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Marcus Robinson v. Edward Thomas, 16-11 (2017)

Court: Court of Appeals for the Fourth Circuit Number: 16-11 Visitors: 79
Filed: Apr. 27, 2017
Latest Update: Mar. 03, 2020
Summary: PUBLISHED UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT No. 16-11 MARCUS REYMOND ROBINSON, Petitioner - Appellant, v. EDWARD THOMAS, Warden of Central Prison, Raleigh, North Carolina, Respondent - Appellee. No. 16-12 TILMON C. GOLPHIN, Petitioner - Appellant, v. EDWARD THOMAS, Warden of Central Prison, Raleigh, North Carolina, Respondent - Appellee. Appeals from the United States District Court for the Eastern District of North Carolina, at Raleigh. James C. Dever III, Chief District Jud
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                                      PUBLISHED

                       UNITED STATES COURT OF APPEALS
                           FOR THE FOURTH CIRCUIT


                                        No. 16-11


MARCUS REYMOND ROBINSON,

                     Petitioner - Appellant,

              v.

EDWARD THOMAS, Warden of Central Prison, Raleigh, North Carolina,

                     Respondent - Appellee.



                                        No. 16-12


TILMON C. GOLPHIN,

                     Petitioner - Appellant,

              v.

EDWARD THOMAS, Warden of Central Prison, Raleigh, North Carolina,

                     Respondent - Appellee.



Appeals from the United States District Court for the Eastern District of North Carolina, at
Raleigh. James C. Dever III, Chief District Judge; Terrence W. Boyle, District Judge.
(5:16-hc-02028-D; 5:16-hc-02029-BO)


Argued: January 25, 2017                                          Decided: April 27, 2017
Before KING, AGEE, and FLOYD, Circuit Judges.


Affirmed by published opinion. Judge Agee wrote the opinion, in which Judge King and
Judge Floyd joined.


ARGUED: David Weiss, CENTER FOR DEATH PENALTY LITIGATION, Durham,
North Carolina, for Appellants. Danielle Marquis Elder, NORTH CAROLINA
DEPARTMENT OF JUSTICE, Raleigh, North Carolina, for Appellee. ON BRIEF:
Donald H. Beskind, DUKE UNIVERSITY SCHOOL OF LAW, Durham, North Carolina,
for Appellant Marcus Reymond Robinson. Kenneth J. Rose, CENTER FOR DEATH
PENALTY LITIGATION, Durham, North Carolina; Jay H. Ferguson, THOMAS,
FERGUSON & MULLINS, LLP, Durham, North Carolina, for Appellant Tilmon C.
Golphin. Roy Cooper, Attorney General of North Carolina, Jonathan P. Babb, Special
Deputy Attorney General, NORTH CAROLINA DEPARTMENT OF JUSTICE, Raleigh,
North Carolina, for Appellee.




                                         2
AGEE, Circuit Judge:

       After being sentenced to death upon first-degree murder convictions, Marcus

Robinson and Tilmon Golphin (collectively, “Petitioners”) sought post-conviction relief in

state court pursuant to North Carolina’s Racial Justice Act (“RJA”), N.C. Gen. Stat.

§§ 15A-2010 to 2012 (2009) (repealed 2013). Following separate evidentiary hearings,

the North Carolina trial court awarded relief under the RJA, reducing their death sentences

to life imprisonment. The State of North Carolina (“the State”) appealed, and the North

Carolina Supreme Court vacated and remanded their cases to the state trial court for

additional RJA proceedings. Petitioners then brought separate actions in federal district

court pursuant to 28 U.S.C. § 2241, each maintaining that a second RJA proceeding would

violate their rights under the Double Jeopardy Clause of the Fifth Amendment. The district

court abstained from exercising federal jurisdiction pursuant to Younger v. Harris, 
401 U.S. 37
(1971), under the precept that a federal court “should not act to restrain a [state] criminal

prosecution, when the moving party has an adequate remedy at law and will not suffer

irreparable injury if denied equitable relief.” 
Id. at 43–44.
As an alternate basis for its

judgment, the district court held that Petitioners had also failed to exhaust their state

remedies. For the reasons that follow, we affirm the district court’s decision to abstain

from intervening in Petitioners’ ongoing state court proceedings under Younger.




                                               3
                                             I.

                                             A.

       Enacted in August 2009, the RJA redefined eligibility for the death penalty in North

Carolina, providing that no person whose judgment was sought or obtained on the basis of

race could be sentenced to death, and establishing a procedure for previously sentenced

capital defendants to challenge their death sentences. N.C. Gen. Stat. § 15A-2010 (2009).

