OPINION
COCHRAN, J.,
announced the judgment of the Court and delivered the opinion of the Court as to Part III,
in which PRICE, WOMACK, JOHNSON and HOLCOMB, JJ., joined, and an opinion as to Parts I and II in which PRICE, JOHNSON and HOLCOMB, JJ, joined.
We wade once more into the murky waters of Penry law and the Texas death-penalty sentencing scheme. The ebb and flow of constitutional jurisprudence concerning when and what special instructions are necessary for the jury to give meaningful consideration to relevant mitigating evidence has sharply divided the United States Supreme Court, the Fifth Circuit, and this Court for some twenty years. The Chief Justice of the Supreme Court has noted that the jurisprudence surrounding the intersection of mitigation evidence and the Texas “nullification instruction” in pre-1991 death-penalty cases is “a dog’s breakfast of divided, conflicting, and ever-changing analyses.”1 Reasonable jurists differ on these matters.
Therefore, we granted applicant a stay of execution on September 9, 2008, stating that, “[bjecause of developments in the law regarding nullification instructions, ... it would be prudent to reconsider the decision we issued [on January 10, 2007] in dismissing applicant’s second subsequent writ application.”2 We must reconsider whether applicant could have raised his Penry claim — a claim alleging that the entirety of the sentencing scheme employed by the trial court precluded the jury from giving full consideration and effect to his mitigating evidence — before May 24, 2004, when he filed a pro se subsequent writ.
We conclude that five United States Supreme Court decisions, all of which were issued after applicant filed his pro se writ on May 24, 2004,3 announced “new law” [399]*399directly applicable to applicant’s claim for purposes of Article 37.071, § 5.4 Therefore, his second subsequent writ application, filed in 2005, should be reinstated because it was not procedurally barred.5 We agree with the habeas judge’s 2005 factual findings and legal conclusions and accept his recommendation that applicant is, under current and binding constitutional precedent, entitled to a new trial on punishment.6
I.
Applicant was convicted of capital murder in 1990 for killing his boss and his boss’s girlfriend.7 The evidence showed that applicant’s boss had allowed applicant to live in his home, but that applicant had carefully planned and executed the murders, stolen his boss’s credit cards, pawned his ring, and forged his name on stolen business checks to cash them.
During the punishment phase, the State offered significant evidence that applicant would constitute a continuing threat to society. This evidence included burglary of a school when a juvenile, theft and forgery convictions, assault on his 15-year-old girlfriend, rape of another 15-year-old girl, threats to a third young woman while he was in jail on this charge, and assault upon a fellow inmate. The State also offered expert testimony from a clinical psychologist and a forensic psychiatrist that applicant had an anti-social personality disorder with little chance of rehabilitation. The evidence was more than sufficient to support the jury’s “yes” answers to the special issues.
When we remanded this writ application to the habeas judge in 2005,8 he made extensive factual findings concerning the mitigating evidence that had been offered at the 1990 trial.9 These findings included the following:
[400]*400• when applicant “was three years old, he sustained severe injuries when he was crushed by a truck that backed over him. Hood was in a state of shock as he rode to the hospital in an ambulance. His left leg was broken in two places and his left hip was broken. He had additional injuries to his lower back requiring three skin grafts. He sustained internal injuries. Hood had several surgeries, and bones had to be rebroken. He wore a cast that covered nearly his entire body from his upper chest to his legs. He remained in the hospital for five months. Two years passed before Hood was able to relearn how to walk. He was left with permanent physical injuries from the accident. His left leg never grew to the size of his right leg, his hip joint remains cracked, and the skin grafts never healed properly on his back.”
• applicant “appeared to undergo changes in his behavior after the accident. He had a noticeable problem with his speech and pronouncing the sounds of the alphabet. A doctor concluded he hears the sounds in a different way than they are pronounced. An expert who personally examined Hood stated that his speech defects also included stuttering. Behavioral changes after the accident were testified to by his mother, which include throwing things, school problems, fear of school, being made fun of by other children and phobias related to being inside building[s].”
• applicant “has learning disabilities and cognitive impairments which became apparent in his schooling. He received counseling and attended special education throughout his school career. He failed the second and seventh grades and dropped out of school in the seventh grade.”
• additional evidence indicated that applicant “had learning disabilities and low intellectual functioning. He failed the Army entrance examination three times. The Indiana Department of Correction administered achievement and intelligence tests at age 19. Those tests indicated his reading and math skills fell below sixth grade level, his language and writing skills were at the level of a third grader and [he] has an I.Q. of 89, which placed him below the intellectual functioning of more [than] 75% of the population. Achievement scores were too low to satisfy literacy requirement for the prison work release program.”
