Martel v. Clair,
Annotate this Case
565 U.S. 648 (2012)
- Syllabus |
- Opinion (Elena Kagan)
NOTICE: This opinion is subject to formal revision before publication in the preliminary print of the United States Reports. Readers are requested to notify the Reporter of Decisions, Supreme Court of the United States, Washington, D. C. 20543, of any typographical or other formal errors, in order that corrections may be made before the preliminary print goes to press.
SUPREME COURT OF THE UNITED STATES
MICHAEL MARTEL, WARDEN, PETITIONER v. KENNETH CLAIR
on writ of certiorari to the united states court of appeals for the ninth circuit
[March 5, 2012]
Justice Kagan delivered the opinion of the Court.
A federal statute, §3599 of Title 18, entitles indigent defendants to the appointment of counsel in capital cases, including habeas corpus proceedings. The statute contemplates that appointed counsel may be “replaced . . . upon motion of the defendant,” §3599(e), but it does not specify the standard that district courts should use in evaluating those motions. We hold that courts should employ the same “interests of justice” standard that they apply in non-capital cases under a related statute, §3006A of Title 18. We also hold that the District Court here did not abuse its discretion in denying respondent Kenneth Clair’s motion to change counsel.
This case arises from the murder of Linda Rodgers in 1984. Rodgers resided at the home of Kai Henriksen and Margaret Hessling in Santa Ana, California. Clair was a squatter in a vacant house next door. About a week prior to the murder, police officers arrested Clair for burglarizing the Henriksen-Hessling home, relying on information Henriksen had provided. On the night the police released Clair from custody, Hessling returned from an evening out to find Rodgers’ dead body in the master bedroom, naked from the waist down and beaten, stabbed, and strangled. Some jewelry and household items were missing from the house. See People v. Clair, 2 Cal. 4th 629, 644–647, 828 P. 2d 705, 713–714 (1992); App. to Pet. for Cert. 23–24.
The district attorney charged Clair with Rodgers’ murder and sought the death penalty. No forensic evidence linked Clair to the crime; instead, the main evidence against Clair came from his former girlfriend, Pauline Flores. Although she later recanted her testimony, see App. 36–42, Flores stated at trial that she and Clair were walking in the neighborhood on the night of the murder and split up near the Henriksen-Hessling house. When they reunited about an hour later, Flores recounted, Clair was carrying jewelry and other items and had blood on his right hand. According to Flores, Clair explained to her that he had “just finished beating up a woman.” Clair, 2 Cal. 4th, at 647, 828 P. 2d, at 714. The prosecution then introduced a tape recording of a talk between Flores and Clair several months after the murder, which Flores had made in cooperation with the police. On that tape, Clair at one point denied committing the murder, but also made several inculpatory statements. For example, when Flores told Clair that she had seen blood on him, he replied “Ain’t on me no more” and “They can’t prove nothing.” App. to Pet. for Cert. 53 (internal quotation marks omitted). And in response to her continued probing, Clair explained “[W]hat you fail to realize, how . . . they gonna prove I was there . . . ? There ain’t no . . . fingerprints, ain’t no . . . body seen me go in there and leave out there.” Id., at 53–54 (internal quotation marks omitted). The jury convicted Clair and sentenced him to death. The California Supreme Court upheld the verdict, and this Court denied review, Clair v. California, 506 U. S. 1063 (1993) .
Clair commenced federal habeas proceedings by filing a request for appointment of counsel, which the District Court granted under §3599. Clair and his counsel filed an initial petition for habeas relief in 1994 and, after exhausting state remedies, an amended petition the following year. The petition alleged more than 40 claims, involving such matters as jury selection and composition, sufficiency of the evidence, prosecutorial misconduct, nondisclosure of exculpatory materials relating to state witnesses, and ineffectiveness of trial counsel. In the late 1990’s, two associates from the firm representing Clair took jobs at the Office of the Federal Public Defender (FPD), and the court substituted that office as counsel of record. The court held an evidentiary hearing on Clair’s habeas petition in August 2004, and the parties submitted post-hearing briefs by February 2005. The court subsequently informed the parties that it viewed the briefing “to be complete and d[id] not wish to receive any additional material” about the petition. App. 3–4.
