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Mincey v. Turpin, 97-9078 (2000)

Court: Court of Appeals for the Eleventh Circuit Number: 97-9078 Visitors: 24
Filed: Mar. 16, 2000
Latest Update: Feb. 21, 2020
Summary: [PUBLISH] IN THE UNITED STATES COURT OF APPEALS FILED FOR THE ELEVENTH CIRCUIT U.S. COURT OF APPEALS ELEVENTH CIRCUIT MAR 16 2000 THOMAS K. KAHN No. 97-9078 CLERK D.C. Docket No. 96-00155-CV-2-(HL) TERRY MICHAEL MINCEY, Petitioner-Appellant, versus FREDERICK J. HEAD, Respondent-Appellee, Appeal from the United States District Court for the Middle District of Georgia (March 16, 2000) Before TJOFLAT, BIRCH and DUBINA, Circuit Judges. TJOFLAT, Circuit Judge: In this case, Petitioner Terry Mincey
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                                                                  [PUBLISH]


             IN THE UNITED STATES COURT OF APPEALS
                                                                FILED
                      FOR THE ELEVENTH CIRCUIT           U.S. COURT OF APPEALS
                                                           ELEVENTH CIRCUIT
                                                               MAR 16 2000
                                                            THOMAS K. KAHN
                                No. 97-9078                      CLERK

                   D.C. Docket No. 96-00155-CV-2-(HL)


     TERRY MICHAEL MINCEY,
                                                      Petitioner-Appellant,


                             versus

     FREDERICK J. HEAD,

                                                      Respondent-Appellee,



                 Appeal from the United States District Court
                     for the Middle District of Georgia

                              (March 16, 2000)



Before TJOFLAT, BIRCH and DUBINA, Circuit Judges.


TJOFLAT, Circuit Judge:
      In this case, Petitioner Terry Mincey seeks a writ of habeas corpus vacating his

convictions for murder, aggravated battery, and armed robbery, and, alternatively,

setting aside the death sentence he received for the murder. His principle grounds for

relief (among twenty-five grounds) are that the police obtained incriminating

statements from him after he asked for a lawyer, that the prosecution withheld

evidence favorable to his defense, and that his attorneys rendered ineffective

assistance of counsel. The district court denied relief. We affirm.

                                       I.

      On the afternoon of April 12, 1982, Terry Mincey drove his motorcycle to

Robert Jones’ trailer-home in the Cross Creek Trailer Park on the outskirts of Macon,

Georgia. After parking his motorcycle, he joined Jones in Jones’ 1969 Ford Mustang

automobile and together they drove to the Forest Place Trailer Park, located a short

distance away, to meet Mincey’s girlfriend. When they arrived, they encountered “a

bunch of people” standing at the entrance of the trailer park. One was Timothy

Jenkins, who lived at the park with his wife of three weeks. Mincey and Jenkins knew

each other; Jones and Jenkins were barely acquainted. All three were the same age,

around twenty-two. As the they stood around talking, they decided to rob a drug

dealer they knew in Macon. Each was armed: Mincey was carrying a .38 caliber semi-




                                            2
automatic Llama pistol, Jones a .12 gauge bolt-action shotgun, and Jenkins a .38

caliber Arminius revolver.

      With Jones behind the wheel, they drove in Jones’ Mustang to Macon. The

drug dealer they intended to rob was not at his usual place of business, so they went

to Jones’ trailer-home to plan their next step. At the trailer-home, Mincey and Jenkins

talked about their need for cash. While that discussion was taking place, Mincey and

Jones, using a hacksaw blade, sawed off the barrel of Jones’s shotgun to twelve inches

and altered the stock so that it resembled a pistol grip. The talk then turned to

robbery, and they headed back to Macon in Jones’ Mustang. En route, they passed a

Ramada Inn, and Jenkins suggested that they rob it. Mincey and Jones rejected the

idea, however, noting that the area was too congested. An Exxon gas station appeared

to be a good prospect, but it was closed. They next considered a Kwickee Food Store,

but Mincey quickly dismissed it; a store employee was one of Mincey’s trailer park

neighbors.

      Time was running out; it was after 10:00 p.m. and most establishments were

closing. As they passed a Mini Food Store, located at the corner of Houston Avenue

and Hartley Bridge Road, Mincey had Jones turn the car around so that he, Mincey,

could go in and “case” the store. Jones pulled into the parking lot, and Mincey

entered the store and purchased a pack of gum. After observing who was in the store,


                                          3
a cashier and two teenagers, Mincey returned to the car, and they parked on a dirt road

a short distance away to discuss what to do next. Mincey proposed that they rob the

Mini Food Store. When asked what to do about the two teenagers, Mincey said

(according to Jones and Jenkins, who copped pleas and testified for the prosecution

at Mincey’s trial), “we ain’t going to leave no bunch of witnesses. [I will] have to

waste them.” Jenkins replied, “we ain’t going back and shoot nobody,” to which

Mincey responded, “if you are talking about not wasting nobody, you are in the wrong

[expletive] car for that.”

       With that, the conversation ended, and they decided to rob the Mini Food

Store. They drove there in silence and parked in front of the store, leaving the motor

running. Mincey and Jenkins got out of the car; Jones remained behind the wheel.

Jenkins positioned himself beside an ice machine outside the store; from there he

could see the counter area through the storefront window. Mincey entered the store.

As he went through the door, Mincey pulled his pistol out from under his coat. The

two teenagers he had seen before, Mischell McCook, who was fourteen, and her

brother Bubba, who was fifteen, were still in the store. Brandishing his weapon,

Mincey told them to get into the car parked outside; then he instructed Paulette Riggs,

the cashier, to empty the contents of the cash register into the bag he was carrying.




                                          4
      When the McCook siblings exited the store, Jenkins, who was still standing by

the ice machine, told them to stay put. At that moment, Russell Peterman, a Bibb

County firefighter, driving a Ford pick-up truck, pulled up to the gas pumps in front

of the store and began filling his tank. While he was pumping gas, Mincey escorted

Riggs from the store at gun point, told her to stand beside Jenkins, and headed towards

Peterman. As he approached Peterman from behind, Mincey said, “come go with

me.” Peterman turned to see who was speaking and found Mincey pointing a gun at

him. Surprised, Peterman failed to respond, and, as Peterman testified at the trial,

Mincey exhibited a “flash of anger” and said “you think I’m joking, don’t you.”

Mincey then fired once, hitting Peterman in the chest.1 Peterman hit the ground and

lay there motionless but still conscious. From point-blank range, Mincey fired again,

at Peterman’s head.2 As the second shot rang out, the McCook siblings began running

toward a field behind the store.




      1
        At Mincey’s trial, Peterman was unable to identify Mincey as the man who
shot him; all he could say was that the man was a young white male. A state
criminalist, however, testified that, in his opinion, based on ballistics tests performed
at the State Crime Laboratory, the bullets that struck Peterman were fired from
Mincey’s .38 Llama pistol.
      2
        Peterman somehow survived. The second shot entered the left side of his head
and traveled across his face leaving him completely blind in one eye and with forty
percent of his vision in the other.
                                           5
      Believing that the second shot had killed Peterman, Mincey headed for the

Mustang. As he was going toward the car, Riggs started to run (in the direction of the

field behind the store), and Mincey shot at her. The bullet entered her left ear, and she

fell near a dumpster behind the store. Mincey walked to where Riggs was lying, shot

her in the head, and ran to the Mustang. Jenkins was already in the car, and, after

Mincey got in, the three men sped away. As they drove west on Hartley Bridge Road,

Jones asked Mincey if Riggs and Peterman were dead, and Mincey answered, “yes,

they are dead. I know they are dead, I shot both of them.” Mincey then asked Jones

and Jenkins what they had done with the two teenagers. Jenkins answered that they

were “back there,” to which Mincey responded, “what you mean? In the trunk?”

Jenkins told him, “no, back at the store.” Realizing that the teenagers had gotten

away, Mincey replied, “well, I just got a death sentence . . . a murder rap for $40.”

      As the robbery was taking place, Larry Ballard, who lived next door to the Mini

Food Store and had retired for the night, heard two gun shots. He got out of bed, told

his wife to call the sheriff, and ran out of the house.3 Once outside, he heard someone

scream and then another gun shot. Moments later, he saw two white males get into




      3
       The Bibb County Sheriff’s office received her call at 10:43 p.m., and officers
were dispatched to the scene.
                                           6
a distinctive looking Mustang – the hood was missing, the car was covered with

primer paint, and the muffler was loud – and speed away.

      At 10:50 p.m., two Bibb County Sheriff’s officers arrived at the store, obtained

a detailed description of the getaway car, learned from a passerby that it belonged to

Jones, and, a short time later, determined his address. Meanwhile, Jones drove his

Mustang to the Cross Creek Trailer Park. There, Mincey got out, retrieved his

motorcycle, and rode it to his mother’s trailer-home at the Hill-N-Dale Trailer Park.

After letting Mincey out, Jones drove to the Forest Place Trailer Park and dropped

Jenkins off. After that, Jones threw his shotgun into a nearby creek and headed west

to the trailer-home of a close friend, Joey Holcomb, in adjoining Crawford County.



      A sheriff’s office investigator who had been dispatched to the scene of the

crime, Bob Boren, knew Jones, and was acquainted with his criminal record. Jones

had done time in a Georgia penitentiary for crimes committed in Bibb County: armed

robbery, burglary, and theft of automobile parts. Boren also knew Holcomb.4

Suspecting that Holcomb might know of Jones’ whereabouts, Boren contacted

Holcomb’s sister who said that her brother and Jones were still “running” together.

She gave Boren directions to Holcomb’s trailer-home, and at 2:30 a.m. the following


      4
          How Boren had come to know Holcomb is not disclosed by the record.
                                          7
day, April 13, Boren found Jones there and placed him under arrest. After being

advised of his Miranda rights, Jones told Boren about the robbery and shootings at the

Mini Food Store. Jones said that Mincey was the triggerman and that, when he

dropped Mincey off at the Cross Creek Trailer Park, Mincey had the gun and his share

of the robbery proceeds in his possession. Jones gave Boren a telephone number

where Mincey could be reached and described Mincey’s motorcycle.

      Boren traced the phone number to a trailer-home at the Hill-N-Dale Trailer

Park. Shortly after 4:15 a.m., the sheriff dispatched several officers to the trailer park.

They located the trailer-home and Mincey’s motorcycle; it was parked in front. A

short time after the officers arrived, a woman stepped out of the trailer-home. An

officer asked her who she was, and she replied that she was Mrs. Mincey and that she

was on her way to visit a neighbor. The officer asked her if she knew where her son

was, and she replied that Mincey was asleep inside. She inquired why the police were

there, and the officer said that her son was a suspect in an armed robbery and a

homicide. At the officer’s request, Mrs. Mincey went to the neighbor’s trailer-home,

called her son on the telephone, and handed the phone to the officer. He informed

Mincey that he was a suspect in a homicide and an armed robbery and asked him to

step outside. Mincey did so, was placed under arrest, and was taken by Boren and

sheriff’s office investigator Clifton Spires to the Bibb County Law Enforcement


                                            8
Center (the “LEC”). During the trip to the LEC, Boren read Mincey his Miranda

rights. At the LEC, Mincey was informed of his rights once again. After that, he

decided to talk and made several incriminating statements.

      Later in the day, the sheriff’s office obtained a warrant to search Mrs. Mincey’s

trailer-home.5 Inspector Boren executed the warrant at 4:20 p.m. With Mrs. Mincey’s

assistance, he seized a .38 caliber Llama pistol, which had been placed in a plastic

bread wrapper and hidden under the kitchen sink.6 He also obtained several articles

of clothing and some shoes, all of which were blood-stained.

      Prior to the search of Mrs. Mincey’s trailer-home, Investigator Spires arrested

Jenkins, read him his rights, and took him to the LEC. Like Jones, Jenkins quickly

confessed to the events that had taken place at the Mini Food Store; he blamed Mincey

for everything that happened.



                                         II.

      5
        At the time of Mincey’s arrest, the police suspected that Jenkins, whose
whereabouts were still unknown, might also be inside the trailer-home. For this
reason, as Mincey was placed under arrest, an officer entered the trailer-home to
ensure that no one else was inside. The officer observed nothing of evidentiary value
and took nothing from the residence.
      6
        On May 19, 1982, the prosecution, in its response to Mincey’s April 22
request for Brady material, disclosed that, “[w]hen the Llama pistol recovered from
the defendant’s trailer with a search warrant was first delivered to the Crime Lab it
was not operative. It also had been cleaned and oiled since its last firing.”
                                          9
                                         A.

      On the afternoon of April 13, 1982, the Indigent Defense Coordinator for the

Bibb County Superior Court appointed J. Robert Daniel to represent Mincey.7 The

next day, at 4:30 p.m., a Bibb County grand jury returned a three count indictment

against Mincey, Jones, and Jenkins, charging them with the murder of Paulette

Riggs, the aggravated battery of Russell Peterman, and the armed robbery of the

Mini Food Store.8 On April 22, Jones and Jenkins, pursuant to plea agreements

with the Bibb County District Attorney, entered pleas of guilty in the Bibb County

Superior Court. Jones pled guilty to all three counts of the indictment, and Jenkins




      7
         Daniel had been practicing law for over seven years in Macon, Georgia
(mostly handling criminal matters) when he was appointed to represent Mincey;
Daniel was a sole practitioner and was a member of the National Association of
Criminal Defense Lawyers, the Georgia Association of Criminal Defense Lawyers,
and the Macon Association of Criminal Defense Lawyers (of which he was a former
president). In addition to practicing law, Daniel had served as an adjunct professor
of law at the Mercer School of Law (in Macon); he taught trial advocacy. Although
Daniel had not handled any capital cases, he had represented five or six persons
accused of murder and had recently attended a three day seminar on defending capital
cases – in both the guilt and penalty phases.
      8
        The indictment charged Mincey and Jones with being habitual offenders with
respect to the aggravated battery and armed robbery counts. In 1977, Mincey and
Jones had pled guilty in the Bibb County Superior Court to separate indictments
charging them jointly with armed robbery. In addition, Mincey had pled guilty to a
third armed robbery offense and Jones had pled guilty to theft of automobile parts.
                                         10
plead guilty to aggravated battery and armed robbery.9 With these pleas in hand

and the promises of Jones and Jenkins to testify against Mincey, the district

attorney informed Daniel that the State would be seeking the death penalty against

his client.10

       At the “first pretrial hearing”11 held in the superior court on April 23, Daniel

informed the court that the State was seeking the death penalty, that he had met

with Claude R. Cook, who had tried a capital case, and that Cook had agreed to

serve as co-counsel.12 Daniel also informed the court that he would be asking for


       9
       Jones was sentenced to life imprisonment on the murder count and ten years
imprisonment on the aggravated battery count; sentencing on the armed robbery count
was deferred until after Jones testified at Mincey’s trial. Jenkins was sentenced to life
imprisonment on the armed robbery count; sentencing on the aggravated battery count
was deferred until after Jenkins testified at Mincey’s trial.
       10
        On April 26, the prosecutor gave defense counsel a list of the State’s
witnesses. Jones’ and Jenkins’ names were on the list.
       11
         This conference was mandated by Georgia’s Unified Appeal Procedure which
became effective on August 25, 1980. See Ga. Code Ann. § 17-10-36 (1997); Smith
v. Zant, 
887 F.2d 1407
, 1415 n.19 (11th Cir. 1989) (en banc).
       12
          The Indigent Defense Coordinator subsequently appointed Cook as co-
counsel for Mincey. Cook had been practicing law for over seven years in Macon,
Georgia (half of his practice focused on criminal matters) when he was asked by
Daniel to serve as co-counsel. At the time, Cook was a named partner in a three-
lawyer firm and was a member of several professional organizations. At the hearing
held in the Butts County Superior Court on Mincey’s first petition for a writ of habeas
corpus – in which Mincey alleged that Daniel and Cook had provided constitutionally
ineffective assistance of counsel in defending him in the trial court and on appeal –
Cook testified that he had been “involved in” approximately thirty-five criminal trials,
                                           11
the appointment of a psychiatrist to examine Mincey. Daniel had learned that

