Elawyers Elawyers
Washington| Change

United States v. Gerald Wheeler, 16-6073 (2018)

Court: Court of Appeals for the Fourth Circuit Number: 16-6073 Visitors: 12
Filed: Mar. 28, 2018
Latest Update: Mar. 03, 2020
Summary: PUBLISHED UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT No. 16-6073 UNITED STATES OF AMERICA, Plaintiff - Appellee, v. GERALD ADRIAN WHEELER, a/k/a Bay-Bay, Defendant - Appellant. Appeal from the United States District Court for the Western District of North Carolina, at Charlotte. Robert J. Conrad, Jr., District Judge. (3:06-cr-00363-RJC-3; 3:11-cv- 00603-RJC) Argued: January 25, 2018 Decided: March 28, 2018 Before KING, FLOYD, and THACKER, Circuit Judges. Vacated and remanded by publis
More
                                     PUBLISHED

                      UNITED STATES COURT OF APPEALS
                          FOR THE FOURTH CIRCUIT


                                      No. 16-6073



UNITED STATES OF AMERICA,

                    Plaintiff - Appellee,

             v.

GERALD ADRIAN WHEELER, a/k/a Bay-Bay,

                    Defendant - Appellant.



Appeal from the United States District Court for the Western District of North Carolina,
at Charlotte. Robert J. Conrad, Jr., District Judge. (3:06-cr-00363-RJC-3; 3:11-cv-
00603-RJC)


Argued: January 25, 2018                                      Decided: March 28, 2018


Before KING, FLOYD, and THACKER, Circuit Judges.


Vacated and remanded by published opinion. Judge Thacker wrote the opinion, in which
Judge King and Judge Floyd joined.


ARGUED: Ann Loraine Hester, FEDERAL DEFENDERS OF WESTERN NORTH
CAROLINA, INC., Charlotte, North Carolina, for Appellant. Eric J. Feigin, UNITED
STATES DEPARTMENT OF JUSTICE, Washington, D.C., for Appellee. ON BRIEF:
Ross Richardson, Federal Public Defender, Interim, FEDERAL PUBLIC DEFENDER
WESTERN DISTRICT OF NORTH CAROLINA, Charlotte, North Carolina, for
Appellant. Noel J. Francisco, Solicitor General, UNITED STATES DEPARTMENT OF
JUSTICE, Washington, D.C.; Jill Westmoreland Rose, United States Attorney, Charlotte,
North Carolina, Amy E. Ray, Assistant United States Attorney, OFFICE OF THE
UNITED STATES ATTORNEY, Asheville, North Carolina, for Appellee.




                                         2
THACKER, Circuit Judge:

       In the district court, Gerald Wheeler (“Appellant”) sought to have his habeas

corpus petition heard on the merits by means of the “savings clause” per 28 U.S.C.

§ 2255(e). The savings clause provides that an individual may seek relief from an illegal

detention by way of a traditional 28 U.S.C. § 2241 habeas corpus petition, if he or she

can demonstrate that a § 2255 motion is “inadequate or ineffective to test the legality of

his detention.” 28 U.S.C. § 2255(e). The district court denied Appellant’s savings clause

request and dismissed his § 2241 petition.

       But Appellant satisfies the requirements of the savings clause as dictated by our

decision in In re Jones, 
226 F.3d 328
(4th Cir. 2000), because a retroactive change in the

law, occurring after the time for direct appeal and the filing of his first § 2255 motion,

rendered his applicable mandatory minimum unduly increased, resulting in a fundamental

defect in his sentence. We thus vacate the district court’s judgment and remand with

instructions that Appellant’s § 2241 petition be considered on the merits.

                                             I.

                                             A.

                        Conviction, Sentence, and Direct Appeal

       In September 2006, a grand jury in the Western District of North Carolina returned

a multi-defendant superseding indictment charging Appellant with conspiracy to possess

with intent to distribute at least 50 grams of crack cocaine and 500 grams of powder

cocaine, in violation of 21 U.S.C. § 841(b)(1)(B) (“Count One”); possession with intent

to distribute at least 5 grams of crack cocaine (“Count Five”); using and carrying a

                                             3
firearm during and in relation to a drug trafficking crime (“Count Six”); and being a felon

in possession of a firearm (“Count Seven”). The Government also filed an information

pursuant to 21 U.S.C. § 851, seeking an enhanced penalty based on Appellant’s 1996

North Carolina conviction for possession of cocaine (the “1996 Conviction”). 1 On April

17, 2007, Appellant pled guilty to Counts One, Six, and Seven of the indictment. His

plea agreement provided that as to Count One, “Due to . . . the [§ 851 information],

Defendant is facing not less than ten years imprisonment up to a maximum of life

imprisonment.” Plea Agreement, United States v. Wheeler, No. 3:06-cr-363 (W.D.N.C.

filed April 3, 2007), ECF No. 66 at 1.

       In March 2008, the district court sentenced Appellant to 120 months of

imprisonment, the statutory mandatory minimum, on Count One. 2            In so doing, it

determined that the 1996 Conviction was a “felony drug offense,” and as a result,

Appellant’s enhanced statutory range was 10 years to life in prison. See 21 U.S.C.

§ 841(b)(1)(B) (“If any person commits . . . a [§ 841(b)(1)(B)] violation after a prior

conviction for a felony drug offense has become final, such person shall be sentenced to a

term of imprisonment which may not be less than 10 years and not more than life

imprisonment . . . .” (emphasis supplied)); 
id. § 802(44)
(defining “[f]elony drug offense”

as “an offense that is punishable by imprisonment for more than one year under any

       1
         The information also cited a 1998 conviction for cocaine trafficking, but that
conviction was later overturned and is not at issue in this appeal.
       2
        Appellant also received a concurrent 70 month sentence on Count Seven and a
consecutive 60 month sentence on Count Six, for a total sentence of 180 months.


                                            4
[state] law . . . that prohibits or restricts conduct relating to narcotic drugs”). Without the

1996 Conviction, Appellant’s United States Sentencing Guidelines (“Guidelines”) range

would have been 70–87 months, and his statutory sentencing range would have been 5 to

40 years. The district court noted, “[T]he sentence that is required to be imposed upon

you is a harsh sentence. It’s a mandatory minimum sentence. I don’t have any discretion

in that area.” J.A. 85–86. 3 We affirmed Appellant’s conviction and sentence. See

United States v. Wheeler, 329 F. App’x 481 (4th Cir. 2009) (per curiam).

                                              B.

                                    First § 2255 Motion

       On June 29, 2010, Appellant filed a motion to vacate, set aside, or correct his

sentence pursuant to 28 U.S.C. § 2255. He alleged that his counsel was ineffective for,

inter alia, failing to argue that the 1996 Conviction did not qualify to enhance his

sentence. See J.A. 116–17 (“[C]ounsel in this matter[] allowed an error to proceed

uncorrected . . . . The term of [the 1996 Conviction] didn’t exceed one year[;] the

maximum punishment that he could receive was[] eight months . . . .”).

