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Harris v. Barnhart

UNITED STATES DISTRICT COURT EASTERN DISTRICT OF KENTUCKY SOUTHERN DIVISION LONDON
Mar 25, 2020
448 F. Supp. 3d 704 (E.D. Ky. 2020)

Opinion

No. 6:18-CV-189-REW

2020-03-25

Tyrone HARRIS, Petitioner, v. J.A. BARNHART, Warden, Respondent.

Sebastian M. Joy, Joy Law Office, Catlettsburg, KY, for Petitioner. Tyrone Harris, Florence, CO, pro se. Thomas Lee Gentry, U.S. Attorney's Office, Lexington, KY, for Respondent.


Sebastian M. Joy, Joy Law Office, Catlettsburg, KY, for Petitioner.

Tyrone Harris, Florence, CO, pro se.

Thomas Lee Gentry, U.S. Attorney's Office, Lexington, KY, for Respondent.

OPINION AND ORDER

Robert E. Wier, United States District Judge

The Court initially screened Tyrone Harris's 28 U.S.C. § 2241 petition. DE #30 (Memorandum Opinion & Order). As there discussed, Harris (sentenced in the Western District of Missouri) relies jointly on Mathis v. United States , ––– U.S. ––––, 136 S. Ct. 2243, 195 L.Ed.2d 604 (2016) and the Eighth Circuit's subsequent decision in United States v. Naylor , 887 F.3d 397 (8th Cir. 2018) to argue that the convictions used to enhance his sentence under the Armed Career Criminal Act (ACCA), 18 U.S.C. § 924(e), are no longer qualifying predicates per the categorical approach. DE #1 (Petition).

The Court incorporates by reference its DE #30 recitation of the factual and procedural background relevant to Harris's petition.

At the time of initial screening, upon surveying the balance of Sixth Circuit published authority (namely, Hill v. Masters , 836 F.3d 591 (6th Cir. 2016) ) and the then-existing trend of unpublished Circuit cases building on the sharp pivot of Hill , the Court permitted Harris to proceed with his ACCA claim via § 2241. See id. at 4–6 (citing and discussing unpublished Sixth Circuit decisions applying Hill in analogous scenarios). The Court thus appointed Harris counsel and directed record development on outstanding issues, including whether Harris had any additional ACCA-qualifying convictions and party views as to how (and where) the case should proceed on resentencing, if applicable. DE #30 at 8.

For example, as the Court noted in DE #30, an unpublished 2017 Sixth Circuit panel permitted a petitioner to pursue an ACCA claim—involving the same Missouri second-degree burglary conviction as here—via § 2241 in reliance on Hill. See Sutton v. Quintana , No. 16-6534, 2017 WL 4677548, *1 (6th Cir. July 12, 2017). The Sutton panel used one of the two (similar, but nonidentical) three-part Hill tests as its decisional framework. Id. ; see Hill , 836 F.3d at 595 (requiring, for a petitioner to demonstrate that 28 U.S.C. § 2255 is an inadequate or ineffective remedy and bring, per the § 2255(e) savings clause, a misapplied-sentence claim via § 2241, "(1) a case of statutory interpretation, (2) that is retroactive and could not have been invoked in the initial § 2255 motion, and (3) that the misapplied sentence presents an error sufficiently grave to be deemed a miscarriage of justice or a fundamental defect."). The Sutton Court found that Mathis was a retroactively applicable Supreme Court case of statutory interpretation that was, at the time of the petitioner's direct appeal and 28 U.S.C. § 2255 motion, unavailable. See 2017 WL 4677548, at *2. Having found the first and second Hill prongs met, the Court further found the misapplied sentence to be a fundamental defect because of later Eighth Circuit law that, based on Mathis , found the Missouri second-degree burglary statute an invalid ACCA predicate. The Sutton analytical trend continued with Muir v. Quintana , No. 17-6050, 2018 WL 4276133, *2 (6th Cir. Apr. 26, 2018), and other subsequent unpublished decisions. See DE #30 at 4, 7 n.5.

