Petitioner, a black man, was convicted in an Illinois state
court of attempted murder and other offenses by an all-white jury.
During jury selection, the prosecutor used all 10 of his peremptory
challenges to exclude blacks. Petitioner twice unsuccessfully moved
for a mistrial, arguing that he was "entitled to a jury of his
peers." The prosecutor defended the challenges by stating that he
was trying to achieve a balance of men and women on the jury. After
an unsuccessful state court appeal, in which he argued that the
prosecutor's use of peremptory challenges denied him the right to
be tried by a jury that was representative of the community,
petitioner filed a habeas corpus petition in Federal District
Court, repeating his fair cross-section claim. He further argued
that the opinions of several Justices concurring in and dissenting
from the denial of certiorari in
McCray v. New York, 461
U.S. 961, had invited a reexamination of
Swain v. Alabama,
380 U. S. 202, as
to what a defendant must show to establish a
prima facie
case of discrimination with respect to a peremptory challenge
system. He also argued, for the first time, that, under
Swain, a prosecutor could be questioned about his use of
peremptory challenges once he volunteered an explanation. The
District Court held that it was bound by
Swain and Circuit
precedent, and denied relief. A panel of the Court of Appeals
agreed with petitioner that the Sixth Amendment's fair
cross-section requirement that applied to a jury venire also
applied to a petit jury, and held that he had made out a
prima
facie case of discrimination. But the Court of Appeals voted
to rehear the case en banc, and postponed rehearing until after
this Court's decision in
Batson v. Kentucky, 476 U. S.
79. Ultimately,
Batson was decided, and
overruled that portion of
Swain setting forth the
evidentiary showing necessary to make out a
prima facie
case of racial discrimination under the Equal Protection Clause of
the Fourteenth Amendment with respect to a peremptory challenge
system.
Batson held that a defendant can establish such a
case by showing that he is a "member of a cognizable racial group,"
that the prosecutor exercised "peremptory challenges to remove from
the venire members of the defendant's race," and that these
"facts and any other relevant circumstances raise an inference
that the prosecutor used that practice to
Page 489 U. S. 289
exclude the veniremen from the petit jury on account of their
race."
476 U.S. at
476 U. S. 96.
The Court of Appeals then held that petitioner could not benefit
from the
Batson rule because, in the meantime,
Allen
v. Hardy, 478 U. S. 255, had
held that
Batson could not be applied retroactively to
cases on collateral review. The Court of Appeals also held that
petitioner's
Swain claim was procedurally barred and, in
any event, meritless, and that the fair cross-section requirement
was limited to the jury venire.
Held: The judgment is affirmed.
820 F.2d 832, affirmed.
JUSTICE O'CONNOR delivered the opinion of the Court with respect
to Parts I, II, and III, concluding that:
1.
Allen v. Hardy prevented petitioner from benefiting
from the rule announced in
Batson, since his conviction
became final before
Batson was decided. The opinions filed
in
McCray -- which involved the question whether the
Constitution prohibits the use of peremptory challenges to exclude
members of a particular group from the jury, based on the
prosecutor's assumption that they would be biased in favor of other
members of the same group -- did not destroy
Swain's
precedential effect, as petitioner urges they did, since a denial
of certiorari imports no expression of opinion on the merits of the
case, and, concomitantly, opinions accompanying such denial cannot
have the same effect as decisions on the merits. Pp.
489 U. S.
294-296.
2. Petitioner is procedurally barred from raising the claim that
he has established a violation of the Equal Protection Clause under
Swain, and that
Swain did not preclude an
examination of the prosecutor's stated reasons for his peremptory
challenges to determine the legitimacy of his motive. Since
petitioner did not raise the
Swain claim at trial or on
direct appeal, he forfeited review of the claim in collateral
proceedings in the state courts. Under
Wainwright v.
Sykes, 433 U. S. 72, he is
barred from raising the claim in a federal habeas corpus
proceeding, since he made no attempt to show cause for his default
and the Illinois Appellate Court, contrary to his contention, did
not address the
Swain claim. Pp.
489 U. S.
297-299.
JUSTICE O'CONNOR, joined by THE CHIEF JUSTICE, JUSTICE SCALIA,
and JUSTICE KENNEDY, concluded in Parts IV and V that a decision
extending to the petit jury the Sixth Amendment requirement that
the jury venire be drawn from a fair cross-section of the community
would not be applied retroactively to cases on collateral review,
and therefore petitioner's fair cross-section claim will not be
addressed. Pp.
489 U. S.
299-316.
(a) Retroactivity is properly treated as a threshold question,
for, once a new constitutional rule of criminal procedure is
applied to the defendant
Page 489 U. S. 290
in the case announcing the rule, evenhanded justice requires
that it be applied retroactively to all who are similarly situated.
Thus, before deciding whether the fair cross-section requirement
should be extended to the petit jury, it should be determined
whether such a rule would be applied retroactively to the case at
issue. Pp.
489 U. S.
299-305.
(b) Justice Harlan's view that new constitutional rules of
criminal procedure generally should not be applied retroactively to
cases on collateral review is the appropriate approach. Unless they
fall within one of Justice Harlan's suggested exceptions to this
general rule -- that a new rule should be applied retroactively (1)
if it places "certain kinds of primary, private individual conduct
beyond the power of the criminal lawmaking authority to proscribe,"
Mackey v. United States, 401 U. S. 667,
401 U. S. 692,
or (2) if it requires the observance of "those procedures that . .
. are
implicit in the concept of ordered liberty,'"
id. at 401 U. S. 693
-- such new rules will not be applicable to those cases that have
become final before the new rules were announced. Pp. 489 U. S.
305-310.
(c) Since petitioner's conviction became final six years ago,
the rule he urges would not be applicable to this case, which is on
collateral review, unless it falls within one of the above
exceptions. The first exception is not relevant here, since
application of the fair cross-section requirement to the petit jury
would not accord constitutional protection to any primary activity.
The second exception should be limited in scope to those new
procedures without which the likelihood of an accurate conviction
is seriously diminished. An examination of the decision in
Taylor v. Louisiana, 419 U. S. 522,
applying the fair cross-section requirement to the jury venire,
leads inexorably to the conclusion that adoption of the rule
petitioner urges would be a far cry from the kind of absolute
prerequisite to fundamental fairness that is "implicit in the
concept of ordered liberty." Because the absence of a fair
cross-section on the jury venire does not undermine the fundamental
fairness that must underlie a conviction or seriously diminish the
likelihood of obtaining an accurate conviction, a rule requiring
that petit juries be composed of a fair cross-section of the
community would not be a "bedrock procedural element" that would be
retroactively applied under the second exception. Pp.
489 U. S.
311-315.
(d) Were the new rule urged by petitioner recognized, petitioner
would have to be given the benefit of that rule even though it
would not be applied retroactively to others similarly situated. A
new rule will not be announced in a given case unless it would be
applied retroactively to the defendant in that case and to all
others similarly situated. This not only eliminates any problems of
rendering advisory opinions, it also avoids the inequity resulting
from an uneven application of new rules to similarly situated
defendants. Implicit in the above retroactivity approach is the
principle that habeas corpus cannot be used as a vehicle to
Page 489 U. S. 291
create new constitutional rules of criminal procedure unless
those rules would be applied retroactively to all defendants on
collateral review through one of the two articulated exceptions.
Pp.
489 U. S.
315-316.
JUSTICE WHITE concluded that the result as to nonretroactivity
of the fair cross-section rule urged by petitioner is an acceptable
application in collateral proceedings of the theories embraced in
United States v. Johnson, 457 U.
S. 537,
Shea v. Louisiana, 470 U. S.
51, and
Griffith v. Kentucky, 479 U.
S. 314, as to retroactivity of new constitutional rules
of criminal procedure to all cases pending on direct review. Pp.
489 U. S.
316-317.
JUSTICE BLACKMUN concurred in the result insofar as petitioner's
claim based on
Swain v. Alabama, 380 U.
S. 202, was concerned. P.
489 U. S.
318.
JUSTICE STEVENS concluded in Part I, joined by JUSTICE BLACKMUN,
that petitioner had alleged a Sixth Amendment violation and that
the Court should decide the question in his favor. Nonetheless,
petitioner's conviction should not be set aside for, as a matter of
stare decisis, the Court's opinion in
Allen v.
Hardy, 478 U. S. 255,
controls disposition of this retroactivity question. In general,
the Court should adopt Justice Harlan's analysis of retroactivity
for habeas corpus cases as well as for cases still on direct
review, but without the plurality's "modification" of his
fundamental fairness exception. JUSTICE STEVENS concluded in Part
II that, since petitioner's claim under
Swain v. Alabama,
380 U. S. 202,
that the prosecutor violated the Equal Protection Clause by using
peremptory challenges to exclude black persons from the jury was
never presented to the state courts, it should be treated as an
unexhausted claim that is not ripe for review on federal habeas
corpus until those courts have spoken. Pp.
489 U. S.
318-326.
O'CONNOR, J., announced the judgment of the Court and delivered
the opinion of the Court with respect to Parts I and III, in which
REHNQUIST, C.J., and WHITE, SCALIA, and KENNEDY, JJ., joined, the
opinion of the Court with respect to Part II, in which REHNQUIST,
C.J., and WHITE, BLACKMUN, STEVENS, SCALIA, and KENNEDY, JJ.,
joined, and an opinion with respect to Parts IV and V, in which
REHNQUIST, C.J., and SCALIA and KENNEDY, JJ., joined. WHITE, J.,
post, p.
489 U. S. 316,
and BLACKMUN, J.,
post, p.
489 U. S. 318,
filed opinions concurring in part and concurring in the judgment.
STEVENS, J., filed an opinion concurring in part and concurring in
the judgment, in Part I of which BLACKMUN, J., joined,
post, p.
489 U. S. 318.
BRENNAN, J., filed a dissenting opinion, in which MARSHALL, J.,
joined,
post, p.
489 U. S.
326.
Page 489 U. S. 292
JUSTICE O'CONNOR announced the judgment of the Court and
delivered the opinion of the Court with respect to Parts I, II, and
III, and an opinion with respect to Parts IV and V, in which THE
CHIEF JUSTICE, JUSTICE SCALIA, and JUSTICE KENNEDY join.
In
Taylor v. Louisiana, 419 U.
S. 522 (1975), this Court held that the Sixth Amendment
required that the jury venire be drawn from a fair cross-section of
the community. The Court stated, however, that,
"in holding that petit juries must be drawn from a source fairly
representative of the community, we impose no requirement that
petit juries actually chosen must mirror the community and reflect
the various distinctive groups in the population. Defendants are
not entitled to a jury of any particular composition."
Id. at
419 U. S. 538.
The principal question presented in this case is whether the Sixth
Amendment's fair cross-section requirement should now be extended
to the petit jury. Because we adopt Justice Harlan's approach to
retroactivity for cases on collateral review, we leave the
resolution of that question for another day.
I
Petitioner, a black man, was convicted by an all-white Illinois
jury of three counts of attempted murder, two counts of
Page 489 U. S. 293
armed robbery, and one count of aggravated battery. During jury
selection for petitioner's trial, the prosecutor used all 10 of his
peremptory challenges to exclude blacks. Petitioner's counsel used
one of his 10 peremptory challenges to exclude a black woman who
was married to a police officer. After the prosecutor had struck
six blacks, petitioner's counsel moved for a mistrial. The trial
court denied the motion. App. 2-3. When the prosecutor struck four
more blacks, petitioner's counsel again moved for a mistrial,
arguing that petitioner was "entitled to a jury of his peers."
Id. at 3. The prosecutor defended the challenges by
stating that he was trying to achieve a balance of men and women on
the jury. The trial court denied the motion, reasoning that the
jury "appear[ed] to be a fair [one]."
Id. at 4.
On appeal, petitioner argued that the prosecutor's use of
peremptory challenges denied him the right to be tried by a jury
that was representative of the community. The Illinois Appellate
Court rejected petitioner's fair cross-section claim.
People v.
Teague, 108 Ill.App.3d 891, 895-897, 439 N.E.2d 1066,
1069-1071 (1982). The Illinois Supreme Court denied leave to
appeal, and we denied certiorari.
464 U. S. 867
(1983).
Petitioner then filed a petition for a writ of habeas corpus in
the United States District Court for the Northern District of
Illinois. Petitioner repeated his fair cross-section claim, and
argued that the opinions of several Justices concurring in and
dissenting from the denial of certiorari in
McCray v. New
York, 461 U.S. 961 (1983), had invited a reexamination of
Swain v. Alabama, 380 U. S. 202
(1965), which prohibited States from purposefully and
systematically denying blacks the opportunity to serve on juries.