On March 16, 2005, Clair sent a letter to the court stating that the FPD attorneys “no longer . . . ha[d] [his] best interest at hand” and that he did not want them to continue to represent him. Id., at 24; see id., at 18–25. Clair alleged that the lawyers had repeatedly dismissed his efforts to participate in his own defense. Prior to the evidentiary hearing, Clair wrote, he had become so frustrated with the attorneys that he enlisted a private detective to look into his case. But the lawyers, Clair charged, refused to cooperate with the investigator; they were seeking only to overturn his death sentence, rather than to prove his innocence. As a result, Clair felt that he and his counsel were not “on the same team.” Id., at 23.
The District Court responded by asking both parties to address Clair’s motion to substitute counsel. See id., at 18. The State noted that “[w]hat the trial court does with respect to appointing counsel is within its discretion, providing the interests of justice are served.” Id., at 29. The State further advised the court that “nothing in [Clair’s] letter require[d] a change” of counsel because the FPD lawyers had provided appropriate representation and substitution would delay the case. Ibid. Clair replied to the court’s request through his FPD attorneys on April 26, 2005. Their letter stated: “After meeting with Mr. Clair, counsel understands that Mr. Clair wants the [FPD] to continue to serve as his counsel in this case at this time.” Id., at 27. On the basis of that representation, the court determined that it would “take no further action on the matter at this time.” Id., at 33.
But the issue resurfaced just six weeks after the court’s decision. On June 16, 2005, Clair wrote a second letter to the court asking for substitution of counsel. That letter again asserted a “total break down of communication” between Clair and the FPD; according to Clair, he was “no longer able to trust anybody within that office.” Id., at 62–63. In explaining the source of the problem, Clair reiterated each of the points made in his prior complaint. And then he added one more. Clair recounted that his private investigator had recently learned that the police and dis-trict attorney’s office were in possession of fingerprints and other physical evidence from the crime scene that had never been fully tested. The FPD lawyers, Clair asserted, were doing nothing to analyze this evidence or otherwise follow up on its discovery. Clair attributed this failure, too, to the FPD’s decision to focus on his sentence, rather than on questions of guilt.
Two weeks later, the District Court denied Clair’s renewed request for substitution without further inquiry. The court stated: “It does not appear to the Court that a change of counsel is appropriate. It appears that [Clair’s] counsel is doing a proper job. No conflict of interest or inadequacy of counsel is shown.” Id., at 61. On the same day, the court denied Clair’s habeas petition in a detailed opinion. Clair v. Brown, Case No. CV 93–1133 GLT (CD Cal., June 30, 2005), App. to Pet. for Cert. 20–91.
Clair sought review of his substitution motion pro se, while the FPD filed a notice of appeal from the denial of his habeas petition. The Court of Appeals for the Ninth Circuit instructed the FPD to address whether substitution of counsel was now warranted, and in October 2005, the FPD informed the court that “the attorney-client relationship ha[d] broken down to such an extent that sub-stitution of counsel [would be] appropriate.” Attorney for Appellant’s Response to Court’s Sept. 15, 2005 Order, in No. 05–99005 (CA9), Record, Doc. 9, p. 1. The State did not comment or object, and the Court of Appeals provided Clair with a new lawyer going forward. Clair then asked the District Court to vacate the denial of his habeas petition under Federal Rule of Civil Procedure 60(b), arguing that he should be allowed to explore the significance of the new physical evidence for his case. The District Court (with a new judge assigned, because the judge previously handling the case had retired) rejected that request on the ground that the new evidence did not pertain to any of the claims presented in Clair’s habeas petition. See App. to Pet. for Cert. 9–10. Clair appealed that decision as well. [ 1 ]
After consolidating Clair’s appeals, the Ninth Circuit vacated the trial court’s denial of both Clair’s request for new counsel and his habeas petition. See Clair v. Ayers, 403 Fed. Appx. 276 (2010). The Court of Appeals’ opinion focused on Clair’s substitution motion. Holding that the “interests of justice” standard should apply to that motion, the Ninth Circuit ruled that the District Court abused its discretion by failing to inquire into the complaints in Clair’s second letter. See id., at 278. The Court of Appeals then considered how to remedy that error, given that Clair had received new counsel while on appeal. It decided that “the most reasonable solution” was to “treat Clair’s current counsel as if he were the counsel who might have been appointed” in June 2005, and to allow him to make whatever submissions he would have made then, including a motion to amend Clair’s habeas petition in light of new evidence. Id., at 279.