Mincey was a frequent drug user, and he suspected that Mincey may have been

using acid or LSD the day of the crime.13 He also knew that Mincey had suffered

serious “head injuries” a few years earlier and had experienced “blackouts.”14 On


and that, prior to representing Mincey, he had handled one capital case. In that case,
an equally divided jury refused to impose the death penalty, and the court therefore
sentenced the defendant to imprisonment for life.
       13
           The record does not indicate how Daniel learned of Mincey’s drug usage.
Mincey did not testify at the hearing held in the Butts County Superior Court on his
first habeas petition (or in support of the petition now before us, since the district court
did not hold an evidentiary hearing). Therefore, we do not know what Mincey may
have said to Daniel or Cook, if anything, about his drug usage in general or on the day
of the crime. Daniel and Cook testified at the habeas hearing (having been
subpoenaed by the State to testify concerning their representation of Mincey), but they
were not asked, and they did not volunteer, specifically what Mincey may have told
them about using drugs on the day of the crime. (They could have related what
Mincey told them because, by claiming that their performance in the trial court was
ineffective, Mincey had waived the attorney-client privilege. See Laughner v. United
States, 
373 F.2d 326
, 327 (5th Cir. 1967); see also Bonner v. City of Pritchard, 
661 F.2d 1206
, 1209 (11th Cir. 1981) (en banc) (adopting as binding precedent decisions
of the former Fifth Circuit rendered prior to October 1, 1981)). Daniel’s testimony
concerning drug usage was restricted to this statement:
        [e]arly on, we thought that perhaps he had been under the influence of
        combined drugs; maybe including LSD. We got that suspicion from
        talking with him and from statements to police officers or maybe reading
        something in the newspaper but at some point, I learned there was drugs
        involved. I learned later that that was not the case and we stopped
        following up that lead.
       14
         According to testimony given by Daniel and Cook at the evidentiary hearing
before the Butts County Superior Court on Mincey’s first habeas petition, 
see supra
n.13, Mincey told them about his head injuries and blackouts very early in the case.
In Mincey’s April 26 petition to the trial court for an order requiring that Mincey
                                            12
April 26, Daniel, using a form provided by the superior court, filed with the district

attorney’s office a “Petition for Psychological Examination.” The petition asked

that Mincey be evaluated for “[c]ompetency to stand trial” and “[r]esponsibility for

actions at the time of the alleged offense.” In response to a statement on the form,

“[o]bservations which led to this request,” Daniel inserted the following: “(1)

Never injured anyone before; (2) history of drug abuse; (3) history of head injuries

and blackouts.” Mincey signed the form, thereby assenting to the psychological

evaluation and its submission to the court. The district attorney also signed the

form. On April 28, the petition was presented to the superior court. The court

granted the petition and ordered that Mincey be examined for (1) “competency to

stand trial” and (2) “the degree of [his] criminal responsibility” by a “qualified

psychologist and/or psychiatrist,” and that a report of the examination be provided

to the court and counsel for the parties.




undergo a psychological evaluation, Daniel indicated that Mincey had a “history of
head injuries and blackouts.” Cook testified that, after he made his appearance in the
case, he reviewed the records of the medical treatment Mincey received following a
motorcycle accident in 1980 and was familiar with Mincey’s subsequent mood
swings. After acknowledging that he and Cook were aware of the motorcycle
accident, Daniel added, “we were suspicious that perhaps [the accident] had caused
some problems . . . . we were aware of a change in behavior patterns . . . after the
accident. We had him evaluated and nothing came of it.”
                                            13
      After the court entered this order, Daniel and Cook had second thoughts

about having Mincey examined pursuant to the court order. They were concerned

that, because the prosecutor would receive a copy of the examiner’s report, any

incriminating information that Mincey might divulge to the examiner might find its

way into the report and be used against him at trial. Until they could present the

matter to the court and obtain a definitive answer, they decided to postpone

Mincey’s court-ordered examination. Meanwhile, on April 30, Daniel moved the

court for the provision of funds so that an independent mental heath expert could

be employed to examine Mincey.15 At about the same time, a psychologist, Dr.

Dan Johnson, as a favor to Mincey’s father, examined Mincey and reported his

findings to Mincey’s attorneys.16 In his report, Dr. Johnson found no signs of

organic brain damage or a basis for an insanity defense.17


      15
          In their motion, counsel did not identify the mental health expert they wished
to hire; they simply asked for funds, implying that if their motion were granted, they
would find an expert to examine Mincey.
      16
         The record does not indicate precisely when Dr. Johnson examined Mincey;
by piecing several parts of the record together, we estimate that it took place before
Mincey’s attorneys decided that Mincey should undergo the court-ordered
examination.
      17
          On July 23, 1984, at a hearing in the Butts County Superior Court on
Mincey’s first petition for a writ of habeas corpus, Cook testified that Dr. Johnson
gave them a written report of the examination and his evaluation of Mincey’s
condition. At the same hearing, Daniel testified that they received the results of Dr.
Johnson’s examination before the trial court, on April 30, entertained their motion for
                                          14
      At a pretrial conference on April 30, the court entertained several motions,

one being the defendant’s April 28 motion for the provision of funds for an

independent psychological examination. The court deferred ruling on that motion

pending the results of the court-ordered examination (if conducted).18 On May 3,

at a hearing requested by Mincey’s attorneys, the court, Daniel, Mincey, and the

prosecutor discussed whether, if Mincey submitted to the court-ordered

examination, any incriminating information he provided the examiner could be

used against him at trial and, if so, whether the court should limit the scope of the

questions the examiner could put to Mincey. The court refused to limit the

questions, but stated that Mincey could invoke his Fifth Amendment right against

self incrimination during the examination. It reserved ruling, however, on whether

Daniel could be present while the examiner questioned Mincey.

      Following the May 3 hearing, Mincey’s attorneys decided that Mincey

should submit to the court-ordered examination. The attorneys were concerned



funds to employ an independent mental health expert. According to Daniel, Dr.
Johnson’s report, which is not in the record before us, contained information that
would have been harmful to Mincey’s case if turned over to the prosecution; for this
reason, as indicated in the text infra, Dr. Johnson was not called to testify as a defense
witness at either the guilt or penalty phase of Mincey’s trial.
      18
         The record does not indicate whether the court ruled on Mincey’s request for
funds for an independent psychological examination after the Central State Hospital
forensic team examined Mincey and issued its report.
                                           15
that if the examination did not go forward, they might subsequently be accused of

providing constitutionally ineffective assistance of counsel. To avoid that

problem, they had Mincey submit to the examination.

       On May 17, the forensic team wrote the court, with copy to counsel, that it

had examined Mincey and found him competent to stand trial. It also concluded

that he was sane at the time of the offense. The team reached these conclusions

because Mincey showed “no evidence of thought disorder,” he had received “no

previous psychiatric treatment or mental health care,” “his speech was logical,

relevant and coherent,” and he was “in good contact with reality.” The team’s

“most significant finding [was Mincey’s] abuse of drugs and his history of

antisocial behavior.”



                                             B.

       Georgia law recognizes the defenses of insanity and delusional

compulsion.19 To establish the former defense, the defendant must establish by a


       19
          Under Georgia law, a criminal defendant may plead “guilty but mentally ill.”
See Ga. Code Ann. § 17-7-131(b) (1997). Where a defendant has proffered evidence
that he was insane or otherwise mentally incompetent at the time of the offense, the
trial judge must instruct the jury that it may consider five possible verdicts: (1) guilty;
(2) not guilty; (3) not guilty by reason of insanity; (4) guilty but mentally ill; (5) guilty
but mentally retarded. See 
id. § 17-7-131(b)(1)(A)-(E);
see also State v. Ball, 
310 S.E.2d 516
, 518 (Ga. 1984) (noting that the definition of, and jury instruction
                                             16
preponderance of the evidence that, “at the time of the act . . . constituting the

crime, [he] did not have mental capacity to distinguish between right and wrong in

relation to such act . . . .” Ga. Code Ann. § 16-3-2 (1999); Grace v. Hopper, 
566 F.2d 507
, 510 (5th Cir. 1978) (stating that under Georgia law insanity is an

affirmative defense that the defendant must prove by a preponderance of the

evidence); Adams v. State, 
330 S.E.2d 869
, 872 (Ga. 1985) (same). To establish

the latter defense, the defendant must show that “at the time of the act . . . [he],

because of mental disease, injury, or congenital deficiency, acted as he did because

of a delusional compulsion as to such act which overmastered his will to resist




concerning “guilty but mentally ill” was added in 1982 and providing the text of the
law in existence prior to the date of this change.)
       A trial court may not accept
       [a] plea of guilty but mentally ill at the time of the crime . . . until the
       defendant has undergone examination by a licensed psychologist or
       psychiatrist and the court has examined the psychological or psychiatric
       reports, held a hearing on the issue of the defendant’s mental condition,
       and is satisfied that there is a factual basis that the defendant was
       mentally ill at the time of the offense.
Ga. Code Ann.§ 17-7-131(b)(2). The term “mentally ill” is defined as “having a
disorder of thought or mood which significantly impairs judgment, behavior, capacity
to recognize reality, or ability to cope with the ordinary demands of life.” The statute,
however, excludes from the definition of mentally ill “a mental state manifested only
by repeated unlawful or antisocial conduct.” Ga. Code Ann. § 17-7-131(a)(2).
       Finally, an insanity defense predicated on an addiction to drugs fails as a matter
of law unless the defendant shows that his addiction has destroyed his ability to
distinguish between right and wrong or has made him act under a delusional
compulsion. See Shirley v. State, 
253 S.E.2d 787
, 788 (Ga. Ct. App. 1979).
                                           17
committing the crime.” Ga. Code Ann. § 16-3-3 (1999); Freeman v. State, 
209 S.E.2d 127
, 130 (Ga. Ct. App. 1974) (holding that in order to claim such a defense,

the defendant must show both that the act was the result of a delusion and that the

defendant acted in such a way that the facts, as he believed them to be, would have

justified his act). In light of the forensic team’s findings and their investigation

into what occurred at the Mini Food Store on the night of the crime, Mincey’s

attorneys concluded that it would not be possible to establish either of these

defenses. They also decided that attempting to mitigate Mincey’s criminal

responsibility for his acts by implying that he was strung out on acid on the night

of the crime might backfire. Mincey had told someone at the jail that he had been

taking acid that day and wanted to present an insanity defense based on his use of

acid,20 and counsel were concerned that if they relied on excessive drug use as an

excuse for Mincey’s conduct, the prosecutor would destroy their defense.21 Thus,

      20
          While in jail following their arrests, Mincey told Jenkins (according to
Jenkins’ testimony at Mincey’s trial) that he would try to “cop an insanity plea” on the
theory that he was “wired out on acid” when they decided to rob the Mini Food Store
and when the shootings occurred. He asked Jenkins to go along with his story. After
investigating the possibility that Mincey was high on LSD at the time of the shootings,
his attorneys concluded that the theory had no basis in fact.
      21
        At Mincey’s trial, the prosecution, anticipating that Mincey’s attorneys might
attempt a “strung out on acid” defense, asked both Jones and Jenkins whether they had
seen Mincey take any drugs at any time before they arrived at the Mini Food Store.
Both said that they and Mincey had shared one marijuana cigarette; that was all. They
also said that Mincey never appeared to be under the influence of drugs. In his
                                           18
counsel’s strategy in the guilt phase of the trial would be to put the State to its

proof and attempt to create a reasonable doubt as to whether Mincey, as opposed to

Jenkins, had killed Riggs (since both were carrying guns that used .38 caliber

ammunition).

      Mincey went to trial on August 23, 1982. On the morning of August 26, the

jury found him guilty as charged. The penalty phase of the trial began and ended

the same day; the jury, by a unanimous vote, returned the death penalty. The court,

being bound by the verdict, then sentenced Mincey to death.22


argument to the jury at the close of the guilt phase, Daniel countered the implication
of this line of questioning (that the defense would try to excuse Mincey’s conduct by
contending that he was high on drugs):
       We told you [in opening statement at the beginning of the trial] we
       weren’t going to lie to you. Some of Jenkins’ testimony, I suspect, was
       to knock out the possibility of an insanity defense. We were supposed
       to come in with an insanity defense, or he was wired out on acid defense,
       some trumped up defense. No, we haven’t done that. And I hope to God
       I haven’t suggested to y’all anything that would offend you in this
       summation.
      22
         Under Georgia law, Ga. Code Ann. § 17-10-30 (1982), the jury was
authorized to impose the death penalty if it found the existence of at least one statutory
aggravating circumstance. Once it made such a finding, the jury had the discretion to
choose between the death sentence or life imprisonment. See Zant v. Stephens, 
297 S.E.2d 1
, 3 (Ga. 1982). In Mincey’s case, the jury found two statutory aggravating
circumstances: (1) the offense of murder was committed by a person with a prior
record of conviction for a capital felony, Ga. Code Ann. § 17-10-30(b)(1); (2) the
offense of murder was committed during the commission of another capital felony
(armed robbery), Ga. Code Ann. § 17-10-30(b)(2).
      Mincey received a life sentence for armed robbery and a consecutive twenty-
year sentence for aggravated battery.
                                           19
                                         C.

      Pursuant to Georgia’s unified appeal procedure, Ga. Code Ann.§ 17-10-36,

Mincey appealed his convictions and death sentence to the Georgia Supreme

Court. In his appeal, Mincey asserted two of the claims that we discuss in part III,

infra: (1) that he was convicted on the basis of evidence obtained following a

warrantless arrest proscribed by the Fourth Amendment, and (2) that he was

convicted on the basis of statements he made to the police after the police denied

his request for a lawyer, in violation of the Fifth Amendment.23 The Georgia

Supreme Court rejected Mincey’s claims of error and affirmed. See Mincey v.

State, 
304 S.E.2d 882
(Ga. 1983). Mincey then petitioned the United States

Supreme Court for a writ of certiorari. The Court denied his petition on November

7, 1983. See Mincey v. Georgia, 
464 U.S. 977
, 
104 S. Ct. 414
, 
78 L. Ed. 2d 352
(1983), reh’g den., 
464 U.S. 1064
, 
104 S. Ct. 749
, 
79 L. Ed. 2d 206
(1984).

      On March 5, 1984, Mincey, represented by counsel, Michael R. Hauptman,24

petitioned the Butts County Superior Court for a writ of habeas corpus. In his

petition, Mincey claimed that his attorneys, Daniel and Cook, denied him his Sixth


      23
         These claims were brought under the Fourteenth Amendment as well as the
Fourth and Fifth Amendments. For simplicity in discussing these and Mincey’s other
constitutional claims, we omit reference to the Fourteenth Amendment.
      24
           Hauptman practiced law in Atlanta, Georgia.
                                         20
Amendment right to the effective assistance of counsel at both the guilt and penalty

phases of his trial and on appeal.25 He alleged that counsel failed to investigate the

case or to call witnesses who would have provided evidence favorable to Mincey

in both phases of the trial.26 In the brief he submitted to the court in support of

Mincey’s petition, Hauptman was more specific concerning counsel’s failures:

      There was substantial evidence that Petitioner suffered from a head
      injury as a result of a motorcycle collision. As a result of this
      collision, Petitioner had a personality change, in which he would
      become moody and often explode into a violent outrage. It was this
      very type of outrage that one of the victems [sic] testified to at trial.
      Notwithstanding this, counsel had a minimal psychological evaluation
      performed on Petitioner. Defense counsel reviewed Petitioner’s
      medical records and he found no evidence of an [sic] neurological
      problems. Defense counsel based his expertise on his prior handling
      of personal injury claims. However, he had no formal training in this

      25
          Mincey’s petition also claimed that (1) the court improperly excused venire
persons who were opposed to the death penalty, while permitting death penalty-prone
venire persons to serve; (2) prosecutorial misconduct denied Mincey a fair trial; (3)
the evidence was insufficient to establish the charged offenses beyond a reasonable
doubt; and (4) the trial court admitted evidence that was highly inflammatory but of
little probative value.
      26
         The allegations of ineffective assistance in Mincey’s petition were extremely
vague, informing the court and the State of nothing more than the following: “Counsel
did absolutely no investigation or preparation for . . . and failed to put up any
significant evidence at the penalty phase of the trial;” “counsel failed to investigate
readily available and relevant evidence that would have been admissible at both the
guilt . . . [and] penalty phase of the trial;” “counsel failed to contact or call as
witnesses several persons who would have been willing to testify at the guilt . . . and
penalty phases of . . . trial. These persons would have testified as to mitigating
evidence during the sentencing phase and evidence favorable to Petitioner’s innocence
during the guilt . . . phase.”
                                          21
      highly complex area of law. Counsel did not seek a physical
      examination of petitioner. Nor, did counsel present any psychological
      experts to testify on behalf of the Petitioner. Virtually, this entire
      defense was left untouched. Certainly, there [can be] no more
      mitigating evidence than some sort of organic brain damage or mental
      deficiency.