While these issues were pending, a Sixth Circuit case concerning the correct interpretation and application of Hill (and its three-part-test variants) was progressing through the appellate channel. The Sixth Circuit ultimately decided the case—via a published opinion—in late September 2019. See Wright v. Spaulding , 939 F.3d 695, 705 (6th Cir. 2019) (reiterating prior precedent and holding "that a federal prisoner cannot bring a claim of actual innocence in a § 2241 petition through the saving clause without showing that he had no prior reasonable opportunity to bring his argument for relief[ ]"). This Court directed additional briefing concerning the impact of Wright , if any, in this case. DE #51. The parties disagree about Wright 's effect—petitioner, through counsel, argues that Wright is distinguishable because adverse Eighth Circuit precedent, in place at the time of Defendant's sentencing, appeal, and initial § 2255 motion, held that Missouri second-degree burglary was a valid ACCA predicate. DE #53. Accordingly, he views the Mathis decision itself as required in this case, unlike in Wright , to remove barriers to prior assertion of his ACCA argument. Id. The Government, however, emphasizes that Wright clarified (and narrowed) Hill , reinvigorating the fundamental "no reasonable opportunity" test. DE #54. The Government maintains that because the categorical approach preceded Mathis , Harris did not need Mathis itself to test his ACCA claim, and that he cannot demonstrate lack of reasonable prior opportunity to assert it.

See, e.g., United States v. Nolan , 397 F.3d 665, 666 (8th Cir. 2005) (noting that the Eighth Circuit had "consistently held that burglary is a predicate offense under § 924(e)" and collecting cases); United States v. Olsson , 742 F.3d 855, 856 (8th Cir. 2014). Indeed, even postMathis , the Eighth Circuit found that Missouri second-degree burglary was a valid ACCA predicate. See United States v. Sykes , 844 F.3d 712, 716 (8th Cir. 2016). It was not until 2018 that the en banc Eighth Circuit reversed course and held that Missouri second-degree burglary is not categorically an ACCA violent felony. See United States v. Naylor , 887 F.3d 397 (8th Cir. 2018).

The Wright decision carefully traced the roots of the Circuit's savings clause jurisprudence and, functionally, curbed the expansive interpretive trend that had been emerging in unpublished cases; the Wright Court hewed closely to § 2255(e)'s text and foundational principles. 939 F.3d at 697–705. The Circuit has offered similar guidance since, further elucidating the contours of the central "no reasonable opportunity" test that Wright (and earlier precedent) emphasized. Particularly relevant here—given Harris's reliance on the Eighth Circuit's reversal, in Naylor , of its previously binding precedent holding that Missouri second-degree burglary convictions were valid ACCA predicates—is the Sixth Circuit's recent resolution of whether subsequent circuit decisions are sufficient to demonstrate that a prisoner had no reasonable opportunity to test a claim via § 2255 for savings clause purposes. See Hueso v. Barnhart , 948 F.3d 324, 332 (6th Cir. 2020) (addressing whether "a new statutory decision from a circuit court suffice[s] to show § 2255's inadequacy[ ]"). Synthesizing the lessons of prior decisions, the Court answered that question in the negative: "We now turn the facts of our prior cases into a holding. In addition to whatever else our reasonable-opportunity standard demands, it requires a Supreme Court decision that adopts a new interpretation of a statute after the completion of the initial § 2255 proceedings." Id.

As Hueso confirms, Naylor 's ultimate vindication of Harris's ACCA argument in the Eighth Circuit post- Mathis cannot demonstrate § 2255 ineffectiveness or inadequacy for savings clause purposes. See Hueso , 948 F.3d at 335 ("[L]ater circuit decisions do not suffice to prove that an initial § 2255 motion is inadequate or ineffective to test a claim."). The only question remaining, then, is whether Mathis 's arrival, after the completion of Harris's initial § 2255 proceedings, is sufficient to demonstrate that the § 2255 remedy itself was inadequate or ineffective to test his ACCA claim. Critically, Wright emphasized that the Mathis decision itself "matter[ed] only, if at all, because of the new legal arguments it ma[de] available." Wright , 939 F.3d at 705 (footnote omitted) (emphasis in original). The Court thus noted that, though "Wright could not [have] cite[d] Mathis , specifically, before it existed[,]" "a claim for habeas relief is more than the talismanic force of a new case name." Id. And, per the Wright Court, Mathis itself actually generated no new legal arguments; "[i]n fact, it did not even break new ground[.]" Id. The categorical approach had been in place for decades, and Mathis —expressly drawing from earlier precedent—merely reiterated it and clarified the means-elements analysis for judging divisibility. See Mathis , 136 S. Ct. at 2251 (recognizing the "longstanding principles" requiring an elements-based, categorical approach to ACCA predicate analyses and discussing the categorical approach's basis in Taylor v. United States , 495 U.S. 575, 110 S. Ct. 2143, 109 L.Ed.2d 607 (1990), and later application in Descamps v. United States , 570 U.S. 254, 133 S. Ct. 2276, 186 L.Ed.2d 438 (2013) ); id. at 2257 ("Our precedents make this a straightforward case. For more than 25 years, we have repeatedly made clear that application of ACCA involves, and involves only, comparing elements."). Accordingly, as the Court recognized, Wright did not require Mathis to argue that an elements-based approach invalidated his ACCA predicate—and, thus, he could not pass through the savings clause simply by noting an inability to specifically cite Mathis at sentencing, on direct appeal, or in his initial § 2255 motion. See Wright , 939 F.3d at 705 (observing that "Wright's claim never needed Mathis ").