       The district court dismissed the § 2255 motion on March 17, 2011, and denied a

certificate of appealability (“COA”), explaining that Appellant’s argument was

foreclosed by this court’s decision in United States v. Harp, 
406 F.3d 242
(4th Cir. 2005),

and this court’s panel decision in United States v. Simmons, 
635 F.3d 140
(4th Cir. 2011).


       3
           Citations to the “J.A.” refer to the Joint Appendix filed by the parties in this
appeal.


                                              5
See J.A. 204. Those decisions held, “[T]o determine whether a conviction is for a crime

punishable by a prison term exceeding one year [under North Carolina law], . . . we

consider the maximum aggravated sentence that could be imposed for that crime upon a

defendant with the worst possible criminal history.” 
Harp, 406 F.3d at 246
(second

emphasis supplied); see also 
Simmons, 635 F.3d at 146
. Thus, the district court reasoned

that although Appellant received a sentence of six to eight months for the 1996

Conviction, “his offense was punishable by imprisonment for more than a year” because

it was a Class I felony, which carries a maximum sentence of 15 months. J.A. 204.

Thus, “[a]ny challenge [to the 1996 Conviction] made by Petitioner’s counsel would have

failed.” 
Id. Appellant filed
a pro se motion to reconsider, again contending that the 1996

Conviction did not qualify as a felony drug offense. And again, the district court denied

the motion. Appellant filed a notice of appeal on April 14, 2011, and a motion for COA

with this court on August 3, 2011.

       While the motion for COA was pending, this court, sitting en banc, overturned the

panel decision in Simmons. See United States v. Simmons, 
649 F.3d 237
(4th Cir. 2011)

(en banc) (hereinafter “Simmons”).      We determined that “in deciding whether a

sentencing enhancement was appropriate under the Controlled Substances Act, a district

court could no longer look to a hypothetical defendant with the worst possible criminal

history. Instead, . . . a sentencing court may only consider the maximum possible

sentence that the particular defendant could have received.” United States v. Kerr, 
737 F.3d 33
, 37 (4th Cir. 2013) (emphasis in original) (discussing 
Simmons, 649 F.3d at 246
–

                                           6
47 & n.9). Thus, what matters is the potential maximum sentence to which a defendant is

exposed, not the highest possible sentence. See 
Simmons, 649 F.3d at 243
(relying on

Carachuri-Rosendo v. Holder, 
560 U.S. 563
(2010)). As a result, we vacated Simmons’s

sentence because the state court “never made the recidivist finding necessary to expose

Simmons to a higher sentence,” 
id., and the
Government was “precluded from

establishing that a conviction was for a qualifying offense” under the Controlled

Substances Act, 
id. (quoting United
States v. Rodriquez, 
553 U.S. 377
, 389 (2008)).

       Nonetheless, we denied Appellant’s motion for COA and dismissed his appeal of

his first § 2255 petition because, at that time, Simmons did not apply retroactively on

collateral review. See United States v. Wheeler, 487 F. App’x 103 (4th Cir. 2012) (per

curiam) (citing United States v. Powell, 
691 F.3d 554
(4th Cir. 2012)).

                                            C.

                                 Second § 2255 Motion/
                                    § 2241 Petition

      In late 2011, Appellant filed a second § 2255 motion pro se, alleging that he was

“actually innocent” of the § 851 enhancement based on Simmons, the 1996 Conviction is

not a felony drug offense, and Simmons should apply retroactively. J.A. 248–49. Indeed,

under Simmons, the maximum punishment to which Appellant was exposed for the 1996

Conviction was eight months, which would render that conviction nonqualifying as a

felony drug offense under § 841(b)(1)(B).

      In April of 2013, Appellant, now represented by counsel, filed a request for

authorization to file the second § 2255 motion, along with an Alternative Petition, which


                                            7
included a request for relief pursuant to 28 U.S.C. § 2241. 4 See J.A. 295–309 (the

“§ 2241 Petition”). He sought review of the § 2241 Petition by way of the § 2255(e)

savings clause, contending, “[Section] 2255 has never provided an avenue for [Appellant]

to challenge his unlawful sentence. [Section] 2255 relief is -- and always has been --

foreclosed for him on the [Simmons] issue presented in this Petition . . . .” 
Id. at 302.
       Although this court denied Appellant’s request for authorization to file the second

§ 2255 motion, see Order, In re Wheeler, No. 13-220 (4th Cir. filed April 15, 2013), ECF

No. 5, we did not address the § 2241 Petition, which remained pending in district court.

Four months later, we held that Simmons applies retroactively on collateral review. See

Miller v. United States, 
735 F.3d 141
(4th Cir. 2013).

       The district court then stayed Appellant’s § 2241 Petition pending resolution of

our panel decision in United States v. Surratt, No. 14-6851. On July 31, 2015, a divided

panel of this court held that a petitioner who received a sentence of life without parole

based on a prior conviction rendered nonqualifying after Simmons and Miller could not

pass through the savings clause and have his § 2241 petition heard on the merits. See

United States v. Surratt, 
797 F.3d 240
, 269 (4th Cir. 2015), reh’g en banc granted, Dec.

2, 2015. The majority in Surratt distinguished our decision in In re Jones, which granted



       4
         Section 2241 provides, “Writs of habeas corpus may be granted by the Supreme
Court, any justice thereof, the district courts and any circuit judge within their respective
jurisdictions.” 28 U.S.C. § 2241(a). It also states, “The writ of habeas corpus shall not
extend to a prisoner unless,” inter alia, “[h]e is in custody in violation of the Constitution
or laws or treaties of the United States.” 28 U.S.C. § 2241(c)(3).


                                              8
savings clause relief after setting forth a three part test based on the legality of a

prisoner’s conviction, but not his sentence. See 
226 F.3d 328
, 333–34 (4th Cir. 2000).

      Following that decision, the district court lifted the stay of Appellant’s case,

dismissed the § 2255 motion as second or successive without authorization, and denied

the § 2241 Petition because it did not meet the requirements of the savings clause as set

forth in Surratt. The court reasoned, “[Appellant] does not challenge the legality of his

conviction. . . . Because [his] challenge is confined to the legality of his sentence the

§ 2241 petition will be denied.” J.A. 363 (emphasis supplied).

      After Appellant filed a notice of appeal, this court voted to rehear Surratt en banc,

thereby vacating the panel decision, see 4th Cir. Local Rule 35(c) (“Granting of rehearing

en banc vacates the previous panel judgment and opinion . . . .”), and held Appellant’s

appeal in abeyance pending that en banc decision. However, ultimately the en banc court

concluded that Surratt’s appeal was moot after President Obama commuted his sentence.

See United States v. Surratt, 
855 F.3d 218
, 219 (4th Cir. 2017). Appellant’s case was

then removed from abeyance.        We now address the district court’s decision that

Appellant did not meet the savings clause requirements de novo, unbound by this court’s

panel decision in Surratt.   See Fontanez v. O’Brien, 
807 F.3d 84
, 86 (4th Cir. 2015);

Local Rule 35(c).

                                           II.