      The superior court held an evidentiary hearing on Mincey’s petition. During

the hearing, Daniel and Cook testified in response to Mincey’s ineffective

assistance claim. After considering their testimony and other evidence adduced,

the court found no merit in Mincey’s ineffective assistance claim or in any of the

other allegations in the petition and, in a formal order entered on February 7, 1988,

denied relief. The Georgia Supreme Court subsequently denied Mincey’s

application for a certificate of probable cause to appeal. On October 3, 1988, the

United States Supreme Court denied his petition for a writ of certiorari. See

Mincey, 
488 U.S. 871
, 
109 S. Ct. 186
, 
102 L. Ed. 2d 155
(1988), reh’g den., 
488 U.S. 977
, 
109 S. Ct. 522
, 
102 L. Ed. 2d 555
(1988).

      On February 9, 1989, Mincey, represented by Michael Garrett and M.

Elizabeth Wells,27 petitioned the United States District Court for the Middle

District of Georgia for a writ of habeas corpus. See 28 U.S.C. § 2254 (1994).28


      27
           Garrett practiced law in an Augusta, Georgia; Wells practiced in Atlanta.
      28
       For reasons explained infra, see n.58 and accompanying text, we apply the
pre-AEDPA version of § 2254.
                                           22
His petition included claims that he had not presented to the Georgia courts. One

of those claims was that the prosecution had withheld material favorable to the

defense – specifically, hand written notes the prosecutor made of a conversation he

had (prior to Mincey’s trial) with a member of the Central State Hospital forensic

team that evaluated Mincey’s competency to stand trial and his sanity at the time of

the offense – in disregard of the Supreme Court’s directive in Brady v. Maryland,

373 U.S. 83
, 
83 S. Ct. 1194
, 
10 L. Ed. 2d 215
(1963). Concluding that the Georgia

courts would still adjudicate the merits of these claims, the district court dismissed

Mincey’s petition without prejudice for failure to exhaust his state remedies.

      Accordingly, on December 7, 1989, Mincey, now being represented by

James W. Purcell, Jeanne M. Hyder, Mark E. Olive, and Gary A. Alexion,29 once

again petitioned the Butts County Superior Court for habeas corpus relief. On

November 30, 1993, Mincey amended his petition, and the court subsequently

heard oral argument on the State’s motion to dismiss the petition as successive. Of

particular concern at the hearing was the question whether Mincey could have filed

his Brady claim – involving the prosecutor’s notes – on March 5, 1984, when he

filed his first habeas petition. The court concluded that Mincey could have raised



      29
        Purcell and Hyder practiced law in Augusta; Olive and Alexion were from
the Georgia Resource Center in Atlanta.
                                          23
his Brady claim at that time. The court further concluded that the remaining claims

in Mincey’s petition were barred either because, like the Brady claim, they could

have been raised earlier or they had already been litigated on appeal or in the first

habeas proceeding. The court, on March 3, 1994, therefore dismissed Mincey’s

petition on the ground that it was successive and, as such, barred by Georgia’s

abuse of the writ statute. See Ga. Code Ann. § 9-14-51 (1993). On October 27,

1994, the Georgia Supreme Court denied Mincey’s application for a certificate of

probable cause. On June 19, 1995, the United States Supreme Court denied

Mincey’s petition for a writ of certiorari. See Mincey v. Thomas, 
515 U.S. 1147
,

115 S. Ct. 2588
, 
132 L. Ed. 2d 836
(1995), reh’g den., 
515 U.S. 1180
, 
116 S. Ct. 25
, 
132 L. Ed. 2d 907
(1995).



                                          D.

      On April 24, 1996, Mincey, having exhausted all of his claims,30 returned to

the United States District Court for the Middle District of Georgia and filed a new

petition for habeas corpus relief. His petition, signed by attorneys Michael Garrett


      30
         Some of Mincey’s claims were exhausted because the Georgia courts had
passed on their merits. See 28 U.S.C. § 2254(b). His remaining claims were deemed
exhausted even though the Georgia courts had not passed on their merits, because
Mincey no longer had the right to litigate them in state court. See 28 U.S.C. §
2254(c).
                                          24
and M. Elizabeth Wells, contained nineteen claims of constitutional error.31 On

September 19, 1996, Mincey amended his petition, adding six claims, for a total of

twenty-five.32 After the state responded to Mincey’s petition, the district court

concluded that, based on the State’s response and the records of the state court

proceedings (submitted with the response),33 it could dispose of Mincey’s claims

without an evidentiary hearing, and it did so. On May 7, 1997, the court, in a

comprehensive order, rejected each of Mincey’s claims and entered judgment for

the State.34 Mincey thereafter moved the court pursuant to Rule 59(e) of the

Federal Rules of Civil Procedure to alter or amend its judgment. Mincey asked the

court to revisit its holding that he had procedurally defaulted his Brady claim


      31
        The petition contained claims bearing numbers from I through XVI and
XVIII through XX. There was no claim numbered XVII.
      32
          The amended petition contained all of the claims asserted in the initial
petition. We refer hereafter to the amended petition as the petition.
      33
        The district court considered the records of (1) Mincey’s criminal prosecution
in the Bibb County Superior Court, (2) his direct appeal to the Georgia Supreme
Court, and (3) the two habeas corpus proceedings in the Butts County Superior Court.
      34
         The district court did not pass on the merits of claims VI, VIII, IX, X, XI, and
XIV (Mincey’s Brady claim, involving the prosecutor’s notes) through XXV because
they were procedurally defaulted – that is, Mincey had not presented the claims to the
state courts as required by Georgia law and, consequently, the state courts had not
ruled on their merits – and Mincey had not demonstrated “cause” for his failure to
present them and resulting “prejudice.” See Wainwright v. Sykes, 
433 U.S. 72
, 87,
97 S. Ct. 2497
, 2506, 
53 L. Ed. 2d 594
(1977). The district court decided the merits
of the remaining claims and found them insufficient as a matter of law.
                                           25
(involving the prosecutor’s notes); given an evidentiary hearing, he represented, he

could show “cause” for the procedural default and resulting “prejudice.”35 On

August 26, 1997, having concluded that an evidentiary hearing was unnecessary,

the district court denied Mincey’s Rule 59(e) motion.36

      On September 26, 1997, Mincey appealed both the May 7 judgment and the

August 26 order. A month later, the district court entered an order substituting




      35
         In his Rule 59(e) motion to alter or amend, Mincey also asked the court to
reconsider its ruling that his attorneys’ performance at the trial and appellate levels of
his prosecution passed constitutional muster. The motion alleged that the state habeas
court’s evidentiary hearing on Mincey’s ineffective assistance of counsel claims was
not “full and fair” within the meaning of 28 U.S.C. § 2254(d)(2), and, therefore, that
the district court should hold an evidentiary hearing on these claims. The district
court concluded that the state habeas hearing had been full and fair and that Mincey’s
motion failed to demonstrate that a new evidentiary hearing was necessary. In the
court’s view, Mincey’s complaint was that the state courts had misapplied the standard
for effective assistance of counsel established by Strickland v. Washington, 
466 U.S. 668
, 
104 S. Ct. 2052
, 
80 L. Ed. 2d 674
(1984), in ruling on Mincey’s claims.
       For ease of discussion, we treat Mincey’s Rule 59(e) motion as seeking relief
only on his Brady claim involving the prosecutor’s notes.
      36
          In his Rule 59(e) motion, Mincey acknowledged that the State’s response to
his petition represented that he had procedurally defaulted his Brady claim by not
presenting it in the first habeas petition he presented to the Butts County Superior
Court. This representation, Mincey contended (in his motion), entitled him to an
evidentiary hearing on the question whether he had, in fact, defaulted the claim. The
district court correctly ruled that Mincey was not entitled to an evidentiary hearing on
this default issue because the Butts County Superior Court’s order disposing of his
second state habeas petition concluded that Mincey’s Brady claim was barred as
successive because he should have raised it in his first habeas petition.
                                           26
Amy Gershenfeld Donnella and Robert Rosenthal for Garrett and Wells as

Mincey’s counsel.37

       We conclude that twenty-one of Mincey’s twenty-five claims are either

procedurally defaulted (in which case we decline to address their merits) or are

meritless, and therefore, dispose of them in the margin.38 We review the remaining

      37
      Donnella has her office in St. Davids, Pennsylvania; Rosenthal’s office is in
New York, New York.
      38
          The twenty-one claims are duplicative in part; reduced to their essentials, they
are as follows: (1) The method the trial court used to draw the pool from which the
grand and petit jurors were chosen was unconstitutional; (2) The trial court unduly
restricted defense counsel’s voir dire of the jury venire, thereby denying Mincey a fair
trial; (3) The trial court improperly excused for cause venire persons who expressed
reservations about capital punishment and improperly refused to excuse those venire
persons who were committed to imposing the death penalty; (4) The trial court
improperly excused for cause a venire person because she knew Mincey’s family; (5)
The prosecutor used his peremptory challenges to strike African-Americans from the
venire in violation of Batson v. Kentucky, 
476 U.S. 79
, 
106 S. Ct. 1712
, 
90 L. Ed. 2d 69
(1986); (6) The prosecutor withheld exculpatory evidence from the defense –
statements made to the police by Jones and Jenkins, a statement Durwood Shores, a
prison inmate incarcerated with Mincey in 1977, made to other inmates, and
statements made by two persons who possessed mitigating evidence – in violation of
Brady, 
373 U.S. 83
, 
83 S. Ct. 1194
; (7) The trial court improperly allowed
codefendant Jenkins to repeat a statement Mincey purportedly made to him while both
were in custody, and the trial court improperly allowed a fellow prison inmate,
Durwood Shores, to repeat a statement Mincey purportedly made to him while both
were incarcerated in 1977; (8) The trial court improperly allowed a law enforcement
officer to relate a statement codefendant Jones had made to him following his arrest
– that Mincey was the trigger man; (9) The trial court improperly allowed the State
to introduce unreliable identification testimony during the guilt phase of the trial; (10)
The prosecutor’s improper closing argument at the close of the guilt phase of the trial
deprived Mincey of a fair trial; (11) The trial court improperly disallowed certain
mitigating evidence Mincey proffered during the sentencing phase of the trial; (12)
                                           27
claims in part III infra. In subpart A, we consider Mincey’s claim that his

warrantless arrest violated the Fourth Amendment; therefore, Mincey contends, the

evidence thereafter seized (pursuant to a search warrant) from his mother’s trailer-

home and the statements he made to the police following his arrest should have

been suppressed as fruit of a poisonous tree. In subpart B, we consider the claim

that Mincey was convicted on the basis of statements he made to the police after he

asked for, and was denied, the presence of a lawyer, in violation of the Fifth

Amendment. In subpart C, we consider whether the prosecutor denied Mincey due

process of law by not turning over to the defense prior to trial, as required by

Brady, 
373 U.S. 83
, 
83 S. Ct. 1194
, the notes he had made during a meeting with a

member of the forensic team following its evaluation of Mincey’s competency to




The trial court improperly allowed the prosecutor to introduce impact evidence during
the sentencing phase of the trial; (13) The trial court improperly allowed the state to
introduce Mincey’s prior convictions during the sentencing phase of the trial; (14) The
prosecutor’s closing argument in the sentencing phase was addressed improperly to
the passion and anger of the jurors, thereby depriving Mincey of a fair sentencing
proceeding; (15) The trial court’s sentencing instructions to the jury were unduly
confusing and restrictive and deprived Mincey of a fair sentencing proceeding; (16)
The trial court relied on an unconstitutional test in denying Mincey’s motion for a new
trial based on newly discovered evidence.
       Of the above, claims 1, 2, 5, 6, 7, 9, 10, 12, 13, 14, 15, and 16 are procedurally
defaulted, as the district court correctly found, because Mincey failed to present them
seasonably to the state courts in accordance with Georgia law, and he has not shown
cause and resulting prejudice for such failure. See 
Sykes, 433 U.S. at 87
, 97 S. Ct. at
2506. Claims 3, 4, 8, and 11 are meritless.
                                           28
stand trial and his sanity at the time of the robbery and shootings. Finally, in

subpart D, we consider whether Mincey was denied his Sixth Amendment right to

the effective assistance of counsel during both the guilt and penalty phases of his

trial.



                                           III.

                                           A.

         In order to review Mincey’s Fourth Amendment claim, we must conclude

that he did not have a full and fair opportunity to litigate his claim in a state court

proceeding. See Stone v. Powell, 
428 U.S. 465
, 
96 S. Ct. 3037
, 
49 L. Ed. 2d 1067
(1976). Stone instructs that

         where the state has provided an opportunity for full and fair litigation
         of a Fourth Amendment claim, a state prisoner may not be granted
         federal habeas corpus relief on the ground that evidence obtained in an
         unconstitutional search or seizure was introduced at his trial. In this
         context the contribution of the exclusionary rule, if any, to the
         effectuation of the Fourth Amendment is minimal, and the substantial
         societal costs of application of the rule persists with special force.

Id. 428 U.S.
at 
494-95, 96 S. Ct. at 3052-53
(footnotes omitted).39


         39
          The Supreme Court, in a footnote in its Stone decision, cited its earlier
decision in Townsend v. Sain to elaborate on the meaning of the phrase “full and fair
litigation.” See Townsend v. Sain, 
372 U.S. 293
, 
83 S. Ct. 745
, 
9 L. Ed. 2d 770
(1963), overruled in part, Keeney v. Tamayo-Reyes, 
504 U.S. 1
, 5, 
112 S. Ct. 1715
,
1717, 
118 L. Ed. 2d 318
(1992). Townsend lays out certain factors for a court to
                                           29
      For a claim to be fully and fairly considered by the state courts, where
      there are facts in dispute, full and fair consideration requires
      consideration by the fact-finding court, and at least the availability of
      meaningful appellate review by a higher state court. Where, however,
      the facts are undisputed, and there is nothing to be served by ordering
      a new evidentiary hearing, the full and fair consideration requirement
      is satisfied where the state appellate court, presented with an
      undisputed factual record, gives full consideration to defendant's
      Fourth Amendment claims.

Tukes v. Dugger, 
911 F.2d 508
, 513-14 (11th Cir. 1990) (quoting Morgan v.

Estelle, 
588 F.2d 934
, 941 (5th Cir. 1979)); see also Hedden v. Wainwright, 
558 F.2d 784
, 786 (5th Cir. 1977).

      The record in this case indicates beyond question that Mincey received a full

and fair hearing in the Bibb County Superior Court on his claim that the police

arrested him in violation of the Fourth Amendment and, therefore, that the

evidence obtained following his arrest – the tangible evidence seized from his

mother’s trailer-home and the statements he made to the police – should have been

suppressed as fruit of an illegal search.

