Filed: Feb. 14, 2014
Latest Update: Mar. 02, 2020
Summary: that the MAC concluded that the absence of such evidence did not, preclude the defendant from presenting his theory of the case to, the jury, Magraw II, 2003 WL 21955875, at *2, and that this, conclusion bears the hallmarks of objective reasonableness.on merits by state court).739 F.3d 34, 41-42;
United States Court of Appeals
For the First Circuit
No. 13-1483
DAVID G. MAGRAW,
Petitioner, Appellant,
v.
GARY RODEN, SUPERINTENDENT,
Respondent, Appellee.
APPEAL FROM THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF MASSACHUSETTS
[Hon. F. Dennis Saylor, IV, U.S. District Judge]
Before
Lynch, Chief Judge,
Souter,* Associate Justice,
and Selya, Circuit Judge.
Jeffrey M. Brandt, with whom Robinson & Brandt, P.S.C. was on
brief, for appellant.
Anne M. Thomas, Assistant Attorney General, Criminal Bureau,
with whom Martha Coakley, Attorney General, was on brief, for
appellee.
February 14, 2014
*
Hon. David H. Souter, Associate Justice (Ret.) of the Supreme
Court of the United States, sitting by designation.
SELYA, Circuit Judge. This is a habeas proceeding
brought by a state prisoner against a Massachusetts correctional
official in an effort to secure relief from a conviction and life
sentence for second-degree murder. In pursuit of that habeas
relief, he advances three discrete claims of constitutional error.
After thoughtful consideration, the district court rejected these
claims. So do we.
I. BACKGROUND
Because the petitioner's asseverational array includes a
challenge to the sufficiency of the evidence, we rehearse the
background facts in the light most flattering to the jury's
verdict. See Foxworth v. St. Amand,
570 F.3d 414, 420 (1st Cir.
2009). In the summer of 1990, David and Nancy Magraw were in the
throes of a nasty divorce. The warring spouses and their attorneys
arranged to meet at 2:00 p.m. on July 23, but Nancy Magraw never
arrived. After unsuccessfully attempting to ascertain her
whereabouts, the attorneys and her husband (the petitioner here)
were advised of her death. They immediately went to her home in
Walpole, Massachusetts and found her badly bruised body on the
living room floor. The police were already at the scene.
An autopsy determined the cause of death to be mechanical
asphyxiation due to compression of the neck (and perhaps the mouth
and nose). Following further investigation, a state grand jury
indicted the petitioner for the slaying. The petitioner's initial
-2-
trial resulted in his conviction for first-degree murder, but that
conviction was set aside on appeal. See Commonwealth v. Magraw,
690 N.E.2d 400, 401 (Mass. 1998).
At his second trial, the petitioner argued, inter alia,
that the victim had died from natural causes and that, in all
events, he was not her killer. The jury rejected these contentions
and found the petitioner guilty of second-degree murder.
The petitioner appealed unsuccessfully to the
Massachusetts Appeals Court (MAC). See Commonwealth v. Magraw
(Magraw II), No. 99-P-1937,
2003 WL 21955875, at *1 (Mass. App. Ct.
Aug. 15, 2003). The Massachusetts Supreme Judicial Court denied
his application for leave to seek further appellate review. See
Commonwealth v. Magraw,
799 N.E.2d 593 (Mass. 2003) (table). The
petitioner then repaired to the federal district court, seeking a
writ of habeas corpus. See 28 U.S.C. § 2254. The district court
proved inhospitable to the petitioner's importunings, see Magraw v.
Roden (Magraw III), No. 09-11534,
2013 WL 1213056, at *6 (D. Mass.
Mar. 22, 2013), but issued a certificate of appealability as to
three claims, see 28 U.S.C. § 2253(c).
After limning the framework for habeas relief, we
consider the petitioner's claims of error sequentially.
-3-
II. THE HABEAS FRAMEWORK
When (as in this case) the district court has not
undertaken independent factfinding, its decision to grant or deny
habeas relief engenders de novo review. See Pike v. Guarino,
492
F.3d 61, 68 (1st Cir. 2007). The beacon by which a federal habeas
court must steer is the Antiterrorism and Effective Death Penalty
Act of 1996 (AEDPA), Pub. L. No. 104-132, § 104, 110 Stat. 1214,
1218-1219, codified at 28 U.S.C. § 2254. Where, as here, the state
court has adjudicated a petitioner's federal claims on the merits,
the federal court may issue the writ if the state-court proceedings
"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). Under the AEDPA's unreasonable application standard,
a "state court's decision is not vulnerable unless it evinces some
increment of incorrectness beyond mere error." Leftwich v.