For such post-conviction challenges, the RJA authorized state trial courts to hold

evidentiary hearings and to make factual findings as to whether race was a significant factor

in leading to a death sentence. 
Id. § 15A-2012(a).
For defendants who established

entitlement to post-conviction relief under the RJA, the statute mandated “that the death

sentence imposed by the judgment shall be vacated and the defendant resentenced to life

imprisonment without the possibility of parole.” 
Id. § 15A-2012(a)(3).
       On July 2, 2012, the North Carolina General Assembly enacted amendments to the

RJA, but preserved its retroactive application to all death row inmates, as well as the

provision that a successful claim would result in vacatur of the death sentence and

imposition of a sentence of life imprisonment with no mechanism for appeal of that

sentence. See 2012 N.C. Sess. Laws 471, § 3(g).

       The next year, the North Carolina General Assembly repealed the RJA effective

June 19, 2013. See 2013 N.C. Sess. Laws 368, § 5(a). The repeal statute provided that it

applied to all pending RJA motions filed prior to the effective date of the repeal, and that

all such motions were void. 
Id. § 5(d).
In addition, the repeal statute also provided that it



                                             4
applied to litigants who obtained relief under the RJA, but whose relief could be vacated

on appeal:

       This section does not apply to a court order resentencing a petitioner to life
       imprisonment without parole pursuant to the provisions of Article 101 of
       Chapter 15A of the General Statutes prior to the effective date of this act if
       the order is affirmed upon appellate review and becomes a final Order issued
       by a court of competent jurisdiction. This section is applicable in any case
       where a court resentenced a petitioner to life imprisonment without parole
       pursuant to the provisions of Article 101 of Chapter 15A of the General
       Statutes prior to the effective date of this act, and the Order is vacated upon
       appellate review by a court of competent jurisdiction.

Id. (emphasis added).
                                             B.

       The state court proceedings for each petitioner are ongoing and present a complex

web of procedural history. We include such detail here as necessary to lend context to our

decision.

                                             1.

       In 1994, Robinson was convicted after a jury trial of first-degree murder for the

killing of Erik Tornblom, a 17-year-old rising senior in high school. Robinson and an

accomplice shot Tornblom in the face with a shotgun and then stole his car and $27. The

jury found two aggravating circumstances existed that were sufficient to impose the death

penalty and recommended the death sentence. The trial court imposed that sentence on

August 4, 1994. Robinson appealed both his conviction and sentence, but those appeals

were unsuccessful. See generally State v. Robinson, 
463 S.E.2d 218
(N.C. 1995).

       Robinson’s requests for state, see generally State v. Robinson, 
539 S.E.2d 646
(N.C.

1999) (denying certiorari review of state trial court’s denial of post-conviction motion for

                                             5
appropriate relief), and federal, see generally Robinson v. Polk, 
438 F.3d 350
(4th Cir.

2006) (affirming the district court’s denial of a petition for the writ of habeas corpus), post-

conviction relief also failed.

       In 2010, Robinson sought post-conviction relief under the RJA in the state trial

court. Robinson’s motion alleged that race was a factor in the prosecutor’s decision to seek

the death penalty and the exercise of peremptory strikes, as well as the jury’s decision to

impose the death penalty. After a two-week evidentiary hearing, the state trial court found

that racial disparities impacted Robinson’s death sentence and determined that the RJA

standards were satisfied so that Robinson was ineligible for the death penalty and entitled

to a sentence of life imprisonment. The state trial court entered a judgment vacating the

death sentence and resentencing Robinson to life imprisonment without parole.

                                               2.

       Golphin’s case history tracks a similar course. He was convicted of two counts of

first-degree murder for killing North Carolina State Highway Patrol Trooper Lloyd E.

Lowry and Cumberland County Deputy Sherriff David Hathcock and sentenced to death

for each murder. See generally State v. Golphin, 
533 S.E.2d 168
(N.C. 2000). The

conviction and sentences were affirmed on direct appeal. 
Id. Golphin unsuccessfully
pursued state, see generally State v. Golphin, 
593 S.E.2d 84
(N.C. 2004) (denying certiorari review of the denial of a state post-conviction motion for

appropriate relief), and federal, see generally Golphin v. Branker, 
519 F.3d 168
(4th Cir.

2008) (affirming the district court’s denial of a petition for the writ of habeas corpus), post-

conviction review.