We granted certiorari to review this judgment, 564 U. S. __ (2011), and now reverse.
We first consider the standard that district courts should use to adjudicate federal habeas petitioners’ motions to substitute counsel in capital cases. The question arises because the relevant statute, 18 U. S. C. §3599, contains a notable gap. Section 3599 first guarantees that indigent defendants in federal capital cases will receive the assistance of counsel, from pretrial proceedings through stay applications. See §§3599(a)(1), (a)(2), (e). It next grants a corresponding right to people like Clair who seek federal habeas relief from a state death sentence, for all post-conviction proceedings and related activities. See §§3599(a)(2), (e); McFarland v. Scott, 512 U. S. 849 –855 (1994); Harbison v. Bell, 556 U. S. 180 –185 (2009). And the statute contemplates that both sets of litigants may sometimes substitute counsel; it notes that an attorney appointed under the section may be “replaced by similarly qualified counsel upon the attorney’s own motion or upon motion of the defendant.” §3599(e). [ 2 ] But here lies the rub: The statute fails to specify how a court should decide such a motion. Section 3599 says not a word about the standard a court should apply when addressing a request for a new lawyer.
The parties offer us two alternative ways to fill this statutory hole. Clair argues, and the Ninth Circuit agreed, that district courts should decide substitution motions brought under §3599 “in the interests of justice.” That standard derives from 18 U. S. C. §3006A, which governs the appointment and substitution of counsel in federal non-capital litigation. By contrast, the State contends that district courts may replace an appointed lawyer under §3599 only when the defendant has suffered an “actual or constructive denial” of counsel. Brief for Petitioner 33. That denial occurs, the State asserts, in just three situations: when the lawyer lacks the qualifications necessary for appointment under the statute; when he has a “disabling conflict of interest”; or when he has “completely abandoned” the client. Id., at 34. On this matter, we think Clair, not the State, gets it right.
A trip back in time begins to show why. Prior to 1988, §3006A governed the appointment of counsel in all federal criminal cases and habeas litigation, regardless whether the matter involved a capital or a non-capital offense. That section provided counsel as a matter of right to most indigent criminal defendants, from pre-trial proceedings through appeal. See §§3006A(a)(1), (c) (1982 ed.). In addition, the statute authorized courts to appoint counsel for federal habeas petitioners when “the interests of justice so require[d],” §3006A(g); and under that provi-sion, courts almost always appointed counsel to represent petitioners convicted of capital offenses, see Ruthenbeck, Dueling with Death in Federal Courts, 4 ABA Criminal Justice, No. 3, pp. 2, 42 (Fall, 1989). In all cases in which a court had appointed counsel, §3006A further provided (as it continues to do) that substitution motions should be decided “in the interests of justice.” §3006A(c). So in those days, a court would have used that standard to evaluate a request like Clair’s.