Maloney,
532 F.3d 20, 23 (1st Cir. 2008); accord McCambridge v.
Hall,
303 F.3d 24, 36 (1st Cir. 2002) (en banc).
III. SUFFICIENCY OF THE EVIDENCE
The petitioner's first claim of error posits that the
evidence adduced at his trial was insufficient to support his
conviction for second-degree murder. In his view, the evidence
failed to establish either that the victim was murdered or that, if
a murder occurred, he was the perpetrator.
-4-
The constitutional standard for evidentiary sufficiency
is familiar. Under clearly established Supreme Court precedent, a
conviction must be sustained if, "after viewing the evidence in the
light most favorable to the prosecution, any rational trier of fact
could have found the essential elements of the crime beyond a
reasonable doubt." Jackson v. Virginia,
443 U.S. 307, 319 (1979).
Although this standard exhibits great respect for the jury's
verdict, an inquiring court must nonetheless avoid "evidentiary
interpretations and illations that are unreasonable, insupportable,
or overly speculative." United States v. Spinney,
65 F.3d 231, 234
(1st Cir. 1995). For present purposes, the question reduces to
whether the MAC unreasonably applied the Jackson standard in
determining that the evidence was sufficient to allow a rational
jury to conclude both that the victim was murdered and that the
petitioner was her killer.
A. Cause of Death.
We need not linger long over the sufficiency of the
evidence anent the cause of death. The Commonwealth introduced
considerable evidence that the victim was strangled. This evidence
included the testimony of two medical examiners, one of whom was
the physician who had performed the autopsy.
The autopsy findings bolstered this opinion testimony.
The autopsy showed petechial hemorrhages on the victim's face,
lungs, heart, and inner eyelids. The physician who performed the
-5-
autopsy explained that these findings were consistent with rupture
upon asphyxiation. Similarly, the autopsy revealed hemorrhage
around the thyroid cartilage and other tissues in the victim's
neck. Her inner lips were cut, and her tongue had bite marks. The
medical witnesses attested that this pattern of injuries was
consistent with strangulation.
This is not to say that the cause-of-death evidence was
completely one-sided. The petitioner proffered a medical expert
who opined that the victim died of natural causes. This witness
expressed skepticism about the Commonwealth's theory because the
victim's corpse lacked some common indicia of manual strangulation,
such as bruising in certain neck tissues, suspicious marks on the
outside of the neck, and fractured hyoid and cricoid bones. This
witness also tried to explain away the petechiae and larynx
hemorrhages. The capstone of this testimony was the witness's
determination that the victim had suffered from chronic and acute
inflammation of the heart, which he concluded was the probable
cause of her death.
Citing this conflicting evidence, the petitioner reminds
us that when "the evidence viewed in the light most favorable to
the verdict gives equal or nearly equal circumstantial support to
a theory of guilt and a theory of innocence of the crime charged,
this court must reverse the conviction." O'Laughlin v. O'Brien,
568
F.3d 287, 301 (1st Cir. 2009) (quoting United States v. Flores-
-6-
Rivera,
56 F.3d 319, 323 (1st Cir. 1995)). He argues that the
evidence as to cause of death in this case is in equipoise and,
thus, that the MAC unreasonably applied the Jackson standard in
allowing the conviction to stand.
This argument is wide of the mark. It fails to recognize
that this equal-evidence rule takes hold only after we have drawn
all reasonable inferences in favor of the verdict. See, e.g.,
Morgan v. Dickhaut,
677 F.3d 39, 53-54 (1st Cir.), cert. denied,
133 S. Ct. 449 (2012). In this case, the jury had to choose
between the conflicting views of each side's expert witnesses, and
its verdict indicates that it chose to believe the Commonwealth's
experts. Once that choice is factored into the equation, the
evidence cannot fairly be said to be in equipoise.
Nor can we second-guess the MAC's decision to accept the
jury's choice. See Magraw II,
2003 WL 21955875, at *2. Resolving
conflicts in the evidence is customary fare for jurors and there is
nothing unreasonable about what the jurors did here. This is
particularly true because the record makes manifest that the
Commonwealth's experts responded directly to the petitioner's
theory. One acknowledged that the victim's heart showed signs of
inflammation, but explained that such inflammation is not typically
fatal. The other stated flatly that the victim's pre-existing
cardiac condition "had nothing to do with the cause of death."