He also argued, for the first time, that, under
Swain, a
prosecutor could be questioned about his use of peremptory
challenges once he volunteered an explanation. The District Court,
though sympathetic to petitioner's arguments, held that it was
bound by
Swain and Circuit precedent. App. 5-6.
Page 489 U. S. 294
On appeal, petitioner repeated his fair cross-section claim and
his
McCray argument. A panel of the Court of Appeals
agreed with petitioner that the Sixth Amendment's fair
cross-section requirement applied to the petit jury, and held that
petitioner had made out a
prima facie case of
discrimination. A majority of the judges on the Court of Appeals
voted to rehear the case en banc, and the panel opinion was
vacated.
United States ex rel. Teague v. Lane, 779 F.2d
1332 (CA7 1985) (en banc) (Cudahy, J., dissenting). Rehearing was
postponed until after our decision in
Batson v. Kentucky,
476 U. S. 79
(1986), which overruled a portion of
Swain. After
Batson was decided, the Court of Appeals held that
petitioner could not benefit from the rule in that case because
Allen v. Hardy, 478 U. S. 255
(1986) (per curiam), had held that
Batson would not be
applied retroactively to cases on collateral review. 820 F.2d 832,
834, n. 4 (CA7 1987) (en banc). The Court of Appeals also held that
petitioner's
Swain claim was procedurally barred and, in
any event, meritless.
Id. at 834, n. 6. The Court of
Appeals rejected petitioner's fair cross-section claim, holding
that the fair cross-section requirement was limited to the jury
venire.
Id. at 834-843. Judge Cudahy dissented, arguing
that the fair cross-section requirement should be extended to the
petit jury.
Id. at 844.
II
Petitioner's first contention is that he should receive the
benefit of our decision in
Batson even though his
conviction became final before
Batson was decided. Before
addressing petitioner's argument, we think it helpful to explain
how
Batson modified
Swain. Swain held
that a "State's purposeful or deliberate denial" to blacks of an
opportunity to serve as jurors solely on account of race violates
the Equal Protection Clause of the Fourteenth Amendment. 380 U.S.
at
380 U. S.
203-204. In order to establish a
prima facie
case of discrimination under
Swain, a defendant had to
demonstrate that the peremptory challenge system had been
"perverted."
Page 489 U. S. 295
A defendant could raise an inference of purposeful
discrimination if he showed that the prosecutor in the county where
the trial was held "in case after case, whatever the circumstances,
whatever the crime and whoever the defendant or the victim may be,"
has been responsible for the removal of qualified blacks who had
survived challenges for cause, with the result that no blacks ever
served on petit juries.
Id. at
380 U. S.
223.
In
Batson, the Court overruled that portion of
Swain setting forth the evidentiary showing necessary to
make out a
prima facie case of racial discrimination under
the Equal Protection Clause. The Court held that a defendant can
establish a
prima facie case by showing that he is a
"member of a cognizable racial group," that the prosecutor
exercised "peremptory challenges to remove from the venire members
of the defendant's race," and that those
"facts and any other relevant circumstances raise an inference
that the prosecutor used that practice to exclude the veniremen
from the petit jury on account of their race."
476 U.S. at
476 U. S. 96.
Once the defendant makes out a
prima facie case of
discrimination, the burden shifts to the prosecutor "to come
forward with a neutral explanation for challenging black jurors."
Id. at
476 U. S.
97.
In
Allen v. Hardy, the Court held that
Batson
constituted an "explicit and substantial break with prior
precedent" because it overruled a portion of
Swain. 478
U.S. at
478 U. S. 258.
Employing the retroactivity standard of
Linkletter v.
Walker, 381 U. S. 618,
381 U. S. 636
(1965), the Court concluded that the rule announced in
Batson should not be applied retroactively on collateral
review of convictions that became final before
Batson was
announced. The Court defined final to mean a case
"'where the judgment of conviction was rendered, the
availability of appeal exhausted, and the time for petition for
certiorari had elapsed before our decision in'
Batson. . .
."
478 U.S. at
478 U. S. 258,
n. 1 (citation omitted).
Petitioner's conviction became final 2 1/2 years prior to
Batson, thus depriving petitioner of any benefit from the
rule
Page 489 U. S. 296
announced in that case. Petitioner argues, however, that
Batson should be applied retroactively to all cases
pending on direct review at the time certiorari was denied in
McCray because the opinions filed in
McCray
destroyed the precedential effect of
Swain. Brief for
Petitioner 23. The issue in
McCray and its companion cases
was whether the Constitution prohibited the use of peremptory
challenges to exclude members of a particular group from the jury,
based on the prosecutor's assumption that they would be biased in
favor of other members of that same group. JUSTICES MARSHALL and
BRENNAN dissented from the denial of certiorari, expressing the
views that
Swain should be reexamined, and that the
conduct complained of violated a defendant's Sixth Amendment right
to be tried by an impartial jury drawn from a fair cross-section of
the community. 461 U.S. at 964-970. JUSTICES STEVENS, BLACKMUN, and
Powell concurred in the denial of certiorari. They agreed that the
issue was an important one, but stated that it was a
"sound exercise of discretion for the Court to allow the various
States to serve as laboratories in which the issue receives further
study before it is addressed."
Id. at 963.
We reject the basic premise of petitioner's argument. As we have
often stated, the "denial of a writ of certiorari imports no
expression of opinion upon the merits of the case."
United
States v. Carver, 260 U. S. 482,
260 U. S. 490
(1923) (Holmes, J.).
Accord, Hughes Tool Co. v. Trans World
Airlines, Inc., 409 U. S. 363,
409 U. S. 366,
n. 1 (1973);
Brown v. Allen, 344 U.
S. 443,
344 U. S.
489-497 (1953). The "variety of considerations [that]
underlie denials of the writ,"
Maryland v. Baltimore Radio
Show, 338 U. S. 912, 917
(1950) (opinion of Frankfurter, J.), counsels against according
denials of certiorari any precedential value. Concomitantly,
opinions accompanying the denial of certiorari cannot have the same
effect as decisions on the merits. We find that
Allen v.
Hardy is dispositive, and that petitioner cannot benefit from
the rule announced in
Batson.
Page 489 U. S. 297
III
Petitioner's second contention is that he has established a
violation of the Equal Protection Clause under
Swain.
Recognizing that he has not shown any systematic exclusion of
blacks from petit juries in case after case, petitioner contends
that, when the prosecutor volunteers an explanation for the use of
his peremptory challenges,
Swain does not preclude an
examination of the stated reasons to determine the legitimacy of
the prosecutor's motive. Brief for Petitioner 35 (citing
Batson, 476 U.S. at
476 U. S. 101,
n. (WHITE, J., concurring)).
See Weathersby v. Morris, 708
F.2d 1493, 1495-1496 (CA9 1983) (supporting petitioner's
interpretation of
Swain),
cert. denied, 464 U.S.
1046 (1984).
Petitioner candidly admits that he did not raise the
Swain claim at trial or on direct appeal. Brief for
Petitioner 38-39. Because of this failure, petitioner has forfeited
review of the claim in the Illinois courts.
"It is well established that"
"where an appeal was taken from a conviction, the judgment of
the reviewing court is
res judicata as to all issues
actually raised, and those that could have been presented but were
not are deemed waived."
People v. Gaines, 105 Ill. 2d
79, 87-88,
473 N.E.2d
868, 873 (1984) (citation omitted),
cert. denied, 471
U.S. 1131 (1985). The default prevents petitioner from raising the
Swain claim in collateral proceedings under the Illinois
Post-Conviction Hearing Act, Ill.Rev.Stat., ch. 38, � 122-1
et seq. (1987), unless fundamental fairness requires that
the default be overlooked.
People v. Brown, 52 Ill. 2d
227, 230,
287 N.E.2d
663, 665 (1972).
The fundamental fairness exception is a narrow one, and has been
applied in limited circumstances.
Compare People v.
Goerger, 52 Ill. 2d
403, 406,
288 N.E.2d
416, 418 (1972) (improper instruction on reasonable doubt "does
not constitute such fundamental unfairness as to obviate the
res judicata and waiver doctrines"),
with People v.
Ikerd, 47 Ill. 2d
211, 212,
265 N.E.2d
120, 121 (1970) (fundamental fairness exception applies "where
the right relied on has been
Page 489 U. S. 298
recognized for the first time after the direct appeal"),
and
People v. Hamby, 32 Ill. 2d
291, 294-295,
205 N.E.2d
456, 458 (1965) (fundamental fairness exception applies to
claims that defendant asked counsel to raise on direct appeal). It
is clear that collateral relief would be unavailable to petitioner.
See People v. Beamon, 31 Ill.App.3d 145, 145-146, 333
N.E.2d 575, 575-576 (1975) (abstract of decision) (not invoking
fundamental fairness exception and holding that
Swain
claim not raised on direct appeal could not be raised for the first
time in collateral proceedings). As a result, petitioner has
exhausted his state remedies under 28 U.S.C. § 2254(b) with
respect to the
Swain claim.
See Engle v. Isaac,
456 U. S. 107,
456 U. S.
125-126, n. 28 (1982);
United States ex rel.
Williams v. Brantley, 502 F.2d 1383, 1385-1386 (CA7 1974).
Under
Wainwright v. Sykes, 433 U. S.
72,
433 U. S. 87-91
(1977), petitioner is barred from raising the
Swain claim
in a federal habeas corpus proceeding unless he can show cause for
the default and prejudice resulting therefrom.
See Engle v.
Isaac, supra, at
456 U. S.
113-114,
456 U. S. 117,
456 U. S.
124-135 (applying procedural default rule to claim that
had never been raised in state court). Petitioner does not attempt
to show cause for his default. Instead, he argues that the claim is
not barred because it was addressed by the Illinois Appellate
Court.
Cf. Caldwell v. Mississippi, 472 U.
S. 320,
472 U. S.
327-328 (1985). We cannot agree with petitioner's
argument. The Illinois Appellate Court rejected petitioner's Sixth
Amendment fair cross-section claim
without mentioning the
Equal Protection Clause on which
Swain was based or
discussing whether
Swain allows a prosecutor to be
questioned about his use of peremptory challenges once he
volunteers an explanation.
See People v. Teague, 108
Ill.App.3d at 895-896, 439 N.E.2d at 1070. Accordingly, we hold
that petitioner's
Swain claim is procedurally barred, and
do not address its merits.
Our application of the procedural default rule here is
consistent with
Harris v. Reed, ante at
489 U. S. 263,
which holds that a
"procedural default does not bar consideration of a federal
Page 489 U. S. 299
claim on either direct or habeas review unless the last state
court rendering a judgment in the case 'clearly and expressly'
states that its judgment rests on a state procedural bar"
(citations and internal quotations omitted). The rule announced
in
Harris v. Reed assumes that a state court has had the
opportunity to address a claim that is later raised in a federal
habeas proceeding. It is simply inapplicable in a case such as this
one, where the claim was never presented to the state courts.
See ante at
489 U. S.
268-270 (O'CONNOR, J., concurring).
IV
Petitioner's third and final contention is that the Sixth
Amendment's fair cross-section requirement applies to the petit
jury. As we noted at the outset,
Taylor expressly stated
that the fair cross-section requirement does not apply to the petit
jury.
See 419 U.S. at
419 U. S. 538.
Petitioner nevertheless contends that the
ratio decidendi
of
Taylor cannot be limited to the jury venire, and he
urges adoption of a new rule. Because we hold that the rule urged
by petitioner should not be applied retroactively to cases on
collateral review, we decline to address petitioner's
contention.
A
In the past, the Court has, without discussion, often applied a
new constitutional rule of criminal procedure to the defendant in
the case announcing the new rule, and has confronted the question
of retroactivity later, when a different defendant sought the
benefit of that rule.
See, e.g., Brown v. Louisiana,
447 U. S. 323
(1980) (addressing retroactivity of
Burch v. Louisiana,
441 U. S. 130
(1979));
Robinson v. Neil, 409 U.
S. 505 (1973) (addressing retroactivity of
Waller v.
Florida, 397 U. S. 387
(1970));
Stovall v. Denno, 388 U.
S. 293 (1967) (addressing retroactivity of
United
States v. Wade, 388 U. S. 218
(1967), and
Gilbert v. California, 388 U.
S. 263 (1967));
Tehan v. Shott, 382 U.
