Munanka’s and Ingen-Housz’s copies of the court’s dismissal order were returned undeliverable. According to Maples, our decision in Jones v. Flowers, 547 U. S. 220 (2006) , establishes that the clerk had a duty to do more.

     We held in Jones that, when a mailed notice of a tax sale is returned unclaimed, a State must take additional reasonable steps to attempt to provide notice to the property owner before selling his property. See id., at 234. It is questionable whether that holding has any relevance to the circumstances here, which involved not the institution of proceedings against an unwitting litigant, but rather the issuance of an order in a pending case that was instituted by Maples himself. Indeed, I think it doubtful whether due process entitles a litigant to any notice of a court’s order in a pending case. The Federal Rules certainly reject the notion that notice is an absolute requirement. Federal Rule of Civil Procedure 77(d)(2) provides that “[l]ack of notice of the entry [of an order or judgment] does not affect the time for appeal or relieve—or authorize the court to relieve—a party for failing to appeal within the time allowed, except as allowed by Federal Rule of Appellate Procedure (4)(a).” And although Federal Rule of Appellate Rule 4(a)(6) in turn provides that the time for filing an appeal can be reopened when a litigant did not receive notice, it establishes 180 days after the judgment or order is entered as the outer limit by which a motion to reopen must be filed. See Fed. Rule App. Proc. 4(a)(6)(B).

     There is no need to grapple with this question, however, because Butler received a copy of the trial court’s order. “Under our system of representative litigation, ‘each party . . . is considered to have notice of all facts, notice of which can be charged upon [his] attorney.’ ” Irwin v. Department of Veterans Affairs, 498 U. S. 89, 92 (1990) (quoting Link v. Wabash R. Co., 370 U. S. 626, 634 (1962) ). The notice to Butler was therefore constitutionally sufficient.

*  *  *

     One suspects that today’s decision is motivated in large part by an understandable sense of frustration with the State’s refusal to waive Maples’ procedural default in the interest of fairness. Indeed, that frustration may well explain the Court’s lengthy indictment of Alabama’s general procedures for providing representation to capital defendants, ante, at 2–4, a portion of the Court’s opinion that is so disconnected from the rest of its analysis as to be otherwise inexplicable.

     But if the interest of fairness justifies our excusing Maples’ procedural default here, it does so whenever a defendant’s procedural default is caused by his attorney. That is simply not the law—and cannot be, if the states are to have an orderly system of criminal litigation conducted by counsel. Our precedents allow a State to stand on its rights and enforce a habeas petitioner’s procedural default even when counsel is to blame. Because a faithful application of those precedents leads to the conclusion that Maples has not demonstrated cause to excuse his procedural default; and because the reasoning by which the Court justifies the opposite conclusion invites future evisceration of the principle that defendants are responsible for the mistakes of their attorneys; I respectfully dissent.


1 * The Court says that the allegations in Maples’ own habeas petition are not “persuasive evidence,” ante, at 17–18, n. 8, because Maples’ lawyers at Sullivan & Cromwell labored under a conflict of interest when they prepared the document. This is a curious point, since the effect of Maples’ statement was to implicate Sullivan & Cromwell as a firm in missing the filing deadline. The conflict would have induced the Sullivan & Cromwell lawyers to exonerate the firm. To be sure, as the case later developed (at this stage abandonment had not yet been conceived as the litigating strategy), it would have been in Maples’ interest to say he had no lawyers. But the issue the petition’s statement raises is not whether Maples was cleverly represented; it is whether the statement was true. And if Sullivan & Cromwell’s involvement in preparing the petition has any bearing upon that, it only reinforces the truth.
Disclaimer: Official Supreme Court case law is only found in the print version of the United States Reports. Justia case law is provided for general informational purposes only, and may not reflect current legal developments, verdicts or settlements. We make no warranties or guarantees about the accuracy, completeness, or adequacy of the information contained on this site or information linked to from this site. Please check official sources.