-7-
That ends this aspect of the matter. Viewing the
evidence in the light most favorable to the verdict, it is readily
evident that the jury chose to credit the Commonwealth's amply
supported cause-of-death hypothesis. Because that choice was well
within the jury's province, the MAC reasonably applied the Jackson
standard in deeming the evidence sufficient to support a finding
that the victim met her death through strangulation. See Cavazos
v. Smith, 132 S. Ct. 2, 6-7 (2011) (per curiam) (summarily
reversing grant of habeas relief and upholding jury's choice
between competing cause-of-death theories).
B. Identity of the Perpetrator.
The petitioner likewise brands the evidence insufficient
to show that he killed his wife. In support, he notes that the
case against him was entirely circumstantial; that no hard evidence
linked him to his wife's demise; and that the prosecution put the
time of death at sometime between 11:19 a.m. and 1:19 p.m., whereas
the evidence indicated that he had left his wife's home no later
than 10:15 a.m. that day.1
1
The petitioner incorporates in this argument an assertion
that testimony from his wife's attorney about statements that the
petitioner allegedly made, introduced to show consciousness of
guilt, was so evidently false that it should be disregarded. We
need not explore this assertion: the record, even if stripped of
the challenged testimony, contains sufficient evidence to sustain
a finding that the petitioner committed the murder.
-8-
With this view of the record in mind, the petitioner
invokes our decision in O'Laughlin. There, we granted habeas
relief after deeming circumstantial evidence insufficient to
support the conviction.
See 568 F.3d at 308.
The principal problem with this argument is that, under
Jackson, direct evidence is not necessary to sustain a conviction.
See, e.g., United States v. O'Brien,
14 F.3d 703, 706-07 (1st Cir.
1994). This principle is even more firmly established in
connection with the deferential approach to state-court
decisionmaking that federal habeas review demands. See, e.g.,
Morgan, 677 F.3d at 54;
Leftwich, 532 F.3d at 27-28; Hurtado v.
Tucker,
245 F.3d 7, 18-19 (1st Cir. 2001).
What is more, not all circumstantial evidence cases are
created equal. The evidence in this case, though circumstantial,
is far stronger than the evidence in O'Laughlin, especially with
respect to motive and opportunity.
To begin, the petitioner has never questioned that he
possessed the physical ability to strangle his wife. He also had
a powerful motive: the couple was embroiled in an acrimonious
divorce with hundreds of thousands of dollars on the line. No
items were missing from the victim's house (a fact that tended to
exclude robbery as a possible motive). In addition, the petitioner
had recently left a rifle on the victim's bed — an act easily
construed as threatening.
-9-
Furthermore, the petitioner had access to the victim's
home and there were no signs of forced entry.2 The jury could
plausibly have concluded that the petitioner was the last person to
have seen the victim alive. Witnesses testified that, by his own
account, he was with her in her home from roughly 9:00 a.m. to
10:15 a.m. on the morning of the murder. Although this does not
line up perfectly with the time of death estimated by the medical
examiner, estimates are merely estimates; and the jury had room to
conclude either that the slaying occurred earlier or that the
petitioner left later than he claimed.3 Here, moreover, a jury
reasonably could have rejected both the petitioner's claim that his
wife had been unharmed when he left her home and his related claim
that she had died from natural causes. This is significant because
"if the jury disbelieves a defendant's story, it may legitimately
presume that the fabrication was an indicium of his guilt."
Leftwich, 532 F.3d at 26. Virtually by definition, any
circumstantial evidence case requires some level of conjecture.
"But a conjecture consistent with the evidence becomes less and
less a conjecture, and moves gradually toward proof, as alternative
2
Unlike O'Laughlin, in which "several others on the
maintenance staff possessed a master key" in addition to the
petitioner, 568 F.3d at 302, here, there is no indication that
access to the victim's home was widely shared.
3
To be sure, the petitioner proffered an alibi witness, but
the witness (a tenant at one of the petitioner's properties) could
not remember the exact time that the petitioner arrived at the
tenant's apartment.