      In his § 2241 Petition, Appellant lodges a claim for relief from an alleged illegal

sentence and explains he was entitled to have that claim heard by virtue of the savings



                                            9
clause. Section 2255(e) provides a means for petitioners to apply for a traditional writ of

habeas corpus pursuant to § 2241. It states:

              An application for a writ of habeas corpus in behalf of a
              prisoner who is authorized to apply for relief by motion
              pursuant to this section, shall not be entertained if it appears
              that the applicant has failed to apply for relief, by motion, to
              the court which sentenced him, or that such court has denied
              him relief, unless it also appears that the remedy by motion is
              inadequate or ineffective to test the legality of his detention.

28 U.S.C. § 2255(e) (emphasis supplied).

       Appellant raises two main arguments as to why he is entitled to a merits

determination of the § 2241 Petition.      First, he contends the savings clause is not

jurisdictional and therefore, because the Government argued in the district court that

Appellant satisfied the savings clause, it has waived any such challenge and precluded the

courts from considering the issue. Second, Appellant argues that he can satisfy the

requirements of the savings clause.

                                               A.

                               The Jurisdictional Argument

       On the jurisdictional argument, we first address the Government’s shifting

position in this case.   In the district court, the Government took the position that

Appellant met the savings clause requirements and was entitled to relief. See, e.g.,

Gov’t’s Resp. to Pet’r’s Mot. to Vacate, Correct, or Set Aside Sentence, United States v.

Wheeler, No. 3:11-cv-603 (W.D.N.C. filed Nov. 29, 2013), ECF No. 14 at 1–2 (“[T]he

Government agrees that [Appellant] is entitled to relief under the savings clause and

§ 2241 and recommends that this Court resentence him.”). Indeed, the Government

                                               10
argued that “when a defendant was sentenced to an enhanced mandatory-minimum

sentence based on a conviction that qualified under pre-Simmons decisional law, and

Simmons was decided after the time for direct review and an initial collateral attack,” and

when a prisoner demonstrates that a second or successive § 2255 motion is not available,

“th[e] procedural requirement [of the savings clause] is met.” 
Id. at 7–8.
Further, it

contended, “Imposing a mandatory-minimum sentence based on the defendant’s prior

conviction, when that conviction is legally ineligible to justify the mandatory term, is a

fundamental error.”    
Id. at 11.
   But now, on appeal, the Government has done an

about-face, arguing that Appellant fails to satisfy the requirements of the savings clause.

                                              1.

       A party is not permitted to waive subject matter jurisdiction. See Brickwood

Contractors, Inc. v. Datanet Eng’g, Inc., 
369 F.3d 385
, 390 (4th Cir. 2004) (en banc).

Therefore, our first task is to determine whether the requirements of the savings clause

are jurisdictional. In Rice v. Rivera, we held that if a petitioner cannot satisfy the savings

clause requirements, his or her § 2241 petition “must be dismissed for lack of

jurisdiction.” 
617 F.3d 802
, 807 (4th Cir. 2010) (per curiam). Appellant classifies this

decision as a “drive-by jurisdictional ruling” with no precedential effect, and argues that

the savings clause is not actually jurisdictional. See Appellant’s Br. 2 (quoting Arbaugh

v. Y&H Corp., 
546 U.S. 500
, 503 (2006)). Therefore, he contends, the Government is

able to waive the savings clause requirements.

       Even assuming Rice lacks precedential effect, we hold that the savings clause is a

jurisdictional provision. For years, the Supreme Court “endeavored . . . to bring some

                                             11
discipline to the use of the term ‘jurisdictional.’” Gonzalez v. Thaler, 
565 U.S. 134
, 141

(2012) (internal quotation marks omitted). It “pressed a stricter distinction between truly

jurisdictional rules, which govern a court’s adjudicatory authority, and nonjurisdictional

claim-processing rules, which do not.” 
Id. (internal quotation
marks omitted). The Court

ultimately set forth the following instruction, also known as the “clear statement”

principle: “A rule is jurisdictional if the Legislature clearly states that a threshold

limitation on a statute’s scope shall count as jurisdictional. But if Congress does not rank

a statutory limitation on coverage as jurisdictional, courts should treat the restriction as

nonjurisdictional.” 
Id. at 141–42
(alterations, citations, and internal quotation marks

omitted).

       This does not mean that Congress “must incant magic words,” United States v.

Kwai Fun Wong, 
135 S. Ct. 1625
, 1632 (2015) (internal quotation marks omitted), like,

for example, the word “jurisdiction.” Rather, “traditional tools of statutory construction

must plainly show that Congress imbued a procedural bar with jurisdictional

consequences.” 
Id. “We consider
context, including this Court’s interpretations of

similar provisions in many years past, as probative of” Congress’ intent. Sebelius v.

Auburn Reg’l Med. Ctr., 
568 U.S. 145
, 153–54 (2013) (internal quotation marks omitted).

                                             2.

       We thus turn to the Supreme Court’s interpretation of similar provisions. The

Court has held that § 2253(c)(1) “is a jurisdictional prerequisite” because it “mandates

that ‘[u]nless a circuit justice or judge issues a certificate of appealability, an appeal may

not be taken to the court of appeals . . . .’” Miller-El v. Cockrell, 
537 U.S. 322
, 336

                                             12
(2003) (quoting 28 U.S.C. § 2253(c)(1)).         The Court explained that this provision

“requires a threshold inquiry into whether the circuit court may entertain an appeal.” 
Id. (internal quotation
marks omitted). In contrast, the Court has held § 2253(c)(2) and

§ 2253(c)(3) to be nonjurisdictional. Subsection (c)(2) provides that a COA may issue

upon “a substantial showing of the denial of a constitutional right” and subsection (c)(3)

provides that the COA “shall indicate which specific issue or issues satisfy the showing

required by [subsection (c)(2)].”       Because those provisions “do[] not speak in

jurisdictional terms or refer in any way to the jurisdiction of the appeals courts,” but

rather, “reflect[] a threshold condition for the issuance of a COA,” 
Thaler, 565 U.S. at 143
(emphases supplied) (alterations and internal quotation marks omitted), they are not

jurisdictional provisions. See also 
Arbaugh, 546 U.S. at 503
, 516 (holding that Title

VII’s definition of “employer,” which requires the defendant to have “fifteen or more

employees,” was actually “an element of a plaintiff’s claim for relief, not a jurisdictional

issue”).

       Similarly, in Kwai Fun Wong, the Supreme Court explained that “procedural rules,

including time bars, cabin a court’s power only if Congress has clearly stated as 
much.” 135 S. Ct. at 1632
(alterations and internal quotation marks omitted). In that case, the

Court decided that the statute of limitations set forth in the Federal Tort Claims Act

(“FTCA”) was not jurisdictional. Section 2401(b) of the FTCA states, “A tort claim

against the United States shall be forever barred unless it is presented in writing to the

appropriate Federal agency within two years after such claim accrues or unless action is

begun within six months after the date of mailing” a notice of final agency denial. 28

                                            13
U.S.C. § 2401(b) (emphasis supplied). Despite this emphatic language, the Court stated

that statutes of limitations are “quintessential claim-processing rules” that normally “do

not deprive a court of authority to hear a case . . . even when the time limit is important

. . . and even when it is framed in mandatory terms, . . . however emphatically expressed

those terms may be.” Kwai Fun 
Wong, 135 S. Ct. at 1632
(alterations, citations, and

internal quotation marks omitted). And while “a provision governing the time to appeal

in a civil action qualifies as jurisdictional [if] Congress sets the time,” a “time limit not

prescribed by Congress ranks as a mandatory claim-processing rule.”               Hamer v.