                                               6
       In 2010, Golphin also filed a state motion for post-conviction relief pursuant to the

RJA. Similar to Robinson, Golphin alleged race was a significant factor in the decisions

to seek and impose the death penalty. The state trial court held an evidentiary hearing and

concluded that statistical disparities and intentional discrimination affected Golphin’s trial

and capital sentencing. That court then vacated Golphin’s death sentence based upon both

the original RJA and amended 2012 version and re-sentenced Golphin to life imprisonment

without parole.

                                             C.

       The State petitioned the North Carolina Supreme Court for review of the orders

granting relief under the RJA for Robinson and Golphin in separate appeals, which

Petitioners opposed. In his preliminary response brief to the State’s request for a grant of

certiorari, Robinson failed to raise any double jeopardy argument. Golphin, however,

asserted further proceedings in the state trial court would violate his rights under the

Double Jeopardy Clause in his preliminary brief opposing certiorari.

       The North Carolina Supreme Court granted the State’s petitions, and briefing on the

merits ensued. Both Petitioners proffered Double Jeopardy Clause arguments in their

merits briefing.

       In December 2015, the North Carolina Supreme Court vacated the trial court’s RJA

orders in both cases and remanded for further proceedings, but did not explicitly address

Petitioners’ double jeopardy arguments. State v. Augustine, 
780 S.E.2d 552
(N.C. 2015)

(mem.); State v. Robinson, 
780 S.E.2d 151
, 151–52 (N.C. 2015). Both Robinson and

Golphin filed motions for clarification of the Supreme Court’s decision, reasserting their

                                              7
double jeopardy arguments, but those motions were denied without explanation. State v.

Robinson, 
782 S.E.2d 324
(N.C. 2016) (mem.); State v. Augustine, 
782 S.E.2d 323
(N.C.

2016) (mem.).

         The mandates of the North Carolina Supreme Court for further RJA proceedings

issued to the trial court in January 2016. 1

                                               D.

         In February 2016, Robinson and Golphin separately petitioned for writs of habeas

corpus under 28 U.S.C. § 2241 in the United States District Court for the Eastern District

of North Carolina, seeking relief from a second RJA proceeding based on the Double

Jeopardy Clause. They also moved the district court to stay further proceedings in state

court.

         The district court denied Petitioners’ requests to enjoin further state court

proceedings and dismissed the petitions without prejudice. In separate opinions that mirror

one another, the district courts abstained from exercising federal jurisdiction pursuant to

Younger v. Harris, 
401 U.S. 37
(1971), and, alternatively, held that Petitioners had failed

to exhaust their double jeopardy claims in state court. Golphin v. Joyner, No. 5:16-HC-




         1
          During the pendency of the State’s appeal, in June 2013, the North Carolina
General Assembly repealed the RJA. See 2013 N.C. Sess. Laws 368, § 5(a).
       In May 2016, Petitioners and two other RJA defendants filed a petition for a writ of
certiorari in the Supreme Court of the United States seeking review of the North Carolina
Supreme Court’s decisions. The petition did address Robinson and Golphin’s double
jeopardy contentions. See Robinson v. North Carolina, No. 15-1397. Their certiorari
petition was denied by the Supreme Court of the United States on October 3, 2016.
Robinson v. North Carolina, 
137 S. Ct. 67
(2016) (mem.).
                                               8
2029-BO, slip op., at *8–11 (E.D.N.C. June 6, 2016); Robinson v. Joyner, No. 5:16-HC-

2028-D, slip op., at *8–11 (E.D.N.C. June 4, 2016).

        Petitioners timely filed separate notices of appeal, and we consolidated their cases

for purposes of this appeal. As noted, at the time their federal appeals were filed,

Petitioners’ RJA motions were pending on remand in the state trial court. Since we held

oral argument on January 25, 2017, the state trial court ruled on Petitioners’ pending RJA-

based motions. That court concluded on North Carolina statutory grounds that the RJA

repeal bill applies to Petitioners and, although they raised double jeopardy objections, the

state court did not address those arguments. As a result, Petitioners’ state court proceedings

are ongoing through the appeals process in North Carolina. 2 We have jurisdiction to

entertain this appeal from the district court’s dismissal order under 28 U.S.C. §§ 1291,

2253.



                                             II.

        State prisoners, like Golphin and Robinson, must exhaust their state remedies before

filing a habeas petition in federal court. Timms v. Johns, 
627 F.3d 525
, 530–31 (4th Cir.