S. 406 (1966) (addressing retroactivity of
Griffin
v. California, 380 U. S. 609
Page 489 U. S. 300
(1965)). In several cases, however, the Court has addressed the
retroactivity question in the very case announcing the new rule.
See Morrissey v. Brewer, 408 U. S. 471,
408 U. S. 490
(1972);
Witherspoon v. Illinois, 391 U.
S. 510,
391 U. S. 523,
n. 22 (1968). These two lines of cases do not have a unifying
theme, and we think it is time to clarify how the question of
retroactivity should be resolved for cases on collateral
review.
The question of retroactivity with regard to petitioner's fair
cross-section claim has been raised only in an
amicus
brief.
See Brief for Criminal Justice Legal Foundation as
Amicus Curiae 22-24. Nevertheless, that question is not
foreign to the parties, who have addressed retroactivity with
respect to petitioner's
Batson claim.
See Brief
for Petitioner 21-32; Brief for Respondent 31-38. Moreover, our
sua sponte consideration of retroactivity is far from
novel. In
Allen v. Hardy, we addressed the retroactivity
of
Batson even though that question had not been presented
by the petition for certiorari or addressed by the lower courts.
See 478 U.S. at
478 U. S.
261-262 (MARSHALL, J., dissenting).
See also Mapp v.
Ohio, 367 U. S. 643,
367 U. S. 646,
n. 3 (1961) (applying exclusionary rule to the States even although
such a course of action was urged only by
amicus
curiae).
In our view, the question
"whether a decision [announcing a new rule should] be given
prospective or retroactive effect should be faced at the time of
[that] decision."
Mistakin, Foreword: the High Court, the Great Writ, and the Due
Process of Time and Law, 79 Harv.L.Rev. 56, 64 (1965).
Cf.
Bowen v. United States, 422 U. S. 916,
422 U. S. 920
(1975) (when "issues of both retroactivity and application of
constitutional doctrine are raised," the retroactivity issue should
be decided first). Retroactivity is properly treated as a threshold
question, for, once a new rule is applied to the defendant in the
case announcing the rule, evenhanded justice requires that it be
applied retroactively to all who are similarly situated. Thus,
before deciding whether the fair cross-section requirement
Page 489 U. S. 301
should be extended to the petit jury, we should ask whether such
a rule would be applied retroactively to the case at issue. This
retroactivity determination would normally entail application of
the
Linkletter standard, but we believe that our approach
to retroactivity for cases on collateral review requires
modification.
It is admittedly often difficult to determine when a case
announces a new rule, and we do not attempt to define the spectrum
of what may or may not constitute a new rule for retroactivity
purposes. In general, however, a case announces a new rule when it
breaks new ground or imposes a new obligation on the States or the
Federal Government.
See, e.g., Rock v. Arkansas,
483 U. S. 44,
483 U. S. 62
(1987) (
per se rule excluding all hypnotically refreshed
testimony infringes impermissibly on a criminal defendant's right
to testify on his behalf);
Ford v. Wainwright,
477 U. S. 399,
477 U. S. 410
(1986) (Eighth Amendment prohibits the execution of prisoners who
are insane). To put it differently, a case announces a new rule if
the result was not
dictated by precedent existing at the
time the defendant's conviction became final.
See generally
Tresdale v. Aiken, 480 U. S. 527,
480 U. S.
528-529 (1987) (Powell, J., dissenting). Given the
strong language in
Taylor and our statement in
Akins
v. Texas, 325 U. S. 398,
325 U. S. 403
(1945), that "[f]airness in [jury] selection has never been held to
require proportional representation of races upon a jury,"
application of the fair cross-section requirement to the petit jury
would be a new rule. [
Footnote
1]
Page 489 U. S. 302
Not all new rules have been uniformly treated for retroactivity
purposes. Nearly a quarter of a century ago, in
Linkletter, the Court attempted to set some standards by
which to determine the retroactivity of new rules. The question in
Linkletter was whether
Mapp v. Ohio, which made
the exclusionary rule applicable to the States, should be applied
retroactively to cases on collateral review. The Court determined
that the retroactivity of
Mapp should be determined by
examining the purpose of the exclusionary rule, the reliance of the
States on prior law, and the effect on the administration of
justice of a retroactive application of the exclusionary rule.
Using that standard, the Court held that
Mapp would only
apply to trials commencing after that case was decided. 381 U.S. at
381 U. S.
636-640.
The
Linkletter retroactivity standard has not led to
consistent results. Instead, it has been used to limit application
of certain new rules to cases on direct review, other new rules
only to the defendants in the cases announcing such rules, and
still other new rules to cases in which trials have not yet
commenced.
See Desist v. United States, 394 U.
S. 244,
394 U. S.
256-257 (1969) (Harlan, J., dissenting) (citing
examples).
Page 489 U. S. 303
Not surprisingly, commentators have "had a veritable field day"
with the
Linkletter standard, with much of the discussion
being "more than mildly negative." Beytagh, Ten Years of
Non-Retroactivity: A Critique and a Proposal, 61 Va.L.Rev. 1557,
1558, and n. 3 (1975) (citing sources).
Application of the
Linkletter standard led to the
disparate treatment of similarly situated defendants on direct
review. For example, in
Miranda v. Arizona, 384 U.
S. 436,
384 U. S.
467-473 (1966), the Court held that, absent other
effective measures to protect the Fifth Amendment privilege against
self-incrimination, a person in custody must be warned prior to
interrogation that he has certain rights, including the right to
remain silent. The Court applied that new rule to the defendants in
Miranda and its companion cases, and held that their
convictions could not stand because they had been interrogated
without the proper warnings.
Id. at
384 U. S.
491-499. In
Johnson v. New Jersey, 384 U.
S. 719,
384 U. S.
733-735 (1966), the Court held, under the
Linkletter standard, that
Miranda would only be
applied to trials commencing after that decision had been
announced. Because the defendant in
Johnson, like the
defendants in
Miranda, was on direct review of his
conviction,
see 384 U.S. at
384 U. S. 721,
the Court's refusal to give
Miranda retroactive effect
resulted in unequal treatment of those who were similarly situated.
This inequity also generated vehement criticism.
See,
e.g., A. Bickel, The Supreme Court and the Idea of Progress
54-57 (1978) (decrying the "plain" injustice in
Johnson,
and suggesting that the Court should have distinguished between
direct and collateral review for purposes of retroactivity).
Dissatisfied with the
Linkletter standard, Justice
Harlan advocated a different approach to retroactivity. He argued
that new rules should always be applied retroactively to cases on
direct review, but that generally they should not be applied
retroactively to criminal cases on collateral review.
See
Mackey v. United States, 401 U. S. 667,
401 U. S. 675
(1971) (opinion
Page 489 U. S. 304
concurring in judgments in part and dissenting in part);
Desist, 394 U.S. at
394 U. S. 256
(dissenting opinion).
In
Griffith v. Kentucky, 479 U.
S. 314 (1987), we rejected as unprincipled and
inequitable the
Linkletter standard for cases pending on
direct review at the time a new rule is announced, and adopted the
first part of the retroactivity approach advocated by Justice
Harlan. We agreed with Justice Harlan that
"failure to apply a newly declared constitutional rule to
criminal cases pending on direct review violates basic norms of
constitutional adjudication."
479 U.S. at
479 U. S. 322.
We gave two reasons for our decision. First, because we can only
promulgate new rules in specific cases, and cannot possibly decide
all cases in which review is sought, "the integrity of judicial
review" requires the application of the new rule to "all similar
cases pending on direct review."
Id. at
479 U. S. 323.
We quoted approvingly from Justice Harlan's separate opinion in
Mackey, supra, at
401 U. S. 679:
"'If we do not resolve all cases before us on direct review in
light of our best understanding of governing constitutional
principles, it is difficult to see why we should so adjudicate any
case at all. . . . In truth, the Court's assertion of power to
disregard current law in adjudicating cases before us that have not
already run the full course of appellate review is quite simply an
assertion that our constitutional function is not one of
adjudication, but in effect of legislation.'"
479 U.S. at
479 U. S. 323.
Second, because "selective application of new rules violates the
principle of treating similarly situated defendants the same," we
refused to continue to tolerate the inequity that resulted from not
applying new rules retroactively to defendants whose cases had not
yet become final.
Id. at
479 U. S.
323-324 (citing
Desist, supra, at
394 U. S.
258-259 (Harlan, J., dissenting)). Although new rules
that constituted clear breaks with the past generally were not
given retroactive effect under the
Linkletter standard, we
held that
"a new rule for the conduct of criminal prosecutions is to be
applied retroactively to all
Page 489 U. S. 305
cases, state or federal, pending on direct review or not yet
final, with no exception for cases in which the new rule
constitutes a 'clear break' with the past."
479 U.S. at
479 U. S.
328.
The
Linkletter standard also led to unfortunate
disparity in the treatment of similarly situated defendants on
collateral review. An example will best illustrate the point. In
Edwards v. Arizona, 451 U. S. 477,
451 U. S.
484-487 (1981), the Court held that, once a person
invokes his right to have counsel present during custodial
interrogation, a valid waiver of that right cannot be inferred from
the fact that the person responded to police-initiated questioning.
It was not until
Solem v. Stumes, 465 U.
S. 638 (1984), that the Court held, under the
Linkletter standard, that
Edwards was not to be
applied retroactively to cases on collateral review. In the
interim, several lower federal courts had come to the opposite
conclusion, and had applied
Edwards to cases that had
become final before that decision was announced.
See Witt v.
Wainwright, 714 F.2d 1069, 1072-1074 (CA11 1983);
Sockwell
v. Maggio, 709 F.2d 341, 343-344 (CA5 1983);
McCree v.
Housewright, 689 F.2d 797, 800-802 (CA8 1982),
cert.
denied sub nom. McCree v. Lockhart, 460 U.S. 1088 (1983).
Thus, some defendants on collateral review whose
Edwards
claims were adjudicated prior to
Stumes received the
benefit of
Edwards, while those whose
Edwards
claims had not been addressed prior to
Stumes did not.
This disparity in treatment was a product of two factors: our
failure to treat retroactivity as a threshold question and the
Linkletter standard's inability to account for the nature
and function of collateral review. Having decided to rectify the
first of those inadequacies,
see supra, at
489 U. S.
300-301, we now turn to the second.
B
Justice Harlan believed that new rules generally should not be
applied retroactively to cases on collateral review. He argued that
retroactivity for cases on collateral review could
"be responsibly [determined] only by focusing, in the first
instance,
Page 489 U. S. 306
on the nature, function, and scope of the adjudicatory process
in which such cases arise. The relevant frame of reference, in
other words, is not the purpose of the new rule whose benefit the
[defendant] seeks, but instead the purposes for which the writ of
habeas corpus is made available."
Mackey, 401 U.S. at
401 U. S. 682
(opinion concurring in judgments in part and dissenting in part).
With regard to the nature of habeas corpus, Justice Harlan
wrote:
"Habeas corpus always has been a collateral remedy, providing an
avenue for upsetting judgments that have become otherwise final. It
is not designed as a substitute for direct review. The interest in
leaving concluded litigation in a state of repose, that is,
reducing the controversy to a final judgment not subject to further
judicial revision, may quite legitimately be found by those
responsible for defining the scope of the writ to outweigh in some,
many, or most instances the competing interest in readjudicating
convictions according to all legal standards in effect when a
habeas petition is filed."
Id. at
401 U. S.
682-683. Given the "broad scope of constitutional issues
cognizable on habeas," Justice Harlan argued that it is
"sounder, in adjudicating habeas petitions, generally to apply
the law prevailing at the time a conviction became final than it is
to seek to dispose of [habeas] cases on the basis of intervening
changes in constitutional interpretation."
Id. at
401 U. S. 689.
As he had explained in
Desist,
"the threat of habeas serves as a necessary additional incentive
for trial and appellate courts throughout the land to conduct their
proceedings in a manner consistent with established constitutional
standards. In order to perform this deterrence function, . . . the
habeas court need only apply the constitutional standards that
prevailed at the time the original proceedings took place."
394 U.S. at
394 U. S.
262-263.
See also Stumes, 466 U.S. at
466 U. S. 653
(Powell, J., concurring in judgment) ("Review on habeas to
determine that the conviction rests upon correct application of
the
Page 489 U. S. 307
law in effect at the time of the conviction is all that is
required to
forc[e] trial and appellate courts . . . to toe the
constitutional mark'") (citation omitted).
Justice Harlan identified only two exceptions to his general
rule of nonretroactivity for cases on collateral review. First, a
new rule should be applied retroactively if it places "certain
kinds of primary, private individual conduct beyond the power of
the criminal law-making authority to proscribe."