The Court found that Wright was required "also [to] show that binding adverse precedent (or some greater obstacle) left him with no reasonable opportunity to make his argument any earlier, either when he was convicted and appealed or later when he filed a motion for postconviction relief under section 2255 [.]" Id. at 703 (internal quotation marks and citation omitted) (emphasis in original). The Court concluded that Wright had not so shown, in part because Wright did not "need Mathis to clear a path through erroneous Fourth Circuit precedent[,]" id. at 706, as no binding Fourth Circuit authority, in place at the time of Wright's sentencing, appeal, or one-year window for filing an initial § 2255 motion on any ground, held that Wright's predicate was valid under the ACCA. "Thus," as the Court ruled, "Wright had several opportunities to raise his so-called ‘ Mathis claim,’ free of any procedural impediments or hostile precedents. That he failed to seize them does not mean that § 2255 was ‘inadequate or ineffective’ to test his sentence." Id. Wright's attempt to access § 2241 through the savings clause therefore failed.

As Harris argues, though, this case differs—in an important way—from Wright. Unlike Wright's claim in relation to then-applicable Fourth Circuit law, Harris's claim did face binding adverse precedent in the Eighth Circuit—cases holding that Missouri second-degree burglary qualified as a valid ACCA predicate. Such precedent was in place at the time of Harris's sentencing, appeal, and initial § 2255 opportunity. See supra note 3. By 2005, the Eighth Circuit had "consistently held that burglary is a predicate offense under § 924(e) [.]" Nolan , 397 F.3d at 666 (collecting cases). And, in February 2014—while Harris's direct appeal pended—the Eighth Circuit, following remand for further consideration in light of Descamps , again held that Missouri second-degree burglary qualified as an ACCA predicate. Olsson , 742 F.3d at 856. Without discussing its earlier precedent concerning the burglary offense's predicate status, the Eighth Circuit—applying Taylor and Descamps —summarily found the statute indivisible and, thus applying the categorical approach to the entire criminal statute, held that the elements were the same as those of generic burglary. Id. Harris thus faced a formidable wall of Eighth Circuit precedent.

Though the bulk of cited cases discuss the Guidelines career offender provision rather than the ACCA, the Eighth Circuit noted that it "construe[s] ‘violent felony’ under 18 U.S.C. § 924(e)(B)(ii) to have the same meaning as crime of violence’ under U.S.S.G. § 4B1.2." Nolan , 397 F.3d at 666.

To clarify the relevant chronology in relation to Harris's case: The Western District of Missouri sentenced Harris in September 2012; he directly appealed that same month, and the Eighth Circuit denied his appeal in April 2014. During that period, Descamps issued (in June 2013), and the Olsson panel issued its post-remand decision in February 2014. The district court rejected Harris's initial § 2255 in March 2015.

The timing and facts here too differ from that in Hueso ; in that case—though the petitioner faced binding adverse precedent in the Ninth Circuit at the time of his sentencing, direct appeal, and initial § 2255 motion—the new Supreme Court case upon which the petitioner relied ( Carachuri-Rosendo v. Holder , 560 U.S. 563, 130 S. Ct. 2577, 177 L.Ed.2d 68 (2010) ) issued before any decision on Hueso's direct appeal and, thus, also before Hueso's initial § 2255 opportunity. Accordingly, the Court reasoned that "Hueso faced no ‘obstacle’ to citing this Supreme Court decision in support of his sentencing claim in earlier proceedings, [and] he had a ‘reasonable opportunity’ to rely on the decision." Hueso , 948 F.3d at 339–40 (quoting Wright , 939 F.3d at 703 (citation omitted)). The Court flatly rejected Hueso's contention that he could not make an argument, based on the new statutory principles espoused in Carachuri-Rosendo , at the relevant times (there, appeal or initial § 2255 opportunity) because of the then-binding, hostile Ninth Circuit precedent:

In response, Hueso argues that he could not have relied on Carachuri-Rosendo on direct appeal or in his initial § 2255 motion because of the then-existing Ninth Circuit precedent that foreclosed his claim. Yet the "new legal arguments," see Wright , 939 F.3d at 705, that Carachuri-Rosendo generated included the argument that later won in the Ninth Circuit—that this new decision overruled prior circuit precedent interpreting terms like "felony drug offense," see Valencia-Mendoza , 912 F.3d at 1219. Indeed, if Hueso had timely raised his claim, the Ninth Circuit may well have found that its earlier decisions conflicted with this "higher intervening authority" in his case, not in Valencia-Mendoza's case. Id.