Neighborhood Housing Services of Chicago, 
138 S. Ct. 13
, 17 (2017).

       Our sister circuits have split on the jurisdictional issue at hand. Appellant cites to

Harris v. Warden, wherein the Seventh Circuit concluded, “Sections 2241 and 2255 deal

with remedies; neither one is a jurisdictional clause. []Jurisdiction to resolve claims under

§ 2255, which technically are motions in the criminal prosecution, comes from 18 U.S.C.

§ 3231[.]” 
425 F.3d 386
, 388 (7th Cir. 2005). In contrast, the Eleventh Circuit has held

that § 2255(e) “speaks in imperative terms regarding a district court’s power to entertain

a particular kind of claim” and is therefore jurisdictional in nature. Williams v. Warden,

713 F.3d 1332
, 1340 (11th Cir. 2013). Many other circuits have sided with the Eleventh

Circuit view, if by implication. 5


       5
         See Abernathy v. Wandes, 
713 F.3d 538
, 557 (10th Cir. 2013) (“[W]hen a federal
petitioner fails to establish that he has satisfied § 2255(e)’s savings clause test -- thus,
precluding him from proceeding under § 2241 -- the court lacks statutory jurisdiction to
hear his habeas claims.” (footnote omitted)); Wooten v. Cauley, 
677 F.3d 303
, 306 (6th
Cir. 2012) (analyzing whether “[t]he use of the savings clause to establish jurisdiction”
(Continued)
                                             14
                                              3.

       We side with the Eleventh Circuit majority view for many reasons. First, “there is

a clear expression of congressional intent.” 
Williams, 713 F.3d at 1338
. Section 2255(e)

states that a § 2241 petition “shall not be entertained” if certain circumstances are

present, “unless” another condition is present. 28 U.S.C. § 2255(e). Thus it “commands

the district court not to entertain a § 2241 petition that raises a claim ordinarily

cognizable in the petitioner’s first § 2255 motion except in . . . exceptional

circumstance[s].” 
Williams, 713 F.3d at 1338
(alterations and internal quotation marks

omitted). Indeed, a “plain reading of the phrase ‘shall not entertain’” demonstrates that

“Congress intended to, and unambiguously did strip the district court of the power to act

. . . unless the savings clause applies.” 
Id. at 1339.
       Second, the language at issue parallels language the Supreme Court has deemed

jurisdictional. In Miller-El, the Court focused on the phrase “unless [a COA is issued] an

appeal may not be 
taken.” 537 U.S. at 336
. It held that this phrase “mandates” that until

a COA has been issued, the courts of appeals “lack jurisdiction to rule on the merits of



makes the proposed § 2241 petition subject to § 2255’s statute of limitations); Harrison
v. Ollison, 
519 F.3d 952
, 961 (9th Cir. 2008) (“Because Harrison has not established that
his petition is a legitimate § 2241 petition brought pursuant to the escape hatch of § 2255,
we do not have jurisdiction under § 2241 to hear his appeal.”); Hill v. Morrison, 
349 F.3d 1089
, 1091 (8th Cir. 2003) (the savings clause “provides the court of incarceration as
having subject matter jurisdiction over a collateral attack on a conviction or sentence”);
Cephas v. Nash, 
328 F.3d 98
, 105 (2d Cir. 2003) (“[W]here . . . petitioner invokes § 2241
jurisdiction to raise claims that clearly could have been pursued earlier . . . then the
savings clause of § 2255 is not triggered and dismissal of the § 2241 petition for lack of
jurisdiction is warranted.”).


                                              15
[habeas] appeals.” 
Id. Like this
language, which strips a court of power to entertain an

appeal unless a prerequisite is met, the savings clause language also strips the sentencing

court of power to entertain a habeas corpus petition unless a prerequisite -- i.e., a

determination that a § 2255 motion is inadequate or ineffective to test the legality of

one’s detention -- is met.

       Third, the language is unlike the provisions the Supreme Court has labeled

nonjurisdictional. In Thaler, the Court addressed the requirements for a COA: it may be

issued upon “a substantial showing of the denial of a constitutional right,” and must

indicate “which specific issue or issues satisfy” that 
showing. 565 U.S. at 143
(quoting

§ 2253(c)(2), (c)(3)). These provisions do not address the appellate court’s power to

entertain an appeal, but rather, list the criteria a proper COA should possess. Thus, the

language of § 2253(c)(2) and (c)(3) “does not . . . refer in any way to the jurisdiction of

the appeals courts,” as “[a] defective COA is not equivalent to the lack of any COA.” 
Id. The savings
clause is different -- it does not concern criteria for a successful

§ 2241 petition; rather, it provides whether that petition may be entertained to begin with.

Moreover, the provision at issue does not fit neatly with the other nonjurisdictional

provisions. Unlike Hamer, this case involves a statute and not a rule; unlike Kwai Fun

Wong, the savings clause does not provide a time limitation; and unlike Arbaugh, it is not

an element of a claim for relief.

       Finally, we find Harris to be unpersuasive. Harris reasoned that jurisdiction to

resolve § 2255 claims derives from another statute, which gives district courts exclusive

jurisdiction “of all offenses against the laws of the United States.” 18 U.S.C. § 3231; see

                                            16

Harris, 425 F.3d at 388
. But the savings clause concerns jurisdiction to entertain a

§ 2241 habeas corpus petition, and, in any event, Harris was decided before Thaler,

Sebelius, and Kwai Fun Wong and failed to examine the language of the savings clause in

the context the Court directed in those cases. Further, the Seventh Circuit itself has sent

mixed signals about the savings clause’s jurisdictional quality. Compare 
Harris, 425 F.3d at 388
, with Garza v. Lappin, 
253 F.3d 918
, 921 (7th Cir. 2001) (“If Garza can show

that his petition fits under this narrow exception [in the savings clause], then . . . the

district court had jurisdiction to consider his habeas petition . . . .”). Therefore, we

decline Appellant’s invitation to follow Harris.

       Because the savings clause requirements are jurisdictional, we must reject

Appellant’s waiver argument.         Though the Government’s change of position is a

“distasteful occurrence[]” and is “not to be encouraged, its about-face is irrelevant to our

resolution of” this appeal. 
Rice, 617 F.3d at 806
–07.

                                            B.

                            The Savings Clause Requirements

       We turn now to whether Appellant has satisfied the jurisdictional requirements of

the savings clause -- that is, whether § 2255 is inadequate or ineffective to test the

legality of Appellant’s detention.

       At the outset, it is well established that § 2255 “was intended to afford federal

prisoners a remedy identical in scope to federal habeas corpus [under § 2241].” Davis v.

