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Brown v. Johnson, 99-20299 (2000)

Court: Court of Appeals for the Fifth Circuit Number: 99-20299 Visitors: 34
Filed: Nov. 15, 2000
Latest Update: Mar. 02, 2020
Summary: IN THE UNITED STATES COURT OF APPEALS FOR THE FIFTH CIRCUIT _ No. 99-20299 _ TY MICHAEL BROWN, Petitioner-Appellant, versus GARY L. JOHNSON, Director, Texas Department of Criminal Justice, Institutional Division, Respondent-Appellee. _ Appeal from the United States District Court for the Southern District of Texas (H-98-CV-57) _ November 14, 2000 Before KING, Chief Judge, WIENER, Circuit Judge, and BARBARA M.G. LYNN,* District Judge. PER CURIAM:** Petitioner-Appellant Ty Michael Brown appeals th
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                 IN THE UNITED STATES COURT OF APPEALS
                         FOR THE FIFTH CIRCUIT

                   _______________________________

                             No. 99-20299

                   _______________________________


TY MICHAEL BROWN,

                                               Petitioner-Appellant,

                                versus

GARY L. JOHNSON, Director,
Texas Department of Criminal Justice,
Institutional Division,

                                               Respondent-Appellee.

         _________________________________________________

              Appeal from the United States District Court
                   for the Southern District of Texas
                              (H-98-CV-57)
         _________________________________________________

                           November 14, 2000

Before KING, Chief Judge, WIENER, Circuit Judge, and BARBARA M.G.
LYNN,* District Judge.

PER CURIAM:**

     Petitioner-Appellant Ty Michael Brown appeals the summary

judgment dismissal of his § 2254 habeas corpus petition as time-

barred.     Brown argues that the elapse of ten months before he

     *
        District Judge of the Northern District of Texas, sitting
by designation.
     **
        Pursuant to 5th Cir. R. 47.5, the court has determined that
this opinion should not be published and is not precedent except
under the limited circumstances set forth in 5th Cir. R. 47.5.4.

                                   1
received notice that his direct appeal had been denied should

equitably toll the Antiterrorism and Effective Death Penalty Act’s

one-year time limit to file a habeas petition.   Since the district

court dismissed Brown’s case, we have issued several relevant

opinions in light of which we conclude that Brown’s claim of

equitable tolling should not be dismissed on summary judgment.   We

therefore reverse the district court’s dismissal and remand this

case for further proceedings to determine whether Brown is entitled

to equitable tolling of the subject limitations period.

                                 I.

                       FACTS AND PROCEEDINGS

     Because timing lies at the core of Brown’s appeal, we will

relate key dates in the progress of Brown’s case in greater than

usual detail.

     Brown was convicted of capital murder and sentenced to life

imprisonment in June 1994.    Two years later, the Texas Court of

Criminal Appeals reversed his conviction and remanded his case to

the First District Court of Appeals for consideration of a claim

that the evidence on which Brown was convicted was factually

insufficient. The First District affirmed the conviction on August

8, 1996.1   No further discretionary review was sought, and Brown’s

conviction became final on September 7, 1996.    Therefore, absent

tolling, the deadline for Brown’s timely filing of a § 2254

     1
        Brown v. State, 
1996 WL 444981
(Tex. App.-Houston [1st
Dist.] 1996) (No. 01-94-00644-CR) (unpublished).

                                 2
application was September 7, 1997.2

       On April 7, 1997, seven months after Brown’s conviction became

final,       the    Harris   County     clerk    received      a     letter   from   the

imprisoned Brown inquiring into the status of his case.                              The

clerk’s office           replied   to   Brown’s      inquiry    on    July    21,   1997,

indicating a “Mandate of Affirmance” had issued on October 3, 1996.

       Brown maintains that he wrote to the Harris County Clerk

because he had been “abandoned” by his appointed appellate counsel.