Id. at 340. Critical, then, in Hueso's case was the fact that Carachuri-Rosendo —the intervening Supreme Court case on which he relied—generated new legal arguments that vitiated the earlier Ninth Circuit precedent. As this authority for the relevant new legal concept (i.e. , the new interpretative treatment of the term "felony drug offense") existed as early as Hueso's direct appeal, he had available the tools to argue that the extant Ninth Circuit precedent was inconsistent with the state of law in the Supreme Court. The Supreme Court had already recognized argument legitimacy; that the Ninth Circuit stood against him was thus not a savings clause ticket. For these reasons, the Court found that Hueso had not demonstrated § 2255's inadequacy or ineffectiveness, and it denied him access to § 2241 via § 2255(e).

To some degree, Harris's situation lies in a gap between Wright and Hueso. Like the petitioner in Hueso , binding adverse circuit precedent foreclosed Harris's claim at the relevant procedural times. But, in contrast with the Hueso circumstances, the Supreme Court case upon which Harris purports to rely ( Mathis ) did not then exist—thus, Harris could not have used that case itself to clear a path through the erroneous and hostile Eighth Circuit precedent, as Hueso could have done with the new legal arguments generated from Carachuri-Rosendo. On the other hand, like the petitioner in Wright , Harris's reliance on Mathis , in particular, is problematic because Mathis did not generate new legal arguments Harris needed to confront the hostile precedent in Olsson and its predecessors. And, as Hueso (building on Wright ) confirms, the savings clause "requires a Supreme Court decision that adopts a new interpretation of a statute after the completion of the initial § 2255 proceedings." Hueso , 948 F.3d at 333 (emphasis added). The question then is: recognizing the hostile Eighth Circuit precedent Harris faced, was the Mathis decision itself necessary to gird Harris's argument that the categorical approach, if correctly applied, invalidated Missouri second-degree burglary's ACCA predicate status? Or, was that argument available to Harris before Mathis issued, despite the fact that it faced an uphill battle against circuit precedent? The analytical path laid by Wright , Hueso , and earlier § 2255 authority in the Sixth Circuit goes only so far in this case—the mapping stops before the journey ends.

At the outset, some difficulty exists in ascertaining the persisting value of Mathis on collateral review. To be sure, the Sixth Circuit has held that " Mathis applies retroactively[ ]" to petitions under § 2241. Sutton , 2017 WL 4677548, at *2 ; accord Muir , 2018 WL 4276133, at *2 (observing that " Descamps and Mathis apply retroactively inasmuch as their holdings are dictated by precedent"). Per the savings clause tests as Hill particularly phrased them, retroactive case applicability is critical to invoking § 2255(e). See, e.g. , Hill , 836 F.3d at 595 (requiring, among other things, "(1) a case of statutory interpretation, (2) that is retroactive and could not have been invoked in the initial § 2255 motion"). As this Court has previously recognized, the limits of Hill 's retroactivity requirement are not entirely clear—but, at minimum, it is apparent that old-rule cases like Mathis are not necessarily excluded. Still, (at least) equally central to the Court's Mathis appraisal in this scenario is the savings clause-specific (as distinct from the largely § 2255-specific analytical authority invoking the "new/old rule" and "retroactivity" concepts) requirement that the new case itself have worked an interpretative change that opened a previously closed argument door:

See Fraker v. Butler , No. 6:18-CV-201-REW, 2019 WL 3302815, at *5 n.5 (E.D. Ky. July 23, 2019) ("What then is the force of Hill 's ‘retroactive’ requirement? It seems clear, to this Court, that Circuit applications have winnowed that limit to cases that announce new non-retroactive rules. The rationale of Sutton and, e.g., Muir v. Quintana , No. 17-6050, 2018 WL 4276133, *2 (6th Cir. Apr. 26, 2018), make plain that Supreme Court cases that merely apply ‘old rule[s]’ are not excluded by Hill 's ‘retroactive’ limits. Why? Because old rules apply on collateral review. Hill , an issue fountain, may or may not be the outer limit of the savings clause.").