United States, 
417 U.S. 333
, 343 (1974). Indeed, “the sole purpose [of § 2255] was to

minimize the difficulties encountered in habeas corpus hearings by affording the same

                                            17
rights in another and more convenient forum.” 
Id. at 344
(internal quotation marks

omitted) (emphasis supplied).

       We also acknowledge that Congress has bestowed “the courts broad remedial

powers to secure the historic office of the writ.” Boumediene v. Bush, 
553 U.S. 723
, 776

(2008). It is “uncontroversial . . . that the privilege of habeas corpus entitles the prisoner

to a meaningful opportunity to demonstrate that he is being held pursuant to ‘the

erroneous application or interpretation’ of relevant law.” 
Id. at 779
(quoting INS v. St.

Cyr, 
533 U.S. 289
, 302 (2001)). Habeas corpus is “above all, an adaptable remedy,” and

its “precise application and scope change[] depending upon the circumstances.” 
Id. We are
thus entrusted with ensuring Appellant has a meaningful opportunity to demonstrate

that he is entitled to relief from his allegedly erroneous sentence.

                                              1.

                                       The Jones Test

       In our seminal decision In re Jones, we determined that Byron Jones satisfied the

requirements of the savings clause. 
See 226 F.3d at 329
–30. Jones was convicted of four

counts of using a firearm during a drug offense pursuant to 18 U.S.C. § 924(c)(1), based

on a search of his apartment that uncovered crack cocaine, as well as four firearms found

in a locked closet. See 
id. at 330.
However, after Jones filed his first § 2255 motion, the

Supreme Court decided Bailey v. United States, 
516 U.S. 137
(1995), which rendered

Jones’s convictions invalid. See 
id. at 330.
Specifically, Bailey held that the Government

must prove active employment of a firearm in order to convict a defendant for using a

firearm under § 924(c)(1). See 
id. (citing Bailey
, 516 U.S. at 143). Therefore, Jones’s

                                             18
conduct underlying his convictions was no longer illegal. See 
id. at 330,
334. Unable to

file a second or successive § 2255 motion because Bailey was a statutory (not a

constitutional) decision, 6 Jones attempted to file a § 2241 claim for relief by using the

savings clause portal. See 
id. at 329–30.
       In analyzing Jones’s claim, we set forth three elements that must be present for a

petitioner to satisfy the savings clause:

              [Section] 2255 is inadequate and ineffective to test the
              legality of a conviction when: (1) at the time of conviction,
              settled law of this circuit or the Supreme Court established
              the legality of the conviction; (2) subsequent to the prisoner’s
              direct appeal and first § 2255 motion, the substantive law
              changed such that the conduct of which the prisoner was
              convicted is deemed not to be criminal; and (3) the prisoner
              cannot satisfy the gatekeeping provisions of § 2255 because
              the new rule is not one of constitutional law.

Jones, 226 F.3d at 333
–34. Jones added, “[C]ourts [allowing § 2241 review of Bailey

claims] have focused on the more fundamental defect presented by a situation in which an

individual is incarcerated for conduct that is not criminal but, through no fault of his own,

has no source of redress.” 
Id. at 333
n.3 (emphasis supplied). We then found that Jones

satisfied all three elements above and granted his request to file a § 2241 petition via the

savings clause.

       6
         In order to file a second or successive § 2255 motion, a petitioner must
demonstrate that his motion contains “newly discovered evidence that, if proven and
viewed in light of the evidence as a whole, would be sufficient to establish by clear and
convincing evidence that no reasonable factfinder would have found the movant guilty of
the offense”; or “a new rule of constitutional law, made retroactive to cases on collateral
review by the Supreme Court, that was previously unavailable.” 28 U.S.C. § 2255(h)
(emphasis supplied).


                                             19
                                              2.

                            Whether Jones Applies to Sentencing

          Here, in denying Appellant’s savings clause request and dismissing his § 2241

Petition, the district court explained,

                In the present case, Petitioner does not challenge the legality
                of his conviction. Instead, he moves the Court for an order
                vacating his sentence that was enhanced based on the finding
                that he had a predication [sic] North Carolina felony drug
                conviction. Because Petitioner’s challenge is confined to the
                legality of his sentence the § 2241 petition will be denied.

J.A. 363 (citing 
Jones, 226 F.3d at 333
–34). There is no doubt that Jones is still good

law in this circuit, and the district court interpreted that decision narrowly. However,

Appellant invites us to construe Jones more broadly to pertain to alleged sentencing

errors.

          The Government concedes that Jones may be read to encompass “certain serious

sentencing errors,” Gov’t’s Br. 55, and we agree. Jones did not address whether an

erroneously imposed sentence is sufficient to invoke the savings clause or whether it

could also be a “fundamental defect,” as it had no occasion to do 
so. 226 F.3d at 333
n.3.

However, Jones also does not preclude such a reading. To the contrary, Jones stated,

“Section 2255 . . . was not intended to limit the rights of federal prisoners to collaterally

attack their convictions and sentences,” suggesting that the savings clause encompasses

challenges to one’s sentence. 
Id. at 332
(emphasis supplied).

          Including sentencing errors within the ambit of the savings clause also finds

support in the statutory language. The savings clause pertains to one’s “detention,” and


                                              20
Congress deliberately did not use the word “conviction” or “offense,” as it did elsewhere

in § 2255. See 28 U.S.C. § 2255(h)(1) (referencing “the offense”); 
id. § 2255(f)(1)
(referencing “conviction”).     See Russello v. United States, 
464 U.S. 16
, 23 (1983)

(“Where Congress includes particular language in one section of a statute but omits it in

another section of the same Act, it is generally presumed that Congress acts intentionally

and purposely in the disparate inclusion or exclusion.” (alteration and internal quotation

marks omitted)). Detention necessarily implies imprisonment. See Zadvydas v. Davis,

533 U.S. 678
, 690 (2001) (“Freedom from imprisonment [is freedom] from government

custody, detention, or other forms of physical restraint.” (emphasis supplied)). Thus,

“[t]he text of the [savings] clause . . . does not limit its scope to testing the legality of the

underlying criminal conviction.” Brown v. Caraway, 
719 F.3d 583
, 588 (7th Cir. 2013).

       In addition, the Supreme Court has long recognized a right to traditional habeas

corpus relief based on an illegally extended sentence. See Nelson v. Campbell, 
541 U.S. 637
, 643 (2004) (“[T]he ‘core’ of habeas corpus” has included challenges to “the duration

of [the prisoner’s] sentence.”). Indeed, one purpose of traditional habeas relief was to

remedy statutory, as well as constitutional, claims presenting “a fundamental defect

which inherently results in a complete miscarriage of justice” and “exceptional

circumstances where the need for the remedy afforded by the writ of habeas corpus is

present.” 
Davis, 417 U.S. at 346
(quoting Hill v. United States, 
368 U.S. 424
, 428

(1962)). But if we held that a prisoner was foreclosed from seeking collateral relief from

a fundamentally defective sentence, and “through no fault of his own, has no source of

redress,” this purpose would remain unfulfilled. 
Jones, 226 F.3d at 333
n.3. Therefore,

                                               21
we readily conclude that § 2255(e) must provide an avenue for prisoners to test the

legality of their sentences pursuant to § 2241, and Jones is applicable to fundamental

sentencing errors, as well as undermined convictions.