• applicant suffered “beatings and other injuries” when he was young, “including a head blow with a metal pipe.” An uncalled expert defense witness wrote a report that applicant “suffers from brain impairment, evidenced by learning disabilities, verbal comprehensive problems, language impairment, speech defects and behavioral dysfunction, including impaired judgment and poor impulse control.” The State’s expert testified about this defense report and concluded that, although applicant may be suffering from one or more of the defense expert’s findings, “he will be a continuing threat based on the State’s hypothetical premise.”10
Applicant’s case was tried after the Supreme Court decided Penry 7,11 but before [401]*401the Texas Legislature had convened to draft a statutory mitigation special issue to accommodate the Penry I holding.12 Thus, the trial court submitted the two statutory special issues, but also included a special nullification instruction discussing the manner in which the jury should account for mitigating evidence when answering those special issues.13 Applicant’s counsel did not object to the nullification instruction itself, but his colloquies with the trial judge sound uncannily like the voice of the Supreme Court in its most recent cases.
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OPINION
COCHRAN, J.,
announced the judgment of the Court and delivered the opinion of the Court as to Part III,
in which PRICE, WOMACK, JOHNSON and HOLCOMB, JJ., joined, and an opinion as to Parts I and II in which PRICE, JOHNSON and HOLCOMB, JJ, joined.
We wade once more into the murky waters of Penry law and the Texas death-penalty sentencing scheme. The ebb and flow of constitutional jurisprudence concerning when and what special instructions are necessary for the jury to give meaningful consideration to relevant mitigating evidence has sharply divided the United States Supreme Court, the Fifth Circuit, and this Court for some twenty years. The Chief Justice of the Supreme Court has noted that the jurisprudence surrounding the intersection of mitigation evidence and the Texas “nullification instruction” in pre-1991 death-penalty cases is “a dog’s breakfast of divided, conflicting, and ever-changing analyses.”1 Reasonable jurists differ on these matters.
Therefore, we granted applicant a stay of execution on September 9, 2008, stating that, “[bjecause of developments in the law regarding nullification instructions, ... it would be prudent to reconsider the decision we issued [on January 10, 2007] in dismissing applicant’s second subsequent writ application.”2 We must reconsider whether applicant could have raised his Penry claim — a claim alleging that the entirety of the sentencing scheme employed by the trial court precluded the jury from giving full consideration and effect to his mitigating evidence — before May 24, 2004, when he filed a pro se subsequent writ.
We conclude that five United States Supreme Court decisions, all of which were issued after applicant filed his pro se writ on May 24, 2004,3 announced “new law” [399]*399directly applicable to applicant’s claim for purposes of Article 37.071, § 5.4 Therefore, his second subsequent writ application, filed in 2005, should be reinstated because it was not procedurally barred.5 We agree with the habeas judge’s 2005 factual findings and legal conclusions and accept his recommendation that applicant is, under current and binding constitutional precedent, entitled to a new trial on punishment.6
I.
Applicant was convicted of capital murder in 1990 for killing his boss and his boss’s girlfriend.7 The evidence showed that applicant’s boss had allowed applicant to live in his home, but that applicant had carefully planned and executed the murders, stolen his boss’s credit cards, pawned his ring, and forged his name on stolen business checks to cash them.
During the punishment phase, the State offered significant evidence that applicant would constitute a continuing threat to society. This evidence included burglary of a school when a juvenile, theft and forgery convictions, assault on his 15-year-old girlfriend, rape of another 15-year-old girl, threats to a third young woman while he was in jail on this charge, and assault upon a fellow inmate. The State also offered expert testimony from a clinical psychologist and a forensic psychiatrist that applicant had an anti-social personality disorder with little chance of rehabilitation. The evidence was more than sufficient to support the jury’s “yes” answers to the special issues.
When we remanded this writ application to the habeas judge in 2005,8 he made extensive factual findings concerning the mitigating evidence that had been offered at the 1990 trial.9 These findings included the following:
[400]*400• when applicant “was three years old, he sustained severe injuries when he was crushed by a truck that backed over him. Hood was in a state of shock as he rode to the hospital in an ambulance. His left leg was broken in two places and his left hip was broken. He had additional injuries to his lower back requiring three skin grafts. He sustained internal injuries. Hood had several surgeries, and bones had to be rebroken. He wore a cast that covered nearly his entire body from his upper chest to his legs. He remained in the hospital for five months. Two years passed before Hood was able to relearn how to walk. He was left with permanent physical injuries from the accident. His left leg never grew to the size of his right leg, his hip joint remains cracked, and the skin grafts never healed properly on his back.”