Mackey,
401 U.S. at
401 U. S. 692.
Second, a new rule should be applied retroactively if it requires
the observance of "those procedures that . . . are
implicit in
the concept of ordered liberty.'" Id. at 401 U. S. 693
(quoting Palko v. Connecticut, 302 U.
S. 319, 302 U. S. 325
(1937) (Cardozo, J.)).
Last Term, in
Yates v. Aiken, 484 U.
S. 211 (1988), we were asked to decide whether the rule
announced in
Francis v. Franklin, 471 U.
S. 307 (1985), should be applied to a defendant on
collateral review at the time that case was decided. We held that
Francis did not announce a new rule, because it
"was merely an application of the principle that governed our
decision in
Sandstrom v. Montana, [
442 U. S.
510 (1979)], which had been decided before [the
defendant's] trial took place."
484 U.S. at
484 U. S.
216-217. We therefore found it unnecessary to adopt
Justice Harlan's view of retroactivity for cases on collateral
review. We stated, however, that our recent decisions had noted, as
had Justice Harlan, "the important distinction between direct
review and collateral review."
Id. at
484 U. S. 215.
See also Pennsylvania v. Finley, 481 U.
S. 551,
481 U. S. 555
(1987) (distinguishing between direct and collateral review for
purposes of Sixth Amendment right to counsel on appeal). Indeed, we
have expressly reconciled some of our retroactivity decisions with
Justice Harlan's approach.
See Shea v. Louisiana,
470 U. S. 51,
470 U. S. 58, n.
4 (1985) (giving
Edwards retroactive effect on direct but
not collateral review "is fully congruent with both aspects of the
approach to retroactivity propounded by Justice Harlan").
Page 489 U. S. 308
We agree with Justice Harlan's description of the function of
habeas corpus.
"[T]he Court never has defined the scope of the writ simply by
reference to a perceived need to assure that an individual accused
of crime is afforded a trial free of constitutional error."
Kuhlmann v. Wilson, 477 U. S. 436,
477 U. S. 447
(1986) (plurality opinion). Rather, we have recognized that
interests of comity and finality must also be considered in
determining the proper scope of habeas review. Thus, if a defendant
fails to comply with state procedural rules and is barred from
litigating a particular constitutional claim in state court, the
claim can be considered on federal habeas only if the defendant
shows cause for the default and actual prejudice resulting
therefrom.
See Wainwright v. Sykes, 433 U.S. at
433 U. S. 87-91.
We have declined to make the application of the procedural default
rule dependent on the magnitude of the constitutional claim at
issue,
see Engle v. Isaac, 456 U.S. at
456 U. S. 129,
or on the State's interest in the enforcement of its procedural
rule,
see Murray v. Carrier, 477 U.
S. 478,
477 U. S.
493-496 (1986).
This Court has not
"always followed an unwavering line in its conclusions as to the
availability of the Great Writ. Our development of the law of
federal habeas corpus has been attended, seemingly, with some
backing and filling."
Fay v. Noia, 372 U. S. 391,
372 U. S.
411-412 (1963).
See also Stone v. Powell,
428 U. S. 465,
428 U. S.
475-476 (1976). Nevertheless, it has long been
established that a final civil judgment entered under a given rule
of law may withstand subsequent judicial change in that rule. In
Chicot County Drainage District v. Baxter State Bank,
308 U. S. 371
(1940), the Court held that a judgment based on a jurisdictional
statute later found to be unconstitutional could have
res
judicata effect. The Court based its decision in large part on
finality concerns.
"The actual existence of a statute, prior to such a
determination [of unconstitutionality], is an operative fact, and
may have consequences which cannot justly be ignored. The past
cannot always be erased by a new judicial declaration. . . .
Questions of
Page 489 U. S. 309
. . . prior determinations deemed to have finality and acted
upon accordingly . . . demand examination."
Id. at
308 U. S. 374.
Accord, Rooker v. Fidelity Trust Co., 263 U.
S. 413,
263 U. S. 415
(1923) ("Unless and until . . . reversed or modified" on appeal, an
erroneous constitutional decision is "an effective and conclusive
adjudication");
Thompson v.
Tolmie, 2 Pet. 157,
27 U. S. 169
(1829) (errors or mistakes of court with competent jurisdiction
"cannot be corrected or examined when brought up
collaterally").
These underlying considerations of finality find significant and
compelling parallels in the criminal context. Application of
constitutional rules not in existence at the time a conviction
became final seriously undermines the principle of finality which
is essential to the operation of our criminal justice system.
Without finality, the criminal law is deprived of much of its
deterrent effect. The fact that life and liberty are at stake in
criminal prosecutions
"shows only that 'conventional notions of finality' should not
have as much place in criminal as in civil litigation, not that
they should have none."
Friendly, Is Innocence Irrelevant? Collateral Attacks on
Criminal Judgments, 38 U.Chi.L.Rev. 142, 150 (1970).
"[I]f a criminal judgment is ever to be final, the notion of
legality must at some point include the assignment of final
competence to determine legality."
Bator, Finality in Criminal Law and Federal Habeas Corpus for
State Prisoners, 76 Harv.L.Rev. 441, 450-451 (1963) (emphasis
omitted).
See also Mackey, 401 U.S. at
401 U. S. 691
(Harlan, J., concurring in judgments in part and dissenting in
part) ("No one, not criminal defendants, not the judicial system,
not society as a whole is benefited by a judgment providing a man
shall tentatively go to jail today, but tomorrow and every day
thereafter his continued incarceration shall be subject to fresh
litigation").
As explained by Professor Mishkin:
"From this aspect, the
Linkletter problem becomes not
so much one of prospectivity or retroactivity of the rule, but
rather of the availability of collateral attack -- in
Page 489 U. S. 310
[that] case federal habeas corpus -- to go behind the otherwise
final judgment of conviction. . . . For the potential availability
of collateral attack is what created the 'retroactivity' problem of
Linkletter in the first place; there seems little doubt
that, without that possibility, the Court would have given short
shrift to any arguments for 'prospective limitation' of the Mapp
rule."
Foreword, 79 Harv.L.Rev. at 77-78 (footnote omitted).
See
also Bender, The Retroactive Effect of an Overruling
Constitutional Decision:
Mapp v. Ohio, 110 U.Pa.L.Rev.
650, 655-656 (1962).
The
"costs imposed upon the State[s] by retroactive application of
new rules of constitutional law on habeas corpus . . . generally
far outweigh the benefits of this application."
Stumes, 465 U.S. at
465 U. S. 654
(Powell, J., concurring in judgment). In many ways, the application
of new rules to cases on collateral review may be more intrusive
than the enjoining of criminal prosecutions,
cf. Younger v.
Harris, 401 U. S. 37,
401 U. S. 43-54
(1971), for it
continually forces the States to marshal
resources in order to keep in prison defendants whose trials and
appeals conformed to then-existing constitutional standards.
Furthermore, as we recognized in
Engle v. Isaac,
"[s]tate courts are understandably frustrated when they
faithfully apply existing constitutional law only to have a federal
court discover, during a [habeas] proceeding, new constitutional
commands."
456 U.S. at
456 U. S. 128,
n. 33.
See also Brown v. Allen, 344 U.S. at
344 U. S. 534
(Jackson, J., concurring in result) (state courts cannot
"anticipate, and so comply with, this Court's due process
requirements or ascertain any standards to which this Court will
adhere in prescribing them").
We find these criticisms to be persuasive, and we now adopt
Justice Harlan's view of retroactivity for cases on collateral
review. Unless they fall within an exception to the general rule,
new constitutional rules of criminal procedure will not be
applicable to those cases which have become final before the new
rules are announced.
Page 489 U. S. 311
V
Petitioner's conviction became final in 1983. As a result, the
rule petitioner urges would not be applicable to this case, which
is on collateral review, unless it would fall within an
exception.
The first exception suggested by Justice Harlan -- that a new
rule should be applied retroactively if it places "certain kinds of
primary, private individual conduct beyond the power of the
criminal lawmaking authority to proscribe,"
Mackey, 401
U.S. at
401 U. S. 692
(opinion concurring in judgments in part and dissenting in part) --
is not relevant here. Application of the fair cross-section
requirement to the petit jury would not accord constitutional
protection to any primary activity whatsoever.
The second exception suggested by Justice Harlan -- that a new
rule should be applied retroactively if it requires the observance
of "those procedures that . . . are
implicit in the concept of
ordered liberty,'" id. at 401 U. S. 693
(quoting Palko, 302 U.S. at 302 U. S. 325)
-- we apply with a modification. The language used by Justice
Harlan in Mackey leaves no doubt that he meant the second
exception to be reserved for watershed rules of criminal
procedure:
"Typically, it should be the case that any conviction free from
federal constitutional error at the time it became final will be
found, upon reflection, to have been fundamentally fair and
conducted under those procedures essential to the substance of a
full hearing. However, in some situations it might be that time and
growth in social capacity, as well as judicial perceptions of what
we can rightly demand of the adjudicatory process, will properly
alter our understanding of the
bedrock procedural elements
that must be found to vitiate the fairness of a particular
conviction. For example, such, in my view, is the case with the
right to counsel at trial now held a necessary condition precedent
to any conviction
Page 489 U. S. 312
for a serious crime."
401 U.S. at
401 U. S.
693-694 (emphasis added).
In
Desist, Justice Harlan had reasoned that one of the
two principal functions of habeas corpus was
"to assure that no man has been incarcerated under a procedure
which creates an impermissibly large risk that the innocent will be
convicted,"
and concluded
"from this that all 'new' constitutional rules which
significantly improve the preexisting factfinding procedures are to
be retroactively applied on habeas."
394 U.S. at
394 U. S. 262.
In
Mackey, Justice Harlan gave three reasons for shifting
to the less defined
Palko approach. First, he observed
that recent precedent, particularly
Kaufman v. United
States, 394 U. S. 217
(1969) (permitting Fourth Amendment claims to be raised on
collateral review), led "ineluctably . . . to the conclusion that
it is not a principal purpose of the writ to inquire whether a
criminal convict did in fact commit the deed alleged." 401 U.S. at
401 U. S. 694.
Second, he noted that cases such as
Coleman v. Alabama,
399 U. S. 1 (1970)
(invalidating lineup procedures in the absence of counsel), gave
him reason to doubt the marginal effectiveness of claimed
improvements in factfinding. 401 U.S. at
401 U. S.
694-695. Third, he found
"inherently intractable the purported distinction between those
new rules that are designed to improve the factfinding process and
those designed principally to further other values."
Id. at
401 U. S.
695.
We believe it desirable to combine the accuracy element of the
Desist version of the second exception with the
Mackey requirement that the procedure at issue must
implicate the fundamental fairness of the trial. Were we to employ
the
Palko test without more, we would be doing little more
than importing into a very different context the terms of the
debate over incorporation.
Compare Duncan v. Louisiana,
391 U. S. 145,
391 U. S.
171-193 (1968) (Harlan, J., dissenting),
with
Adamson v. California, 332 U. S. 46,
332 U. S. 68-92
(1947) (Black, J., dissenting). Reviving the
Palko test
now, in this area of law, would be unnecessarily anachronistic.
Cf. 395 U. S.
Page 489 U. S. 313
Maryland, 395 U. S. 784,
395 U. S.
794-795 (1969) (overruling
Palko and
incorporating the Double Jeopardy Clause). Moreover, since
Mackey was decided, our cases have moved in the direction
of reaffirming the relevance of the likely accuracy of convictions
in determining the available scope of habeas review.
See, e.g.,
Kuhlmann v. Wilson, 477 U.S. at
477 U. S. 454
(plurality opinion) (a successive habeas petition may be
entertained only if the defendant makes a "colorable claim of
factual innocence");
Murray v. Carrier, 477 U.S. at
477 U. S. 496
("[W]here a constitutional violation has probably resulted in the
conviction of one who is actually innocent, a federal habeas court
may grant the writ even in the absence of a showing of cause for
the procedural default");
Stone v. Powell, 428 U.S. at
428 U. S.
491-492, n. 31 (removing Fourth Amendment claims from
the scope of federal habeas review if the State has provided a full
and fair opportunity for litigation creates no danger of denying a
"safeguard against compelling an innocent man to suffer an
unconstitutional loss of liberty"). Finally, we believe that
Justice Harlan's concerns about the difficulty in identifying both
the existence and the value of accuracy-enhancing procedural rules
can be addressed by limiting the scope of the second exception to
those new procedures without which the likelihood of an accurate
conviction is seriously diminished.