Sometimes courts have phrased the saving-clause test in terms of whether a Supreme Court case announced a "new rule." See, e.g., Chazen v. Marske , 938 F.3d 851, 861–62, 2019 WL 4254295, at *8–9 (7th Cir. 2019) (noting confusing variations in how the Seventh Circuit's precedents have stated the test); id. at 865–66, 2019 WL 4254295, at *12–13 (Barrett, J., concurring) (same). Yet this phrasing risks confusing the test for saving-clause access with Teague v. Lane 's "new rule" test for retroactivity, a separate habeas-related doctrine. See 489 U.S. 288, 301, 109 S. Ct. 1060, 103 L.Ed.2d 334 (1989). This "new rule" concept is ubiquitous in habeas law—both because Teague is an important habeas doctrine and because some AEDPA provisions incorporate it by reference. See, e.g. , 28 U.S.C. § 2255(h)(2). So courts sometimes fall back on this familiar "new rule" language in the context of saving-clause cases. But luckily our circuit has avoided this mistake. The post-Bailey -and-AEDPA saving-clause caselaw is not based on Teague. Nor does it interpret any provisions of AEDPA. (On the contrary, it exists to circumvent AEDPA.) Rather than mirroring Teague 's "new rule" test, the central idea of the post-Bailey -and-AEDPA saving-clause cases is "whether an intervening case of statutory interpretation opens the door to a previously foreclosed claim." Chazen , 938 F.3d at 862, 2019 WL, at *9.

Wright , 939 F.3d at 705 n.7.

Here, Mathis 's import on collateral review falters. Indeed, it is precisely Mathis 's reliance on established law that minimized its savings clause value in the Wright Court's view. See Wright , 939 F.3d at 705–06 (observing that " Mathis did not invent the categorical approach ... In fact, it did not even break new ground[ ]" and reasoning that, accordingly, "Wright's claim never needed Mathis "). Notably, as Wright and other cases recognize, Mathis itself claimed no novel take. 136 S. Ct. at 2257 ("For more than 25 years, we have repeatedly made clear that application of ACCA involves, and involves only, comparing elements."); id. ("Our precedents make this a straightforward case."); accord In re Conzelmann , 872 F.3d 375, 376 (6th Cir. 2017) ("The Court's holding in Mathis was dictated by prior precedent (indeed two decades worth)."). And, at least ten Sixth Circuit judges have endorsed this perspective. See, e.g. , Anderson v. Terris , No. 18-2400, 2019 WL 6690055, at *2 (6th Cir. Nov. 19, 2019) (quoting Wright , 939 F.3d at 705 ) ("But as this court recently explained, ‘ Mathis did not invent the categorical approach.’ ... Instead, Mathis merely applied prior precedent ... Taylor was decided well before Anderson filed his first § 2255 motion; thus he had an opportunity to raise a Mathis -type claim[.]"); Randolph v. Streeval , No. 19-5135, 2020 WL 832896, at *2 (6th Cir. Feb. 7, 2020) ("Nor can Randolph rely on Mathis v. United States , ––– U.S. ––––, 136 S. Ct. 2243, 195 L.Ed.2d 604 (2016), even though it is a Supreme Court case he did not raise previously. For one thing, "[a] new case matters only, if at all, because of the new legal arguments it makes available." Wright, 939 F.3d at 705. Mathis did not provide Randolph with a new legal argument. It merely reinforced a longstanding rule[.]"); Silva v. Kizziah , No. 19-5914, 2020 WL 710789, at *2 (6th Cir. Jan. 9, 2020) ("[T]he principles underlying [Descamps and Mathis ] were established much earlier, beginning with Taylor v. United States , 495 U.S. 575, 110 S.Ct. 2143, 109 L.Ed.2d 607 (1990).").

After Wright , what—if anything—of value is left of Sutton, Muir , etc. 's conclusions that Mathis applies retroactively in the savings clause context? Importantly, it seems that—even if Mathis is "retroactive"—courts must assess, attendant to the foundational reasonable opportunity analysis, whether the petitioner in fact needed the case to present his argument. On one end of the spectrum is the position that Mathis itself—merely relying on and reiterating established interpretative rules—cannot ever be needed to test an ACCA argument, as the necessary legal arguments existed as early as Taylor. The above-cited cases, as well as Wright and Hueso , suggest this as the proper take.