In 1988, Congress enacted the legislation now known as §3599 to govern appointment of counsel in capital cases, thus displacing §3006A for persons facing execution (but retaining that section for all others). See Anti-Drug Abuse Act, 102Stat. 4393–4394, 21 U. S. C. §§848(q)(4)–(10) (1988 ed.) (recodified at 18 U. S. C. §3599 (2006 ed. and Supp. IV)). The new statute grants federal capital defendants and capital habeas petitioners enhanced rights of representation, in light of what it calls “the seriousness of the possible penalty and . . . the unique and complex nature of the litigation.” §3599(d) (2006 ed.). Habeas petitioners facing execution now receive counsel as a matter of right, not an exercise of the court’s discretion. See §3599(a)(2). And the statute aims in multiple ways to improve the quality of representation afforded to capital petitioners and defendants alike. Section 3599 requires lawyers in capital cases to have more legal experience than §3006A demands. Compare §§3599(b)–(d) with §3006A(b). Similarly, §3599 authorizes higher rates of compensation, in part to attract better counsel. Compare §3599(g)(1) with §3006A(d) (2006 ed. and Supp. IV). And §3599 provides more money for investigative and expert services. Compare §§3599(f) (2006 ed.), (g)(2) (2006 ed., Supp. IV), with §3006A(e) (2006 ed. and Supp. IV). As we have previously noted, those measures “reflec[t] a determination that quality legal representation is necessary” in all capital proceedings to foster “fundamental fairness in the imposition of the death penalty.” McFarland, 512 U. S., at 855, 859.
That understanding of §3599’s terms and origins goes far toward resolving the parties’ dispute over what standard should apply. We know that before §3599’s passage, courts used an “interests of justice” standard to decide substitution motions in all cases—and that today, they continue to do so in all non-capital proceedings. We know, too, that in spinning off §3599, Congress enacted a set of reforms to improve the quality of lawyering in capital litigation. With all those measures pointing in one direction, we cannot conclude that Congress silently prescribed a substitution standard that would head the opposite way. Adopting a more stringent test than §3006A’s would deprive capital defendants of a tool they formerly had, and defendants facing lesser penalties still have, to handle serious representational problems. That result clashes with everything else §3599 does. By contrast, utilizing §3006A’s standard comports with the myriad ways that §3599 seeks to promote effective representation for persons threatened with capital punishment.
The dearth of support for the State’s alternative standard reinforces the case for borrowing from §3006A. Recall that the State thinks substitution proper “only when . . . counsel is completely denied”—which, the State says, occurs when counsel lacks the requisite experience; “actively represents conflicting interests”; or has “total[ly] desert[ed]” the client. Brief for Petitioner 15, 35, 38. As the State acknowledges, this test comes from . . . well, from nowhere. The State conceded during argument that Congress has not considered (much less adopted) the standard in any context; neither has a federal court used it in any case. See Tr. of Oral Arg. 16. Indeed, the standard is new to the State’s own attorneys. As noted earlier, when Clair first requested a change of counsel, the State responded that substitution is a “matter . . . of trial court discretion,” based on “the interests of justice.” App. 29; see supra, at 3–4. Only later did the State devise its present proposal. Inventiveness is often an admirable quality, but here we think the State overdoes it. To be sure, we must infer a substitution standard for §3599; in that sense, we are writing on a blank slate. But in undertaking that task, we prefer to copy something familiar than concoct something novel. That enables courts to rely on experience and precedent, with a standard already known to work effectively.
Still worse, the State’s proposed test guts §3599’s pro-vision for substitution motions. See §3599(e) (2006 ed.) (appointed counsel may be “replaced . . . upon motion of the defendant”). According to the State, a court may not change counsel under §3599 even if the attorney-client relationship has broken down, so long as the lawyer has the required qualifications and is “act[ing] as an advocate.” Brief for Petitioner 35. And that is so, continues the State, even when substitution will not cause delay or other prejudice—because again, the defendant retains a functioning lawyer. See id., at 34. That approach, as already noted, undermines Congress’s efforts in §3599 to enhance representation in capital cases. See supra, at 8–9. And beyond that, it renders §3599’s substitution provision superfluous. Even in the absence of that provision, a court would have to ensure that the defendant’s statutory right to counsel was satisfied throughout the litigation; for example, the court would have to appoint new counsel if the first lawyer developed a conflict with or abandoned the client. So by confining substitution to cases in which the defendant has no counsel at all, the State’s proposal effectively deletes §3599’s substitution clause.