Because we operate from the premise that such procedures would
be so central to an accurate determination of innocence or guilt,
we believe it unlikely that many such components of basic due
process have yet to emerge. We are also of the view that such rules
are
"best illustrated by recalling the classic grounds for the
issuance of a writ of habeas corpus -- that the proceeding was
dominated by mob violence; that the prosecutor knowingly made use
of perjured testimony; or that the conviction was based on a
confession extorted from the defendant by brutal methods."
Rose v.
Page 489 U. S. 314
Lundy, 455 U. S. 509,
455 U. S. 544
(1982) (STEVENS, J., dissenting) (footnotes omitted). [
Footnote 2]
An examination of our decision in
Taylor applying the
fair cross-section requirement to the jury venire leads inexorably
to the conclusion that adoption of the rule petitioner urges would
be a far cry from the kind of absolute prerequisite to fundamental
fairness that is "implicit in the concept of ordered liberty." The
requirement that the jury venire be composed of a fair
cross-section of the community is based on the role of the jury in
our system. Because the purpose of the jury is to guard against
arbitrary abuses of power by interposing the common sense judgment
of the community between the State and the defendant, the jury
venire cannot be composed only of special segments of the
population.
"Community participation in the administration of the criminal
law . . . is not only consistent with our democratic heritage, but
is also critical to public confidence in the fairness of the
criminal justice system."
Taylor, 419 U.S. at
419 U. S. 530.
But as we stated in
Daniel v. Louisiana, 420 U. S.
31,
420 U. S. 32
(1975), which held that
Taylor was not to be given
retroactive effect, the fair cross-section requirement
"[does] not
Page 489 U. S. 315
rest on the premise that every criminal trial, or any particular
trial, [is] necessarily unfair because it [is] not conducted in
accordance with what we determined to be the requirements of the
Sixth Amendment."
Because the absence of a fair cross-section on the jury venire
does not undermine the fundamental fairness that must underlie a
conviction or seriously diminish the likelihood of obtaining an
accurate conviction, we conclude that a rule requiring that petit
juries be composed of a fair cross-section of the community would
not be a "bedrock procedural element" that would be retroactively
applied under the second exception we have articulated.
Were we to recognize the new rule urged by petitioner in this
case, we would have to give petitioner the benefit of that new rule
even though it would not be applied retroactively to others
similarly situated. In the words of JUSTICE BRENNAN, such an
inequitable result would be "an unavoidable consequence of the
necessity that constitutional adjudications not stand as mere
dictum."
Stovall v. Denno, 388 U.S. at
388 U. S. 301.
But the harm caused by the failure to treat similarly situated
defendants alike cannot be exaggerated: such inequitable treatment
"hardly comports with the ideal of
administration of justice
with an even hand.'" Hankerson v. North Carolina,
432 U. S. 233,
432 U. S. 247
(1977) (Powell, J., concurring in judgment) (quoting
Desist, 394 U.S. at 394 U. S. 255
(Douglas, J., dissenting)). See also Fuller v. Alaska,
393 U. S. 80,
393 U. S. 82
(1968) (Douglas, J., dissenting) (if a rule is applied to the
defendant in the case announcing the rule, it should be applied to
all others similarly situated). Our refusal to allow such disparate
treatment in the direct review context led us to adopt the first
part of Justice Harlan's retroactivity approach in
Griffith.
"The fact that the new rule may constitute a clear break with
the past has no bearing on the 'actual inequity that results' when
only one of many similarly situated defendants receives the benefit
of the new rule."
479 U.S. at
479 U. S.
327-328.
Page 489 U. S. 316
If there were no other way to avoid rendering advisory opinions,
we might well agree that the inequitable treatment described above
is "an insignificant cost for adherence to sound principles of
decisionmaking."
Stovall v. Denno, 388 U.S. at
388 U. S. 301.
But there is a more principled way of dealing with the problem. We
can simply refuse to announce a new rule in a given case unless the
rule would be applied retroactively to the defendant in the case
and to all others similarly situated.
Cf. Bowen v. United
States, 422 U.S. at
422 U. S. 920
("This Court consistently has declined to address unsettled
questions regarding the scope of decisions establishing new
constitutional doctrine in cases in which it holds those decisions
nonretroactive. This practice is rooted in our reluctance to decide
constitutional questions unnecessarily") (citations omitted). We
think this approach is a sound one. Not only does it eliminate any
problems of rendering advisory opinions, it also avoids the
inequity resulting from the uneven application of new rules to
similarly situated defendants. We therefore hold that, implicit in
the retroactivity approach we adopt today, is the principle that
habeas corpus cannot be used as a vehicle to create new
constitutional rules of criminal procedure unless those rules would
be applied retroactively to all defendants on collateral review
through one of the two exceptions we have articulated. Because a
decision extending the fair cross-section requirement to the petit
jury would not be applied retroactively to cases on collateral
review under the approach we adopt today, we do not address
petitioner's claim.
For the reasons set forth above, the judgment of the Court of
Appeals is affirmed.
It is so ordered.
[
Footnote 1]
The dissent asserts that petitioner's fair cross-section claim
does not embrace the concept of proportional representation on the
petit jury.
Post at
489 U. S.
340-342. Although petitioner disavows such
representation at the beginning of his brief, he later advocates
adoption of the standard set forth in
Duren v. Missouri,
439 U. S. 357
(1979), as a way of determining whether there has been a violation
of the fair cross-section requirement.
See Brief for
Petitioner 15-16. In order to establish a
prima facie
violation of the fair cross-section requirement under
Duren, a defendant must show: (1) that the "group alleged
to be excluded is a
distinctive' group in the community"; (2)
that the representation of the group "is not fair and reasonable in
relation to the number of such persons in the community"; and (3)
that the underrepresentation of the group "is due to systematic
exclusion of the group in the jury selection process." 439 U.S. at
439 U. S. 364.
The second prong of Duren is met by demonstrating that the
group is underrepresented in proportion to its position in the
community as documented by census figures. Id. at
439 U. S.
364-366. If petitioner must meet this prong of
Duren to prevail, it is clear that his fair cross-section
claim is properly characterized as requiring "fair and reasonable"
proportional representation on the petit jury. Petitioner
recognizes this, as he compares the percentage of blacks in his
petit jury to the percentage of blacks in the population of Cook
County, Illinois, from which the petit jury was drawn. See
Brief for Petitioner 17-18 (arguing that blacks were
underrepresented on petitioner's petit jury by 25.62%). In short,
the very standard that petitioner urges us to adopt includes, and
indeed requires, the sort of proportional analysis we declined to
endorse in Akins v. Texas, 325 U.
S. 398, 325 U. S. 403
(1945), and Taylor v. Louisiana, 419 U.
S. 522, 419 U. S. 538
(1975).
[
Footnote 2]
Because petitioner is not under sentence of death, we need not,
and do not, express any views as to how the retroactivity approach
we adopt today is to be applied in the capital sentencing context.
We do, however, disagree with JUSTICE STEVENS' suggestion that the
finality concerns underlying Justice Harlan's approach to
retroactivity are limited to "making convictions final," and are
therefore "wholly inapplicable to the capital sentencing context."
Post at
489 U.S.
321, n. 3. As we have often stated, a criminal judgment
necessarily includes the sentence imposed upon the defendant.
See generally Flynt v. Ohio, 451 U.
S. 619,
451 U. S. 620
(1981) (per curiam). Collateral challenges to the sentence in a
capital case, like collateral challenges to the sentence in a
noncapital case, delay the enforcement of the judgment at issue and
decrease the possibility that "there will at some point be the
certainty that comes with an end to litigation."
Sanders v.
United States, 373 U. S. 1,
373 U. S. 25
(1963) (Harlan, J., dissenting).
Cf. U.S. Dept. of
Justice, Bureau of Justice Statistics, Capital Punishment 1987, p.
9 (1988) (table 10) (for the 10-year period from 1977-1987, the
average elapsed time from the imposition of a capital sentence to
execution was 77 months).
JUSTICE WHITE, concurring in part and concurring in the
judgment.
I join Parts I, II, and III of JUSTICE O'CONNOR's opinion.
Otherwise, I concur only in the judgment.
Page 489 U. S. 317
Our opinion in
Stovall v. Denno, 388 U.
S. 293,
388 U. S. 297
(1967), authored by JUSTICE BRENNAN, articulated a three-factor
formula for determining the retroactivity of decisions changing the
constitutional rules of criminal procedure. The formula, which
applied whether a case was on direct review or arose in collateral
proceedings, involved consideration of the purpose of the new rule,
the extent of reliance on the old rule, and the effect on the
administration of justice of retroactive application of the new
rule. In a series of cases, however, the Court has departed from
Stovall and has held that decisions changing the governing
rules in criminal cases will be applied retroactively to all cases
then pending on direct review,
e.g., United States v.
Johnson, 457 U. S. 537
(1982);
Shea v. Louisiana, 470 U. S.
51 (1985);
Griffith v. Kentucky, 479 U.
S. 314 (1987). I dissented in those cases, believing
that
Stovall was the sounder approach. Other Justices,
including the CHIEF JUSTICE and JUSTICE O'CONNOR, joined my
dissents in those cases. The CHIEF JUSTICE indicated in
Shea and
Griffith, and JUSTICE O'CONNOR has now
concluded, that the
Stovall formula should also be
abandoned in cases where convictions have become final and the
issue of retroactivity arises in collateral proceedings.
I regret the course the Court has taken to this point, but cases
like
Johnson, Shea, and
Griffith have been
decided, and I have insufficient reason to continue to object to
them. In light of those decisions, the result reached in Parts IV
and V of JUSTICE O'CONNOR's opinion is an acceptable application in
collateral proceedings of the theories embraced by the Court in
cases dealing with direct review, and I concur in that result. If
we are wrong in construing the reach of the habeas corpus statutes,
Congress can of course correct us; but because the Court's recent
decisions dealing with direct review appear to have constitutional
underpinnings,
see e.g., Griffith v. Kentucky, supra, at
479 U. S.
322-323, correction of our error, if error there is,
perhaps lies with us, not Congress.
Page 489 U. S. 318
JUSTICE BLACKMUN, concurring in part and concurring in the
judgment.
I join Part I of JUSTICE STEVENS' opinion,
post this
page and
489 U. S.
319-323, concurring in part and concurring in the
judgment. So far as the petitioner's claim based upon
Swain v.
Alabama, 380 U. S. 202
(1965), is concerned, I concur in the judgment.
JUSTICE STEVENS, with whom JUSTICE BLACKMUN joins as to Part I,
concurring in part and concurring in the judgment.
For the reasons stated in Part III of JUSTICE BRENNAN's dissent,
post at
489 U. S. 342,
I am persuaded this petitioner has alleged a violation of the Sixth
Amendment. [
Footnote 2/1] I also
believe the Court should decide that question in his favor. I do
not agree with JUSTICE O'CONNOR's assumption that a ruling in
petitioner's favor on the merits of the Sixth Amendment issue would
require that his conviction be set aside.
See ante at
489 U. S. 300,
489 U. S.
315.
When a criminal defendant claims that a procedural error tainted
his conviction, an appellate court often decides whether error
occurred before deciding whether that error requires reversal or
should be classified as harmless. I would follow a parallel
approach in cases raising novel questions of constitutional law on
collateral review, first determining
Page 489 U. S. 319
whether the trial process violated any of the petitioner's
constitutional rights and then deciding whether the petitioner is
entitled to relief. If error occurred, factors relating to
retroactivity -- most importantly, the magnitude of unfairness --
should be examined before granting the petitioner relief.
Proceeding in reverse, a plurality of the Court today declares that
a new rule should not apply retroactively without ever deciding
whether there is such a rule. [
Footnote
2/2]
In general, I share Justice Harlan's views about retroactivity.
See Mackey v. United States, 401 U.
S. 667,
401 U. S.
675-702 (1971) (opinion concurring in judgments in part
and dissenting in part);
Desist v. United States,
394 U. S. 244,
394 U. S.
256-269 (1969) (dissenting opinion). Thus, I joined the
Court in holding that, as Justice Harlan had urged, new criminal
procedural rules should be applied to all defendants whose
convictions are not final when the rule is announced.
Griffith
v. Kentucky, 479 U. S. 314
(1987). I also agree with Justice Harlan that defendants seeking
collateral review should not benefit from new rules unless those
rules "fre[e] individuals from punishment for conduct that is
constitutionally protected" or unless the original trial entailed
elements of fundamental unfairness.