• applicant “appeared to undergo changes in his behavior after the accident. He had a noticeable problem with his speech and pronouncing the sounds of the alphabet. A doctor concluded he hears the sounds in a different way than they are pronounced. An expert who personally examined Hood stated that his speech defects also included stuttering. Behavioral changes after the accident were testified to by his mother, which include throwing things, school problems, fear of school, being made fun of by other children and phobias related to being inside building[s].”
• applicant “has learning disabilities and cognitive impairments which became apparent in his schooling. He received counseling and attended special education throughout his school career. He failed the second and seventh grades and dropped out of school in the seventh grade.”
• additional evidence indicated that applicant “had learning disabilities and low intellectual functioning. He failed the Army entrance examination three times. The Indiana Department of Correction administered achievement and intelligence tests at age 19. Those tests indicated his reading and math skills fell below sixth grade level, his language and writing skills were at the level of a third grader and [he] has an I.Q. of 89, which placed him below the intellectual functioning of more [than] 75% of the population. Achievement scores were too low to satisfy literacy requirement for the prison work release program.”
• applicant suffered “beatings and other injuries” when he was young, “including a head blow with a metal pipe.” An uncalled expert defense witness wrote a report that applicant “suffers from brain impairment, evidenced by learning disabilities, verbal comprehensive problems, language impairment, speech defects and behavioral dysfunction, including impaired judgment and poor impulse control.” The State’s expert testified about this defense report and concluded that, although applicant may be suffering from one or more of the defense expert’s findings, “he will be a continuing threat based on the State’s hypothetical premise.”10
Applicant’s case was tried after the Supreme Court decided Penry 7,11 but before [401]*401the Texas Legislature had convened to draft a statutory mitigation special issue to accommodate the Penry I holding.12 Thus, the trial court submitted the two statutory special issues, but also included a special nullification instruction discussing the manner in which the jury should account for mitigating evidence when answering those special issues.13 Applicant’s counsel did not object to the nullification instruction itself, but his colloquies with the trial judge sound uncannily like the voice of the Supreme Court in its most recent cases.14 He did, however, request [402]*402additional instructions on the proper use of mitigating evidence15 and asked that the jury be told to write the word “life” into the “yes” or “no” verdict forms if it should decide that the mitigating evidence called for such a sentence. The trial judge noted that nothing in Texas law allowed the jury to answer the special issues with the word “life” and that the explicit wording and specific answers to the special issues were statutorily required. Therefore, the trial judge declined to give applicant’s additional instruction.
During closing arguments, the defense stressed that, regardless of what the jury thought about the special issues, it could not forget to consider the mitigating evidence. Counsel emphasized applicant’s youth, his poverty, and the trauma he had suffered when the truck ran over him as a three-year-old. He noted that at least one doctor thought he could have brain damage. The State reminded the jury that it bore the burden of proving the special issues, but the decision of whether mitigating circumstances existed was a decision solely for the jury to determine. The jury answered both special issues “yes,” and the trial court sentenced applicant to death.
On November 24, 1993, this Court affirmed applicant’s conviction and sentence on direct appeal.16 One of the issues that applicant raised on appeal was that the trial court erred “in failing to instruct the jury of a method to be used by them to give ' effect to mitigating evidence.”17 Once again, applicant’s claim echoed the Supreme Court’s most recent pronouncements concerning the Texas death-penalty sentencing scheme. We rejected that claim, both because it was inadequately briefed and on its merits, concluding that the nullification instruction “did provide the jury with an adequate vehicle to express and give effect to its ‘reasoned moral response’ ” to applicant’s mitigation evidence, if any existed.18 The United States Supreme Court denied certiorari,19
On December 22, 1997, applicant filed his first writ application under article 11.071.20 In that application, he initially challenged the nullification instruction, but then deleted that claim from his amended application.21 On April 21,1999, we denied [403]*403habeas corpus relief.22 Applicant then filed a writ application in federal court. The federal district court denied relief, but granted a certificate of appealability on two grounds related to an Alcé23 claim. On April 2, 2004, the Fifth Circuit affirmed the district court’s denial of relief in an unpublished opinion.24 Once again, the United States Supreme Court denied certiorari.25
On May 24, 2004, applicant filed a pro se subsequent application for writ of habeas corpus, which we dismissed as an abuse of the writ under art. 11.071, § 5.26 That second application did not contain a Penry claim.