                                             3.

                  The New Savings Clause Test for Erroneous Sentences

       Having decided that prisoners are able to challenge their allegedly illegal

sentences in a § 2241 petition, and that § 2255(e) contemplates such a challenge, we must

establish savings clause criteria tailored to that situation. To begin, Jones contemplates a

change in “substantive law” that renders noncriminal the conduct by which a prisoner

was convicted. Although Bailey was a Supreme Court case, Jones did not make savings

clause relief dependent on a Supreme Court decision, nor does the savings clause dictate

such a requirement. Indeed, the Jones test itself, at step one, contemplates that at the time

of one’s conviction, the “settled law of this circuit or the Supreme Court” established the

legality of that conviction, and then, at step two, it signals a change in that substantive

law. 226 F.3d at 333
–34.

       We see no need to read the savings clause as dependent only on a change in

Supreme Court law. The majority in the vacated Surratt opinion surmised that only a

Supreme Court decision can “open the door to successive relief” because § 2255(h),

which pertains to second or successive § 2255 motions, requires “a new rule of

constitutional law, made retroactive to cases on collateral review by the Supreme Court.”

Surratt, 797 F.3d at 259
(quoting 28 U.S.C. § 2255(h)(2)). But this argument cuts the

other way. Congress could have made savings clause relief dependent only on changes in

                                             22
Supreme Court constitutional law by using the identical language in § 2255(e), but it did

not. This is underscored by the fact that Congress anticipated the savings clause would

apply to prisoners who had already been “denied . . . relief” by the sentencing court,

sweeping in those prisoners filing a successive § 2255 motion. 
Id. § 2255(e).
Therefore,

to honor the tradition of habeas corpus and language and context of the provision, we

conclude a change in this circuit’s controlling law will suffice.

       Next, that change in law must have been made retroactive on collateral review.

Otherwise, the prisoner would not be able to “test the legality of his detention” in a

§ 2241 proceeding, which is the ultimate goal of the savings clause. 28 U.S.C. § 2255(e).

And the retroactive change in law could not have occurred before direct appeal or the

initial § 2255 petition. This is in harmony with Jones and honors the savings clause’s

requirement that the § 2255 motion be inadequate or ineffective. Third, the petitioner

must otherwise be unable to meet the requirements of § 2255(h)(2) for second or

successive § 2255 motions. This corresponds with Jones’s requirement that the petitioner

be unable to satisfy the gatekeeping provisions of § 2255, 
see 226 F.3d at 334
, and it also

honors the savings clause’s mandate that prisoners may only resort to the savings clause

where the other avenues for remedy in § 2255 are ineffective. Finally, the sentencing

error must be “sufficiently grave,” Hill v. Masters, 
836 F.3d 591
, 595 (6th Cir. 2016), so

as to be deemed a “fundamental defect,” 
Jones, 226 F.3d at 333
n.3. 7


       7
         The Third, Fifth, Sixth, and Seventh Circuits have also applied a fundamental
defect or miscarriage of justice standard to determine whether prisoners satisfy the
savings clause. See 
Hill, 836 F.3d at 595
; 
Brown, 719 F.3d at 586
–87; Reyes-Requena v.
(Continued)
                                             23
       Taking all this into account, we conclude that § 2255 is inadequate and ineffective

to test the legality of a sentence when: (1) at the time of sentencing, settled law of this

circuit or the Supreme Court established the legality of the sentence; (2) subsequent to the

prisoner’s direct appeal and first § 2255 motion, the aforementioned settled substantive

law changed and was deemed to apply retroactively on collateral review; (3) the prisoner

is unable to meet the gatekeeping provisions of § 2255(h)(2) for second or successive

motions; and (4) due to this retroactive change, the sentence now presents an error

sufficiently grave to be deemed a fundamental defect. See 
Jones, 226 F.3d at 333
–34 &

n.3; 
Hill, 836 F.3d at 595
; 
Brown, 719 F.3d at 586
.

                                             4.

               Applying the New Savings Clause Test to Appellant’s Case

                                             a.

              The First Three Requirements of the New Savings Clause Test

       First, it is undisputed that at the time Appellant was sentenced in February 2008,

his sentence was legal pursuant to Harp. Second, the en banc Simmons decision, which

abrogated Harp, was decided August 17, 2011, and was made retroactive on collateral

review by Miller on August 21, 2013. This all occurred after Appellant’s direct appeal,

filed March 2008, and his first § 2255, filed June 2010. Although Appellant actually

raised a Simmons type claim in his first § 2255 on ineffective assistance of counsel



United States, 
243 F.3d 893
, 904 (5th Cir. 2001); In re Davenport, 
147 F.3d 605
, 609–11
(7th Cir. 1998); In re Dorsainvil, 
119 F.3d 245
, 251 (3d Cir. 1997).


                                            24
grounds, the Simmons en banc decision itself could not have been invoked at that time

because it did not exist. See 
Boumediene, 553 U.S. at 779
(“[T]he privilege of habeas

corpus entitles the prisoner to a meaningful opportunity to demonstrate that he is being

held pursuant to the erroneous application or interpretation of relevant law.” (emphasis

supplied) (internal quotation marks omitted)). In addition, Appellant is unable to satisfy

the requirements of § 2255(h)(2) because Simmons was a statutory decision and was not

made retroactive by the Supreme Court.

                                            b.

                The Fourth Requirement of the New Savings Clause Test:
                                 Fundamental Defect

       Finally, we address whether the increase in Appellant’s mandatory minimum is an

error sufficiently grave to be deemed a fundamental defect. When Appellant never

should have been subject to an increase in the first place, the error is grave. Without the

1996 Conviction, Appellant’s statutory minimum would have been five years -- half of

the sentence to which he was subjected. An increase in the congressionally mandated

sentencing floor implicates separation of powers principles and due process rights

fundamental to our justice system.

                                            i.

       In the federal system, “defining crimes and fixing penalties are legislative, not

judicial, functions.” United States v. Evans, 
333 U.S. 483
, 486 (1948) (footnote omitted).

Congress alone can set maximum and minimum terms of imprisonment, see 
id., and those
limits define legal boundaries for the punishment for a particular crime. See Williams v.


                                            25
New York, 
337 U.S. 241
, 247 (1949) (“A sentencing judge” determines the “type and

extent of punishment” within “fixed statutory or constitutional limits”); Hunter v. Fogg,

616 F.2d 55
, 61 (2d Cir. 1980) (“If in fact the legislature has circumscribed the judge’s

discretion by specifying a mandatory minimum sentence, fundamental fairness requires

that the defendant be so informed.”).      Therefore, consistent with the “constitutional

principle of separation of powers,” a defendant has a “constitutional right to be deprived

of liberty as punishment for criminal conduct only to the extent authorized by Congress,”

and a violation of that principle can “trench[] particularly harshly on individual liberty.”