Mackey, supra, at
401 U. S. 693.
Thus, although I question the propriety of making such an important
change in the law without briefing or argument,
cf.
478 U. S.
Hardy,
Page 489 U. S. 320
478 U. S. 255,
478 U. S.
261-262 (1986) (MARSHALL, J., dissenting), I am
persuaded that the Court should adopt Justice Harlan's analysis of
retroactivity for habeas corpus cases as well for cases still on
direct review.
See ante at
489 U. S.
305-310.
I do not agree, however, with the plurality's dicta proposing a
"modification" of Justice Harlan's fundamental fairness exception.
See ante at
489 U. S.
311-316. "[I]t has been the law, presumably for at least
as long as anyone currently in jail has been incarcerated," Justice
Harlan wrote,
"that procedures utilized to convict them must have been
fundamentally fair, that is, in accordance with the command of the
Fourteenth Amendment that '[n]o State shall . . . deprive any
person of life, liberty, or property, without due process of
law.'"
Mackey, 401 U.S. at
401 U. S. 689.
He continued:
"[T]he writ ought always to lie for claims of nonobservance of
those procedures that, as so aptly described by Mr. Justice Cardozo
in
Palko v. Connecticut, 302 U. S. 319,
302 U. S.
325 (1937), are 'implicit in the concept of ordered
liberty.' Typically, it should be the case that any conviction free
from federal constitutional error at the time it became final will
be found, upon reflection, to have been fundamentally fair and
conducted under those procedures essential to the substance of a
full hearing. However, in some situations it might be that time and
growth in social capacity, as well as judicial perceptions of what
we can rightly demand of the adjudicatory process, will properly
alter our understanding of the bedrock procedural elements that
must be found to vitiate the fairness of a particular
conviction."
Id. at
401 U. S. 693.
In embracing Justice Cardozo's notion that errors "violat[ing]
those
fundamental principles of liberty and justice which lie
at the base of all our civil and political institutions,'"
Palko v. Connecticut, 302 U. S. 319,
302 U. S. 328
(1937) (quoting Hebert
v.
Page 489 U. S. 321
Louisiana, 272 U. S. 312,
272 U. S. 316
(1926)), must be rectified, Justice Harlan expressly rejected a
previous statement linking the fundamental fairness exception to
factual innocence.
Mackey, supra, at
401 U. S. 694;
see Desist, supra, at
394 U. S.
262.
The plurality wrongly resuscitates Justice Harlan's early view,
indicating that the only procedural errors deserving correction on
collateral review are those that undermine "an accurate
determination of innocence or guilt. . . ."
See ante at
489 U.S. 313. I cannot
agree that it is "unnecessarily anachronistic,"
ante at
489 U. S. 312,
to issue a writ of habeas corpus to a petitioner convicted in a
manner that violates fundamental principles of liberty.
Furthermore, a touchstone of factual innocence would provide little
guidance in certain important types of cases, such as those
challenging the constitutionality of capital sentencing hearings.
[
Footnote 2/3] Even when assessing
errors
Page 489 U. S. 322
at the guilt phase of a trial, factual innocence is too
capricious a factor by which to determine if a procedural change is
sufficiently "bedrock" or "watershed" to justify application of the
fundamental fairness exception.
See ante at
489 U. S. 311.
In contrast, given our century-old proclamation that the
Constitution does not allow exclusion of jurors because of race,
Strauder v. West Virginia, 100 U.
S. 303 (1880), a rule promoting selection of juries free
from racial bias clearly implicates concerns of fundamental
fairness.
As a matter of first impression, therefore, I would conclude
that a guilty verdict delivered by a jury whose impartiality might
have been eroded by racial prejudice is fundamentally unfair.
Constraining that conclusion is the Court's holding in
Allen v.
Hardy, 478 U. S. 255
(1986) (per curiam) -- an opinion I did not join -- that
Batson
v. Kentucky, 476 U. S. 79
(1986), cannot be applied retroactively to permit collateral review
of convictions that became final before it was decided. It is true
that the
Batson decision rested on the Equal Protection
Clause of the Fourteenth Amendment, and that this case raises a
Sixth Amendment issue. In both cases, however, petitioners pressed
their objections to the jury selection on both grounds.
See
ante at
489 U. S. 293;
Batson v. Kentucky, supra, at
476 U. S. 83.
Both cases concern the constitutionality of allowing the use of
peremptories to yield a jury that may be biased against a defendant
on account of race. Identical practical ramifications will ensue
from our holdings in both cases. Thus if there is no fundamental
unfairness in denying retroactive relief to a petitioner denied his
Fourteenth Amendment right to a fairly chosen jury, as the
Court
Page 489 U. S. 323
held in Allen, [
Footnote 2/4]
there cannot be fundamental unfairness in denying this petitioner
relief for the violation of his Sixth Amendment right to an
impartial jury. I therefore agree that the judgment of the Court of
Appeals must be affirmed. [
Footnote
2/5]
II
I do not, however, agree with the Court's disposition of the
contention that the prosecutor violated the Equal Protection Clause
by using peremptory challenges to exclude black persons from
petitioner's jury.
Ante at
489 U. S.
297-299. The basis for this claim is
Swain v.
Alabama, 380 U. S. 202
(1965), which reaffirmed that equal protection requires that jurors
"
be selected as individuals, on the basis of individual
qualifications, and not as members of a race.'" Id. at
380 U. S. 204
(quoting Cassell v. Texas, 339 U.
S. 282, 339 U. S. 286
(1950) (plurality opinion)). Discussing how a defendant might prove
purposeful racial discrimination in jury selection, the Court
stated:
"In the light of the purpose of the peremptory system and the
function it serves in a pluralistic society in connection with the
institution of jury trial, we cannot hold that the Constitution
requires an examination of the prosecutor's reasons for the
exercise of his challenges in any given case. The presumption in
any particular case must be that the prosecutor is using the
State's challenges to obtain a fair and impartial jury to try the
case before the court. The presumption is not overcome, and the
prosecutor therefore subjected to examination, by allegations that,
in the case at hand, all Negroes were removed
Page 489 U. S. 324
from the jury or that they were removed because they were
Negroes."
380 U.S. at
380 U. S. 222.
The Court of Appeals rejected petitioner's claim because he "did
not specifically raise [it] in the state court," 820 F.2d 832, 834,
n. 6 (CA7 1987) (en banc), and because he had not rebutted the
Swain presumption by "show[ing] the prosecutor's
systematic use of peremptory challenges against Negroes over a
period of time." 380 U.S. at
380 U. S. 227.
It thus ignored the import of petitioner's claim,
i.e.,
that a prosecutor who volunteers explanations for using
peremptories erases the
Swain presumption, so that the
trial judge should examine whether the race-neutral explanations
are genuine or pretextual.
Petitioner's trial counsel twice moved for a mistrial on the
ground that the prosecutor impermissibly had exercised peremptory
challenges to effect an all-white jury. The prosecutor responded
that
"numerous individuals that were excused were of very young
years. There was an attempt, your Honor, to have a balance of an
equal number of men and women. . . ."
App. 3. [
Footnote 2/6] With
little comment, the trial court
Page 489 U. S. 325
denied the mistrial motions. There is substantial force to
petitioner's argument that the volunteered explanations made this
more than the "ordinary exercise of challenges" to which
Swain's systematic proof requirement applies,
Swain,
supra, at
380 U. S. 227,
and that the trial court erred by failing to scrutinize the
prosecutor's excuses. [
Footnote
2/7]
I note, however, that petitioner never presented his
Swain claim to the state courts before including it in the
instant federal habeas petition. In
Rose v. Lundy,
455 U. S. 509
(1982), the Court announced that a habeas petition containing
exhausted and unexhausted claims must be dismissed. Literal
adherence to that pronouncement would require that this case be
remanded to the District Court with instructions to dismiss the
petition without consideration of the exhausted Sixth Amendment
claim. The Court avoids this result by
Page 489 U. S. 326
holding that "petitioner has forfeited review of the claim in
the Illinois courts," and thus exhausted his state remedies.
Ante at
489 U. S. 297.
It is true that
"a federal habeas court need not require that a federal claim be
presented to a state court if it is clear that the state court
would hold the claim procedurally barred."
Harris v. Reed, ante at
489 U. S. 263,
n. 9 (citing
Castille v. Peoples, post at
489 U. S. 351;
ante at
489 U. S.
298). I am by no means convinced, however, that the
Illinois courts would not conclude that petitioner's
Swain
claim falls within their fundamental fairness exception to their
ban on collateral review of claims that are otherwise waived. Thus,
in the absence of any "plain statement" by the Illinois courts,
cf. Michigan v. Long, 463 U. S. 1032,
463 U. S.
1041 (1983), we should let the Illinois judiciary decide
whether there is a procedural default that forecloses review of
that claim. Until those courts have spoken, I would treat
petitioner's
Swain claim as an unexhausted claim that is
not ripe for review on federal habeas.
Because "the exhaustion rule requiring dismissal of mixed
petitions . . . is not jurisdictional,"
Strickland v.
Washington, 466 U. S. 668,
466 U. S. 684
(1984), and because petitioner's Sixth Amendment claim is
foreclosed by the decision in
Allen, I concur in the
Court's judgment.
[
Footnote 2/1]
Of course, the Constitution does not require that every
12-person jury proportionally represent a "fair cross-section" of
the community.
See ante at
489 U. S. 299.
But as JUSTICE BRENNAN points out,
post at
489 U. S. 341,
and n. 8, petitioner does not claim such an entitlement. Petitioner
does possess a right to have his petit jury selected by procedures
that are "impartial."
See U.S.Const., Amdt. 6 ("In all
criminal prosecutions, the accused shall enjoy the right to a
speedy and public trial, by an impartial jury of the State and
district wherein the crime shall have been committed . . ."). It is
clear to me that a procedure that allows a prosecutor to exclude
all black venirepersons, without any reason for the exclusions
other than their race appearing in the record, does not comport
with the Sixth Amendment's impartiality requirement.
[
Footnote 2/2]
The plurality states that retroactivity questions ought to be
decided at the same time a new rule of criminal procedure is
announced.
See ante at
489 U. S. 300.
I agree that this should be the approach in most instances. By
declaring retroactivity to be the "threshold question,"
ibid., however, the plurality inverts the proper order of
adjudication. Among other things, until a rule is set forth, it
would be extremely difficult to evaluate whether the rule is "new"
at all. If it is not, of course, no retroactivity question arises.
See, e.g., Yates v. Aiken, 484 U.
S. 211 (1988);
Lee v. Missouri, 439 U.
S. 461 (1979) (per curiam);
accord, ante at
489 U. S. 300,
489 U. S. 307.
I note too that, in
Witherspoon v. Illinois, 391 U.
S. 510,
391 U. S. 523,
n. 22 (1968), which the plurality cites to support its simultaneous
decision guideline, retroactivity was addressed only after
establishment of the new constitutional rule.
[
Footnote 2/3]
A major reason that Justice Harlan espoused limited
retroactivity in collateral proceedings was the interest in making
convictions final, an interest that is wholly inapplicable to the
capital sentencing context. As he explained:
"It is, I believe, a matter of fundamental import that there be
a visible end to the litigable aspect of the criminal process.
Finality in the criminal law is an end which must always be kept in
plain view.
See, e.g., Fay v. Noia, 372 U. S.
391,
372 U. S. 445 [(1963)]
(Clark, J., dissenting);
Spencer v. Texas, 385 U. S.
554,
385 U. S. 583 (1967)
(Warren, C.J., concurring and dissenting).
See also Bator,
Finality in Criminal Law and Federal Habeas Corpus for State
Prisoners, 76 Harv.L.Rev. 441 (1963); Friendly, Is Innocence
Irrelevant? Collateral Attack on Criminal Judgments, 38
U.Chi.L.Rev. 142, 146-151 (1970). As I have stated before,"
"Both the individual criminal defendant and society have an
interest in insuring that there will at some point be the certainty
that comes with an end to litigation, and that attention will
ultimately be focused not on whether a conviction was free from
error, but rather on whether the prisoner can be restored to a
useful place in the community."
"
Sanders v. United States, 373 U. S. 1,
373 U. S. 24-25 [(1963)]
(Harlan, J., dissenting). At some point, the criminal process, if
it is to function at all, must turn its attention from whether a
man ought properly to be incarcerated to how he is to be treated
once convicted. If law, criminal or otherwise, is worth having and
enforcing, it must at some time provide a definitive answer to the
questions litigants present, or else it never provides an answer at
all. Surely it is an unpleasant task to strip a man of his freedom
and subject him to institutional restraints. But this does not mean
that, in so doing, we should always be halting or tentative. No
one, not criminal defendants, not the judicial system, not society
as a whole, is benefited by a judgment providing a man shall
tentatively go to jail today, but tomorrow and every day thereafter
his continued incarceration shall be subject to fresh litigation on
issues already resolved."