2010) (“As a general rule, in the absence of exceptional circumstances where the need for

the remedy afforded by the writ of habeas corpus is apparent, courts require exhaustion of

alternative remedies before a prisoner can seek federal habeas relief.” (internal alterations,



        2
         Petitioners sought and have been granted an extension of time to petition for writs
of certiorari in the North Carolina Supreme Court to appeal the recent decision of the state
trial court.
                                              9
citations, and quotation marks omitted)). The purpose of the exhaustion requirement is to

“giv[e] the State the opportunity to pass upon and correct alleged violations of its prisoners’

federal rights.” Jones v. Sussex I State Prison, 
591 F.3d 707
, 712 (4th Cir. 2010). The

State contends Petitioners did not exhaust their state remedies before filing their petitions

in federal court.

       A habeas petitioner satisfies the exhaustion requirement by “‘fairly present[ing]’ his

claim in each appropriate state court . . . thereby alerting that court to the federal nature of

the claim.” Baldwin v. Reese, 
541 U.S. 27
, 29 (2004) (quoting Duncan v. Henry, 
513 U.S. 364
, 365–66 (1995)). A petitioner must show that “both the operative facts and the

controlling legal principles [were] presented to the state court.” 
Jones, 591 F.3d at 713
(quoting Baker v. Corcoran, 
220 F.3d 276
, 289 (4th Cir. 2000)). That burden has been met

by Petitioners in this case.

       Petitioners filed separate RJA motions in state court. Upon the favorable ruling by

the state trial court in both cases, the State sought certiorari review in the North Carolina

Supreme Court. Golphin raised a double jeopardy argument in his brief opposing certiorari

and again in his merits brief. 3 Unlike Golphin, Robinson did not raise the double jeopardy

claim in response to the state certiorari petition, but he did raise it in his brief on the merits.

North Carolina does not require a party to raise arguments in response to a petition for a



       3
        The district court in Golphin’s case found the double jeopardy claim unexhausted
because it believed Golphin did not raise the claim in response to the state’s petition for
writ of certiorari. Golphin, No. 5:16-HC-2029-BO, slip op. at *11–12. That factual
determination was clearly erroneous, as Golphin did, in fact, raise double jeopardy
objections in his brief opposing certiorari.
                                                10
writ of certiorari in order to preserve those arguments for merits briefing should certiorari

be granted. See N.C. R. App. P. 21. Both Petitioners’ pleadings were thus adequate to

exhaust available state court remedies before seeking habeas relief in federal court, and the

State points to no authority to the contrary. See Jenkins v. Fitzberger, 
440 F.2d 1188
, 1189

(4th Cir. 1971) (“[T]he exhaustion requirement of 28 U.S.C. § 2254 is not a jurisdictional

concept but simply a flexible matter of comity[.]” (internal quotation marks omitted)). 4

       The State nonetheless urges that Petitioners’ double jeopardy claims are not

exhausted because they “did not become ripe until after the Supreme Court of North

Carolina entered its [remand] order[.]” Response Br. 20. Not so. The double jeopardy

argument became ripe upon the State’s appeal of the trial court’s grant of Petitioners’ RJA

motions. See Smalis v. Pennsylvania, 
476 U.S. 140
, 142 (1986) (“[W]hen a trial court

enters such a judgment [of acquittal], the Double Jeopardy Clause bars an appeal by the

prosecution[.]”); see also N.C. Gen. Stat. § 15A-1445(a) (permitting adjudication of a

double jeopardy claim as a threshold matter on appeal).


       4
          The State itself recognized and addressed the double jeopardy issue in its opposing
brief before the North Carolina Supreme Court, which further evidences Petitioners’ fair
presentment of their claims. See Smith v. Digmon, 
434 U.S. 332
, 333 (1978) (per curiam)
(finding that the State of Alabama’s opposition in its brief to petitioner’s constitutional
claim in state court supported conclusion that petitioner had fairly presented that claim);
Jones, 591 F.3d at 714
(observing the Commonwealth’s addressing double jeopardy issue
in its brief before the Virginia Supreme Court demonstrated fair presentment of that claim).
That the North Carolina Supreme Court declined to address Petitioners’ double jeopardy
claims does not alter the fair presentation of those claims. All that is required for purposes
of exhaustion is that Petitioners “must give the state courts one full opportunity to resolve
any constitutional issues by invoking one complete round of the State’s established
appellate review process.” O’Sullivan v. Boerckel, 
526 U.S. 838
, 845 (1999). Petitioners
did so here.

                                             11
       For these reasons, the State’s argument that Petitioners failed to exhaust their state

remedies before seeking habeas relief in federal court lacks merit. 5



                                            III.

                                             A.