But what, then, is the impact of foreclosing circuit precedent on a Mathis -reliant petitioner's savings clause venture? Both the Wright and Hueso Courts thought it relevant that a petitioner have (and demonstrate) some avenue to break through a wall of erroneous circuit precedent. In Hueso , it was the genuinely new legal arguments generated in Carachuri-Rosendo , which preceded Hueso's appeal and initial § 2255, despite the persisting hostile circuit precedent. And in Wright , it mattered not that Mathis came after Wright's sentencing, appeal, and first chance at filing a § 2255, because the case unearthed no new arguments, and Wright did not need the case itself "to clear a path through erroneous Fourth Circuit precedent[,]" as there was none at the relevant times. Wright , 939 F.3d at 706. The Court thus wonders: Where hostile precedent exists in the applicable circuit, at the relevant times, to what extent—if at all—does Mathis (or any other intervening Supreme Court case that works no pertinent interpretative change) matter? In other words, was Harris required to argue (at sentencing, on appeal, or in his § 2255 motion) that Taylor 's elements-based interpretation principle—in place well before his case—invalidated the subject ACCA predicates, even in the face of binding Eighth Circuit precedent that directly held his prior offenses to be a qualifying predicates? Similarly, did Harris have a "reasonable opportunity" to argue, before conclusion of his direct appeal or in his initial § 2255 motion, that Olsson —directly based on Descamps —misapplied the categorical approach and, accordingly, reached the wrong result? Or is this situation enough to render the argument functionally unavailable in his case, for savings clause purposes, until a case like Mathis came through and, by way of a fresh example, offered Harris a renewed chance to challenge the post- Taylor -and- Descamps Eighth Circuit ACCA cases?

Judge Thapar's concurrence suggests Harris had all the opportunity required. See Wright , 939 F.3d at 707 (Thapar, J., concurring) (" Section 2255 is not inadequate or ineffective to test the legality of [a prisoner's] detention just because binding circuit precedent is against him at the time of his conviction or his first motion. Applying AEDPA in such cases may seem unfair. Yet in enacting AEDPA, Congress weighed error correction against finality and made some difficult policy judgments. And for us to second-guess those judgments is to usurp Congress's role.") (internal quotation marks and citations omitted); id. at 709 ("In our system, litigants are bound by precedent all the time. Even precedent that we later recognize was incorrect. In this circuit, when our precedent cuts against a party, we expect that party to (1) distinguish it, (2) persuade us to overrule it en banc, or (3) persuade the Supreme Court to correct our error. In the meantime, we go on applying it."). But, no Sixth Circuit majority (or en banc Court) has yet directly and conclusively made the answer in this scenario clear. Nevertheless, the Court grapples with the question in real-time and must resolve this case based on existing authority and its perception of the Circuit's path.

At bottom, it is clear—from Wright and Hueso , and based on the lessons of earlier savings clause precedent—that, to benefit from § 2255(e), Harris must rely upon an intervening Supreme Court decision that adopts a new interpretation of a statute after the completion of initial § 2255 proceedings and demonstrate that he had no reasonable opportunity to assert the legal arguments generated by that case either at the time of sentencing, on direct appeal, or in his initial § 2255 motion. See Hueso , 948 F.3d at 333 ("We now turn the facts of our prior cases into a holding. In addition to whatever else our reasonable-opportunity standard demands, it requires a Supreme Court decision that adopts a new interpretation of a statute after the completion of the initial § 2255 proceedings."); Wright , 939 F.3d at 703 ("[I]n this circuit, a federal prisoner who has already filed a § 2255 motion and cannot file another one cannot access § 2241 just because a new Supreme Court case hints his conviction or sentence may be defective. Rather, the prisoner must also show that binding adverse precedent (or some greater obstacle) left him with ‘no reasonable opportunity’ to make his argument any earlier[.]").