Mackey v. United States, 401 U.
S. 667,
401 U. S.
690-691 (1971) (opinion concurring in judgments in part
and dissenting in part).
[
Footnote 2/4]
Cf. Rose v. Lundy, 455 U. S. 509,
455 U. S. 544,
n. 8 (1982) (STEVENS, J., dissenting) ("In ruling that a
constitutional principle is not to be applied retroactively, the
Court implicitly suggests that the right is not necessary to ensure
the integrity of the underlying judgment; the Court certainly would
not allow claims of such magnitude to remain unremedied").
[
Footnote 2/5]
In addition, because I agree that the opinions in
McCray v.
New York, 461 U.S. 961 (1983), do not afford petitioner a
ground for retroactive application of
Batson v. Kentucky,
476 U. S. 79
(1986), I join Part II of this Court's opinion.
[
Footnote 2/6]
The colloquy surrounding the second motion for mistrial, made
after the jury had been selected, was as follows:
"MR. MOTTA [defense counsel]: As the Court is aware, State
exercised 10 peremptory challenges, and each challenge excused a
black person. I feel that my client is entitled to a jury of his
peers, your Honor. I feel that he is being denied this. I would ask
the Court for a mistrial."
"MR. ANGAROLA [prosecutor]: We exercised more than 10
challenges. In fact, we exercised 11 challenges, and didn't just
excuse black individuals. Counsel is incorrect when he stat[e]s
that."
"In fact, your Honor, one of the challenges, peremptory
challenges, exercised was against a white woman. In addition, your
Honor, numerous individuals that were excused were of very young
years. There was an attempt, your Honor, to have a balance of an
equal number of men and women; as the jury is now comprised, there
are seven men and five women sitting on the jury."
"We feel that counsel's motion is totally improper."
"MR. MOTTA: If I may respond to that briefly, your Honor, State
exercised 10 peremptory challenges, all of 10 black people were
excused; that their one peremptory challenge for an alternate juror
excused, I believe, a white woman. I think the record will reflect
that ages and background of the individuals that were excused. They
were all to sit on the regular jury. I am not talking about the
alternate, the one white alternate that was excused by the
State."
"MR. ANGAROLA: As your Honor previously pointed out, counsel
himself excluded a black, Mrs. McCleary, your Honor, who was a
black individual who was accepted by the People, and he excused
her."
"THE COURT: Counsel, I feel that it would appear that the jury
appears to be a fair jury. I will deny your motion."
App. 3-4.
[
Footnote 2/7]
Recently the Court of Appeals for the Eighth Circuit employed
this theory to hold that a prosecutor's volunteering of
explanations for his use of peremptory challenges overcame the
Swain presumption.
Garrett v. Morris, 815 F.2d
509,
cert. denied sub nom. Jones v. Garrett, 484 U.S. 898
(1987). Upon examination, the court concluded that the explanations
were pretexts for purposeful discrimination; therefore, it remanded
for retrial or release of the petitioner on a writ of habeas
corpus. 815 F.2d at 514.
See also Weathersby v. Morris,
708 F.2d 1493 (CA9 1983),
cert. denied, 464 U.S. 1046
(1984).
Cf. Batson, supra, at
476 U. S. 101,
n. (WHITE, J., concurring) ("Nor would it have been inconsistent
with
Swain for the trial judge to invalidate peremptory
challenges of blacks if the prosecutor, in response to an objection
to his strikes, stated that he struck blacks because he believed
they were not qualified to serve as jurors, especially in the trial
of a black defendant").
JUSTICE BRENNAN, with whom JUSTICE MARSHALL joins,
dissenting.
Today a plurality of this Court, without benefit of briefing and
oral argument, adopts a novel threshold test for federal review of
state criminal convictions on habeas corpus. It does so without
regard for -- indeed, without even mentioning -- our contrary
decisions over the past 35 years delineating the broad scope of
habeas relief. The plurality further appears oblivious to the
importance we have consistently accorded the principle of
stare
decisis in nonconstitutional cases. Out of an exaggerated
concern for treating similarly situated habeas petitioners the
same, the plurality would. for the first time. preclude the federal
courts from considering on collateral review a vast range of
important constitutional
Page 489 U. S. 327
challenges; where those challenges have merit, it would bar the
vindication of personal constitutional rights and deny society a
check against further violations until the same claim is presented
on direct review. In my view, the plurality's "blind adherence to
the principle of treating like cases alike" amounts to "letting the
tail wag the dog" when it stymies the resolution of substantial and
unheralded constitutional questions.
Griffith v. Kentucky,
479 U. S. 314,
479 U. S. 332
(1987) (WHITE, J., dissenting). Because I cannot acquiesce in this
unprecedented curtailment of the reach of the Great Writ,
particularly in the absence of any discussion of these momentous
changes by the parties or the lower courts, I dissent.
I
The federal habeas corpus statute provides that a federal
court
"shall entertain an application for a writ of habeas corpus in
behalf of a person in custody pursuant to the judgment of a State
court only on the ground that he is in custody in violation of the
Constitution or laws or treaties of the United States."
28 U.S.C. § 2254. [
Footnote
3/1] For well over a century, we have read this statute and its
forbears to authorize federal courts to grant writs of habeas
corpus whenever a person's liberty is unconstitutionally
restrained. Shortly after the Habeas Corpus Act of 1867, ch. 27, 14
Stat. 385, empowered federal courts to issue writs of habeas corpus
to state authorities, we noted:
"This legislation is of the most comprehensive character. It
brings within the habeas corpus jurisdiction of every court and of
every judge every possible case of privation of liberty contrary to
the National Constitution, treaties,
Page 489 U. S. 328
or laws. It is impossible to widen this jurisdiction."
Ex parte
McCardle, 6 Wall. 318,
73 U. S.
325-326 (1868).
See also Fay v. Noia,
372 U. S. 391,
372 U. S. 426
(1963) ("Congress in 1867 sought to provide a federal forum for
state prisoners having constitutional defenses by extending the
habeas corpus powers of the federal courts to their constitutional
maximum"). Nothing has happened since to persuade us to alter that
judgment. Our thorough survey in
Fay v. Noia of the
history of habeas corpus at common law and in its federal statutory
embodiment led us to conclude that
"conventional notions of finality in criminal litigation cannot
be permitted to defeat the manifest federal policy that federal
constitutional rights of personal liberty shall not be denied
without the fullest opportunity for plenary federal judicial
review."
Id. at
372 U. S. 424.
In
Noia, we therefore held that federal courts have the
power to inquire into any constitutional defect in a state criminal
trial, provided that the petitioner remains "in custody" by virtue
of the judgment rendered at that trial. Our subsequent rulings have
not departed from that teaching in cases where the presentation of
a petitioner's claim on collateral review is not barred by a
procedural default.
See, e.g., Rose v. Mitchell,
443 U. S. 545,
443 U. S.
550-565 (1979);
Jackson v. Virginia,
443 U. S. 307,
443 U. S.
320-324 (1979).
In particular, our decisions have made plain that the federal
courts may collaterally review claims such as Teague's once state
remedies have been exhausted. In
Brown v. Allen,
344 U. S. 443
(1953), for example, we held that state prisoners alleging
discrimination in the selection of members of the grand jury that
indicted them and the petit jury that tried them were entitled to
reconsideration of those allegations in federal court.
"Discriminations against a race by barring or limiting citizens of
that race from participation in jury service," we noted, "are
odious to our thought and our Constitution. This has long been
accepted as the law."
Id. at
344 U. S. 470
(citations omitted).
See also Vasquez v. Hillery,
474 U. S. 254
(1986);
Rose v. Mitchell, supra.
Page 489 U. S. 329
Our precedents thus supply no support for the plurality's
curtailment of habeas relief. [
Footnote
3/2] Just as it was
"a fortuity that we overruled
Swain v. Alabama,
380 U. S.
202 (1965) [which set forth an unduly strict standard
for proving that a prosecutor's use of peremptory challenges was
racially discriminatory in violation of the Equal Protection
Clause], in a case that came to us on direct review"
when "[w]e could as easily
Page 489 U. S. 330
have granted certiorari and decided the matter in a case on
collateral review,"
Griffith v. Kentucky, 479 U.
S. 314,
479 U. S. 332
(1987) (WHITE, J., dissenting), so too there is no reason why we
cannot decide Teague's almost identical claim under the Sixth
Amendment on collateral review, rather than in a case on direct
review. Because there is no basis for extending the Court's
rationale in
Stone v. Powell, 428 U.
S. 465 (1976), to preclude review of Teague's challenge
to the composition of the jury that convicted him, and because I
perceive no other ground consistent with our precedents for
limiting the cognizability of constitutional claims on federal
habeas corpus, I would reach the merits of Teague's Sixth Amendment
argument, and hold in his favor.
II
Unfortunately, the plurality turns its back on established case
law, and would erect a formidable new barrier to relief. Any time a
federal habeas petitioner's claim, if successful, would result in
the announcement of a new rule of law, the plurality says, it may
only be adjudicated if that rule would "
plac[e] certain kinds
of primary, private individual conduct beyond the power of the
criminal lawmaking authority to proscribe,'" ante at
489 U. S. 307,
quoting Mackey v. United States, 401 U.
S. 667, 401 U. S. 692
(1971) (Harlan, J., concurring in judgments in part and dissenting
in part), or if it would mandate "new procedures without which the
likelihood of an accurate conviction is seriously diminished."
Ante at 489 U.S.
313.
A
Astonishingly, the plurality adopts this novel precondition to
habeas review without benefit of oral argument on the question, and
with no more guidance from the litigants than a three-page
discussion in an
amicus brief.
See Brief for
Criminal Justice Legal Foundation as
Amicus Curiae 22-24.
[
Footnote 3/3]
Page 489 U. S. 331
Although the plurality's approach builds upon two opinions
written by Justice Harlan some years ago,
see Mackey v. United
States, supra at 675 (opinion concurring in judgments in part
and dissenting in part);
Desist v. United States,
394 U. S. 244,
394 U. S. 256
(1969) (dissenting opinion), it declines fully to embrace his
views. No briefing or argument at all was devoted to the points at
which the plurality departs from his proposals. It is indeed ironic
that, in endorsing the bulk of Justice Harlan's approach to the
provision of federal habeas relief, the Court ignores his reminder
that our
"obligation of orderly adherence to our own processes would
demand that we seek that aid which adequate briefing and argument
lends to the determination of an important issue."
Mapp v. Ohio, 367 U. S. 643,
367 U. S. 677
(1961) (dissenting opinion). Before breaking so sharply with
precedent, the plurality would have done well, I think, to recall
what we said in
Ladner v. United States, 358 U.
S. 169,
358 U. S. 173
(1958):
"The question of the scope of collateral attack upon criminal
sentences is an important and complex one. . . . We think that we
should have the benefit of a full argument before dealing with the
question."
B
Equally disturbing, in my view, is the plurality's infidelity to
the doctrine of
stare decisis. That doctrine "demands
respect in a society governed by the rule of law,"
Akron
v.
Page 489 U. S. 332
Akron Center for Reproductive Health, Inc.,
462 U. S. 416,
462 U. S.
419-420 (1983), because it enhances the efficiency of
judicial decisionmaking, allowing judges to rely on settled law
without having to reconsider the wisdom of prior decisions in every
case they confront, and because it fosters predictability in the
law, permitting litigants and potential litigants to act in the
knowledge that precedent will not be overturned lightly and
ensuring that they will not be treated unfairly as a result of
frequent or unanticipated changes in the law. We have therefore
routinely imposed on those asking us to overrule established lines
of cases
"the heavy burden of persuading the Court that changes in
society or in the law dictate that the values served by
stare
decisis yield in favor of a greater objective."
Vasquez v. Hillery, 474 U.S. at
474 U. S.
266.
In this case, as when we considered the reviewability of grand
jury discrimination on habeas corpus,
"we have been offered no reason to believe that any such
metamorphosis has rendered the Court's long commitment to a rule of
reversal outdated, ill-founded, unworkable, or otherwise
legitimately vulnerable to serious reconsideration."