-10-
innocent explanations are discarded or made less likely." Stewart
v. Coalter,
48 F.3d 610, 615-16 (1st Cir. 1995). So it is here.
The short of it is that the Commonwealth presented
evidence adequate to show that the victim was murdered; that the
petitioner had both the means and the motive to commit the murder;
that he had threatened the victim in the past; that he had been
with the victim in close proximity to the time of her death; and
that his explanation of the events was open to question. In
conducting its review of a state-court conviction for evidentiary
sufficiency, a habeas court may not freely reweigh competing
inferences but must accept those reasonable inferences that are
most compatible with the jury's verdict. See, e.g., Tash v. Roden,
626 F.3d 15, 20 (1st Cir. 2010). Adhering to this principle, we
conclude that the MAC did not unreasonably apply the Jackson
standard in rejecting the petitioner's claim of evidentiary
insufficiency.
IV. SPOLIATION
At some time after the autopsy, the Commonwealth
discarded the victim's larynx. The petitioner now claims that the
loss of this potential source of evidence violated his due process
rights. The MAC rejected this claim. See Magraw II,
2003 WL
21955875, at *1-2. So did the district court. See Magraw III,
2013 WL 1213056, at *4-5.
-11-
The record indicates that the larynx was examined both at
the autopsy and at a subsequent meeting involving three state
medical examiners. However, the Commonwealth failed to preserve
the larynx, and it was not to be found when (in 1994) the defense
team asked to examine it in preparation for the petitioner's first
trial.
It is common ground that, upon request, a criminal
defendant has a due process right to review all evidence in the
government's possession that is material to his guilt or
punishment. See Brady v. Maryland,
373 U.S. 83, 87 (1963). But
this right would be empty if the government could trump it by the
simple expedient of destroying evidence harmful to its theory of
the case. A pair of Supreme Court decisions speak to the
dimensions of a defendant's rights when requested evidence,
formerly in the government's possession, is lost, destroyed, or
otherwise unavailable.
The first of these bookend decisions is California v.
Trombetta,
467 U.S. 479 (1984). Under Trombetta, a state violates
due process when it fails to preserve irreplaceable evidence
possessing exculpatory value that is apparent before its
destruction. See
id. 488-89. This precept holds true regardless
of why the evidence was destroyed. See id.; United States v.
Laurent,
607 F.3d 895, 900 (1st Cir. 2010).
-12-
The other bookend decision is Arizona v. Youngblood,
488
U.S. 51 (1988). Under Youngblood, a different rule obtains when
the evidence is merely potentially useful to the defense (that is,
when its exculpatory value was not apparent before its
destruction). See
id. at 57-58. In that event, the defendant
cannot prevail on his due process claim unless he establishes that
the state acted in bad faith. See
id.
Fairly read, Trombetta and Youngblood frame a dichotomy
between evidence that is apparently exculpatory and evidence that
is no more than potentially useful. See Illinois v. Fisher,
540
U.S. 544, 547-48 (2004) (per curiam); Olszewski v. Spencer,
466
F.3d 47, 56-57 (1st Cir. 2006). Because the record contains
nothing to suggest that the Commonwealth acted in bad faith, the
petitioner's claim of error necessarily turns on which branch of
the dichotomy applies here.
We conclude that Youngblood is controlling. There, the
Court considered the import of spoiled semen samples in a rape case
in which the rapist's identity had been the primary issue at trial.
See 488 U.S. at 53-54. The defendant argued that these samples, if
properly preserved or tested earlier, might well have served to
exonerate him. See
id. at 54. But the Court was chary of imposing
upon police an "absolute duty to retain and to preserve all
material that might be of conceivable evidentiary significance in
a particular prosecution."
Id. at 58. Since the semen samples
-13-
were no more than "potentially exculpatory evidence" and there was
no evidence that the authorities had acted in bad faith, the Court
ruled that the defendant's due process rights had not been
infringed.
Id. at 57-58 (quoting
Trombetta, 467 U.S. at 486).
The parallel between Youngblood and the case at hand is
striking. The petitioner does not point to any frankly exculpatory
aspect of the larynx but, rather, argues merely that if his expert
had the opportunity to inspect the larynx, he might well have found
evidence that the victim was not strangled. So viewed, the larynx
— like the semen samples in Youngblood — is evidence about which
"no more can be said than that it could have been subjected to
tests, the results of which might have exonerated the defendant."
Id. at 57.
Despite the obvious similarity between this case and
Youngblood, the petitioner strives to convince us that logic
militates toward a conclusion that the larynx was exculpatory. In
support, he notes that the Commonwealth's experts inspected the
larynx at some length and speculates that the Commonwealth surely
would have introduced the larynx into evidence if that examination
tended to establish that the victim was strangled. Building on
this speculation, he insists that if the larynx was not
inculpatory, then it must have been exculpatory.