According to Brown, his lawyer did not respond to several letters

that Brown sent periodically from prison. Brown claims that he was

not notified when his conviction was affirmed on remand, nor even

that his attorney had appealed to the Texas Court of Criminal

Appeals.          Respondent-Appellee does not rebut Brown’s allegations

beyond noting that for counsel “[t]o not inform a client of all

these      proceedings,      especially      about    the   reversal      and   remand,

appears incredible.”          Therefore, we assume that all facts are true

as Brown states them, and that, despite some efforts on his part,

more       than    ten   months    elapsed   before     Brown      learned    that   his

conviction was final.3

       After requesting and receiving a copy of the First District

Court of Appeals’ opinion, Brown filed a pro se state habeas

petition on October 2, 1997, nearly one month after the expiration

       2
           § 2244 (d)(1)(A).
       3
        We note that the facts surrounding Brown’s actions are
verified in the record and do not rely solely on his assertions.

                                             3
of the September 7 deadline for filing his § 2254 petition (but

within one year of the “mandate of affirmance” as indicated by the

Harris County clerk).       His state habeas petition was denied on

November 26, 1997.      Less than a month later, on December 22, 1997,

Brown filed a pro se § 2254 petition in federal district court,

which was dismissed on February 12, 1999, as time-barred under §

2244(d).

       Brown filed a notice of appeal.       Although it was three days

late, the district court found Brown’s tardiness to be the result

of excusable neglect and granted him an extension under 28 U.S.C.

§    2107(c).    This   appeal   followed,   and   we   granted   Brown   a

certificate of appealability (COA) on the equitable tolling issue.

                                    II

                                 ANALYSIS

A.    Equitable Tolling

       Brown filed his federal habeas corpus petition on Dec. 22,

1997.    Therefore, his petition is governed by the AEDPA.          State

prisoners who file federal habeas corpus petitions under the AEDPA

must do so within the one-year limitation period codified in 28

U.S.C. § 2244(d):

       (1)   A 1-year period of limitation shall apply to an
       application for a writ of habeas corpus by a person in
       custody pursuant to the judgment of a State court. The
       limitation period shall run from the latest of –
            (A) the date on which the judgment became final by
       the conclusion of direct review or the expiration of the
       time for seeking such review....
       (2) The time during which a properly filed application
       for State post-conviction or other collateral review with

                                    4
     respect to the pertinent judgment or claim is pending
     shall not be counted toward any period of limitation
     under this subsection.

     The time during which an application for state postconviction

relief or other collateral review is pending does not count toward

AEDPA’s one-year limitation period if, but only if, the state

application is “properly filed.”4       Brown did not file his state

habeas application until October 2, 1997, nearly a month after the

September 7 expiration of the one-year limitations period in which

he had to file for federal habeas relief.      As that tardiness kept

his state application from being “properly filed,” his application

did not toll the running of the AEDPA’s limitations period.

     The doctrine of equitable tolling “preserves a plaintiff’s

claims when strict application of the statute of limitations would

be inequitable.”5       We held in Davis v. Johnson that the AEDPA’s

one-year statute of limitations can be equitably tolled “in rare

and exceptional circumstances.”6     We remain at all times mindful of

the Supreme Court’s cautionary statements regarding dismissal of a

first federal habeas petition7 and its pronouncement that courts


     4
         § 2244(d)(2).
     5
         Davis v. Johnson, 
158 F.3d 806
, 810 (5th Cir. 1998)
(citations omitted), cert. denied, 
526 U.S. 1074
(1999).
     6
          
Id. at 811.
     7
         Felder v. Johnson, 
204 F.3d 168
, 173 (5th Cir. 2000),
petition for cert. filed (U.S. May 8, 2000) (No. 99-10243) (quoting
Lonchar v. Thomas, 
517 U.S. 314
, 324 (1996) (“Dismissal of a first
federal habeas petition is a particularly serious matter, for that
dismissal denies the petitioner the protections of the Great Writ

                                    5
“must be cautious not to apply the statute of limitations too

harshly.”8       We consider the facts of each case in deciding whether

to   apply   the    doctrine   of   equitable    tolling,9   and     review   the

district court’s decision to deny it for abuse of discretion.10

      For equitable tolling to apply, the petitioner must not only

demonstrate “rare and exceptional circumstances,” but also must

“diligently pursue his § 2254 relief.”11           We will consider each of

these requirements in turn in deciding whether the district court

abused its discretion in finding that Brown could not meet them.