      Prior to trial, on July 1 and 2, 1982, the court held a hearing on his motion to

suppress. Six witnesses testified at the hearing, including Mincey. Following the




consider in resolving whether an issue has been fully and fairly litigated. Among
these factors are whether there was a hearing procedure available, how well the factual
issues were developed, and whether the trial court’s fact-findings are adequately
supported by the record. See 
Townsend, 372 U.S. at 312-13
, 83 S. Ct. at 757.
                                            30
hearing, the court entered a written order denying his motion. The order contained

comprehensive findings of fact and concluded the officers had probable cause to

arrest Mincey and that, since exigent circumstances existed, they did not have to

obtain an arrest warrant. On direct appeal, the Georgia Supreme Court gave full

consideration to the superior court’s ruling and agreed that the officers had

probable cause to make the arrest. See 
Mincey, 304 S.E.2d at 887-89
. The court

did not consider whether the presence of exigent circumstances rendered a warrant

unnecessary because the arrest was made in a common area of the Hill-N-Dale

Trailer Park, in front of Mrs. Mincey’s trailer-home. See 
id. at 888
(citing United

States v. Watson, 
423 U.S. 411
, 423-24, 
96 S. Ct. 820
, 827-28, 
46 L. Ed. 2d 598
(1976) (holding that an officer may make a warrantless arrest in a public place if

the officer has probable cause to believe that the suspect has committed a felony)).

      Because we have satisfied ourselves that Mincey had a full and fair

opportunity to litigate his Fourth Amendment claim in the Georgia courts, we do

not review it.



                                       B.

      Mincey contends that the police obtained incriminating statements from him

after he asked for a lawyer, in violation of the Fifth Amendment and the rules laid


                                         31
down by Miranda v. Arizona, 
384 U.S. 436
, 
86 S. Ct. 1602
, 
16 L. Ed. 2d 694
(1966),40 and Edwards v. Arizona, 
451 U.S. 477
, 484-85, 
101 S. Ct. 1880
, 1884-85,

68 L. Ed. 2d 378
(1981)41 (collectively “Miranda rights”). Accordingly, Mincey

argues that the trial court should have granted his motion to suppress the

statements.



                                           1.

      Unless otherwise indicated, at the pre-trial suppression hearing, the parties

did not dispute the following version of the events surrounding Mincey’s

statements to the police.42 When Mincey was arrested outside his mother’s trailer-

home, he was handcuffed and Boren placed him in the back of Spires’ patrol car.

Spires drove the car and Boren sat in the back seat with Mincey. As the three men



      40
         Miranda holds that “[p]rior to any questioning . . . [a suspect] has a right to
the presence of an attorney, either retained or appointed,” although the suspect “may
waive effectuation of these rights, provided the waiver is made voluntarily, knowingly
and intelligently.” 
Miranda, 384 U.S. at 444
, 86 S. Ct. at 1612.
      41
         Edwards holds that once a suspect has expressed “his desire to deal with the
police only through counsel, [the suspect cannot be] subject to further interrogation
by the authorities until counsel has been made available to him, unless the accused
himself initiates further communication, exchanges, or conversations with the police.”
Edwards, 451 U.S. at 484-85
, 101 S. Ct. at 1880.
      42
         Mincey, Boren, Spires, and Deputy Sheriff Michael Smallwood were the
principal witnesses at the suppression hearing.
                                          32
began their drive to the LEC, Boren began advising Mincey of his Miranda

rights.43 Mincey interrupted him and said that he knew his rights. After the

interruption, Boren read Mincey his rights in full. He then asked Mincey if he

understood his rights and Mincey said that he did. At this point, Mincey claimed,

and Boren and Spires denied, that he told the officers to “go ahead and run the

lawyers.”44

      When the three men reached the LEC at approximately 5:15 a.m., Boren and

Spires took Mincey to an investigation room; Boren then exited, leaving Spires and

Mincey alone. Mincey had known Spires for five years – since 1977, when Spires

questioned him about an armed robbery.




      43
        In his testimony during the suppression hearing, and on cross-examination
by Mincey’s counsel at trial, Boren said that, during the trip to the LEC, he asked
Mincey if he knew anything about a murder and a robbery at the Mini Food Store that
evening; Mincey did not respond. It is undisputed that Boren asked this question after
advising Mincey of his Miranda rights.
      44
        When asked by his attorney what he meant by that, Mincey replied, “I needed
lawyers because, you know, on this case I knew I needed one.”
                                         33
        As soon as Boren left the room, Spires read Mincey his Miranda rights,45

using a waiver of rights form.46 Mincey said that he understood them. Spires then

handed the form to Mincey and asked him to read and sign it. Mincey read the

form, taking approximately three minutes, but refused to sign it,47 with these



        45
          As noted above, in the patrol car while en route to the LEC, Boren informed
Mincey of his rights in Spires’ presence. Spires informed him of his rights again, he
said, to ensure that Mincey understood them.
        46
           The waiver of rights form read in part: [I have been informed]
   1.   That I have the right to remain silent and do not have to make any statement
        at all.
   2.   That any statement which I might make may be used against me in court.
   3.   That I have the right to consult with an attorney before making any
        statement, and to have such attorney present with me while making a
        statement.
   4.   That if I do not have enough money to employ an attorney, I have the right
        to have one appointed by the court to represent me; to consult with him
        before making any statement; and to have him present with me while I am
        making a statement.
   5.   That if I request an attorney, no questions will be asked me until an attorney
        is present to represent me.
        47
          The waiver of rights form read in part:
        I, Terry Mincey, have been informed by the undersigned law
        enforcement officers, prior to being questioned by them, that I am
        suspected of the offense of murder . . . and have been informed of my
        rights as follows [
see supra
n.46] . . . . After having my rights explained
        to me, I freely and voluntarily waive my rights to an attorney, I am
        willing to make a statement to the officers, I can read and write the
        English language and fully understand my rights to an attorney. I have
        read this Waiver of Counsel and fully understand it. No threats or
        promises have been made to me to induce me to sign this Wavier of
        Counsel and to make a statement to the officers.
                                            34
words, “I’m not going to sign anything. I signed the last time. I’m not going to

sign anything this time. I did time the last time [referring to his encounter with

Spires following the 1977 armed robbery] . . . . You had me for armed robbery

before . . . . Man I’m looking at two murders this time. I’m not signing

anything.”48 Spires then asked Mincey if he would sign the form if part of it were

deleted Mincey pointed to the phrases “fully understand my right to an attorney”

and “to make a statement to the officers,” and Spires crossed them out. Despite

these deletions, Mincey still refused to sign the form. “I told him, you know, that I

needed a lawyer before I did anything.” Spires acknowledged that Mincey refused

to sign the form but denied that Mincey said he needed a lawyer. When his

attorney asked him to explain why he told Spires to delete the two phrases from the

form, but still refused to sign it, Mincey answered “because I knew I needed a

lawyer.”

      After he refused to sign the waiver form, Mincey told Spires about the

robbery of the Mini Food Store and the shootings; precisely what he said, however,




      48
        Mincey admitted making a statement to that effect. On cross-examination,
Mincey was asked, “[a]s a matter of fact, you freely told [Spires] some of the things
that happened out there that night, but when [he] asked you to sign, you told them
‘I’m not signing this time because this time it’s two murders;’ isn’t that right?” To
which he replied, “[i]n one part of the conversation that did come out.”
                                          35
was not brought out at the hearing.49 When asked why he was willing to discuss

those events with Spires, Mincey testified at the suppression hearing, “I don’t

know, I just saw that I wasn’t going to get a lawyer so I figured I had better talk to

him because I knew him. And I didn’t too much want to talk to Boren because he

was playing, you know, the rough side of it.”

      After Mincey spent approximately twenty minutes with Spires, Boren took

him to a conference room; there, Boren and Deputy Sheriff Michael Smallwood

interviewed Mincey for about forty-five minutes. Before the interview began,

Smallwood read Mincey his rights. Mincey responded “I know my rights.” After

that, Boren and Smallwood inquired about the events that had taken place at the

Mini Food Store.50 Mincey acknowledged that he had been to the store with Jones

and Jenkins and admitted shooting Peterman.51 When the officers asked him if he


      49
          At Mincey’s trial, Spires testified that after he told Mincey that only one
murder had taken place at the Mini Food Store – that Peterman was still alive –
Mincey said “he will die. I don’t miss when I shoot one.” Mincey also said (and
Spires told the jury) that he did not know why he shot the cashier and that he did not
intend to harm the two teenagers whom he had encountered in the store and who later
fled the scene.
      50
         The investigative report that Boren filed at the conclusion of his investigation
contained references concerning what Mincey said during the interview. The court
read the report prior to the suppression hearing.
      51
       At Mincey’s trial, Boren testified that, after he asked Mincey why he had shot
Peterman, Mincey said “I just [expletive] don’t know . . . . when I tell somebody to
do something, I mean for them to do it. I told him to leave, and he just acted funny
                                           36
would give them a signed statement, Mincey replied “I’m not going to sign

anything, I’m not going to give you anything, nothing written . . . I need forty-five

lawyers to get out of this stuff.”52 This was the first and only time during the

interview with Boren and Smallwood that Mincey uttered the word “lawyer.”

After Mincey made this statement, the officers ceased their questioning.53

      On cross-examination, Mincey testified that the forty-five lawyer comment

“was a wild exaggeration, you know, nothing really specific in it,” and said that “I

had told them all at one time or another that I needed a lawyer. I didn’t bring it

straight out and say, you know, go get me one; I just told them, you know, I felt

like I needed a lawyer.” Later, in response to further cross-examination, Mincey

acknowledged that he knew that he had a right to remain silent and to ask for

counsel at any time during his interviews, first with Spires and then with Boren and



and fooled with his jacket, and I shot him.”
      52
        Boren was the first witness at the suppression hearing to disclose the “forty-
five lawyers” comment (Smallwood and then Mincey subsequently testified that the
statement was made). Boren did so on cross-examination by Mincey’s counsel.
During the redirect examination that followed, the court asked Boren to read into the
record what his investigative report said about the comment. The report contained
these words: “It would take forty-five lawyers to get me out of this [expletive].”
      53
         At the hearing, Smallwood testified that he and Boren did not consider
Mincey’s statement as a request for counsel; that it was coincidental that the
interrogation ceased after Mincey said that he needed forty-five lawyers; and that they
would have ended the interview had Mincey asked for an attorney.
                                          37
Smallwood; that his rights were read to him several times; that he was not forced to

respond to the officers’ questions about the events at the Mini Food Store; that his

statements to the officers were made freely and voluntarily; and that he refused to

sign anything because he drew a “sharp distinction” between what he was willing

to say and what he was willing to sign.54 Finally, he answered “yes” to the

question: “you knew that you had a constitutional right as an American citizen not

to open your mouth and say one word without a lawyer?”

      On August 13, 1982, ten days before Mincey went to trial, the court, in a

written order containing findings of fact and conclusions of law, denied his motion

to suppress the incriminating statements he made to Spires, Boren, and Smallwood.

The court found that both Boren and Spires had read Mincey his rights and that

Mincey, who was “knowledgeable due to his numerous past contacts with the law

enforcement process,” fully understood his rights. That is, he understood that he

had a right to the presence of counsel before the officers questioned him, or at any

time during the interview, and that (with or without counsel) he had the right to

remain silent. The court found that Mincey waived both rights, and answered the

officers questions, knowing that they could be used against him. Addressing the



      54
         Mincey said that he refused to sign a statement because he was “not as stupid
as those dumb [racial expletive].”
                                         38
significance of Mincey’s request that Spires delete certain portions of the waiver of

rights form and Mincey’s subsequent refusal to sign the form, the court found that

such conduct did not constitute a request for counsel or an invocation of the right

to remain silent; rather, it demonstrated that Mincey was simply “toying with

Investigator Spires.” Mincey “knew that it would be easier to deny his statements

if they were not in writing and that is why he refused to sign the waiver form.”

The court acknowledged that Mincey indicated “in the patrol car and again at the

LEC that he wanted a lawyer,” but found that he “never asked for a lawyer. [He]

knew if he asked, he would get one immediately . . . [and his] reference to needing

45 lawyers made towards the end of his interview [with Boren and Smallwood]

was not such a request but merely an offhand remark.” Given this factual

background, the court concluded that Mincey’s statements were made freely and

voluntarily, and therefore, were admissible.

      On direct appeal, the Georgia Supreme Court concluded that the trial court’s

findings of fact had support in the record and that the court properly concluded that

Mincey’s statements were made “freely and voluntarily” after a waiver of Miranda

rights. See 
Mincey, 304 S.E.2d at 889
.55 Later, in denying Mincey habeas corpus


      55
        The Georgia Supreme Court disposed of Mincey’s claim with these words:
      After hearing the evidence, the trial court found that the defendant had
      been advised several times of his rights under Miranda, that he
                                         39
relief, the district court adopted the state trial court’s findings of fact, according

them a presumption of correctness pursuant to 28 U.S.C. § 2254(d),56 and also

concluded that Mincey’s statements were made freely and voluntarily, after being

fully advised of his rights.57



                                            2.

       Mincey seeks habeas corpus relief under the provisions of 28 U.S.C. § 2254

in effect prior to the time the President signed the Antiterrorism and Effective

Death Penalty Act of 1996, Pub. L. No. 104-134, 110 Stat. 1214 (1996) (the

“AEDPA”) into law, because he filed his habeas petition before that signing took

place. We agree.58


       understood those rights, that he had freely and voluntarily waived those
       rights, and that his subsequent statements were freely and voluntarily
       made. These determinations by the trial court were not clearly erroneous
       and we must therefore accept them. 
Mincey, 304 S.E.2d at 889
(internal
       quotation marks and citations omitted).
       56
          The district court presumed the trial court’s findings of fact to be correct after
determining that they were well supported by the evidence that had been presented to
the trial court.
       57
         In addition to the facts found by the state trial court, the district court found
that “[t]here is no evidence that [Mincey] was bullied or tricked into answering
questions, or that any promises or threats were made.”
       58
         Mincey and the State disagree as to whether the AEDPA, which amended
portions of 28 U.S.C. § 2254, applies in this case. Mincey contends that the pre-
                                            40
AEDPA standard applies while the State argues that we should apply the post-AEDPA
standard outlined in Neeley v. Nagle, 
138 F.3d 917
(11th Cir. 1998). Under the post-
AEDPA standard, a federal court may not grant habeas relief on any claim adjudicated
on the merits by a state court, unless the state proceeding “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,” 28 U.S.C. §
2254(d)(1) (Supp. II 1996), or “resulted in a decision that was based on an
unreasonable determination of the facts in light of the evidence presented in the State
court proceeding,” 
id. § 2254(d)(2).
In addition, the AEDPA amendments instruct
federal courts to presume state court findings of fact to be correct, a presumption the
petitioner can rebut only by clear and convincing evidence. See 
id. § 2254(e)(1).
       The district court applied 28 U.S.C. § 2254, as amended by the AEDPA, to
Mincey’s claims and denied the writ. Arguing that the court should have applied the
pre-AEDPA standard because Mincey filed his habeas petition in the district court
before the AEDPA was signed into law, Mincey moved the court to alter or amend its
judgment. The court side-stepped the issue of the AEDPA’s application; instead, in
a comprehensive order on August 26, 1997, the court concluded that it would reach
the same result whether it applied a pre-AEDPA or a post-AEDPA analysis and
denied Mincey’s motion.