Whalen v. United States, 
445 U.S. 684
, 689–690 (1980).

       In Hicks v. Oklahoma, 
447 U.S. 343
(1980), an Oklahoma sentencing jury --

pursuant to instructions based on a then-effective habitual offender statute -- imposed a

mandatory 40 year sentence upon the defendant, Flynn Hicks. See 
id. at 344–45.
After

Hicks’s sentence was handed down, the habitual offender statute was declared

unconstitutional in another case. See 
id. at 345.
Had the jury been correctly instructed,

they could have imposed a sentence of ten years or more in Hicks’s case. See 
id. at 346.
Hicks then sought to have his sentence set aside on appeal, but the state appellate court

denied his request, explaining that Hicks was not prejudiced “since his sentence was

within the range of punishment that could have been imposed in any event.” 
Id. at 345.
The Supreme Court, however, found a due process violation because Hicks had a

“substantial and legitimate expectation that he w[ould] be deprived of his liberty only to

the extent determined by the [sentencing body] in the exercise of its statutory discretion.”

Id. at 346.
Too here, without the 1996 Conviction, the district court’s statutory discretion

                                            26
would have been expanded by a much lower mandatory minimum -- one that, in fact, fell

below the applicable Guidelines range of 70–87 months.

       Similarly, in United States v. Tucker, the Supreme Court considered whether a

sentence of 25 years of imprisonment for armed bank robbery (the maximum term

authorized by statute), which was clearly based on two prior convictions that were later

deemed constitutionally invalid, should be vacated. 
404 U.S. 443
, 444–45 (1972). The

Ninth Circuit had vacated the sentence and remanded for resentencing because “there was

a reasonable probability that the defective prior convictions may have led the trial court

to impose a heavier prison sentence than it otherwise would have imposed.” 
Id. at 445–
46 (internal quotation marks omitted). The Supreme Court affirmed, explaining, “[W]e

deal here, not with a sentence imposed in the informed discretion of a trial judge, but with

a sentence founded at least in part upon misinformation of constitutional magnitude.” 
Id. at 447.
    It continued, “[T]his prisoner was sentenced on the basis of assumptions

concerning his criminal record which were materially untrue.” 
Id. (quoting Townsend
v.

Burke, 
334 U.S. 736
(1948)).       Likewise, here, the district court assumed the 1996

Conviction is sufficient to double Appellant’s statutory minimum. But it is decidedly

not.

          In light of these decisions, it is not surprising that the Supreme Court later

recognized, “It is impossible to dissociate the floor of a sentencing range from the penalty




                                            27
affixed to the crime.” Alleyne v. United States, 
133 S. Ct. 2151
, 2160 (2013); 8 see

Almendarez–Torres v. United States, 
523 U.S. 224
, 245 (1998) (recognizing that

mandatory minimums can lead to “a minimum sentence of imprisonment more than twice

as severe as the maximum the trial judge would otherwise have imposed” (emphases in

original) (internal quotation marks omitted)).    This court has also recognized the

fundamental problem with an incorrectly designated statutory sentencing benchmark.

We have suggested that an “erroneously-imposed sentencing floor is problematic” when

it comes to habeas cognizability under § 2255(a), which requires a fundamental defect

resulting in a miscarriage of justice. United States v. Newbold, 
791 F.3d 455
, 460 n.6

(4th Cir. 2015) (holding that an erroneous sentence above the statutory maximum is

cognizable on initial § 2255 review). Specifically, an erroneous mandatory minimum

“create[s] the mistaken impression that the district court had no discretion to vary

downward from the low end of [the defendant’s] range.” 
Id. And in
this case, the district

court noted that the mandatory minimum was “harsh,” but its “hands [we]re tied” because

it was confined by the 120 month sentencing floor. J.A. 85. We similarly find no merit

in the notion that Appellant could have been assigned the same sentence even with the

correct mandatory minimum, as the Supreme Court has roundly rejected that argument in

      8
         Alleyne bars “judicial factfinding that increases the mandatory minimum
sentence for a 
crime,” 133 S. Ct. at 2155
, but the Court left undisturbed the “narrow
exception to this general rule for the fact of a prior conviction,” 
id. at 2160
n.1; see
Almendarez-Torres, 
523 U.S. 224
, 226 (1998) (A “penalty provision” that “authorizes a
court to increase the sentence for a recidivist” based on a prior conviction “does not
define a separate crime.”). Nonetheless, the Court’s recognition of the relationship
between the floor of the sentence and penalty afforded cannot be ignored.


                                           28
Hicks, explaining, “[s]uch an arbitrary disregard of the petitioner’s right to liberty is a

denial of due process of law.” 
Hicks, 447 U.S. at 346
. 9

                                            ii.

       We are also unpersuaded by the Government’s implication that any sentence that

falls at or below the statutory maximum does not present a fundamental defect. Indeed,

two of our sister circuits have found a fundamental defect sufficient to satisfy the savings

clause where the prisoner’s erroneous sentence fell beneath the statutory maximum.

       In Brown v. Caraway, the Seventh Circuit held that “a petitioner may utilize the

savings clause to challenge the misapplication of the career offender Guideline, at least

where, as here, the defendant was sentenced in the pre-Booker era,” 10 where the sentence

was nonetheless below the statutory 
maximum. 719 F.3d at 588
(footnote omitted).

       9
         The Government cites to our decision in United States v. Foote, 
784 F.3d 931
(4th Cir. 2015), for the proposition that this court may be reluctant to find a fundamental
defect where “even if we vacate and remand, the same sentence could be legally
imposed.” Gov’t’s Br. 58 (quoting 
Foote, 784 F.3d at 941
(alteration omitted)). But
Foote is inapposite. In Foote, we held that only errors presenting “a fundamental defect
which inherently results in a complete miscarriage of justice” are cognizable on § 2255
collateral review, and a Guidelines career offender designation later nullified by Simmons
was not one of those errors. 
Id. at 932
(internal quotation marks omitted). This was
because “Appellant was (and on remand, would again be) sentenced under an advisory
Guidelines scheme requiring individualized analysis of the sentencing factors set forth in
18 U.S.C. § 3553(a).” 
Id. at 941
(emphasis in original). The fact that the Guidelines
were advisory, and did not carry the weight and effect of a statute, was central to our
decision. See 
id. at 942
(noting that the Guidelines are “stripped . . . of legal force”
(internal quotation marks omitted)). In contrast, here, we have an increase to the floor of
the permissible statutory sentence, which invokes fundamental constitutional principles,
not a change in an advisory range.
       10
         See United States v. Booker, 
543 U.S. 220
(2005) (holding that the Guidelines
are not mandatory provisions).


                                            29
Brown challenged his 360 month sentence on the grounds that one of his predicate

convictions was not a crime of violence under Begay v. United States, 
553 U.S. 137
(2008), and thus, he was not a career offender. See 
id. at 586.
The career offender

designation changed his mandatory Guidelines range from 262–327 months to 360

months to life, but his sentence of 360 months was still under the statutory maximum of

life imprisonment. See 
id. at 585–86.
The court nonetheless held that this increase

amounted to a miscarriage of justice and a fundamental sentencing defect because the

“period of incarceration exceeded that permitted by law.” 
Id. at 587
(alteration and

internal quotation marks omitted).