       The principal issue on appeal is whether the district court appropriately abstained

under Younger v. Harris, 
401 U.S. 37
(1971), from exercising jurisdiction, thus declining

to reach Petitioners’ claims under the Double Jeopardy Clause. We review for abuse of

discretion a district court’s decision to abstain. Nivens v. Gilchrist (Nivens I), 
319 F.3d 151
, 152 (4th Cir. 2003).




       5
          Without pointing to any deficiency in the petitions, the State also posits that
Petitioners should have filed their federal habeas petitions under 28 U.S.C. § 2254 instead
of § 2241. We need not resolve this issue as the district court properly abstained from
exercising jurisdiction over the claims under Younger v. Harris, 
401 U.S. 37
(1971).
Section 2254 applies to most post-conviction proceedings that are brought by petitioners
who are “in custody pursuant to the judgment of a State court.” 28 U.S.C. § 2254(a); In re
Wright, 
826 F.3d 774
, 783 (4th Cir. 2016) (“[W]hen a prisoner being held pursuant to the
judgment of a State court files a habeas petition claiming the execution of his sentence is
in violation of the Constitution, laws, or treaties of the United States, the more specific §
2254 and all associated statutory requirements shall apply, regardless of the statutory label
the prisoner chooses to give his petition.” (internal quotation marks omitted)). However,
a petition under § 2241 may be the appropriate vehicle for Petitioners’ claims here because,
at the time the petitions were filed, Petitioners likely faced an indeterminate sentence as a
result of ongoing state RJA proceedings and, therefore, were not in custody pursuant to a
state court judgment. See Berman v. United States, 
302 U.S. 211
, 212 (1937) (“Final
judgment in a criminal case means sentence. The sentence is the judgment.”); Harrison v.
Gillespie, 
640 F.3d 888
, 896 (9th Cir. 2011) (“In effect, Harrison is currently in custody
under an indeterminate sentence for his first-degree murder conviction, and he is attacking
the possibility of receiving a death sentence in the future. We therefore have jurisdiction
under 28 U.S.C. § 2241.”).
                                             12
       The Supreme Court in Younger articulated the “national policy forbidding federal

courts to stay or enjoin pending state court proceedings except under special

circumstances.” 401 U.S. at 41
; accord Kugler v. Helfant, 
421 U.S. 117
, 123 (1975) (“[I]n

the absence of exceptional circumstances creating a threat of irreparable injury both great

and immediate, a federal court must not intervene by way of either injunction or declaratory

judgment in a pending state criminal prosecution.” (internal quotation marks omitted)).

The Younger doctrine rests on the fundamental precepts of equity and comity. “[C]ourts

of equity should not act, and particularly should not act to restrain a criminal prosecution,

when the moving party has an adequate remedy at law and will not suffer irreparable injury

if denied equitable relief.” 
Younger, 401 U.S. at 43
–44. The comity notion relates to “a

proper respect for state functions, a recognition of the fact that the entire country is made

up of a Union of separate state governments, and a continuance of the belief that the

National Government will fare best if the States and their institutions are left free to

perform their separate functions in their separate ways.” 
Id. at 44.
       The Supreme Court explained in Middlesex City Ethics Committee v. Garden State

Bar Ass’n, 
457 U.S. 423
(1982), that even if a federal court could exercise jurisdiction, it

should refrain from doing so if (1) there is an ongoing state judicial proceeding that began

prior to substantial progress in the federal proceeding, (2) that proceeding implicates

important, substantial, or vital state interests, and (3) there is an adequate opportunity to

raise constitutional challenges within the framework of the state judicial process. 
Id. at 432;
Nivens 
I, 319 F.3d at 153
.



                                             13
         All of the factors articulated in Middlesex are present in this case. As to the first

Middlesex factor, Petitioners brought their petitions in federal court in an attempt to stop

ongoing state proceedings with respect to their RJA motions. In relation to the second

factor, construction of the RJA and subsequent repeal statute, which may apply to

Petitioners, lies at the heart of this case. Undoubtedly, North Carolina has an important,

substantial, and vital interest in interpreting its criminal laws, and that interest is

strengthened here where those laws present a complex web of legislative amendments and

history. See 
Younger, 401 U.S. at 43
–44. Third, there are ongoing state proceedings in

which Petitioners have an adequate opportunity to present their argument that a second

RJA hearing would violate their double jeopardy rights. Although they argue the state

courts are not their preferred venue, “[m]inimal respect for the state processes, of course,

precludes any presumption that the state courts will not safeguard federal constitutional

rights.”    
Middlesex, 457 U.S. at 431
.       Because the basic requirements for Younger

abstention are present in this case, the district court did not abuse its discretion in abstaining

unless Petitioners’ claims fall within an exception to the “fundamental policy” that federal

courts should abstain from interfering in state criminal proceedings. 
Younger, 401 U.S. at 45
–46.