1.   “Rare and Exceptional Circumstances”

      We have not yet decided whether an inmate’s protracted lack of

notice that his conviction has become final should be grounds for

equitably tolling the AEDPA’s statute of limitations.                In several

recent cases —— all of them decided subsequent to the district

court’s February 1999 decision in the instant case —— we considered

what facts do constitute the “rare and exceptional circumstances”

that justify equitably tolling the AEDPA’s statute of limitations.

Among these, the case most closely analogous to Brown’s is Phillips


entirely, risking        injury     to   an   important   interest    in   human
liberty.”)).
      8
           Fisher v. Johnson, 
174 F.3d 710
, 713 (5th Cir. 1999).
      9
           
Id. 10 United
States v. Patterson, 
211 F.3d 927
, 931 (5th Cir.
2000) (citing 
Fisher, 174 F.3d at 713
).
      11
         Coleman v. Johnson, 
184 F.3d 398
, 403 (5th Cir. 1999),
cert. denied, 
120 S. Ct. 1564
(2000).

                                         6
v. Donnelly,12 in which we held that a four-month delay between the

denial of an applicant’s state habeas petition and his actual

notification of the denial could qualify for equitable tolling.13

We based that decision on another recent case, Fisher v. Johnson,14

in which we stated in dicta that “[i]n the right circumstances, a

delay in receiving information might call for equitable tolling ——

such as if the prison did not obtain copies of AEDPA for months and

months, or if an essential piece of information was delayed near

the filing deadline.”15

     In another recent case, Davis v. Johnson,16 we assumed without

deciding that the circumstances, including an alleged eleven-month

delay in the district court’s notification to appointed counsel of

his appointment, justified equitable tolling.17   Further, in United

States v. Patterson,18 we found equitable tolling warranted when the

district court apparently led the petitioner to believe he had an




     12
         
216 F.3d 508
(5th Cir. 2000), reh’g granted in part on
other grounds, 
223 F.3d 797
(5th Cir. 2000).
     13
         The Court remanded the case for a hearing on when the
petitioner first received notice of the denial. See 
id. at 511.
     14
          
174 F.3d 710
(5th Cir. 1999).
     15
          
Id. at 715.
     16
         Davis v. Johnson, 
158 F.3d 806
(5th Cir. 1998), cert.
denied, 
526 U.S. 1074
(1999).
     
17 158 F.3d at 808
& n.2.
     18
          
211 F.3d 927
(5th Cir. 2000).

                                   7
extra year in which to file his petition.19

     We see our cases that have denied equitable tolling, including

Fisher20 and Felder v. Johnson,21 as distinguishable from Brown’s

case, in that they generally concern a petitioner’s ignorance of

the law.    In contrast, Brown’s uncontroverted complaint emphasizes

that his inability timely to learn the crucial fact that his

conviction    had   been   affirmed   on   appeal   and   had   become   final

resulted from obstacles beyond his ability to control or remedy.