Ultimately, though Mathis 's habeas role is shifting (with recent cases minimizing its effect and relevance in the savings clause context), it is clear that the only interpretative change it could be said to have worked was not a change needed to test Harris's actual argument. Mathis refined (perhaps, even crafted) the proper manner of distinguishing between means and elements in a statute and, relatedly, thus determining when to apply the categorical versus the modified categorical approach. Mathis , 136 S. Ct. at 2250 ("The issue before us is whether ACCA treats this kind of statute as it does all others, imposing a sentence enhancement only if the state crime's elements correspond to those of a generic offense—or instead whether the Act makes an exception for such a law, so that a sentence can be enhanced when one of the statute's specified means creates a match with the generic offense, even though the broader element would not."). The Supreme Court found that, by treating portions of the underlying Iowa burglary statute as elements, rather than means, the lower court improperly found the statute divisible, applied the modified categorical approach, and consulted the petitioners' underlying case records pursuant to Shepard v. United States , 544 U.S. 13, 125 S. Ct. 1254, 161 L.Ed.2d 205 (2005). Mathis teaches that, instead, where a statute identifies mere alternative means of satisfying a single element, rather than alternative elements signifying distinct crimes, courts should follow the categorical, rather than the modified categorical, approach in analyzing whether the statute's elements—as a whole, inclusive of all potential alternative means—match or are narrower than the generic crime's reach. Though Mathis clarified when to apply the categorical approach (i.e. , finding it equally applicable to statutes with mere alternative means), it did not alter the process of applying the categorical approach to an indivisible statute.

Harris's argument, in short, turns on the precise scope of the phrase "inhabitable structure" in the at-issue Missouri second-degree burglary statute and inquiry into whether, applying the categorical approach to the statute as a whole, the phrase renders the Missouri statute broader than generic burglary. As Harris argues, Naylor ultimately concluded that the Missouri statute is categorically broader than its generic counterpart, disqualifying it as an ACCA predicate. 887 F.3d at 400 ("Under the categorical approach, Naylor is not subject to an enhanced sentence under the ACCA, as the statutory definition of ‘inhabitable structure’ is broader than the locational element of generic burglary.").

Critically, the lesson Mathis taught—how to parse means from elements and avoid erroneously applying the modified categorical approach—was not necessary to Harris's argument. Harris faced extant Eighth Circuit precedent ( Olsson , etc.) that already treated Missouri second-degree burglary as a single, indivisible crime (with only one set of elements) and, accordingly, applied the categorical approach to the entire statute. The problem, for Harris, was that the cases reached an outcome adverse to his position. As a practical matter, this would have required Harris to argue that the Eighth Circuit in Olsson misapplied Taylor , Descamps , etc.—and improperly analyzed the statute under the categorical approach—in any effort to "test" his current argument on direct appeal or in an initial § 2255 motion. Olsson directly purported to apply Descamps , no less, in finding the statute categorically a predicate. The task of arguing against erroneous circuit precedent, based on the view that it misapplies existing Supreme Court principles, is a difficult but common one. As a legal matter, Harris needed only the earlier Supreme Court cases outlining the categorical approach, with its inveterate pedigree, to make his ACCA argument in the face of then-existing adverse Eighth Circuit precedent. Mathis itself did not generate any new legal principles or work any statutory interpretation change (if it can be said to have changed anything at all) that was necessary to raise (i.e. to "test") Harris's particular claim. It follows that, at minimum in this case, Mathis cannot serve as the required intervening Supreme Court case adopting a new statutory interpretation supplying Harris's argument. See Hueso , 948 F.3d at 333 ; Mathis , 136 S. Ct. at 2251–52 (quoting Taylor , 110 S. Ct. at 2159, and Descamps , 133 S. Ct. at 2283 ) ("Accordingly, a sentencing judge may look only to ‘the elements of the [offense], not to the facts of [the] defendant's conduct.’ [ Taylor , 110 S. Ct. at 2159 ] ... That simple point became a mantra in our subsequent ACCA decisions. At the risk of repetition (perhaps downright tedium), here are some examples ... [M]ost recently (and tersely) in Descamps: ‘The key [under ACCA] is elements, not facts.’ [ ] 133 S. Ct. at 2283.") (internal footnote omitted).

The Court notes as an aside, in this particular case, that there was no doubt room for such a substantive argument. Olsson —after the Descamps -based remand—conclusorily applied the categorical approach (in no more than one paragraph), without relying on any earlier precedent, and summarily found that the predicate qualified, without real analysis. A deeper dive into the reach of "inhabitable structure" was primed and waiting in the wings.

Though Naylor ultimately relied on Mathis in reversing Sykes 's decision to apply the modified categorical approach—in other words, in deciding when the categorical approach should apply—Mathis played no role in the Eighth Circuit's (brief) analysis of the categorical approach's actual application and outcome. Mathis was needed for the Eighth Circuit to correctly travel from Sykes to Naylor , but it was not needed for it to progress from Olsson to Naylor. The only Olsson -toNaylor change was the result of categorical approach application. Olsson misapplied the categorical approach, but it did apply the categorical approach—Harris's ultimate aim.