The State counters that only its approach comports with “this Court’s long-established jurisprudence that habeas prisoners, including capital prisoners,” have no right to counsel under the Sixth Amendment. Brief for Petitioner 18; see Murray v. Giarratano, 492 U. S. 1, 10, 12 (1989) (plurality opinion); id., at 14–15 (Kennedy, J., concurring in judgment); cf. Coleman v. Thompson, 501 U. S. 722, 755 (1991) (reserving question of whether the Sixth Amendment guarantees counsel when a habeas proceeding provides the first opportunity to raise a claim). But we do not understand the State’s basis for linking use of the “interests of justice” standard to cases in which an individual has a Sixth Amendment right. A statute need not draw the same lines as the Constitution, and neither §3006A nor §3599 does so in addressing the substitution of counsel. Section 3006A applies the “interests of justice” standard to substitution motions even when the Sixth Amendment does not require representation; that is presumptively so, for example, when a court provides counsel to a non-capital habeas petitioner. See §§3006A(a)(2)(B), (c). And whatever standard we adopt for §3599 will likewise apply both to litigants who have and to litigants who lack a Sixth Amendment right, because the section offers counsel on the same terms to capital defendants and habeas petitioners. In providing statutory rights to counsel, Congress declined to track the Sixth Amendment; accordingly, the scope of that Amendment cannot answer the statutory question presented here.
The State’s stronger argument relates to delay in capital proceedings. Under the “interests of justice” standard, the State contends, substitution motions will become a mechanism to defer enforcement of a death sentence, contrary to historic restrictions on “abuse of the writ” and to the goals of the Antiterrorism and Effective Death Penalty Act of 1996 (AEDPA). See Brief for Petitioner 19–22. But this argument, like the last, forgets that §3599 reaches not just habeas petitioners but also criminal defendants, who have not been convicted or sentenced and therefore have no incentive to delay. Moreover, the State’s claim misjudges the capacity of the “interests of justice” standard to deal with such issues. Protecting against abusive delay is an interest of justice. Because that is so, courts addressing substitution motions in both capital and non-capital cases routinely consider issues of timeliness. See, e.g., Hunter v. Delo, 62 F. 3d 271, 274 (CA8 1995) (citing “the need to thwart abusive delay” in affirming the denial of a habeas petitioner’s substitution motion); United States v. White, 451 F. 2d 1225, 1226 (CA6 1971) (per curiam) (approving a District Court’s refusal to change counsel under §3006A(c) “on the morning of the trial”). Indeed, we will do so, just paragraphs from here, in this very case. See infra, at 15–16. The standard we adopt thus takes account of, rather than ignores or opposes, the State’s interest in avoiding undue delay. [ 3 ]
The remaining question is whether the District Court abused its discretion in denying Clair’s second request for new counsel under §3599’s “interests of justice” standard. We do not think the court did so, although the court’s failure to make any inquiry into Clair’s allegations makes this decision harder than necessary.
As its name betrays, the “interests of justice” standard contemplates a peculiarly context-specific inquiry. So we doubt that any attempt to provide a general definition of the standard would prove helpful. In reviewing substitution motions, the courts of appeals have pointed to several relevant considerations. Those factors may vary a bit from circuit to circuit, but generally include: the timeliness of the motion; the adequacy of the district court’s inquiry into the defendant’s complaint; and the asserted cause for that complaint, including the extent of the conflict or breakdown in communication between lawyer and client (and the client’s own responsibility, if any, for that conflict). See, e.g., United States v. Prime, 431 F. 3d 1147, 1154 (CA9 2005); United States v. Doe, 272 F. 3d 116, 122–123 (CA2 2001); Hunter, 62 F. 3d, at 274; United States v. Welty, 674 F. 2d 185, 188 (CA3 1982). Because a trial court’s decision on substitution is so fact-specific, it deserves deference; a reviewing court may overturn it only for an abuse of discretion.
The District Court here received Clair’s second substitution motion on the eve of deciding his 10-year-old habeas petition. Recall that three months earlier, following an evidentiary hearing and post-hearing briefing, Clair had written the court to complain about his attorneys. In that first letter, Clair accused his lawyers of refusing to co-operate with a private detective and, more generally, of forgoing efforts to prove his innocence. After making proper inquiry, the court learned that Clair and his attorneys had worked through their dispute and Clair no longer wanted to substitute counsel. The court thus turned its attention once again to ruling on Clair’s habeas petition—only to receive another letter requesting a change in representation.