Should Brown prove the facts he has alleged, his appellate lawyer’s

neglect could very well be an extraordinary circumstance that kept

him from asserting his rights.22

2.   Diligent Pursuit

     Even when a petitioner demonstrates “rare and exceptional

circumstances” for missing the federal habeas deadline, he also

must have pursued his claims diligently to justify equitable

tolling of the statute of limitations.          The district court found

that Brown failed in his obligation to monitor his lawsuit and keep


     19
        One of Brown’s complaints in this case is that the First
District Court of Appeals’s letter to him dating the Mandate of
Affirmance as Oct. 3, 1996, confused him as to the date his
conviction became final.
     20
           
174 F.3d 710
.
     21
           
204 F.3d 168
(5th Cir. 2000).
     22
        See Rashidi v. American President Lines, 
96 F.3d 124
, 128
(5th Cir. 1996) (“Equitable tolling applies principally where the
plaintiff is actively misled by the defendant about the cause of
action or is prevented in some extraordinary way from asserting his
rights.”).

                                      8
himself apprised of the status of his litigation.              The court cited

Jones v. Estelle23 as supporting the “implicit burden” to make

inquiries in a pro se habeas appeal by a state prisoner who was

previously represented by counsel.

     The facts of Jones, however, are distinguishable from Brown’s

case.     In Jones, the petitioner’s attorney filed objections to a

magistrate judge’s recommendation that habeas relief be denied, but

neither the attorney nor the petitioner inquired further into the

case for thirteen months after entry of judgment, thus missing a

30-day    window   in   which   to    file   a   notice   of    appeal.     We

distinguished the circumstances under consideration in Jones’s case

from those in Curry v. Wainwright,24 noting that “there is no

showing that the petitioner did not receive timely notice of

appeal.     Additionally, petitioner was represented by counsel.”25

In contrast, Brown has shown that he did not receive timely notice

of   appeal.       Furthermore,      although    he   apparently    had   been

     23
          
693 F.2d 547
, 549 (5th Cir. 1982).
     24
        
416 F.2d 379
(5th Cir. 1969). The facts in Curry, in which
we accepted a late-filed notice of appeal, are more akin to Brown’s
case. Curry, a prisoner proceeding pro se, was not notified when
a final order denying his writ of habeas corpus was filed. Some
two months later, he wrote a letter to the court asking if a final
decision had been made; Curry filed a motion for a certificate of
probable cause two weeks after receiving an affirmative answer. We
held that the reasoning for our pre-existing rule that the period
for appeal did not begin to run until the appellant was notified of
his right to appeal “is stronger in the case sub judice, in which
the appellant did not even know that judgment had been entered
against him.” 
Id. at 380.
     25
          
Jones, 693 F.2d at 549
.

                                       9
represented by counsel at least through his appeal to the Texas

Court of Criminal Appeals, Brown took the initiative to file his

habeas petition pro se once he learned that the AEDPA’s clock had

begun to run and that he was not then receiving counsel’s advice.

      In Coleman v. Johnson,26 a recent case decided under the AEDPA,

we denied equitable tolling for an applicant who did not file his

federal habeas petition for approximately six months after he was

notified that his state postconviction application had been denied

and did not explain his delay.         In comparison, Brown appears to

have acted with reasonable alacrity once he learned that his

conviction had become final.          As alleged, most of the delay in

Brown’s case appears attributable to appellate counsel’s failure to

answer Brown’s inquiries regarding the status of his case.               Brown

took the initiative by writing to          the clerk’s office directly and

acting with due diligence to the information he received.          The time

lag   between    his   notification    and     state   habeas   filing    was

approximately two-and-a-half months —— less than half the delay in

Coleman —— and is largely explained by Brown’s activity, including

requesting a copy of the First District Court opinion, plus the

unavoidable delays a prisoner encounters in trying to use the

prison library and communicate with the outside world. In light of

our recent opinions in Phillips, Fisher, and Felder —— opinions to

which the district court here was not privy —— we remand to the

      26
           
184 F.3d 398
(5th Cir. 1999), cert. denied, 
120 S. Ct. 1564
(2000).

                                      10
district     court    for     reconsideration,      possibly     aided    by    an

evidentiary hearing, which may very well establish the existence of

rare and exceptional circumstances and diligent pursuit of relief

by Brown.