       Mincey’s habeas petition was stamped as filed at 9:52 a.m. on April 24, 1996
by the clerk’s office of the United States District Court for the Middle District of
Georgia. The effective date of the AEDPA is April 24, 1996, when the President
signed the bill into law. See Lindh v. Murphy, 
521 U.S. 320
, 336, 
117 S. Ct. 2059
,
2068, 
138 L. Ed. 2d 481
(1997) (holding that the Chapter 153 amendments, which
apply to all federal habeas petitions, are inapplicable to federal habeas petitions
pending on the date of the AEDPA’s enactment). Because the AEDPA was enacted
into law on the same day Mincey filed his petition, the moment the President signed
the bill into law that day becomes relevant. See Burgess v. Salmon, 
97 U.S. 381
, 383,
24 L. Ed. 1104
(1878) (stating that presidential approval of a bill is “the earliest
possible moment at which it could become a law”); United States v. Casson, 
434 F.2d 415
, 419 (D.C. Cir. 1970) (citing Burgess, as “controlling law on this point and
follow[ing] it by deciding that [a] bill became a law at 3:05 P.M. when it was signed
by the President, and not before”). We have been unable to locate, and the parties
have failed to provide us with, the precise time the President signed the AEDPA, a
signing that took place during a ceremony on the South Lawn of the Rose Garden
                                          41
      In this case, as noted above, the district court presumed the state trial court’s

findings of historical fact to be correct and adopted them as its findings of

historical fact. The district court was entitled to indulge the presumption because




outside the White House. We know, however, that the AEDPA was signed in the
afternoon hours of April 24, 1996. See President’s Calendar, 80 Daily Tax Rep.
(BNA) d46 (Apr. 25, 1996), available in Westlaw 1996 DTR 80 d46 (disclosing that
“Afternoon - [President] Clinton . . . . departed the [Jefferson] hotel for the White
House, where he signed the anti-terrorism bill on the South Lawn”); see also President
Clinton, Remarks at meeting with President Ilyas [sic] Hrawi of Lebanon in Oval
Office (Apr. 24, 1996) (transcript available at U.S. Newswire, (revealing that, in a
press conference which began at 9:55 a.m. and ended fifteen minutes later, the
AEDPA had not been signed yet but was being signed later that day); Matthew Dorf,
PNC Decision to Amend Charter Hailed by U.S., Jewish Telegraphic Agency, Apr.
24, 1996, at 1 (reporting that President Clinton signed the anti-terrorism legislation
in the afternoon); Karen Abbott, Proceedings May be Broadcast on Closed-Circuit
Video Feed, Rocky Mtn. News, Apr. 24, 1996, at 12A (same). We therefore take
judicial notice of the fact that the President signed the AEDPA into law on the
afternoon of April 24, 1996, several hours after Mincey filed his habeas petition in the
district court. See Fed. R. Evid. 201(b)(2) (stating that judicial notice may be taken
when the fact in question is “one not subject to reasonable dispute in that it is . . .
capable of accurate and ready determination by resort to sources whose accuracy
cannot reasonably be questioned”); Shahar v. Bowers, 
120 F.3d 211
, 214 (11th Cir.
1997) (en banc) (stating by way of explanation that judicial notice may be taken of
“matters of political history: for instance, who was president in 1958”).
       As to the Chapter 154 amendments to Title 28, which apply to capital
petitioners, the State does not maintain that it has satisfied the “opt-in” requirements,
see 28 U.S.C. § 2261(a)-(c) (Supp. II 1996), for those provisions of the AEDPA to
apply. Accordingly, the AEDPA standard does not govern in this case. See Mills v.
Singletary, 
161 F.3d 1273
, 1280 n.6 (11th Cir. 1998). We agree with the district
court, however, that even under the pre-AEDPA standard, Mincey’s request for a writ
fails.
                                           42
the state court held a “full, fair, and adequate hearing” on Mincey’s claim

(regarding the incriminating statements he made to the police) and the record

before that court fairly supported its findings of fact. See 28 U.S.C. § 2254(d);

Medina v. Singletary, 
59 F.3d 1095
, 1106 (11th Cir. 1995); Weeks v. Jones, 
26 F.3d 1030
, 1033-34 (11th Cir. 1994). In short, we are bound by the state court’s

findings of historical fact. We review de novo, however, the district court’s

resolution of questions of law and of mixed questions of law and fact. See

Cunningham v. Zant, 
928 F.2d 1006
, 1011 (11th Cir. 1991).

      Whether a suspect in custody has been informed of his Miranda rights is a

question of fact. See United States v. Barbour, 
70 F.3d 580
, 584 (11th Cir. 1995).

Whether Mincey knowingly and intelligently waived his rights to the presence of

counsel and to remain silent, and, if so, whether his subsequent admissions to the

police were voluntary are questions of law. 
Id. Mincey does
not dispute the trial

court’s finding that he was fully advised of his Miranda rights and that he

understood them. He knew from the outset – when Boren read him his rights in the

back seat of the patrol car – that he did not have to submit to questioning and that

he had the right to an attorney upon demand. Mincey contends, instead, that he did

not waive his right to remain silent and his right to counsel.




                                          43
      His claim that he did not waive his right to remain silent is without merit.59

Mincey admitted at the suppression hearing that he spoke to the officers of his own

free will. As the trial court found at the conclusion of the suppression hearing,

“[Mincey] was willing to talk and knew that any oral communications could be

used against him. [He] also knew it would be easier to deny his statements if they

were not in writing and that is why he refused to sign the waiver form.” And, as

the district court correctly observed, “[t]here is no evidence [in the record of the

suppression hearing] that [Mincey] was bullied or tricked into answering questions,

or that any promises were made.”60 Given these circumstances, it seems to us that

what Mincey is really contending is that he invoked his right to the presence of

counsel and that, after he did so, the officers continued their questioning.

      When a suspect undergoing custodial interrogation asserts his right to

counsel, the interrogation must cease. See Miranda, 
384 U.S. 436
at 
474, 86 S. Ct. at 1628
. “Although a suspect need not speak with the discrimination of an Oxford


      59
         Moreover, Mincey did not contend – on the basis of any ground set out in
section 2254(d)(1)-(8) – that the district court should not accord the state court’s fact
findings a presumption of correctness.
      60
         Mincey’s claim that he did not waive his right to remain silent appears to be
based on his refusal to sign the waiver of rights form – after he asked Spires to delete
the phrases “fully understand my right to an attorney” and “to make a statement to the
officers.” The trial court rejected Mincey’s claim, finding that, by engaging in such
conduct, Mincey was simply “toying with Investigator Spires.”
                                           44
don, he must articulate his desire to have counsel present sufficiently clearly that a

reasonable police officer in the circumstances would understand the statement to

be a request for an attorney.” Davis v. United States, 
512 U.S. 452
, 459, 
114 S. Ct. 2350
, 2355, 
129 L. Ed. 2d 362
(1994) (internal quotation marks and citation

omitted). The Court in Davis found the statement, “Maybe I should talk to a

lawyer,” not to be an unequivocal request for counsel. 
Id. at 462,
114 S. Ct. at

2357. Such a statement, the Court stated, extended Miranda’s prophylactic rule too

far, requiring police officers to guess whether a suspect wanted a lawyer present.

The Court therefore concluded, “[i]f the suspect's statement is not an unambiguous

or unequivocal request for counsel, the officers have no obligation to stop

questioning him.” 
Id. at 461-62,
114 S. Ct. at 2356.

      The state trial court found that Mincey “indicate[d] in the patrol car and

again at the LEC that he wanted a lawyer . . . but that he never asked for a lawyer.”

The court was apparently referring to (1) Mincey’s statement, “go ahead and run

the lawyers,” which Mincey claims to have made en route to the LEC, and (2)

Mincey’s statement to Boren and Smallwood that “it would take forty-five lawyers

to get out of this [expletive].”61 Since Boren and Smallwood (and Mincey) agree


      61
         It is apparent from a reading of the trial court’s order denying Mincey’s
motion to suppress that the court did not believe Mincey’s testimony that, when he
refused to sign the waiver of rights form, he told Spires that he “needed a lawyer
                                          45
that the interview ended immediately after Mincey made the second statement,

Mincey’s claim – that the officers (first Spires, then Boren and Smallwood)

questioned him after he asked for an attorney – turns on whether “go ahead and run

the lawyers” constituted an “unambiguous or unequivocal request for counsel.”

Davis, 512 U.S. at 462
, 114 S. Ct. at 2356. Obviously, it did not.

      In his brief, Mincey argues that his refusal to sign the form constituted – was

the equivalent of – an immediate demand for counsel,62 and that Spires should have

recognized it as such. We are not persuaded. Although a refusal to sign a waiver

of rights form may indicate that the suspect is invoking his right to counsel, it is

not conclusive proof that he has invoked the right. See North Carolina v. Butler,

441 U.S. 369
, 375-76, 
99 S. Ct. 1755
, 1758-59, 
60 L. Ed. 2d 286
(1979); U.S. v.

Boon San Chong, 
829 F.2d 1572
, 1574 (11th Cir. 1987) (“Courts have for some

time rejected the argument that a refusal to sign a waiver form automatically

renders subsequent questioning improper.”). In this case, the trial court, in

determining whether Mincey had invoked his right to counsel, gave due

consideration to his refusal to sign the waiver of rights form and found, in light of



before [he] did anything.” (Spires denied that Mincey made such a statement.)
      62
         Mincey prefaces this argument with the observation that, because he refused
to sign the waiver of rights form, he “did not explicitly waive his right[] . . . to
counsel.”
                                          46
all of the surrounding circumstances, see 
Edwards, 451 U.S. at 482
, 101 S. Ct. at

1884; 
Butler, 441 U.S. at 374-75
, 99 S. Ct. at 1758, that he “was toying with

Investigator Spires.” In addition, the court found that Mincey “drew a sharp

distinction between what he was willing to say and what he was willing to sign.”

Mincey was willing to talk to the officers in the absence of counsel; “it would be

easier [for him] to deny his statements if they were not in writing and that is why

he refused to sign the waiver form.”



                                          C.

      Mincey’s third claim concerns a prosecutor’s obligation to give the defense

exculpatory evidence in his possession or under his control, as required by the Due

Process Clause and Brady v. Maryland, 
373 U.S. 83
, 
83 S. Ct. 1194
, 
10 L. Ed. 2d 215
(1963), and its progeny (the “Brady rule”). In Brady, the Supreme Court held

that “the suppression by the prosecution of evidence favorable to an accused upon

request violates due process where the evidence is material either to guilt or to

punishment, irrespective of the good faith or bad faith of the prosecution.” 
Id. 373 U.S.
at 
87, 83 S. Ct. at 1196-97
. Mincey contends that the prosecutor broke the

Brady rule when he withheld from the defense notes he had made during a pretrial

interview with a member of the Central State Hospital forensic team that evaluated


                                          47
Mincey to determine his competency to stand trial and his sanity at the time of the

offense.63 In its report dated May 17, 1982, the forensic team found no evidence of

mental illness: Mincey could “communicate with his lawyer[] in a sufficiently

rational manner to aid in his defense and . . . [had] an understanding of the legal

proceedings against him . . . . As to his criminal responsibility . . . he was able to

distinguish between right and wrong and was not acting under the influence of a

delusional compulsion.” The forensic team’s “most significant finding [was] his



      63
          The prosecutor’s notes probably constituted work product. Neither the
Supreme Court nor this court has decided whether Brady requires a prosecutor to turn
over his work product. See Goldberg v. United States, 
425 U.S. 94
, 98 n.3, 
96 S. Ct. 1338
, 1342 n.3, 
47 L. Ed. 2d 603
(1976) (leaving open the question whether the Brady
compels the prosecutor to produce notes not covered under the Jencks Act). Other
courts and commentators have assumed that Brady requires disclosure. See
Castlebury v. Crisp, 
414 F. Supp. 945
, 953 (N.D. Okla. 1976) (“[T]he ‘work product’
discovery rule cannot, of course, be applied in a manner which derogates a
defendant’s constitutional rights as propounded in Brady.”); see also United States v.
NYNEX Corp., 
781 F. Supp. 19
, 25 (D.D.C. 1991) (“Cases on this question, albeit
without much discussion, suggest that internal materials possibly constituting work
product may not automatically be exempt from Brady requirements.”) (citing cases);
United States v. Goldman, 
439 F. Supp. 337
, 350 (S.D.N.Y. 1977) (Of course, if
[work product] material be of a Brady nature, then it must be produced.”); Franklin
v. State, 
304 S.E.2d 501
, 504 (Ga. Ct. App. 1983) (“[W]ork product of the state [is]
not subject to compelled discovery except to the extent that such letter may be
exculpatory and subject to disclosure under Brady.” (citation omitted)); 2 Charles
Alan Wright & Arthur R. Miller, Federal Practice and Procedure, § 254, at 81 & n.60
(2d ed. 1982) (“Because Brady is based on the Constitution, it overrides court-made
rules of procedure. Thus the work-product immunity for discovery in Rule 16(a)(2)
prohibits discovery under Rule 16 but it does not alter the prosecutor’s duty to
disclose material that is within Brady.”).
                                           48
abuse of drugs and his history of antisocial behavior.” The team had “no

recommendations for treatment.”

      After receiving a copy of the forensic team’s report, the prosecutor met with

the team’s psychiatrist, Dr. James Craig. During that meeting, the prosecutor made

some notes. The following notations, Mincey contends, would have aided his

attorneys in the conduct of his case at trial, in both the guilt and penalty phases:

      D said to them on day of killing that high on quaaludes or L.S.D. –
      didn’t say where got . . . .
      Said took L.S.D. and quaaludes all the time[.] Over period of time . . .
      .
      Brain damage in auto accident. Reflexes more active on 1 side. This
      indicates motor muscle power differential. It is possible he might now
      be more susceptible to irrational behavior.64




      64
          These excerpts are taken directly from three photocopies of the prosecutor’s
handwritten notes. These photocopies were attached to the application for certificate
of probable cause Mincey filed in the Georgia Supreme Court in May 1994 in an
effort to obtain appellate review of the Butts County Superior Court’s denial of his
second habeas petition. This application (which included as attachments a photocopy
of the report submitted by the Central State Hospital forensic team; a September 28,
1993 affidavit of Dr. James Larson, a clinical psychologist who evaluated Mincey in
August 1993; an August 16, 1993 affidavit of Robert Jones; and a September 27, 1993
affidavit of Robert Daniel) was made part of the record on appeal in this case after the
district court, on March 18, 1998, granted Mincey’s motion to correct the record
pursuant to Rule 10(e). See Fed. R. App. P. 10(e). We assume that the application for
a certificate of probable cause was before the district court when it denied Mincey’s
habeas petition on May 7, 1997, and Mincey’s Rule 59(e) motion to alter or amend
on August 26, 1997.
                                          49
      Mincey raised his Brady claim for the first time in his first habeas petition to

the district court. The court dismissed the petition because Mincey had not

exhausted the claim (and other claims as well). Mincey thereupon returned to the

Butts County Superior Court with a second habeas petition, which included his

Brady claim. The superior court, however, did not consider the claim. Instead, the

court dismissed the petition as successive and thus barred by Georgia law.

      Following this disposition, Mincey filed a second habeas petition in the

district court. The petition contained his Brady claim. It read in relevant part as

follows:

                                    CLAIM XIV

                   THE DISTRICT ATTORNEY . . . FAILED
                   TO DISCLOSE TO DEFENSE COUNSEL
                   EXCULPATORY INFORMATION
                   REGARDING PETITIONER’S MENTAL
                   HEALTH IN VIOLATION OF THE
                   FIFTH, SIXTH, EIGHTH AND
                   FOURTEENTH AMENDMENT [sic] TO
                   THE UNITED STATES CONSTITUTION.
                   ...

             This claim is evidenced by the following facts:
             2. Mr. Mincey was denied his constitutional rights . . . when the
      District Attorney failed to disclose to defense counsel exculpatory
      information regarding [his] mental health.
             3. In May, 1982, Mr. Mincey was evaluated by the out patient
      forensic evaluation team from Central State Hospital. The team
      included a psychiatrist, a psychologist and a forensic nurse. Shortly
      after the evaluation, the members of the team met with the District

                                          50
Attorney . . . and reported their findings. Notes of this conversation
were made and kept in the file of the District Attorney. These notes
were hidden in the file of the District Attorney’s file until post-
conviction counsel discovered them through the State Open Records
Act.
       4. The hidden notes reveal that Dr. James Craig, the
psychiatrist, found that Mr. Mincey suffered from brain damage which
was the result of a motor vehicle accident in 1980. Specifically, the
notes state:

             Brain damage in auto accident. Reflexes
             more active on 1 side. This indicates motor
             muscle power differential. It is possible he
             might now be more susceptible to irrational
             behavior.

[Notes of District Attorney]. In addition, the hidden notes indicate
that Mr. Mincey was under the influence of LSD and quaaludes on the
night of the crime and that he had a substantial history of LSD use.
       5. In its final report to the court, via a letter dated May 17,
1982, the Central State Hospital evaluators only discussed Mr.
Mincey’s competency to stand trial. The letter omits any mention that
Mr. Mincey suffered from brain damage and says nothing about the
LSD and quaalude use on the night of the crime. Instead of
commenting on the effects of Mr. Mincey’s use of hallucinogenic
drugs on the night of the offense, the State evaluators mention only
that Mr. Mincey had abused drugs.
       6. Thus, the Central State Hospital evaluators told the District
Attorney that Mr. Mincey suffered from brain damage, but refused to
disclose this information to the Court or to defense counsel. This
action clearly violates Brady v. Maryland, 
373 U.S. 83
(1963).
Moreover, the District Attorney knew that the report to the court and
defense counsel was misleading and had left out evidence which
would have been critical to the defense of the case. Rather than fulfill
its obligations to disclose this exculpatory evidence, the District
Attorney hid his notes containing the real diagnosis for over eight
years until they were discovered by post-conviction counsel.