Hueso , etc. inherently contain an implicit relevance requirement. It would be nonsensical to read the cases as permitting reliance on any intervening Supreme Court case adopting a new statutory interpretation, regardless of its connection (or lack of connection) to the statute and argument the petitioner now raises. It is axiomatic that the savings clause requires an intervening case that is analytically applicable to the petitioner's claim.

Still, in Wright , the Court thought it relevant—despite Mathis , per the Court, being unnecessary because it generated no new arguments—that the petitioner also faced no foreclosing circuit precedent. Would Wright have come out differently, and found the savings clause requirements satisfied, if there had been such precedent? Or would Mathis 's lack of novel evaluative principles, in any event, have precluded relief in that case? Hueso offers some guidance on this topic; it expressly imposes—"[i]n addition to whatever else [the] reasonable-opportunity standard demands" vis-à-vis Wright , etc., a requirement that the relied-upon intervening Supreme Court case adopt a new interpretation of a statute. Hueso , 948 F.3d at 333. Indeed, Hueso dealt with adverse circuit precedent, but concluded that such did not foreclose the petitioner's arguments because the Supreme Court case generating them existed at the relevant times in the petitioner's appeal and collateral attack process. Id. at 340 (rejecting the petitioner's argument that, due to adverse circuit precedent, "he could not have relied on Carachuri-Rosendo "). Hueso suggests, then, that—where the Supreme Court has already supplied the necessary legal arguments—contrary adverse circuit precedent does not foreclose assertion of the argument. This is consistent with fundamental savings clause principles underlying this Circuit's precedent on the topic. See, e.g. , In re Davenport , 147 F.3d 605, 610 (7th Cir. 1998) ("Nichols could not use a first motion under [ § 2255 ] to obtain relief on a basis not yet established by law."); Wright , 939 F.3d at 702 (discussing Davenport 's centrality to the conclusion in Martin v. Perez , 319 F.3d 799 (6th Cir. 2003), and reasonable opportunity standard). Accordingly, adverse circuit precedent may only officially foreclose a petitioner's argument, in the savings clause context, where no Supreme Court case yet provides a basis for the argument's vindication. Conversely, where the complete legal basis exists, and circuit precedent simply has not caught up (or, as in this case, has continued to get it wrong), the argument—though perhaps difficult to win, as a practical matter—is available, and a reasonable opportunity exists to make it, for savings clause purposes. Thus, because Mathis added nothing new—at least, relative to Harris's instant ACCA claim —and because the legal basis (correct categorical approach application) for that claim was established well before Harris's case, he had a reasonable opportunity to test it earlier, whether at the time of sentencing, direct appeal, or the initial § 2255 motion. Mathis applied the same categorical approach as Descamps (rooted in Taylor ). Olsson applied Descamps and found the Missouri statute a categorical predicate. Sykes later wrongly treated the statute as divisible, but Naylor corrected that, returned to the categorical approach, and disagreed with the Olsson result. Harris, all along, could have argued just what the defendant in Olsson tried—to convince the Eighth Circuit that Missouri defined second-degree burglary in a way broader than the ACCA's generic definition. Mathis did not originate that argument, and Mathis , ultimately, just applied well-worn categorical analysis to the state statute involved. As with the petitioner in Wright , Mathis gave no necessary lift to the underlying relief theory. Accordingly, Harris has not shown that § 2255, as a vehicle, was inadequate or ineffective to test his current argument.

This decision gives the Court no pleasure and surely will be more than a disappointment to the over-sentenced Harris. The habeas world, one of rules, requirements, deadlines, and frequent dead ends, is one where values of finality and ultimate justice sometimes clash. The Court can say only that it endeavors to follow the cases, which themselves endeavor to follow the statutes and Constitution, to reach the decision required.

For all of these reasons, the Court DENIES Harris's petition brought under 18 U.S.C. § 2241. A corresponding Judgment follows.


Summaries of

Harris v. Barnhart

UNITED STATES DISTRICT COURT EASTERN DISTRICT OF KENTUCKY SOUTHERN DIVISION LONDON
Mar 25, 2020
448 F. Supp. 3d 704 (E.D. Ky. 2020)
Case details for

Harris v. Barnhart

Case Details

Full title:TYRONE HARRIS, Petitioner, v. J.A. BARNHART, Warden, Respondent.

Court:UNITED STATES DISTRICT COURT EASTERN DISTRICT OF KENTUCKY SOUTHERN DIVISION LONDON

Date published: Mar 25, 2020

Citations

448 F. Supp. 3d 704 (E.D. Ky. 2020)

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