       Although the sentence was imposed at a time when the Guidelines were

mandatory, critically, the Seventh Circuit relied on its prior decision in Narvaez v. United

States, which held that the petitioner, erroneously classified as a career offender but

sentenced under the statutory maximum, experienced a fundamental sentencing defect

and miscarriage of justice. 
674 F.3d 621
, 629 (7th Cir. 2011). Narvaez reasoned, “The

fact that Mr. Narvaez’s sentence falls below the applicable statutory-maximum sentence

is not alone determinative of whether a miscarriage of justice has occurred.” 
Id. It explained,
“to increase, dramatically, the point of departure for his sentence is certainly

as serious as the most grievous misinformation that has been the basis for granting habeas

relief.” 
Id. (citing Tucker,
404 U.S. at 447). Thus the Brown court, in relying on

Narvaez, made clear that although Brown’s resulting sentence was higher than the high

end of the mandatory Guidelines range, this was not the only reason the defect was



                                            30
fundamental for purposes of § 2255(e). In the Seventh Circuit’s view, an increase in

one’s sentencing benchmark is equally grave.

      In Hill v. Masters, the Sixth Circuit too addressed a savings clause request from a

pre-Booker, erroneously imposed career offender enhancement which increased the

prisoner’s mandatory Guidelines sentencing range from 235–293 months to 292–365

months.   
See 836 F.3d at 593
.       But Hill’s statutory maximum sentence was life

imprisonment, so his resulting sentence of 300 months was still within the statutory

range. See 
id. at 596.
Hill explained that “[s]erving a sentence imposed under mandatory

guidelines (subsequently lowered by retroactive Supreme Court precedent) shares

similarities with serving a sentence imposed above the statutory maximum.             Both

sentences are beyond what is called for by law [and] raise a fundamental fairness issue.”

Id. at 599.
In so holding, Hill relied on Brown and Chief Judge Gregory’s dissenting

opinion in this court’s Surratt panel decision, which reasoned that although Surratt’s life

sentence did not exceed the statutory maximum, it was nonetheless a fundamental defect.

See 
id. (citing Surratt,
797 F.3d at 270 (Gregory, J., dissenting)).       As part of the

fundamental defect analysis, Hill explained that had the career offender enhancement

“been properly considered under now-applicable Supreme Court precedent, Hill would

not have been treated as a career offender, and the sentencing court would have been

required to impose a sentence within a lesser range.” 
Id. Thus, like
the Seventh Circuit,

the Sixth Circuit also recognizes the fundamental significance of a proper sentencing

range. We agree with our sister circuits’ view -- and the view of Chief Judge Gregory’s



                                            31
dissent in Surratt -- that a sentencing error need not result in a sentence that exceeds

statutory limits in order to be a fundamental defect. 11

       For all of these reasons, we hold that Appellant also meets the third requirement of

the savings clause -- that his sentence now presents an error sufficiently grave to be

deemed a fundamental defect.

                                              5.

                          The Government’s Position in this Case

       Finally, we address the Government’s reliance on the Eleventh Circuit’s recent

decision in McCarthan v. Director of Goodwill Industries-Suncoast, Inc., 
851 F.3d 1076
(11th Cir. 2017) (en banc). In McCarthan, a divided en banc court concluded that a

petitioner could not proceed through the savings clause portal where controlling circuit

precedent, overturned by a Supreme Court case, changed in such a way that one of the

petitioner’s prior convictions no longer qualified him for a sentencing enhancement under

the Armed Career Criminal Act. See 
id. at 1080.
The Eleventh Circuit rejected its

longstanding five part test similar to the one we established in Jones, and instead

analyzed each term of the text of the savings clause. See 
id. at 1085–90.
Ultimately, the

court set a high bar for “test[ing] the legality” of one’s conviction, explaining that

McCarthan could have “presented his claim and won relief in the Supreme Court” but



       11
           We make no decision regarding whether an erroneous sentence above the
statutory maximum is a fundamental defect for purposes of the savings clause, as those
facts are not presented to us today.


                                              32
chose not to do so. 
Id. at 1087.
It also reasoned that “[a]dverse circuit precedent” does

not make the filing of a first § 2255 motion “inadequate or ineffective.” 
Id. The Government’s
reliance on McCarthan is inapt because the McCarthan court

explicitly rejected a test similar to the Jones test, which the circuit had used for years.

Only then could it proceed to analyze the full text of the savings clause anew,

unrestrained by such a test.     Here, however, Jones remains good law, a point the

Government concedes in its brief -- despite spending over 20 pages arguing why it was

wrongly decided. And notably, though the Government claims it changed positions in

this case because of the McCarthan decision, which “offer[s] a far more extensive textual

analysis than any prior circuit decision,” Gov’t’s Br. 30, it fails to acknowledge that the

2011 Tenth Circuit opinion in Prost v. Anderson, written by then-Judge Gorsuch,

provides a textual analysis just as thorough, if not more so. See 
636 F.3d 578
(10th Cir.

2011). It is curious then that the Government chose now -- literally in the middle of

Appellant’s case -- to completely change course. It appears the timing of McCarthan was

nothing more than a convenient escape hatch. 12




       12
        The Government’s about-face is particularly distasteful in this case wherein the
Government cannot identify any principled reason for its turnabout. It was not until oral
argument that the Assistant to the Solicitor General attributed this change of position to
“new leadership in the [Justice] Department.” Oral Arg. at 12:47–50, United States v.
Wheeler, No. 16-6073 (4th Cir. Jan. 25, 2018), http://www.ca4.uscourts.gov/oral-
argument/listen-to-oral-arguments.


                                            33
                                             6.

                                        Conclusion

       In sum, we hold that § 2255 is an inadequate and ineffective means to test the

legality of Appellant’s detention, which is based on a sentence issued with an erroneously

increased mandatory minimum.          Therefore, the district court erred in dismissing

Appellant’s § 2241 Petition. Appellant may pass through the savings clause portal and

have the § 2241 petition addressed on the merits. 13

                                            III.

       For the foregoing reasons, we vacate and remand.

                                                             VACATED AND REMANDED




       13
           According to the Bureau of Prisons Inmate Locator, Appellant is currently
detained at Bennettsville FCI in Bennettsville, South Carolina. The district court should
first decide whether it can hear the § 2241 Petition on the merits, or whether it should
transfer to the district of confinement, the District of South Carolina. See United States v.
Poole, 
531 F.3d 263
, 270 (4th Cir. 2008) (“When § 2255 ‘appears . . . inadequate or
ineffective to test the legality of his detention,’ . . . a federal prisoner may seek habeas
relief from the court in the district of his confinement under § 2241.” (quoting 28 U.S.C.
§ 2255(e)) (emphasis supplied)).


                                             34

Source:  CourtListener

Can't find what you're looking for?

Post a free question on our public forum.
Ask a Question
Search for lawyers by practice areas.
Find a Lawyer