If that second letter had merely recapitulated the charges in the first, this case would be relatively simple. Even then, the court might have done well to make further inquiry of Clair and his counsel. As all Circuits agree, courts cannot properly resolve substitution motions without probing why a defendant wants a new lawyer. See, e.g., United States v. Iles, 906 F. 2d 1122, 1130 (CA6 1990) (“It is hornbook law that ‘[w]hen an indigent defendant makes a timely and good faith motion requesting that appointed counsel be discharged and new counsel appointed, the trial court clearly has a responsibility to determine the reasons for defendant’s dissatisfaction . . .’ ” (quoting 2 W. LaFave & J. Israel, Criminal Procedure §11.4, p. 36 (1984))). Moreover, an on-the-record inquiry into the defendant’s allegations “permit[s] meaningful appellate review” of a trial court’s exercise of discretion. United States v. Taylor, 487 U. S. 326 –337 (1988). But here the court had inquired, just a short time earlier, into Clair’s relationship with his lawyers. The court knew that Clair had responded to that inquiry by dropping his initial complaints. And the court had reason to think, based on 10 years of handling the case, that those charges lacked merit: Perhaps most important, the court knew that the lawyers had raised many challenges not just to Clair’s sentence, but to his conviction, including to the sufficiency of the State’s evidence. See, e.g., App. to Pet. for Cert. 27–69. Especially at this stage of the litigation, those factors would have provided ample basis to reject a simple reprise of Clair’s allegations.
What complicates this case is that in his second letter, Clair added a new and significant charge of attorney error. Beyond asserting generally that his lawyers were not trying to prove his innocence, Clair now alleged that counsel had refused to investigate particular, newly located physical evidence. That evidence, according to Clair, might have shown that the police had suppressed Brady material, that his trial counsel had been ineffective in investigating the murder, or that he had not committed the offense. See Tr. of Oral Arg. 45–46. Especially in a case lacking physical evidence, built in part on since-recanted witness testimony, those possibilities cannot be blithely dismissed. In the mine run of circumstances, Clair’s new charge would have required the court to make further inquiry before ruling on his motion for a new attorney.
But here, the timing of that motion precludes a holding that the District Court abused its discretion. The court received Clair’s second letter while putting the finishing touches on its denial of his habeas petition. (That lengthy decision issued just two weeks later.) After many years of litigation, an evidentiary hearing, and substantial post-hearing briefing, the court had instructed the parties that it would accept no further submissions. See App. 3–4; Tr. of Oral Arg. 4–5. The case was all over but the deciding; counsel, whether old or new, could do nothing more in the trial court proceedings. At that point and in that forum, Clair’s conflict with his lawyers no longer mattered.
Clair, to be sure, wanted to press his case further in the District Court. He desired a new lawyer, after examining the physical evidence, to make whatever claims followed from it. But, notably, all of those claims would have been new; as the District Court later found in ruling on Clair’s Rule 60(b) motion, the physical evidence did not relate to any of the claims Clair had previously made in his habeas petition. See App. to Pet. for Cert. 9–10. A substitute lawyer thus would have had to seek an amendment of that petition, as well as an evidentiary hearing or, more likely, a stay to allow exhaustion of remedies in state court. See 403 Fed. Appx., at 279. The District Court could properly have rejected that motion, consistent with its order precluding further submissions (effectively remitting Clair to state court to pursue the matter). See Mayle v. Felix, 545 U. S. 644, 663 (2005) . And if that is so, the court also acted within its discretion in denying Clair’s request to substitute counsel, even without the usually appropriate inquiry. The court was not required to appoint a new lawyer just so Clair could file a futile motion. We accordingly find that the Court of Appeals erred in overturning the District Court’s decision. [ 4 ]
The judgment below is reversed, and the case is remanded for further proceedings consistent with this opinion.
It is so ordered.