On June 22, 2005, eight days before his scheduled execution, applicant filed a third writ application, alleging that “the nullification instruction in applicant’s case did not allow the jury to consider and give effect to mitigating evidence presented at trial.”27 It “suffered from the same constitutional defects that the Supreme Court found fatal” in Penry II,28 Smith v. Texas (“Smith I”),29 and Tennurd v. Dretke.30 We granted applicant’s motion for stay of execution and concluded that “applicant has met the requirements for consideration of a claim the basis of which was not available at the time his initial application was filed.”31 We remanded the case to the convicting court for consideration of the merits of applicant’s Penry claim.32 On remand, the habeas judge set out his factual findings and concluded,
Although opinions may vary regarding how clearly the mitigating evidence was elicited at trial and whether such evidence is overwhelming or tenuous, the record contains such evidence that a jury must, under our current law, consider regarding the imposition of the death penalty.
The habeas judge also entered relevant conclusions of law: first, he concluded that applicant’s “nullification” claim was unavailable at the time he filed his previous habeas application;33 second, he concluded [404]*404that the two special issues did not provide an avenue for the jury to give full consideration and full effect to applicant’s mitigating evidence.34 The habeas judge recommended that we grant applicant a new punishment trial based on the newly available decisions in Tennard and Smith I.
A majority of this Court held that, although we had originally determined that applicant’s claim surmounted the section-535 bar against subsequent claims because his Penry claim, raised after Tennard announced new law, was unavailable at the time he filed his first two writ applications, we were wrong.36 The majority concluded that applicant — by the time he filed his pro se application in May of 2004 — should have known from the Penry II decision that he had a viable claim concerning both the lack of a special mitigation issue and the infirmity of the jury-nullification instruction.37 On January 10, 2007,38 we dismissed applicant’s subsequent writ.39
On September 8, 2008, just two days before his rescheduled execution, applicant filed a suggestion that the Court reconsider its January 10, 2007, order because the three newest Supreme Court cases, delivered after our dismissal, finally made it clear that our prior interpretations of Pen-ry I and Penry II were incorrect.
Applicant also noted that, in several Penry habeas corpus application cases decided after Abdul-Kabir, Brewer, and Smith II, we had reconsidered our original dismissal, held that Tennard, Smith I, Abdul-Kabir, Brewer, and Smith II announced new law, and addressed the merits of the death-row inmate’s habeas corpus claim.40 There are now several more [405]*405such cases in which we have addressed the merits of a Penry claim in a subsequent writ application based upon the Supreme Court’s five most recent cases,41 all of which were delivered after applicant had filed his pro se application on May 24, 2004.
II.
The crucial issue in the present case (as it was in the nine recent Texas cases cited above) is whether the five Supreme Court cases delivered between June 2004 and April 2007 announced “new law” that could serve as a basis for a subsequent writ [406]*406application or whether they simply followed established law. Under our Texas habeas-corpus statute, an applicant may not have the merits of a subsequent writ considered unless he passes over the threshold of article 11.071, § 5, which requires a showing of newly available law or facts. Thus, if Tennard, Smith, et al. announced new law, we may consider the merits of applicant’s claims. If they are mere applications of previously available law, we are statutorily required to dismiss his subsequent application as an abuse of the writ.42
On the other hand, federal courts are not permitted to grant a state petitioner’s writ application complaining about a state-court decision unless the state court’s determination of the legal issue was an unreasonable application of clearly established law as announced by the Supreme Court.43 In other words, this Court may address applicant’s claim only if Tennard, Smith, et al. are newly available legal claims, whereas federal courts may grant petitioner’s claim only if this Court has misapplied clearly established federal law.
This is all very awkward. To grant a Texas death-row inmate relief on his subsequent Penry I and Penry II claim under the recently decided Tennard, Smith, et al. cases, we must find that those decisions announced new law, but the federal courts cannot grant relief on those very same claims unless they find that Texas courts misapplied clearly established law at the time of the relevant state-court decision.44 Hence, a death-row inmate must argue in this Court that Tennard, Smith, et al. announced new law, but, once he arrives in federal court, he must argue that those same eases simply reiterated clearly established law. There is no logical way in which Tennard, Smith, et al. can simultaneously be both “newly available law” for state-court purposes and “clearly established law” for federal-court purposes.