                                               B.

         A federal court may disregard Younger’s mandate to abstain from interfering with

ongoing state proceedings only where “extraordinary circumstances” exist that present the

possibility of irreparable harm. 
Kugler, 421 U.S. at 124
; Nivens v. Gilchrist (Nivens II),



                                               14

444 F.3d 237
, 241 (4th Cir. 2006). The Supreme Court in Younger explained this limited

deviation from the “fundamental policy” of federal abstention:

       [W]hen absolutely necessary for protection of constitutional rights, courts of
       the United States have power to enjoin state officers from instituting criminal
       actions. But this may not be done, except under extraordinary circumstances,
       where the danger of irreparable loss is both great and immediate. Ordinarily,
       there should be no interference with such officers; primarily, they are
       charged with the duty of prosecuting offenders against the laws of the state,
       and must decide when and how this is to be done. The accused should first
       set up and rely upon his defense in the state courts, even though this involves
       a challenge of the validity of some statute, unless it plainly appears that this
       course would not afford adequate 
protection. 401 U.S. at 45
.

       Federal intervention may be proper where there is a showing of “bad faith or

harassment by state officials,” or where the state law to be applied in the criminal

proceeding is “flagrantly and patently violative of express constitutional prohibitions.

Nivens 
II, 444 F.3d at 241
(citing 
Kugler, 421 U.S. at 124
). Petitioners do not allege—and

the record does not remotely suggest—that the State engaged in bad faith or harassment.

Nor do Petitioners allege that the relevant North Carolina statutes are “patently violative”

of federal constitutional provisions. Rather, Petitioners initiated the proceedings in state

court in the first place seeking to avail themselves of the RJA remedy. And Petitioners

concede that they have raised the double jeopardy argument in state court where

proceedings are ongoing. Petitioners, therefore, must point to some other extraordinary

circumstance “demonstrating that they do not have an adequate remedy at law and the

danger of irreparable injury if they are denied equitable relief is both great and immediate.”




                                             15
Nivens 
I, 319 F.3d at 155
. For the reasons detailed below, Petitioners fail to make that

showing.

                                             C.

                                             1.

       Petitioners contend that Younger abstention here is inappropriate under the rationale

stated in Gilliam v. Foster, 
75 F.3d 881
(4th Cir. 1996) (en banc). “[T]his Court and the

other courts of appeals ‘have unanimously recognized that a colorable claim that a second

trial will violate a defendant’s double jeopardy right is a preeminent example of one of the

very few extraordinary circumstances justifying federal court intervention in a pending

state criminal proceeding,’” according to Petitioners. Opening Br. 26 (quoting 
Gilliam, 75 F.3d at 904
). Stated differently, Petitioners posit that under Gilliam an allegation of “a

colorable claim” that a double jeopardy violation may occur constitutes an exceptional

circumstance that justifies federal court intervention, and no separate showing is necessary.

Petitioners are not the first to propose a broad reading of Gilliam, and this Court has

previously rejected an “overly expansive interpretation of that case.” Nivens 
I, 319 F.3d at 159
.

       The issue on appeal in Gilliam was “whether the state trial judge exercised sound

discretion in granting the prosecution’s motion for a mistrial because the jury viewed

certain photographs prior to their formal admission into 
evidence.” 75 F.3d at 885
. We

held that the petitioners demonstrated they faced a substantial likelihood of an irreparable

double jeopardy violation, which qualified as an extraordinary circumstance under

Younger. 
Id. at 893–95.
Our decision not to abstain in that case was rooted in the concerns

                                             16
expressed in Younger, that a “portion of the constitutional protection [the Double Jeopardy

Clause] affords would be irreparably lost if Petitioners were forced to endure the second

trial before seeking to vindicate their constitutional rights at the federal level[.]” 
Id. at 904;
accord Abney v. United States, 
431 U.S. 651
, 660 (1977) (observing the constitutional

protection afforded by the Double Jeopardy Clause “would be significantly undermined if

appellate review of double jeopardy claims were postponed until after conviction and

sentence”).

       In Nivens I, we clarified the scope of our decision in Gilliam. Nivens I concerned

whether a district court properly abstained under Younger from intervening in a pending

state criminal drug prosecution that began after the appellants had paid North Carolina’s

drug tax. Nivens I, 
319 F.3d 152
. The appellants argued that the Double Jeopardy Clause

barred the later criminal prosecution because the drug tax was a criminal penalty that had

been satisfied; in effect, they alleged they were being twice punished for the same offense.