We do not agree. Giving force to this line of reasoning
would topple the careful balance constructed by the Supreme Court's
-14-
decisions in Trombetta and Youngblood. It will often be the case
that evidence no longer available might have been inculpatory,
exculpatory, or simply inconclusive. If the state's failure to
preserve such evidence could give rise to an inference that the
evidence was exculpatory, there would be little need for the
Trombetta-Youngblood dichotomy.
We add that, if the inference suggested by the petitioner
were to prevail, the state would have little choice but to preserve
all evidence that might conceivably be useful to the defense. Such
a result would run directly contrary to the goal of the Youngblood
Court.
See 488 U.S. at 58.
If more were needed — and we doubt that it is — the
petitioner's thesis that the larynx was most likely exculpatory is
not supported by the factual record. A plethora of evidence
gleaned from the larynx was in fact tendered to the petitioner and
introduced into evidence at the trial. This evidence fit neatly
with the Commonwealth's strangulation theory. For example, the
medical examiner who performed the autopsy and found strangulation
to be the cause of death testified at length to findings stemming
from a layer-by-layer dissection of the victim's neck, including
identification of hemorrhages throughout the entire larynx
structure. Similarly, a second medical examiner opined that
injuries around the victim's neck and larynx were indicative of
strangulation. She based this conclusion in part on photographs of
-15-
the neck and larynx, which were available to the defense and
explained to the jury. This evidentiary predicate undermines the
petitioner's ipse dixit that the preservation of the larynx would
likely have served to exonerate him. On this record, then, it
would be folly to say that the MAC unreasonably applied Trombetta
and Youngblood when it declined to find a due process violation
based on the unavailability of the larynx itself.4 Cf.
Youngblood,
488 U.S. at 58 (observing that courts ordinarily should abjure
"'the treacherous task of divining the import of materials whose
contents are unknown and, very often, disputed'" (quoting
Trombetta, 467 U.S. at 486)).
V. PROSECUTORIAL MISCONDUCT
As a parting shot, the petitioner asserts that certain
statements made by the prosecutor were so outlandish as to sully
the fairness of the trial. These statements fall into two groups.
First, the petitioner identifies three instances in which the
prosecutor, while cross-examining the petitioner's medical expert,
made reference to the petitioner's prior trial. Second, he
identifies two instances in which the prosecutor referred to the
4
Because the larynx evidence was not apparently exculpatory,
we need not address the ancillary question of whether that
unavailable evidence was irreplaceable. See
Olszewski, 466 F.3d at
58 (describing irreplaceability requirement). We do note, however,
that the MAC concluded that "the absence of such evidence did not
preclude the defendant from presenting his theory of the case to
the jury," Magraw II,
2003 WL 21955875, at *2, and that this
conclusion bears the hallmarks of objective reasonableness.
-16-
petitioner's placement of a rifle on his wife's bed. As to both
groups, the petitioner avers that the prosecutor's references were
directly contrary to instructions previously given by the trial
justice.
In habeas jurisdiction, our focus is "the narrow one of
due process, and not the broad exercise of supervisory power."
Donnelly v. DeChristoforo,
416 U.S. 637, 642 (1974) (internal
quotation mark omitted). The clearly established law in this
area is exemplified by the Supreme Court's decision in Darden v.
Wainwright,
477 U.S. 168 (1986). Under Darden, the constitutional
test is whether the prosecutor's alleged misconduct "'so infected
the trial with unfairness as to make the resulting conviction a
denial of due process.'"
Id. at 181 (quoting
Donnelly, 416 U.S. at
643). This is a case-specific inquiry; "[t]here is no precise
federal standard governing due process claims based on a
prosecutor's remarks." Dagley v. Russo,
540 F.3d 8, 15 n.3 (1st
Cir. 2008).
The MAC disposed of this issue in a footnote: "The
defendant's remaining claims regarding prosecutorial misconduct
lack merit for the reasons stated at pages 49-67 of the
Commonwealth's brief, and they do not warrant further discussion by
us." Magraw II,
2003 WL 21955875, at *1 n.1. The petitioner
succeeded in persuading the district court that the cursory nature
of this ruling paved the way for de novo review. See Magraw III,
-17-
2013 WL 1213056, at *5; see also Fortini v. Murphy,
257 F.3d 39, 47
(1st Cir. 2001) (calling for de novo review of claims not addressed
on merits by state court).
We do not think that de novo review is appropriate.
