Whitmore v. Avery

179 F.R.D. 252, 1998 U.S. Dist. LEXIS 13742, 1998 WL 271800
CourtDistrict Court, D. Nebraska
DecidedMarch 4, 1998
DocketNo. 4:96CV3389
StatusPublished
Cited by5 cases

This text of 179 F.R.D. 252 (Whitmore v. Avery) is published on Counsel Stack Legal Research, covering District Court, D. Nebraska primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Whitmore v. Avery, 179 F.R.D. 252, 1998 U.S. Dist. LEXIS 13742, 1998 WL 271800 (D. Neb. 1998).

Opinion

MEMORANDUM AND ORDER ON OBJECTIONS TO MAGISTRATE JUDGE’S REPORT AND RECOMMENDATION

URBOM, Senior District Judge.

I. FACTUAL AND PROCEDURAL BACKGROUND

Once again the matter before me is a consideration of a procedural misstep in Randall Whitmore’s nearly ten-year struggle through the morass that is habeas corpus jurisprudence. The most recent error is mine, which I briefly will explain before discussing the exact procedural posture of the motions before me. With the exception of the most recent events, I will presume the reader’s familiarity with this case. A full exposition of the facts of this ease may be found in my April 14,1997, order in this case (filing 13).

On April 5, 1996, the petitioner filed his second § 2254 motion in this court, naming two bases for relief:

(1) The first issue is “Claim 2” of Petitioner’s original habeas petition. That issue is whether a conflict of interest existed, which adversely affected Petitioner’s representation. Evidence on that issue was adduced at hearing. It was taken under submission and reserved by this Court for future consideration.
(2) The second issue is whether Petitioner procedurally defaulted his conflict issue by raising it on postconviction motion and request for evidentiary hearing, and not on his direct state appeal, i.e., whether the state can make the requisite showing that its claim of procedural default is based on “adequate and independent” state grounds per Coleman v. Thompson, [501 U.S. 722, 727-[254]*25431] 111 S.Ct. 2546, 2553-54 [115 L.Ed.2d 640] (1991).

(Filing 1). This motion was erroneously filed in Whitmore’s original habeas case, case number CV89-L-387. On October 23, 1996, after having reviewed the pro se petition, the magistrate judge ordered that the petition be placed in a new file as a new habeas petition, and the motion became the first filing in ease number 4:CV96-3389, the case presently before me. (See filing 4).

The state then filed a motion for summary dismissal (filing 6), claiming that the petition was an abuse of the writ because it raised claims already raised and decided against Whitmore in his prior habeas corpus action. In a memorandum and order dated April 14, 1997, I denied the state’s motion. (Filing 13). I found, though, that the petitioner had not exhausted his state remedies on the second claim and ordered the action stayed until the petitioner exhausted that claim. The state then filed a motion for certification of a question to the court of appeals, noting that the Eighth Circuit had found that a petition for habeas corpus must be dismissed, not stayed, pending exhaustion of state remedies. After reviewing the cases cited by the state, I decided that certification was unnecessary; instead, I sua sponte dismissed the action without prejudice. (Filing 17).

These last two rulings of mine — the order to exhaust the state remedies on the “adequate and independent state law” issue and the dismissal without prejudice — are the basis for the newest confusion in this case. A little over a month after my dismissal, the petitioner filed what he called a § 2254 motion. In this motion, however, Whitmore argues that my dismissal of his second petition was in error, and he requests that this court rule on the merits of the claims asserted in the second petition. Whitmore asserts that my error was in requiring exhaustion of the “adequate and independent state law” claim (claim 2), because that issue is solely a federal law determination and is not one that can be exhausted in state court. Since this petition, in essence, requested reconsideration of a previous ruling, the magistrate judge found that his motion was more appropriately treated as a Rule 60(b)(6) motion to vacate my April 14, 1997, order. Thus, the magistrate judge re-named the motion a Rule 60(b)(6) motion to vacate and took briefs from the parties on the matter. After considering the arguments, the magistrate judge found that the Rule 60(b)(6) motion should be granted.

The state filed a timely objection to that recommendation, and it is that matter that I address now.

II. DISCUSSION

The state argues that the latest motion is an abuse of the writ because it raises the same issues that were raised in the second habeas petition. Also, the state notes its disagreement with my order on the state’s motion for summary dismissal of the second petition, reasserting its position that the second petition is abusive. Because most of these objections either were raised in the state’s motion for summary dismissal or are generalized disagreements with my rulings or the magistrate judge’s findings, I simply will review de novo the issues before the magistrate judge and address the objections and the propriety of the magistrate judge’s findings as they arise within that analysis. For clarity, I will refer to the original habeas action in case number 4:89-L-387 as the “first petition” or “first § 2254 motion;” I will refer to the original habeas action in the present case, 4:96CV-3389, as the “second petition” or “second § 2254 motion;” and I will call the newest § 2254 motion in 4:96CV-3389 the “latest petition” or the “third § 2254 motion.”

In addition, the majority of arguments posed by both parties revisit issues relating to the second petition, and, as I will explain, the proper characterization of the second petition determines the fate of the petitioner’s third motion. Therefore, I will revisit the viability of the second petition, including whether the Antiterrorism and Effective Death Penalty Act [AEDPA] applies to it and whether the second petition is abusive. Finally, depending on the resolution of those issues, I will determine whether the third petition should be considered another habeas corpus motion or a Rule 60(b)(6) motion.

[255]*255A. Whether the Provisions of the AEDPA Apply to Whitmore’s Second Petition

Before'embarking on an analysis of the petitioner’s second or third petition, I must explain the relationship of Whitmore’s case to the newly restrictive sections of the Antiterrorism and Effective Death Penalty Act [AEDPA]. The proper resolution of the matters presently before me depends upon whether the new procedures of the AEDPA apply to Whitmore’s case. If the provisions apply, then I may be precluded from examining the issues either in the second or the third habeas petition. If the AEDPA does not apply to the second § 2254 motion, then the older “abuse of the writ” doctrine is the proper analysis to follow.

The AEDPA amended significant portions of the federal habeas corpus statutes. One such provision deprives the district court of any jurisdiction over “second” or “successive” habeas petitions. Petitioners wishing to file second or successive § 2254 motions first must seek a certification from the appropriate court of appeals, which may only allow further action on such motion in the following situations:

(A) the applicant shows that the claim relies on a new rule of constitutional law, made retroactive to cases on collateral review by the Supreme Court, that was previously unavailable; or
(B) (i) the factual predicate for the claim could not have been discovered previously through the exercise of due diligence; and

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Cite This Page — Counsel Stack

Bluebook (online)
179 F.R.D. 252, 1998 U.S. Dist. LEXIS 13742, 1998 WL 271800, Counsel Stack Legal Research, https://law.counselstack.com/opinion/whitmore-v-avery-ned-1998.