                                   51
             8. In order to make out a successful Brady claim, Petitioner
      must show: (1) evidence in the possession of the state was not
      disclosed to the defense; (2) the suppressed evidence was favorable to
      the defense; and (3) the suppressed evidence was material. Jacobs v.
      Singletary, 
952 F.2d 1282
, 1288 (11th Cir. 1992). . . . Evidence is
      material when “there is a reasonable probability that, had the evidence
      been disclosed to the defense, the result of the proceeding would have
      been different.” Kyles v. 
Whitley, 115 S. Ct. at 1565
(quoting United
      States v. 
Bagley, 473 U.S. at 678
). And a “reasonable probability” is
      a [sic] probability sufficient to undermine confidence in the outcome.”
      United States v. 
Bagley, 473 U.S. at 682
.
             9. Mr. Mincey has satisfied the Jacobs requirements. Notes in
      the possession of the district attorney were not disclosed to Mr.
      Mincey until post-conviction when the Open Records Act was
      enacted; these notes are favorable to Mr. Mincey; these notes are
      material to Mr. Mincey’s mental health claims. Had this evidence
      been disclose to Mr. Mincey in a timely fashion, he would not have
      been convicted and sentenced to death.

      In its response to Mincey’s petition, the State represented that the Butts

County Superior Court had dismissed Claim XIV because it was barred by

Georgia’s successive petition rule; accordingly, the State asked the district court to

dismiss the claim as procedurally defaulted. Mincey did not seek leave of court to

amend his petition to allege that he had defaulted the claim but that he could show

cause for the default and resulting prejudice. Because the record demonstrated

conclusively that the state superior court had dismissed Mincey’s Brady claim as

successive, the district court, honoring Georgia’s procedural default rule, dismissed

the claim on May 7, 1997, without reaching the merits.



                                          52
         Mincey thereafter moved the court pursuant to Rule 59(e) to alter or amend

the judgment, contending that, if given an evidentiary hearing, he could

demonstrate cause for the procedural default of his Brady claim and resulting

prejudice. The court assumed that Mincey could show cause for defaulting the

claim but that his showing of resulting prejudice was inadequate as a matter of law.

The court, on August 26, 1997, therefore adhered to its earlier ruling rejecting the

claim.

         We review the district court’s treatment of Mincey’s Brady claim in two

parts. First, we consider whether the court erred in dismissing the claim as

procedurally defaulted when it entered its final judgment denying Mincey habeas

relief. Then, we consider whether the court abused its discretion when it denied

Mincey’s Rule 59(e) relief.



                                            1.

         We review de novo the district court’s conclusion (in its order granting the

State final judgment) that Mincey procedurally defaulted his Brady claim, and

therefore, it could not be disposed of on the merits under federal law. See Lusk v.

Singletary, 
112 F.3d 1103
, 1105 (11th Cir. 1997). It is well-settled that federal

habeas courts may not consider claims that have been defaulted in state court


                                           53
pursuant to an adequate and independent state procedural rule, unless the petitioner

can show “cause” for the default and resulting “prejudice,” or “a fundamental

miscarriage of justice.” See Coleman v. Thompson, 
501 U.S. 722
, 750, 
111 S. Ct. 2546
, 2564-65, 
115 L. Ed. 2d 640
(1991); McCoy v. Newsome, 
953 F.2d 1252
,

1258 (11th Cir. 1992).65 Under Georgia law, a prisoner seeking a writ of habeas

corpus vacating his conviction must present all of his grounds for relief in his

original petition. See Ga. Code Ann. § 9-14-51 (1993).66 The Georgia Supreme

Court has explained that the purpose of this procedural rule is to bar successive

petitions. See Hunter v. Brown, 
223 S.E.2d 145
, 146 (Ga. 1976). Moreover, we

have repeatedly recognized that not complying with this rule precludes federal


      65
        In Coleman, the Supreme Court stated,
     [i]n all cases in which a state prisoner has defaulted his federal claims in
     state court pursuant to an independent and adequate state procedural rule,
     federal habeas review of the claims is barred unless the prisoner can
     demonstrate cause for the default and actual prejudice as a result of the
     alleged violation of federal law, or demonstrate that failure to consider
     the claims will result in a fundamental miscarriage of 
justice. 501 U.S. at 750
, 111 S. Ct. at 2565.
      66
        Ga. Code Ann. § 9-14-51 states that,
      [a]ll grounds for relief claimed by a petitioner for a writ of habeas corpus
      shall be raised by a petitioner in his original or amended petition. Any
      grounds not so raised are waived unless the Constitution of the United
      States or of this state otherwise requires or unless any judge to whom the
      petition is assigned, on considering a subsequent petition, finds grounds
      for relief asserted therein which could not reasonably have been raised
      in the original or amended petition.
                                          54
habeas review. See 
McCoy, 953 F.2d at 1257-62
; Lancaster v. Newsome, 
880 F.2d 362
, 372-74 (11th Cir. 1989); Presnell v. Kemp, 
835 F.2d 1567
, 1773 (11th Cir.

1988). Mincey failed to comply with Georgia’s successive petition rule on March

5, 1984 when he neglected to present his Brady claim in his original habeas

petition to the Butts County Superior Court. The district court was therefore

precluded from addressing the merits of Mincey’s Brady claim unless he showed

“cause” for not raising it in his original habeas petition to the Butts County

Superior Court and resulting prejudice, or that a manifest injustice would result if

he were denied relief. See 
Coleman, 501 U.S. at 750
, 111 S. Ct. at 2564-65.




                                          55
      Mincey failed this test.67 When faced with a State response that he had

defaulted his Brady claim by not presenting it in his first state habeas petition,

Mincey made no attempt to avoid the consequence of the default by trying to show

cause and prejudice or manifest injustice in either a motion for leave to amend his

petition or some other communication to the court.68 Instead, he simply sat on his

      67
          Mincey never argues that his procedurally defaulted Brady claim falls within
the “narrow class of cases . . . implicating a fundamental miscarriage of justice.”
McCleskey v. Zant, 
499 U.S. 467
, 494, 
111 S. Ct. 1454
, 1470, 
113 L. Ed. 2d 517
(1991). Had he made the argument, we would have rejected it because Mincey could
not make a “a colorable showing of innocence.” 
Id. at 495,
111 S. Ct. at 1471. The
record includes a transcript of a letter Mincey sent to Jones in October 1982, shortly
after the trial, when Jones was incarcerated in Jackson, Georgia and Mincey was
incarcerated in Mount Vernon, Georgia. The letter was used by the State to defend
against Mincey’s motion for a new trial in November 1982. This letter reads in
relevant part,
       I want you to know that I don’t hold any hard feelings against you
       because in my eyes you told things as close to the truth as possible. But
       I think we both know that you got more than $10. . . . We just caught a
       bad one and now we have to build this time again. I’m sorry I got you
       into this [expletive], Bobby, and I want you to know that is the truth. We
       half-ass did a job and this is our price for mistakes.”
      68
         In concluding that Mincey made no attempt (prior to filing his post-judgment
Rule 59(e) motion) to inform the court that he had cause for his procedural default we
have not overlooked the fact that contained within his Brady claim was the allegation
that the prosecutor’s notes were “hidden in the District Attorney’s file until post-
conviction counsel discovered them through the State Open Records Act.” We have
considered whether this phrase constituted an allegation that Mincey had defaulted his
Brady claim but had cause for the default. We conclude, however, that the phrase did
nothing more than buttress his allegation that the hidden information was material to
his defense and that the prosecutor had deliberately withheld it. See generally Sawyer
v. Whitley, 
505 U.S. 333
, 338-39, 
112 S. Ct. 2514
, 2518-19, 
120 L. Ed. 2d 269
(1992).
                                          56
claim as pled in his petition. Under the circumstances, we could hardly fault the

district court for not entertaining his claim on the merits. In sum, we find no error

in the district court’s decision to deny the claim as procedurally defaulted.



                                           2.

      Next, we consider whether the district court abused its discretion when it

refused to alter or amend the May 7 final judgment under Rule 59(e) and grant

Mincey relief on his Brady claim. The decision whether to alter or amend a

judgment pursuant to Rule 59(e) is “committed to the sound discretion of the

district judge.” American Home Assurance Co. v. Glenn Estess & Assocs., 
763 F.2d 1237
, 1238-39 (11th Cir. 1985).69 As noted above, Mincey used his Rule


      69
          The petitioner’s burden of showing an abuse of discretion is a “difficult” one.
See Cooter & Gell v. Hartmarx Corp., 
496 U.S. 384
, 408, 
110 S. Ct. 2447
, 2462, 
110 L. Ed. 2d 359
(1990). We have stated that “[a]n abuse of discretion occurs if the
judge fails to apply the proper legal standard or to follow proper procedures in making
the determination, or . . . [makes] findings of fact that are clearly erroneous.” Hatcher
v. Miller (In re Red Carpet Corp.), 
902 F.2d 883
, 890 (11th Cir. 1990). “The function
of a motion to alter or amend a judgment is not to serve as a vehicle to relitigate old
matters or present the case under a new legal theory . . . [or] to give the moving party
another ‘bite at the apple’ by permitting the arguing of issues and procedures that
could and should have been raised prior to judgment.” In re Halko, 
203 B.R. 668
,
671-72 (Bankr. N.D. Ill. 1996) (internal quotation marks and citations omitted). Thus,
it is not an abuse of the court’s discretion to deny a Rule 59(e) motion that requests
an amendment that relates to a matter “that could have been raised before the
judgment was entered.” Bannister v. Armontrout, 
4 F.3d 1434
, 1445 (8th Cir. 1993).
Moreover, the moving party will not prevail on a Rule 59(e) motion that introduces
                                           57
59(e) motion to contend for the first time that, given an evidentiary hearing in the

district court, he could demonstrate cause for having defaulted his Brady claim and

resulting prejudice.

      As cause, Mincey represented that he was not able to gain access to the

prosecutor’s file, which contained the notes at issue, until a 1989 Georgia Supreme

Court decision, Parker v. Lee, 
378 S.E.2d 677
(Ga. 1989), rendered law

enforcement files available to the public through a request pursuant to the Georgia

Open Record Act, Ga. Code Ann. § 50-18-72 to -76; hence, he could not have

included his Brady claim in his first state habeas petition. As prejudice, Mincey

represented that the information disclosed by the notes would have led to the

discovery of evidence that would have enabled him to establish, in the guilt phase

of the trial, that he was either insane at the time of the offense or functioning with

“diminished capacity” and therefore incapable of committing malice murder; and,

in the penalty phase, that his mental condition mitigated against the imposition of

the death penalty. According to Mincey, the prosecutor’s notes would have

enabled him to show that his 1980 motorcycle accident caused brain damage and

that such damage coupled with his excessive use of drugs rendered him criminally


previously unsubmitted evidence absent a showing that the evidence was unavailable
at the time of the judgment. See Mays v. United States Postal Serv., 
122 F.3d 43
, 46
(11th Cir. 1997).
                                          58
unaccountable for his actions at the Mini Food Store on the night of April 12,

1982. Alternatively, the evidence would have convinced the jury to reject the

death penalty in favor of a life sentence.

      The district court assumed that Mincey could demonstrate cause for his

procedural default, thus eliminating the need for an evidentiary hearing on Sykes’

“cause” prong.70 It then proceeded to the question whether the evidence Mincey

had proffered satisfied Sykes’ “prejudice” prong – that is, whether defense

counsel’s possession of the prosecutor’s notes would have created “a reasonable

probability that the result of [his] trial would have been different if the [notes] had

been disclosed to the defense.” Strickler v. Greene, 
527 U.S. 263
, ____, 
119 S. Ct. 1936
, 1952, 
144 L. Ed. 2d 286
(1999) (internal quotation marks omitted). Stated



      70
          In its order denying Mincey’s Rule 59(e) motion, the court stated that
Mincey’s inability to gain access to the prosecutor’s notes until 1989 “may be
sufficient to show cause for the failure to raise the claim in previous proceedings.”
Although the district court, for the sake of argument, gave Mincey the benefit of the
doubt on the issue of “cause” for the procedural default, we have doubts that Mincey
could have made a sufficient showing to overcome even this prong of the Sykes
standard. See Felker v. Turpin, 
101 F.3d 657
, 662 (11th Cir. 1996) ( “ ‘[C]ounsel for
Petitioner could have sought this information [in the prosecutor’s possession] prior to
the first state habeas petition being filed in 1984,’ because nothing prevented him
from filing the Open Records Act lawsuit twelve years ago”) (quoting with approval
previous decision in state court); McCleskey v. Zant, 
890 F.2d 342
, 350 (11th Cir.
1989) (petitioner obtained witness’ statement, presumably in prosecutor’s file,
pursuant to a Georgia Open Records Act request in June of 1987, before Parker was
decided).
                                             59
another way, “ ‘the question is not whether the defendant would more likely than

not have received a different verdict with the evidence, but whether in its absence

he received a fair trial, understood as a trial resulting in a verdict worthy of

confidence,’ ” Strickler, 527 U.S. at ____, 119 S. Ct. at 1952 (quoting Kyles v.

Whitley, 
514 U.S. 419
, 434, 
115 S. Ct. 1555
, 1566, 
131 L. Ed. 2d 490
(1995)), or

“whether ‘the favorable evidence could reasonably be taken to put the whole case

in such a different light as to undermine confidence in the verdict.’ ” 
Id. (quoting Kyles,
514 U.S. at 
435, 115 S. Ct. at 1566
).71

      Mincey’s proof that he was unaccountable for his actions comes in the form

of an affidavit of Dr. James Larson, a clinical psychologist practicing in Pensacola,

Florida. In his affidavit, which was executed on September 28, 1993 and presented

to the Butts County Superior Court in support of Mincey’s second habeas petition,

Dr. Larson said this,

             As a result of Mr. Mincey’s serious head injury suffered during
      his motorcycle accident in 1980, it is my opinion that at the time of
      the offense Terry Mincey would have met the criteria for Organic
      Mental Disorder, Not Otherwise Specified and probably an additional
      diagnosis of Organic Personality Disorder . . . . Mr. Mincey’s
      personality changed considerably after the motorcycle accident, and


      71
        This is clearly not a sufficiency of the evidence test. See Strickler, 527 U.S.
at ____, 119 S. Ct. at 1952 (“[T]he . . . inquiry is not just a matter of determining
whether, after discounting the inculpatory evidence in light of the undisclosed
evidence, the remaining evidence is sufficient to support the jury’s conclusions.”).
                                           60
      Mr. Mincey’s behavior became unpredictable after the accident. He
      had difficulty with both short-term and long-term memory . . . . While
      today Mr. Mincey has learned to get around many of his impairments,
      at the time of the offense in 1982, it is my opinion that his cognitive
      functioning was compromised by changes caused by his documented
      closed head injury. The closed head injury would have altered Mr.
      Mincey’s cognitive and personality functioning resulting in additional
      impairments of impulse control, increased frustration, impaired
      judgement, impaired memory and concentration, and increased
      irritability . . . . it is my opinion that Mr. Mincey’s ability to control
      his behavior and actions on the day of the offense was seriously
      impaired. In addition, the stress of a robbery would                   have
      aggravated Mr. Mincey’s deficits and impaired his ability to act in a
      rational manner.

In the final sentence of his affidavit, Dr. Larson stated that “Mr. Mincey’s head

injury was a significant factor in the case – a factor which when considered

establishes that Mr. Mincey’s actions on the night of the offense were the irrational

impulsive actions of a brain damaged individual and not the actions of a cold,

calculated, and premeditated murderer.”72



                                          a.