Federal habeas courts must apply a rebuttable presumption that any
federal claim properly brought before the state court and
thereafter rejected was "adjudicated on the merits" for AEDPA
purposes. See Johnson v. Williams,
133 S. Ct. 1088, 1096 (2013).
This is so even if the state-court opinion does not expressly
address the issue. See
id. Such an approach strikes a careful
federalist balance and recognizes that a federal habeas court has
"no power to tell state courts how they must write their opinions."
Coleman v. Thompson,
501 U.S. 722, 739 (1991); see Hodge v.
Mendonsa,
739 F.3d 34, 45 (1st Cir. 2013) (recognizing that "state
appellate courts carrying heavy caseloads have adopted many
mechanisms to handle their case load expeditiously").
In this case, the MAC made pellucid that the
prosecutorial misconduct claim had its full attention. Although
the MAC's rejection was not elaborately reasoned, the pages of the
Commonwealth's brief to which it alluded described in some detail
both the instances of alleged misconduct and the reasons why the
behavior was innocuous. The brief's analysis closely mirrors what
one would expect of a court addressing the federal issues raised.
It follows that, for habeas purposes, this claim must be deemed to
-18-
have been adjudicated on the merits by the MAC. See, e.g., Hodge,
739 F.3d 34, 41-42; Zuluaga v. Spencer,
585 F.3d 27, 31 (1st Cir.
2009). Our review therefore centers on whether the MAC's
resolution of the claim constituted an unreasonable application of
Darden.
We start with the trial justice's pre-trial instruction
to the parties to eschew any reference to the earlier murder trial.
The lawyers were told in substance that, when questioning witnesses
about prior testimony, they should use blander terms like
"proceeding."5 Despite this instruction, the prosecutor thrice
referred to the first "trial" while attempting to impeach the
petitioner's medical expert. These references were isolated and
dispersed through a lengthy cross-examination. The trial justice
did not believe that they required a mistrial, nor did the MAC
believe that they rendered the trial unfair.
The jury obviously knew that some sort of prior
proceeding took place; the trial transcript contains ubiquitous
allusions to a prior hearing, to prior testimony, and the like —
and many of these allusions were made by defense counsel. Given
this context, it seems highly unlikely that three uses of the word
5
The record does not contain the trial justice's verbatim
instruction, but the parties seem to be in agreement as to its
substance. This informal interpretation of what the trial justice
said is consistent with the multitude of references in the trial
transcript, not objected to, to a prior hearing and prior
testimony.
-19-
"trial," in a thirteen-day proceeding unadorned by any mention of
the prior trial's nature or outcome, would have altered the jury's
perceptions of the merits of the petitioner's case. Consequently,
we discern no error — let alone the increment of incorrectness that
habeas relief requires — in the MAC's refusal to vacate the
petitioner's conviction based on these remarks.6 See
Donnelly, 416
U.S. at 647 (stating that "a court should not lightly infer
. . . that a jury, sitting through lengthy exhortation," will draw
the most damaging meaning from a prosecutor's remark); United
States v. Lilly,
983 F.2d 300, 307 (1st Cir. 1992) (similar).
This leaves the second group of statements, which took
place during the prosecutor's cross-examination of the petitioner's
son. Some background is necessary.
During earlier proceedings, the son had invoked his Fifth
Amendment right against self-incrimination when questioned about
two rifles that belonged to his father. One of these rifles had
once been left by the petitioner on the victim's bed. The son
apparently was concerned that some of his conduct, possibly in
moving or hiding the rifles, might expose him to criminal
prosecution. Following an in camera hearing, the trial justice
instructed the prosecutor that he was not to ask any rifle-related
6
We note that the trial justice twice offered to give a
curative instruction to the jury. The petitioner's counsel
demurred.
-20-
questions that might implicate the son's privilege against self-incrimination.
The prosecutor did not violate this proscription. His
two rifle-related questions to the son drew no objection. They
inquired only as to whether the son knew whether the "rifle on the
bed" incident had occurred. The witness answered the questions
without invoking the Fifth Amendment.
Reading the record as a whole, it is surpassingly
difficult to see how the posing of these rifle-related questions
constituted misconduct at all. Manifestly, then, the MAC's
determination that these references did not constitute
prosecutorial misconduct sufficient to warrant setting aside the
petitioner's conviction was not an unreasonable application of
clearly established law.
VI. CONCLUSION
We need go no further. For the reasons elucidated above,
the judgment of the district court is
Affirmed.
-21-