B.   Notice of Appeal

     Respondent-Appellee argues that we lack jurisdiction to hear

this appeal because Brown filed his notice of appeal three days

late.     Respondent-Appellee grounds his argument in the claim that

the district court abused its discretion in granting Brown an

extension to file a timely notice of appeal based on excusable

neglect. Under Fed. R. App. P. 4(a)(5), a district court may grant

up to thirty additional days within which to file a notice of

appeal on a showing of excusable neglect or good cause.27

     We have adopted the standard of excusable neglect articulated

by the Supreme Court in Pioneer Inv. Servs. Co. v. Brunswick

Assocs.    Ltd.   P’ship.28      The    Court   there   held    that,    in    some

circumstances,       neglect     such    as     inadvertence,     mistake,       or

carelessness may be excused.             Determination whether a party’s

neglect is excusable “is at bottom an equitable one, taking account

of all relevant circumstances surrounding the party’s omission.”29



     27
           See also 28 U.S.C. § 2107(c).
     28
        
507 U.S. 380
, 395 (1993); see also Halicki v. Louisiana
Casino Cruises, Inc., 
151 F.3d 465
, 468-69 (5th Cir. 1998), cert.
denied, 
526 U.S. 1005
(1999).
     29
           
Pioneer, 507 U.S. at 395
.

                                        11
In making the determination, the court must consider (1) the danger

of prejudice to the nonmovant; (2) the length of the delay and its

potential impact on judicial proceedings; (3) the reason for the

delay, including whether it was within the reasonable control of

the movant; and (4) whether the movant acted in good faith.30

      The first two Pioneer factors weigh in favor of a finding of

excusable neglect.     The risk of prejudice to Respondent-Appellee

should the extension be granted is minimal, and he has asserted no

actual prejudice. The length of delay was de minimis (three days),

and would have little or no effect on judicial proceedings.               The

fourth Pioneer factor, whether the movant acted in good faith, also

weighs in favor of a finding of excusable neglect.              There is no

indication of bad faith on Brown’s part.31

      The third Pioneer factor, the reason for the delay, does not

weigh heavily against a finding of excusable neglect.                   Brown

asserts that, albeit erroneously, he believed that he had 30 days

from receipt of the final judgment, rather than 30 days from its

entry, in which to file a notice of appeal.            We have previously

found that writing the wrong docket number on a notice of appeal

was   excusable    neglect.32    In    Halicki,   we    noted    that    some

      30
           Id.; 
Halicki, 151 F.3d at 468
.
      31
         Indeed, within what he believed to be the 30-day time
limit, Brown mistakenly prepared and sent to the Fifth Circuit a
nine-page “request for certificate of appealability” in lieu of a
notice of appeal.
      32
           Marshall v. Lancarte, Inc., 
632 F.2d 1196
(5th Cir. 1980).

                                  12
misinterpretations of the federal rules may qualify as excusable

neglect but held that the attorney’s asserted misinterpretation of

an unambiguous, well-settled rule affecting the date for filing a

notice of appeal was inexcusable.33        Unlike Halicki, Brown was not

represented by counsel.

     Most of the Pioneer factors weigh in favor of a finding of

excusable neglect, and the reason for the delay does not weigh

heavily against such a finding.      Respondent-Appellee has not shown

that the district court abused its discretion by granting Brown’s

motion to extend the time to file his notice of appeal by three

days. Therefore, we find no error in the district court’s grant of

an extension of time for Brown to file a notice of appeal.




                                    III.

                                 CONCLUSION

     If Brown can prove the circumstances he has alleged, his case

may be the rare and exceptional one justifying equitable tolling of

the AEDPA’s one-year limit.        Therefore, we reverse the district

court’s   grant   of   summary    judgment    and   remand   for   further

consideration consistent with this opinion.

     AFFIRMED in part, REVERSED in part, and REMANDED.




     33
          
Halicki, 151 F.3d at 469-70
.

                                     13
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                   10/31/00 4:12 PM




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