      72
         General insanity is not a defense to a crime in Georgia, see Gould v. State,
309 S.E.2d 888
, 892 (Ga. Ct. App. 1983); the only defenses recognized are no
capacity to distinguish right from wrong at the time of the act, omission, or
negligence, see Ga. Code Ann. § 16-3-2, and delusional compulsion at the time of the
act, omission, or negligence constituting the crime, see 
id. § 16-3-3.
See also supra
n.19.



                                          61
      In his Rule 59(e) motion, Mincey contended that Dr. Larson’s affidavit, if

presented in the form of live testimony at trial, would have warranted a jury

instruction (at the conclusion of the guilt phase of the trial) on the affirmative

defenses of insanity or of “diminished capacity.” We know of no Georgia case,

however, and Mincey has cited none, that recognizes the defense of diminished

capacity. As noted in part 
II.B. supra
, Georgia does recognize, in addition to the

conventional defense of insanity (the inability to distinguish right from wrong), the

defense of “delusional compulsion.” We, therefore, assume that in using the term

diminished capacity, Mincey actually meant delusional compulsion.

      Dr. Larson’s testimony, as proffered, would have established neither

affirmative defense. To make out an insanity defense, a defendant must prove that

he did not have the “mental capacity to distinguish between right and wrong in

relation to [the criminal] act” at issue. See Ga. Code Ann. § 16-3-2; see, e.g.,

Moore v. State, 
235 S.E.2d 577
, 577-78 (Ga. Ct. App. 1977) (charging the jury on

an insanity defense is not required where the evidence does not indicate that the

defendant lacked the mental capacity to distinguish right from wrong); Jackson v.

State, 
253 S.E.2d 874
, 877 (Ga. Ct. App. 1979) (holding that evidence that

defendant was released from his commitment at a state mental institution, that

defendant was under doctor’s care and on medication, and that defendant did not


                                           62
remember alleged assault was insufficient to require a jury instruction on an

insanity defense). Dr. Larson’s testimony did not rise to the level prescribed by

Georgia law. To make out a delusional compulsion defense, the defendant must

prove that “because of mental disease, injury, or congenital deficiency, [he] acted

as he did because of a delusional compulsion as to such act which overmastered his

will to resist committing the crime.” See Ga. Code Ann. § 16-3-3. The evidence

must “show both that the act was the result of delusion and also that the delusion

was as to a fact which, if true, would justify the act.” 
Freeman, 209 S.E.2d at 130
.

It is plain to us that Dr. Larson’s testimony fell far short of this mark.73

      In sum, then, the prosecutor’s failure to give Mincey his notes prior to trial

did not prejudice his defense; that is, “petitioner has not convinced us that there is

a reasonable probability that the jury would have returned a different verdict” had


      73
         A limited number of states recognize an irresistible impulse insanity defense,
sometimes called an impulse-control-disorder. See, e.g., Model Penal Code § 4.01(1)
(1995) (providing an insanity defense where “as a result of mental disease or defect
[the defendant] lacks substantial capacity to . . . conform his conduct to the
requirements of the law”). Dr. Larson’s testimony – that Mincey lacked the “ability
to control his behavior and actions on the day of the offense” and that his actions
“were the irrational impulsive actions of a brain damaged individual” – would, at best,
tend to establish this defense. Georgia, however, does not recognize such a defense.
See Hicks v. State, 
352 S.E.2d 762
, 775 (Ga. 1987); Lawrence v. State, 
454 S.E.2d 446
, 450 (Ga. 1995) (“Hicks . . . stands for the position that a defendant who can
distinguish between right and wrong and who commits a criminal act he recognizes
is wrong but which he is compelled to commit by an uncontrollable impulse or
compulsion, has no insanity defense under Georgia law.”).
                                           63
the notes been disclosed. Strickler, 527 U.S. at ____, 119 S. Ct. at 1955. In other

words, our confidence in the jury’s verdict at the conclusion of the guilt phase of

the trial is not undermined. See id. at ____, 119 S. Ct. at 1952. It follows, then,

that the district court did not abuse its discretion in concluding that the prosecutor’s

failure to produce his notes prejudiced Mincey’s case in the guilt phase by

depriving him of an affirmative defense of insanity or of delusional compulsion.



                                           b.

      We now turn to the question whether the absence of the prosecutor’s notes

prejudiced the penalty phase of Mincey’s trial. The argument here is that the notes

would have lead defense counsel to hire an expert such as Dr. Larson, and that the

absence of such an expert’s testimony during the penalty phase deprived Mincey of

a “a fair trial, understood as a trial resulting in a verdict worthy of confidence.”

Strickler, 527 U.S. at ____, 119 S. Ct. at 1952 (quoting 
Kyles, 514 U.S. at 434
, 115

S. Ct. at 1556). To satisfy this deprivation-of-a-fair-trial standard, Mincey must

“show that there is a reasonable probability that his . . . sentence would have been

different had [the prosecutor’s notes] been disclosed” to the defense. Id. at ____,

119 S. Ct. at 1955. In order to determine whether Mincey has met this “reasonable

probability” test, we look to the evidence presented during the penalty phase of


                                           64
Mincey’s trial and then to the proffer of evidence Mincey made to the district court

in support of his Rule 59(e) motion.

      The prosecution began the penalty phase of the trial by establishing that

Mincey had been convicted of three armed robberies in 1977.74 On April 23 of that

year, he robbed a Gulf gas station, a Seven-Eleven convenience store, and a Majik

Market convenience store. After establishing Mincey’s convictions, the

prosecution called Durwood Shores to the stand; Shores had been convicted for his

participation in all three offenses.75 The Majik Market robbery took place late at

night. Shores testified that, as he and Mincey were robbing the cashier at gun

point, a car pulled out of the parking lot and Mincey ran outside and began

shooting at the vehicle. Mincey said that “he had to shoot at the car because it had

pulled up . . . . [the occupants of the vehicle] shouldn’t have been out – they didn’t

have any business out that time of night, anyway.” While imprisoned (for the

armed robbery offenses), Shores and Mincey talked about committing more

robberies after their release. They agreed that “if we ever did another one, we

would make sure we didn’t leave any witnesses behind to identify us.”


      74
         The prosecution established these convictions by introducing into evidence
the indictment for each offense and Mincey’s guilty pleas.
      75
        Jones participated in two of the armed robberies. His conviction for those
offenses made him eligible for habitual offender status, 
see supra
n.8.
                                          65
      The prosecution rested its case after Shores testified. Mincey’s case

followed and consisted of the testimony of six witnesses: Mincey’s mother, his

father, who was a United Methodist minister, Mincey’s two sisters, the secretary at

his father’s church, and a minister who was a friend of the Mincey family.76 They

portrayed Mincey as a decent person who had had a difficult childhood: because

his father was a Methodist minister, his family was forced to move frequently; then

in 1975, when Mincey was fifteen years old, his parents divorced and he dropped

out of school. Mincey also began abusing drugs. In addition, his family testified

about the effects the 1980 motorcycle accident had on Mincey’s behavior.77 We

set out in the margin their testimony in this regard.78 That


      76
          Cook talked to twenty to twenty-five people whom he and Daniel were led
to believe would make good mitigation witnesses. With the exception of those who
testified, however, these people had little, if anything, to offer. As Cook testified at
Mincey’s first state habeas petition hearing, “several people remembered Terry
[Mincey] but they didn’t have anything to say . . . . It seemed like Terry was pretty
much a loner.”
      77
         The motorcycle accident took place in July 1980, when Mincey was twenty
years old. Mincey was traveling in excess of a hundred miles an hour and, although
he was wearing a helmet at the time of the crash, his helmet split in two upon impact.
Mincey was hospitalized for a week following the accident and his medical records
indicate that he suffered a cerebral contusion and concussion, a broken collarbone, and
experienced a grand mal seizure in the x-ray room.
      78
        Mincey’s mother testified:
      Q: Do you know whether or not – and just tell us whether you know or
      not – whether or not at some point in Terry’s life he began to have some
      kind of problems?
                                          66
      A: Well, I don’t know other than when he had that motorcycle wreck in
      1980. After that his memory was not good.
      ....
      Q: Back in 1980, you mentioned about Terry’s motorcycle wreck. Prior
      to the motorcycle wreck had he been a pretty moody child?
      A: He was always a happy child. He was very outgoing, very obedient
      to me. When I asked him to do something, I had no problem. He would
      usually go ahead and do it.
      ....
      Q: After his motorcycle wreck, did you notice him having any problem
      with moods, being moody?
      A: He was very, very moody after that. Like I said, his memory was not
      good, you could tell him something, he wouldn’t remember it, and real
      quick to get upset.
      Q: Had that not been the case prior to then?
      A: He was not like that before, not towards me, anyway.
      Q: When you say upset, do you mean angry, or –
      A: He was real easy to get mad at you if he didn’t like what was said or
      something. I don’t really know how to explain it.
      Q: Did he ever scare you when he was like that?
      A: No, sir.
      Q: Know whether he ever scared anybody else?
      A: I have no idea.

Marsha Morgan, Mincey’s sister, testified:
     Q: Did you later have a falling out with him?
     A: We didn’t really have a falling out. After he had his wreck he
     changed a lot.
     Q: In 1980?
     A: Yes, sir.
     Q: How did he change?
     A: I don’t know. He was just – well, before he was kind of like, you
     know, lucky go free, so to speak. I mean, you know, he was always kind
     of in a good humor and took life as it comes; and then he got where he
     was real moody and the least little thing upset him.
     Q: Did you start staying away from him then?
                                        67
testimony brought out that after the accident, Mincey’s personality changed. He

became very moody, impulsive, and prone to anger. He also had difficulty

remembering things.


      A: Yes, sir.

Mincey’s father, on direct examination, testified:
     Q: Did Terry seem like a different boy when he was 16, 17 years old
     than when he was younger?
     A: Well, I – he grew up a little, but he was still, you know, a generous,
     kind-hearted, loving person. And then he had an accident, and his, I
     think his personality changed some after that accident that he had.
     Q: How did it change?
     A: Well, he got where he wasn’t quite as open as he had been being and
     wasn’t quite as friendly. And seemed like he worried a lot. And he
     couldn’t remember. He worked in a meat market, IGA’s in Baxley. And
     he had a hard time – he always had a good mind, could remember
     anything. But he got where he couldn’t – he would have to memorize
     the prices; and he would sit up half the night trying to figure out what a
     pound of hamburger cost or steak or something like that so he would
     know the next day. Well, the next day he would go to the store, and they
     would change it on him. And the next night he was working again the
     same way, trying to keep the prices. I noticed his mind not as effective
     and alert as it used to be.

The prosecution, on cross-examination of Mincey’s father, brought out the following:

      Q: The motorcycle accident that you referred to, that was in 1980?
      A: It was in July of, I believe it was July of 1980. I’m not quite sure.
      Q: At any rate, was it after the robberies of 1977?
      A: I know, I’m quite aware of that, now. I’m quite aware. I knew you
      was going to ask that when I made that statement. Yes, it was after that.
      But what I am saying is his personality did change after that.
      Q: All right, sir.
      A: I knew you would ask that.
                                         68
      Dr. Larson’s affidavit, the essence of Mincey’s Rule 59(e) proffer,

corroborated the personality changes these witnesses described and attributed the

changes to the motorcycle accident. According to Dr. Larson, after the accident,

Mincey was “impulsive” and “unpredictable,” and his “ability to control his

behavior and actions” was “seriously impaired.” Thus, “Mincey’s actions on the

night of the offense were the irrational, impulsive actions of a brain damaged

individual, and not the actions of a cold, calculated, and premeditated murderer.”

The question the district court had to decide in ruling on Mincey’s Rule 59(e)

motion was whether expert testimony such as Dr. Larson’s would have affected the

outcome of the sentencing phase of Mincey’s trial to the extent required by Sykes

and its progeny. The district court held that it would not, and we agree.

      Implicit in Dr. Larson’s affidavit is the notion that, prior to the accident,

Mincey was not “impulsive” and “unpredictable,” and his “ability to control his

behavior and actions” was not “seriously impaired.” The motorcycle accident

changed all of that, Dr. Larson contends; hence, but for the accident, he would not

have acted as he did on the evening of April 12, 1982. Such a notion, however, is

belied by the evidence, and the district court obviously perceived this. Prior to the

accident, Mincey’s behavior was irrational and violent. The armed robbery spree

he engaged in (with Shores and Jones) on April 23, 1977, confirmed this –


                                          69
especially the robbery of the Majik Market. There, without provocation, Mincey

ran out of the market and shot at a car leaving the parking lot. His conduct on

April 12, 1982 mirrored his conduct on April 23, 1977. Likewise, the shooting of

Peterman and Riggs was consistent with the pact he made with Shores while in

prison, that “we would make sure that we would not leave any witnesses behind to

identify us.”

      In sum, given Mincey’s consistent behavior before and after the 1980

motorcycle accident, the district court could hardly be faulted for concluding that

expert testimony, such as that proffered in Dr. Larson’s affidavit, would have had

little, if any, persuasive effect on the jury. We therefore conclude that the district

court acted well within its discretion in denying Mincey Rule 59(e) relief on his

Brady claim.



                                          D.

      Finally, we address Mincey’s claim that he was denied the effective

assistance of counsel, guaranteed by the Sixth Amendment, during the guilt and

penalty phases of his trial.



                                           1.


                                           70
      Whether a criminal defendant has received effective assistance of counsel is

a mixed question of fact and law. We review for clear error the district court’s

findings of the historical facts underlying the claim. See Bush v. Singletary, 
988 F.2d 1082
, 1089 (11th Cir. 1993). We review de novo the court’s decision on the

ultimate issue – whether counsel’s performance passed constitutional muster. See

Horton v. Zant, 
941 F.2d 1449
, 1462 (11th Cir. 1991).



                                         2.

      To establish a case of ineffective assistance of counsel a petitioner must

satisfy a two-prong test:

      First, the defendant must show that counsel’s performance was
      deficient. This requires showing that counsel made errors so serious
      that counsel was not functioning as the “counsel” guaranteed the
      defendant by the Sixth Amendment. Second, the defendant must show
      that the deficient performance prejudiced the defense. This requires
      showing that counsel's errors were so serious as to deprive the
      defendant of a fair trial, a trial whose result is reliable.

Strickland v. Washington, 
466 U.S. 668
, 687, 
104 S. Ct. 2052
, 2064, 
80 L. Ed. 2d 674
(1984). When reviewing an ineffective assistance claim in a capital case, we

apply this two-prong test to the penalty phase as well as the guilt phase, because a

      capital sentencing proceeding . . . is sufficiently like a trial in its
      adversarial format and in the existence of standards for decision . . .
      that counsel’s role in the proceeding is comparable to counsel’s role at


                                         71
      trial – to ensure that the adversarial testing process works to produce a
      just result under the standards governing decision.

Id. at 686-87,
104 S. Ct. at 2064 (citations omitted).

      With respect to the first prong of the analysis, showing that counsel’s

performance was deficient, Mincey had to demonstrate that his defense attorneys’

“representation fell below an objective standard of reasonableness.” 
Id. at 688,
104 S. Ct. at 2064. We judge the performance of a defense attorney with an eye

towards “prevailing professional norms.” We must respect the counsel’s tactical

decisions if they seem “reasonable considering all the circumstances.” 
Id., 104 S.
Ct. at 2065. To that end, we give great deference to counsel’s choices and make

every effort “to eliminate the distorting effects of hindsight, to reconstruct the

circumstances of counsel’s challenged conduct, and to evaluate the conduct from

counsel’s perspective at the time.” 
Id. at 689,
104 S. Ct. at 2065. We must also

bear in mind that “[t]he reasonableness of counsel’s actions may be determined or

substantially influenced by the defendant’s own statements or actions.” 
Id. at 691,
104 S. Ct. at 2066. Finally, in order to prevail on Strickland’s first prong, the

petitioner “must overcome the presumption that, under the circumstances, the

challenged action ‘might be considered sound trial strategy.’ ” 
Id. at 689,
104 S.

Ct. at 2065 (quoting Michel v. Louisiana, 
350 U.S. 91
, 101, 
76 S. Ct. 158
, 164, 
100 L. Ed. 83
(1955)).