This conundrum has produced starkly different descriptions and versions of the historical development of Penry law. In [407]*407each of the five most recent cases, the United States Supreme Court majority has been at pains to emphasize that “well before our decision in Penry I, our cases had firmly established that sentencing juries must be able to give meaningful consideration and effect to all mitigating evidence that might provide a basis for refusing to impose the death penalty!.]”45 Thus, Pen-ry itself did not announce new law, nor did the five most recent cases, Tennard, Smith I, Abdul-Kabir, Brewer, and Smith II.‘46 Under the majority’s reasoning, this Court (along with the Fifth Circuit) completely misunderstood the scope and applicability of Penry for almost twenty years and reached “ ‘decision[s] that [were] contrary to, or involved an unreasonable application of, clearly established Federal law, as determined by the Supreme Court of the United States’ ”47 in virtually all of our Penry eases. Had the Supreme Court concluded otherwise, it could not have granted relief to any of the habeas corpus applicants in Tennard, Smith 1, Abdul-Kabir, Brewer, or Smith II.
Not surprisingly, the four dissenters in Abdul-Kabir — led by Chief Justice Roberts — set out an entirely different version of the Penry history.48 The dissenters noted that “[t]he only thing clear about our jurisprudence on the pertinent question [whether this Court’s decision in Abdul-Kabir was ‘objectively unreasonable’ under firmly established Supreme Court precedent] in 1999, however, is that it was unsettled and confused.”49 Chief Justice Roberts stated, “It is a familiar adage that history is written by the victors, but it goes too far to claim that the meaning and scope of Penry I was ‘clearly established’ in 1990[.]”50
Not only have the nine justices on the Supreme Court differed wildly in their view of the Penry saga, the nine judges on this Court have differed in exactly the same manner. For example, in the January 2007 decision rendered on applicant’s Penry claim, five members of this Court set out a history of Penry jurisprudence similar to some of that of the Supreme Court majority in Abdul-Kabir. Under that understanding — Penry II announced new law, but Tennard and Smith did not— applicant was not entitled to have the merits of his claim addressed in his 2005 application because he had filed a pro se post-Penry II application that did not raise a Penry claim.51 But, according to the Su~ [408]*408preme Court in Abdul-Kabir, we were wrong on that understanding as well: neither Penry I nor Penry II announced new law.52 Thus, under Abduh-Kabir, this applicant, during his 1990 trial, was simply-asking for instructions that were required by clearly established Supreme Court law, and we were objectively unreasonable in failing to reverse the punishment verdict on direct appeal.53 The four dissenters in Ex parte Hood set out a version of the Penry litigation similar to that of Chief Justice Roberts’s in Abdul-Kabir and contended that Tennard and Smith I announced new law and thus applicant was entitled to have the merits of his claim addressed.54
But regardless of which historical version of Penry-litigation one accepts — (1) it was clearly established that the Texas sentencing scheme concerning the use of mitigation evidence was constitutionally flawed even before Penry I, or (2) Tennard, Smith, et al. announced new constitutional law — applicant is entitled to relief in one court or the other. He is entitled to relief in federal court if Penry did not announce new law because the Texas courts were “objectively unreasonable” in addressing his Pemy claim all along.55 Or, if Ten-nard, Smith, et al. did announce new law, he is entitled to relief in this Court because his claim is not procedurally barred under article 11.071, § 5, and the habeas judge’s factual findings and legal conclusions recommending relief are supported by the record.
[409]*409hi.
Because we have already held, in numerous subsequent habeas applications since 2007,56 that Tennard, Smith, et al. did announce new law and that those death-row inmates were entitled to have the merits of their Penry claims addressed, we must treat applicant’s Penry claim in the same manner. Similarly situated litigants bringing similar claims should be treated similarly. Most recently, in Ex parte Davis, a case much like the present one, we reconsidered, on our own initiative, a previously dismissed Penry writ application “because of changes in the law” and concluded that
[t]he nullification instruction given to applicant’s jury was not a sufficient vehicle to allow jurors to give meaningful consideration and full effect to the mitigating evidence presented by applicant. Because the mitigating evidence presented at applicant’s trial is the type of evidence for which he was entitled to a separate and sufficient vehicle, we remand the case to the trial court for a new punishment hearing.57
We see no reason to treat applicant inconsistently. Therefore, we adopt the ha-beas judge’s factual findings, agree with his legal conclusions, and accept his recommendation to grant relief. This case is remanded to the trial court for a new punishment hearing.
MEYERS, J., dissented.
KEASLER, J., filed a dissenting opinion in which KELLER, P.J., and HERVEY, J., joined.