Id. at 152–53.
Relying on Gilliam, the appellants argued that abstention was improper

because “a colorable claim of a double jeopardy violation [was] sufficient to establish

exceptional circumstances warranting federal court intervention without any separate

showing.” 
Id. at 159
(internal quotation marks omitted). We rejected that reading of

Gilliam, explaining “[w]e did not hold that an allegation of a double jeopardy violation

automatically precludes Younger abstention.” 
Id. Critically, the
Nivens appellants had access to avenues for relief in their ongoing

criminal prosecutions and state procedures that would allow them to raise their double

jeopardy argument before any trial on the merits. We were specific in holding Younger

                                               17
abstention was appropriate because “[u]nlike the defendants in [Gilliam], Appellants yet

have access to pretrial avenues in their current criminal prosecutions whereby they may

raise their constitutional contentions before any double jeopardy injury could inure.” 
Id. As directly
relevant to the arguments Petitioners raise now, we further held that:

       Because jeopardy does not attach during pretrial procedures and motions,
       and Appellants have state procedures whereby they may foreclose a violation
       of their double jeopardy rights, any double jeopardy harm at this stage of
       Appellants’ litigation is neither immediate nor irreparable. Appellants must
       raise their contentions in their current prosecution and appeal any undesirable
       decision before a federal district court asserts jurisdiction.

Id. at 159
–60 (internal citations omitted). As a consequence, “[b]ecause Appellants have

not made a showing of an immediate and irreparable constitutional injury absent federal

court intervention, [Gilliam] does not permit us to disregard Younger.” 
Id. at 160.
We

held, accordingly, that the district court properly abstained from exercising federal

jurisdiction:

       None of this is to say that Appellants ultimately will not prevail on their
       double jeopardy claim. It is only to say that where the alleged double
       jeopardy violation is far from clear, immediate, or irreparable, the important
       Younger policy of allowing the State to pursue its prosecution free from
       federal court intervention outweighs the Appellants’ interest in having the
       double jeopardy issue resolved in a federal forum.

Id. at 162.
       We reaffirmed that holding when presented with the appropriateness of Younger

abstention in a later appeal by the same parties. See Nivens 
II, 444 F.3d at 244
(“[T]he fact

that [Petitioners] were able to present their claims and have them addressed in state court

suffices and continues to make federal intervention inappropriate.”).



                                             18
       Nivens I and II control the disposition of this case. Unlike the petitioners in Gilliam,

but like the petitioners in Nivens I and II, Petitioners here currently have access to the state

trial and appellate courts to present their double jeopardy claims. They are now in the

midst of that process, which they must complete before they can make a claim to federal

jurisdiction. See 
id. Petitioners concede
that they have raised their double jeopardy

objections before the state trial court during the ongoing RJA proceedings. See Opening

Br. 24, n.14 (“Petitioners acknowledge that they have re-raised the double jeopardy claim

in pleadings submitted to the state trial court on remand.”). Consequently, Petitioners have

not established they will suffer an immediate and irreparable constitutional deprivation.

       Since we held oral argument in this case, Petitioners did raise their double jeopardy

objections in the state trial court on remand, but did not prevail on that position. Even so,

our holding is unchanged by the fact that Petitioners have so far been unsuccessful on the

merits. “Abstention does not suddenly become improper simply because Appellants lost

on the merits in the state court.” Nivens 
II, 444 F.3d at 243
; accord Nivens 
I, 319 F.3d at 158
(“Simply put, an assertion that the North Carolina courts will likely decide a

constitutional issue in a way contrary to what appellants believe the Constitution mandates

is not a sufficient basis to avoid application of Younger abstention.”). The State need only

allow Petitioners the opportunity to raise their constitutional argument, it need not agree

with that argument. Moore v. Sims, 
442 U.S. 415
, 425–26 (1979) (“Certainly, abstention

is appropriate unless state law clearly bars the interposition of the constitutional claims.”);

accord Nivens 
II, 444 F.3d at 243
. That Petitioners have not yet secured the result they



                                              19
seek does not nullify the fact that they had—and, indeed, exercised—the opportunity to

raise their double jeopardy claims in state court. See 
Younger, 401 U.S. at 45
.