                                          72
      In addition to showing that his lawyer’s performance was deficient, the

petitioner must satisfy Strickland’s prejudice prong; that is, he “must show that

there is a reasonable probability that, but for counsel’s unprofessional errors, the

result of the proceeding would have been different.” 
Id. at 694,
104 S. Ct. at 2068.

The petitioner, however, need not show that his attorney’s deficient performance

“more likely than not altered the outcome in the case.” 
Id. at 693,
104 S. Ct. at

2068. The “more likely than not” standard would be more demanding than what is

required under Strickland.

      Rather the correct inquiry turns on whether a “reasonable probability” exists

in our minds that, had the lawyer not been constitutionally deficient in his

representation, the outcome of the trial would have been different. In other words,

“a reasonable probability is a probability sufficient to undermine confidence in the

outcome.” 
Id. at 694,
104 S. Ct. at 2068. Stated yet another way, the proper

inquiry under Strickland is “whether counsel’s conduct so undermined the proper

functioning of the adversarial process that the trial cannot be relied on as having

produced a just result.” 
Id. at 686,
104 S. Ct. at 2064.

      Furthermore, in a capital case, where the petitioner is challenging his

sentence, he satisfies the prejudice prong if he can establish that “there is a

reasonable probability that, absent the errors, the sentencer – including an appellate


                                           73
court . . . would have concluded that the balance of aggravating and mitigating

circumstances did not warrant death.” 
Id. at 695,
104 S. Ct. at 2069.



                                            a.

      Mincey raises several claims of ineffective assistance that we do not address

because we find them to be devoid of merit. They are that counsel (1) deficiently

handled the pretrial motions to suppress the incriminating evidence found in

Mincey’s mother’s trailer-home and the statements Mincey made to the police; (2)

failed, at trial, to present a vigorous defense by focusing on the prosecution’s

inability to establish that the bullet that killed Riggs was fired by Mincey’s pistol,

and the possibility that Jenkins, who was carrying a revolver of the same caliber as

Mincey’s,79 was the trigger man; and (3) failed to present an adequate appeal to the

Georgia Supreme Court.

      The state habeas court held an evidentiary hearing on Mincey’s claim of

ineffective assistance of counsel. In its dispositive order rejecting the claim, the

court, in its findings of fact, canvassed at length the performance of Mincey’s two

attorneys – from the moment they entered their appearances in the trial court

through the direct appeal of Mincey’s convictions and death sentence. The district


      79
           The police did not find the bullet that killed Riggs.
                                            74
court accorded those findings of fact, which have ample support in the record, a

presumption of correctness. In denying Mincey relief on his ineffective assistance

claim, the district court, like the state habeas court, had, in addition to these

findings of fact, the record of Mincey’s pretrial and trial proceedings and the briefs

counsel filed on direct appeal. Those records and briefs evidence the steps counsel

took in Mincey’s defense. On the whole, they handled the pretrial suppression

hearing and executed Mincey’s defense strategy (that Jenkins, not Mincey, killed

Riggs) as well as one could expect given the hand they were dealt. As for the

direct appeal, we find nothing that could be labeled constitutionally deficient.



                                           b.

      Mincey claims that, as a result of the head injuries he sustained in the 1980

motorcycle accident and the drugs he took on the day of the crime, he became

irrational and impulsive and suffered poor judgment – such that he should not be

held accountable for his actions on the night of April 12, 1982. Had his attorneys

conferred with the members of the forensic team that examined him at Central

State Hospital or pursued their motion for funds to hire a mental health expert,80 he


      80
        As 
noted supra
, counsel did move the court for funds with which to employ
an independent mental health expert (who they did not identify). The court denied
their motion without prejudice to Mincey’s right to pursue it after the Central State
                                           75
contends, they could have devised a different trial strategy. Specifically, he argues

that they could have presented the defense of “diminished capacity,” if not

insanity, at the guilt phase of the trial, and that the same investigative work would

have produced sufficient mitigating evidence to persuade the jury to return a

verdict of life imprisonment. Treating his “diminished capacity” defense as the

defense of delusional compulsion, as we did in evaluating Mincey’s Brady claim,

we address Mincey’s contentions in turn.



                                           i.

      Mincey argues that his trial counsel should have contacted Dr. Craig; had

they done so, they would have learned what the prosecutor discovered when he

conferred with Dr. Craig after receiving the forensic team’s report to the court.

According to the prosecutor’s notes, Dr. Craig said that Mincey had suffered “brain

damage” in the 1980 motorcycle accident, which was evidenced by “motor muscle

power differential,” and that “[i]t is possible that he might be more susceptible to

irrational behavior.” Whether Dr. Craig would have rendered an opinion that the

brain damage diminished Mincey’s capacity at the time of the offense is not


Hospital forensic team submitted its evaluation of Mincey’s competency to stand trial
and his sanity at the time of the offense. Mincey’s grievance is that counsel should
have pursued their motion.
                                          76
known; a proffer of Dr. Craig’s testimony is not in the record and habeas counsel

has not represented that Dr. Craig would render such an opinion. We do know,

however, that the forensic team concluded that, when he committed the charged

offenses, Mincey “was able to distinguish between right and wrong and was not

acting under the influence of a delusional compulsion.” In short, we find no

dereliction of duty in counsel’s failure to contact Dr. Craig. Assuming that we do,

we still could not conclude that Mincey satisfied Strickland’s prejudice prong

without knowing what Dr. Craig would say under oath.



                                         ii.

      Mincey’s second contention is that counsel should have pursued their

motion for funds to employ an independent mental health expert. Had they done

so, they could have obtained the services of a psychologist, like Dr. Larson, whom

Mincey’s habeas attorneys eventually retained.

      We find no unconstitutional neglect in counsel’s decision not to pursue their

motion for funds to employ an independent mental health expert. Their decision

was reasonable when considered from the perspective of a hypothetical lawyer

standing in counsel’s shoes at the time. Daniel and Cook learned of Mincey’s

motorcycle accident very early in the case. Sensing that the injuries Mincey


                                         77
suffered in the accident might be responsible, at least in part, for his recent

behavior, and concerned that he might not be competent to stand trial, they asked

the court to have him evaluated. The court granted their request, and a forensic

team from Central State Hospital examined Mincey.

      Meanwhile, Mincey was examined by an independent psychologist, Dr. Dan

Johnson, a friend of Mincey’s father.81 Dr. Johnson found no signs of organic

brain damage or severe personality disorder; he also found no basis for a defense of



      81
         With respect to Dr. Johnson’s evaluation, Daniel testified at the first state
habeas proceeding that “although that evaluation was done kind of early on, it was
done in contemplation of the possible penalty phase of trial.” Daniel also testified that
he and Cook did not pursue their motion for funds to conduct an independent medical
examination of Mincey because Dr. Johnson’s report answered any doubts they may
have had. In his brief to this court, Mincey argues that
        [had] counsel pursued indicators pointing to [his] brain damage and
       drug use, temporary insanity and diminished capacity could have been
       proved to exonerate [him] of claims of premeditation and malice.
       Defense counsel neglected this line of defense entirely . . . the district
       court does not explain why it was reasonable for defense counsel to
       forgo investigations that would have yielded a defense strategy of
       temporary insanity to obtain an acquittal or diminished capacity to
       neutralize the state’s assertion of premeditation at guilt-innocence.
       Clearly, as 
explained supra
in part III.C.2.a., Mincey’s defense attorneys could
not have made out an insanity defense (even Dr. Larson’s evaluation fails to make out
an insanity defense). Indeed, it might have been constitutionally ineffective for them
to have substituted an insanity defense for the trial strategy they actually used because
no reasonably competent lawyer, with the information then available to counsel,
would have ventured down that path. In sum, Mincey’s claim that he could have
obtained an acquittal based on a defense of temporary insanity or diminished capacity
(a non-existing defense in Georgia) is as absurd as it is meritless.
                                           78
insanity or delusional compulsion. After receiving his report, the attorneys decided

not to call Dr. Johnson as a witness – in either the guilt or penalty phase of the case

– since his testimony would probably hurt Mincey’s case. Moreover, if Dr.

Johnson were called to the stand, the prosecution would probably be entitled to

examine his report before commencing its cross-examination. For all of these

reasons, Mincey’s trial attorneys decided not to pursue their motion for the

provision of funds to employ an independent mental health expert. They made the

decision after considering that Dr. Johnson’s report corroborated the forensic

team’s findings, and altogether foreclosed an insanity defense, and after concluding

that Mincey’s story – that he had been high on acid throughout the day of the crime

spree – was bogus and, as such, would all but destroy a defense of insanity or

delusional compulsion.82

      Under the circumstances, we find no fault with the district court’s

observation that counsel’s “decisions were reasonable and reflected the appropriate

level of professional diligence and concern for the client’s interest.”



                                          iii.


      82
        
See supra
nn.20 & 21. At trial, Jones and Jenkins testified that, while they
were with Mincey on the day of the crime, he smoked one marijuana cigarette and
gave no indication that he was “strung out on acid.”
                                          79
      Mincey concedes that Dr. Johnson’s testimony would not have been helpful

in either the guilt or the penalty phase of the case. What concerns him is that

counsel could have found a better expert, a psychologist like Dr. Larson, to testify

during the penalty phase of his trial. In his brief, Mincey argues that, had Daniel

and Cook not “refused to investigate [his] mental health status and drug usage,” but

rather offered the jury “cohesive mitigating evidence that [Mincey’s] actions on the

night of the crime were the result of diminished capacity,” the outcome of the

penalty phase would have been different.83 Mincey claims that testimony such as



      83
          In Elledge v. Dugger, 
823 F.2d 1439
(11th Cir. 1987), withdrawn in part, 
833 F.2d 250
(11th Cir. 1987), we refined the Strickland analysis as it relates to counsel’s
failure to investigate and present expert testimony at the sentencing phase. We found
that in order to establish an ineffective assistance of counsel claim in such a case,
petitioner had to show:
       a) that it was professionally unreasonable for counsel not to investigate;
       b) what kind of, and how much, investigation an ordinary, reasonable
       lawyer would have undertaken; c) that it is reasonably probable that a
       reasonable investigation would have turned up an expert who would
       have presented testimony similar to that which was eventually adduced;
       and d) that it is reasonably probable that this testimony would have
       affected the sentence eventually imposed. Failure to meet any of these
       steps defeats the ineffectiveness claim.
Id. at 1446
n.15. Because counsel in this case did investigate the possibility of
presenting expert testimony, but based on counsel’s reasonably competent
investigation decided against presenting this form of mitigating evidence, we see no
need to apply the Elledge test. Had this test been applied nonetheless, Mincey, for the
reasons explained in the text, would have failed to show that it was reasonably
probable that Dr. Larson’s testimony would have affected the sentence eventually
imposed.
                                          80
Dr. Larson’s would have capitalized on the mental and emotional aftermath of the

1980 motorcycle accident and Mincey’s drug use, thereby swaying the jury to

return a life sentence rather than the death penalty.

      We acknowledge that in Georgia, “unlike some other States, the jury is not

instructed to . . . balance aggravating against mitigating circumstances pursuant to

any special standard.” Smith v. Francis, 
325 S.E.2d 362
, 365 (Ga. 1985) (quoting

Zant v. Stephens, 
462 U.S. 862
, 873, 
103 S. Ct. 2733
, 2741, 
77 L. Ed. 2d 235
(1983)). Instead, a jury may consider as a mitigating factor any evidence presented

during either phase of the trial, see Spivey v. State, 
246 S.E.2d 288
, 290-91 (Ga.

1978), and “has the discretion, notwithstanding proof of aggravating

circumstances, to sentence the defendant to life in prison for any reason

satisfactory to the jury or without any reason,” 
Smith, 325 S.E.2d at 365
.84

Furthermore, evidence of mental illness that is insufficient to sustain an insanity


      84
          At the close of the penalty phase, the judge instructed the jury that,
“[m]itigating circumstances are those which do not constitute a justification or excuse
for the offense in question, but which in fairness and in mercy may be considered as
extenuating or reducing the degree of moral culpability or blame.” The court later
added the following instruction:
       [Mincey] contends that mitigating circumstances exist. And I charge you
       that in considering any mitigating circumstances you may consider all
       the evidence in both parts of the case and determine to your satisfaction
       whether any mitigating circumstances exist. Whatever you members of
       the jury find to be mitigating is up to you. And you may find any matter
       having to do with this defendant or the crime to be mitigating.
                                          81
defense may be offered and considered for the purpose of mitigating punishment.

See Hicks v. State, 
352 S.E.2d 762
, 777 (Ga. 1987).

      Even if we assume, for sake of discussion, that counsel could have found an

expert like Dr. Larson, and that their failure to do so constituted substandard

performance under Strickland, our confidence in the jury’s verdict would not be

undermined. See Strickland, 466 U.S. at 
694, 104 S. Ct. at 2068
. Although

prejudice is the second prong in the Strickland analysis, addressing it first may

resolve this confidence issue, in which case it is unnecessary to delve into the

amorphous analysis of whether counsel’s performance was deficient.85

      In disposing of Mincey’s Brady claim, we concluded that Mincey failed to

convince us that “there [was] a reasonable probability that the result of the

[penalty phase of the] trial would have been different if the [prosecutor’s notes]

had been disclosed to the defense,” Strickler, 527 U.S. at ____, 119 S. Ct. at 1952

(internal equation marks omitted), and testimony such as Dr. Larson’s been

available. In that the prejudice Strickler requires to overcome a procedural default


      85
        The Supreme Court has cautioned:
      The object of an ineffectiveness claim is not to grade counsel’s
      performance. If it is easier to dispose of an ineffectiveness claim on the
      ground of lack of sufficient prejudice . . . that course should be followed.
      Courts should strive to ensure that ineffectiveness claims not become so
      burdensome to defense counsel that the entire criminal justice system
      suffers as a result. 
Strickland, 466 U.S. at 697
, 104 S. Ct. at 2069.
                                          82
is the same as the prejudice Strickland requires to demonstrate prejudice (in the

ineffective assistance context), it follows that Mincey’s ineffective assistance claim

must fail. Stated another way, Mincey has failed to demonstrate that there is “a

reasonable probability that, but for counsel’s unprofessional errors, the result of the

[sentencing] proceeding would have been different.” See Strickland, 466 U.S. at

694, 104 S. Ct. at 2068
.86 Regardless of whether the performance of Mincey’s

counsel was deficient – because they did not call an expert witness to voice an

opinion like Dr. Larson’s – Mincey suffered no prejudice from their performance.



                                           IV.



      86
          In Jackson v. Herring, we said that “the prejudice prong of Strickland is not
co-terminous with the more general prejudice requirement of Wainwright v. Sykes,
under which a federal habeas petitioner must demonstrate that the errors ‘worked to
his actual and substantial disadvantage, infecting his entire trial with errors of
constitutional dimensions.’ ” 
42 F.3d 1350
, 1361 (11th Cir. 1995) (quoting United
States v. Frady, 
456 U.S. 152
, 170, 
102 S. Ct. 1584
, 1596, 
71 L. Ed. 2d 816
(1982)).
Jackson served to clarify our jurisprudence in light of the fact that commentators
doubted whether the standards were the same. See, e.g., 28 James W. Moore et al.,
Moore’s Federal Practice § 671.11[2][b] (3d ed. 1999) (citing this court’s decision in
Hollis v. Davis, 
941 F.2d 1471
, 1480 (11th Cir. 1991), for the proposition that
“prejudice under the Strickland test is sufficient to establish prejudice to relieve the
procedural impediment” of the Sykes standard (restated in Frady) because in Hollis
both standards were equated without discussion). The Supreme Court’s language in
Strickler, 527 U.S. at ____, 119 S. Ct. at 1952, ends the debate. Henceforth, we shall
treat the “striking linguistic parallel” of the Strickler and Strickland standards as “one
and the same.” Prou v. United States, 
199 F.3d 37
, 49 (1st Cir. 1999).
                                           83
      For the forgoing reasons, we affirm the district court’s judgment and its

order denying Mincey’s Rule 59(e) motion to alter or amend judgment.

      AFFIRMED.




                                        84

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