       In short, we are constrained by Nivens I and II to affirm the district court’s decision

that abstention under Younger is appropriate in this case. Petitioners have been able to

present their double jeopardy arguments in the state court prior to any proceeding on the

merits of their RJA claim. If Petitioners’ state court appeals prove unsuccessful, they may

have an opportunity at that point to pursue habeas relief in federal court going forward. On

that score, we offer no opinion one way or the other. See 28 U.S.C. §§ 2241, 2254.

Petitioners may not, however, seek federal intervention into their pending state court

litigation for a violation of the Double Jeopardy Clause because they have failed to show

that North Carolina’s pretrial procedures are not able to afford them adequate protection. 6

                                             2.

       Petitioners attempt to distinguish the Nivens line of cases because the likelihood of

success in that case was deemed “far from clear,” and so they assert the equities favored

abstention there. They contend that their case, though, presents a more substantial double

jeopardy argument. We are not convinced.

       Petitioners seek an application of double jeopardy jurisprudence that has an unclear

precedential basis and wish to apply it to a novel state law. They rely on Bullington v.



       6
         The State has conceded Petitioners are entitled to raise their double jeopardy
argument in state court, and we accept the State’s representation at oral argument that it
would not assert as a defense a procedural bar to Petitioners’ making a double jeopardy
argument during the state proceedings by some reading of the North Carolina Supreme
Court’s order. Oral Argument Audio Recording 20:48-22:40.
                                             20
Missouri, 
451 U.S. 430
(1981), and its progeny, which held the Double Jeopardy Clause

prohibits the state from resentencing the defendant to death after the sentencer has

effectively acquitted the defendant of that penalty by imposing a life sentence following a

sentencing proceeding that bears substantially all the hallmarks of a trial. Petitioners rely

on the premise that the RJA proceeding transposes into a traditional sentencing hearing in

a capital case where the government must demonstrate aggravating factors that warrant the

death penalty beyond a reasonable doubt.

       Petitioners’ premise is “far from clear.” While the RJA proceedings share some

characteristics of a trial, several features distinguish its statutory scheme from that of a

traditional capital case. For one thing, the RJA does not utilize the familiar aggravating

and mitigating circumstances approach. Instead, it utilizes a novel post-conviction capital-

eligibility criterion unrelated to the particular circumstances of the offense or to any

articulated trial error. And the burden of proof under the RJA differs from that of the

traditional capital-sentencing proceeding where the State must prove the existence of

aggravating circumstances beyond a reasonable doubt. In an RJA proceeding, by contrast,

the burden of proof rests with the petitioner under a preponderance of the evidence

standard. Such procedural variances appear to be important under the relevant Supreme

Court precedent. See 
Bullington, 451 U.S. at 446
(“Missouri’s use of the reasonable-doubt

standard indicates that in a capital sentencing proceeding, it is the State, not the defendant,

that should bear almost the entire risk of error.” (internal quotation marks omitted));

Arizona v. Rumsey, 
467 U.S. 203
, 210 (1984) (“The usual rules of evidence govern the

admission of evidence of aggravating circumstances, and the State must prove the existence

                                              21
of aggravating circumstances beyond a reasonable doubt.”). Thus, while we do not reach

the merits of Petitioners contentions, we also do not accept their premise that their cases

are unquestionably destined to succeed. As a consequence, Petitioners do not proffer a

credible basis upon which to distinguish this Court’s germane holdings in Nivens I and II.

       Petitioners also rejoin that Nivens I and II are inapplicable because the double

jeopardy problem presented in that case involved multiple punishments, not multiple

prosecutions. The double jeopardy issue in this case relates to multiple prosecutions, they

counter. That simply isn’t so, as the only issue in this case is punishment, specifically,

whether Petitioners are entitled to an alteration of their death penalty sentence under North

Carolina’s RJA. There is no second “prosecution” by the State.

       In short, Petitioners have not demonstrated exceptional circumstances or substantial

danger of irreparable harm that justifies federal intervention in ongoing state proceedings.

                                            ***

       In conclusion, we are not tasked with determining whether Petitioners’ double

jeopardy claims will ultimately prove successful. Our sole consideration is whether a

federal court, under Younger, should take the remarkable step of intervening in ongoing

state court proceedings to decide federal constitutional issues for that court. We should not

and do not take such a drastic departure from the normal course as none of the exceptions

to Younger applies. We hold, therefore, the district court did not abuse its discretion when

it abstained from exercising jurisdiction to decide Petitioners’ double jeopardy claims.




                                             22
                                              IV.

       For the reasons stated above, we affirm the judgments of the district courts

dismissing the petitions without prejudice.

                                                                       AFFIRMED




                                              23

Source:  CourtListener

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