Vasquez v. Hillery, supra, at
474 U. S. 266.
None of the reasons we have hitherto deemed necessary for departing
from the doctrine of
stare decisis are present. Our
interpretations of the reach of federal habeas corpus have not
proceeded from inadequate briefing or argumentation, nor have they
taken the form of assertion unaccompanied by detailed
justification.
See, e.g., Copperweld Corp. v. Independence Tube
Corp., 467 U. S. 752,
467 U. S. 766
(1984). No new facts or arguments have come to light suggesting
that our reading of the federal habeas statute or our divination of
congressional intent was plainly mistaken.
See, e.g., Monell v.
New York City Dept. of Social Services, 436 U.
S. 658 (1978). In addition, Congress has done nothing to
shrink the set of claims cognizable on habeas since it passed the
Habeas Corpus Act of 1867, despite our consistent interpretation of
the federal habeas statute to permit adjudication of
Page 489 U. S. 333
cases like Teague's. Finally, the rationale for our decisions
has not been undermined by subsequent congressional or judicial
action.
See, e.g., Braden v. 30th Judicial Circuit Court of
Kentucky, 410 U. S. 484,
410 U. S.
497-499 (1973). None of the exceptions to the doctrine
of
stare decisis we have recognized apply. I therefore
remain mystified at where the plurality finds warrant to upset,
sua sponte, our time-honored precedents.
C
The plurality does not so much as mention
stare
decisis. Indeed, from the plurality's exposition of its new
rule, one might infer that its novel fabrication will work no great
change in the availability of federal collateral review of state
convictions. Nothing could be further from the truth. Although the
plurality declines to "define the spectrum of what may or may not
constitute a new rule for retroactivity purposes," it does say
that, generally, "a case announces a new rule when it breaks new
ground or imposes a new obligation on the States or the Federal
Government."
Ante at
489 U. S. 301.
Otherwise phrased, "a case announces a new rule if the result was
not
dictated by precedent existing at the time the
defendant's conviction became final."
Ibid. This account
is extremely broad. [
Footnote 3/4]
Few decisions on appeal or collateral review are
"
dictated" by what came before. Most such cases involve a
question of law that is at least debatable, permitting a rational
judge to resolve the case in more than one way. Virtually no case
that prompts a dissent on the relevant legal point, for example,
could be said to be "
dictated" by prior decisions. By the
plurality's test, therefore,
Page 489 U. S. 334
a great many cases could only be heard on habeas if the rule
urged by the petitioner fell within one of the two exceptions the
plurality has sketched. Those exceptions, however, are narrow.
Rules that place "
certain kinds of primary, private individual
conduct beyond the power of the criminal lawmaking authority to
proscribe,'" ante at 489 U. S. 307,
quoting Mackey v. United States, 401 U.S. at 401 U. S. 692
(Harlan, J., concurring in judgments in part and dissenting in
part), are rare. And rules that would require "new procedures
without which the likelihood of an accurate conviction is seriously
diminished," ante at 489
U.S. 313, are not appreciably more common. The plurality
admits, in fact, that it "believe[s] it unlikely that many such
components of basic due process have yet to emerge." Ibid.
The plurality's approach today can thus be expected to contract
substantially the Great Writ's sweep.
Its impact is perhaps best illustrated by noting the abundance
and variety of habeas cases we have decided in recent years that
could never have been adjudicated had the plurality's new rule been
in effect. Although "history reveals no exact tie of the writ of
habeas corpus to a constitutional claim relating to innocence or
guilt,"
Schneckloth v. Bustamonte, 412 U.
S. 218,
412 U. S. 257
(1973) (Powell, J., concurring), the plurality's decision to ignore
history and to link the availability of relief to guilt or
innocence when the outcome of a case is not "dictated" by precedent
would apparently prevent a great many Fifth, Sixth, and Fourteenth
Amendment cases from being brought on federal habeas.
For example, in
Nix v. Whiteside, 475 U.
S. 157 (1986), the Court ruled that a defendant's right
to counsel under the Sixth Amendment is not violated when a defense
attorney refuses to cooperate with him in presenting perjured
testimony at trial. Clearly, the opposite result sought by the
petitioner could not have been dictated by prior cases, nor would
the introduction of perjured testimony have improved the accuracy
of factfinding at trial. The claim presented on habeas was
therefore novel, yet well outside the plurality's
Page 489 U. S. 335
exceptions. Were the claim raised tomorrow on federal collateral
review, a court could not reach the merits, as did we. The same is
true of numerous right-to-counsel and representation claims we have
decided where the wrong alleged by the habeas petitioner was
unlikely to have produced an erroneous conviction.
See, e.g.,
Moran v. Burbine, 475 U. S. 412
(1986) (failure of police to inform defendant that attorney
retained for him by somebody else sought to reach him does not
violate Sixth Amendment);
McKaskle v. Wiggins,
465 U. S. 168
(1984) (
pro se defendant's right to conduct own defense
not violated by unsolicited participation of standby counsel);
Jones v. Barnes, 463 U. S. 745
(1983) (appellate defense counsel does not have Sixth Amendment
duty to raise every nonfrivolous issue requested by defendant);
Morris v. Slappy, 461 U. S. 1 (1983)
(state court's denial of continuance until public defender
initially assigned to represent defendant became available does not
violate Sixth Amendment);
Wainwright v. Torna,
455 U. S. 586
(1982) (per curiam) (no deprivation of right to counsel when
defense attorney failed to make timely filing of application for
certiorari in state court);
Moore v. Illinois,
434 U. S. 220
(1977) (Sixth Amendment violated by corporeal identification
conducted after initiation of adversary criminal proceedings in the
absence of counsel);
Ross v. Moffitt, 417 U.
S. 600 (1974) (States need not provide indigent
defendants with counsel on discretionary appeals). Likewise,
because "the Fifth Amendment's privilege against self-incrimination
is not an adjunct to the ascertainment of truth,"
Tehan v.
Shott, 382 U. S. 406,
382 U. S. 416
(1966), claims that a petitioner's right to remain silent was
violated would, if not dictated by earlier decisions, ordinarily
fail to qualify under the plurality's second exception. In
Estelle v. Smith, 451 U. S. 454
(1981), for example, we held that a psychiatrist who examined the
defendant before trial without warning him that what he said could
be used against him in a capital sentencing proceeding could not
testify against him at such a proceeding. Under the plurality's
newly fashioned rule,
Page 489 U. S. 336
however, we could not have decided that case on the merits. The
result can hardly be said to have been compelled by existing case
law,
see id. at
451 U. S. 475
(REHNQUIST, J., concurring in judgment), and the exclusion of such
testimony at sentencing cannot have influenced the jury's
determination of the defendant's guilt or enhanced the likely
accuracy of his sentence. [
Footnote
3/5] Nor is
Estelle v. Smith unique in that respect.
See, e.g., Greer v. Miller, 483 U.
S. 756 (1987) (single question by prosecutor during
cross-examination concerning defendant's post-arrest silence does
not violate Fifth Amendment);
Moran v. Burbine,
475 U. S. 412
(1986) (failure of police to inform defendant of efforts of
attorney to reach him does not vitiate waiver of
Miranda
rights);
Fletcher v. Weir, 455 U.
S. 603 (1982) (per curiam) (prosecutor's use of
defendant's post-arrest silence for impeachment purposes does not
constitute due process violation when defendant did not receive
Miranda warnings during the period of his post-arrest
silence);
Jenkins v. Anderson, 447 U.
S. 231 (1980) (Fifth Amendment not violated by
prosecutor's use of prearrest silence to impeach defendant's
credibility).
Habeas claims under the Double Jeopardy Clause will also be
barred under the plurality's approach if the rules they seek to
establish would "brea[k] new ground or impos[e] a new obligation on
the States or the Federal Government,"
ante at
489 U. S. 301,
because they bear no relation to the petitioner's
Page 489 U. S. 337
guilt or innocence.
See, e.g., Crist v. Bretz,
437 U. S. 28 (1978)
(state law providing that jeopardy does not attach until first
juror is sworn is unconstitutional);
Chaffin v.
Stynchcombe, 412 U. S. 17 (1973)
(rendition of higher sentence by jury upon retrial does not violate
Double Jeopardy Clause). So, too, will miscellaneous due process
and Sixth Amendment claims that relate only tangentially to a
defendant's guilt or innocence.
See, e.g., Bordenkircher v.
Hayes, 434 U. S. 357
(1978) (no due process violation when prosecutor carries out threat
to reindict on stiffer charge);
Barker v. Wingo,
407 U. S. 514
(1972) (5-year delay does not violate right to speedy trial). And
of course, cases closely related to Teague's, such as
Lockhart
v. McCree, 476 U. S. 162
(1986), where we held that the removal for cause of so-called
"
Witherspoon-excludables" does not violate the Sixth
Amendment's fair cross-section requirement, would be beyond the
purview of this Court when they arrived on habeas.
D
These are massive changes, unsupported by precedent. [
Footnote 3/6] They also lack a reasonable
foundation. By exaggerating the importance of treating like cases
alike and granting relief to all identically positioned habeas
petitioners or none,
"the Court acts as if it has no choice but to follow a
mechanical notion of fairness without pausing to consider 'sound
principles
Page 489 U. S. 338
of decisionmaking.'"
Griffith v. Kentucky, 479 U. S. 314,
479 U. S.
332-333 (1987) (WHITE, J., dissenting), quoting
Stovall v. Denno, 388 U. S. 293,
388 U. S. 301
(1967). Certainly it is desirable, in the interest of fairness, to
accord the same treatment to all habeas petitioners with the same
claims. Given a choice between deciding an issue on direct or
collateral review that might result in a new rule of law that would
not warrant retroactive application to persons on collateral review
other than the petitioner who brought the claim, we should
ordinarily grant certiorari and decide the question on direct
review. Following our decision in
Griffith v. Kentucky,
supra, a new rule would apply equally to all persons whose
convictions had not become final before the rule was announced,
whereas habeas petitioners other than the one whose case we decided
might not benefit from such a rule if we adopted it on collateral
review. Taking cases on direct review ahead of those on habeas is
especially attractive because the retrial of habeas petitioners
usually places a heavier burden on the States than the retrial of
persons on direct review. Other things being equal, our concern for
fairness and finality ought to therefore lead us to render our
decision in a case that comes to us on direct review.
Other things are not always equal, however. Sometimes a claim
which, if successful, would create a new rule not appropriate for
retroactive application on collateral review is better presented by
a habeas case than by one on direct review. In fact, sometimes the
claim is
only presented on collateral review. In that
case, while we could forgo deciding the issue in the hope that it
would eventually be presented squarely on direct review, that hope
might be misplaced, and even if it were in time fulfilled, the
opportunity to check constitutional violations and to further the
evolution of our thinking in some area of the law would in the
meanwhile have been lost. In addition, by preserving our right and
that of the lower federal courts to hear such claims on collateral
review, we would not discourage their litigation on federal habeas
corpus, and
Page 489 U. S. 339
thus not deprive ourselves and society of the benefit of
decisions by the lower federal courts when we must resolve these
issues ourselves.
The plurality appears oblivious to these advantages of our
settled approach to collateral review. Instead, it would deny
itself these benefits because adherence to precedent would
occasionally result in one habeas petitioner's obtaining redress
while another petitioner with an identical claim could not qualify
for relief. [
Footnote 3/7] In my
view, the uniform treatment of habeas petitioners is not worth the
price the plurality is willing to pay. Permitting the federal
courts to decide novel habeas claims not substantially related to
guilt or innocence has profited our society immensely. Congress has
not seen fit to withdraw those benefits by amending the statute
that provides for them. And although a favorable decision for a
petitioner might not extend to another prisoner whose identical
claim has become final, it is at least arguably better that the
wrong done to one person be righted than that none of the injuries
inflicted on those whose convictions have become final be
redressed, despite the resulting inequality in treatment. I
therefore adhere to what we said in
Stovall v. Denno,
supra, where we held that the rules we laid down in
United
States v. Wade, 388 U. S. 218
(1967), and
Gilbert
v.
Page 489 U. S. 340
California, 388 U. S. 263
(1967), should not be applied retroactively:
"We recognize that Wade and Gilbert are, therefore, the only
victims of pretrial confrontations in the absence of their counsel
to have the benefit of the rules established in their cases. That
they must be given that benefit is, however, an unavoidable
consequence of the necessity that constitutional adjudications not
stand as mere dictum. Sound policies of decisionmaking, rooted in
the command of Article III of the Constitution that we resolve
issues solely in concrete cases or controversies, and in the
possible effect upon the incentive of counsel to advance
contentions requiring a change in the law, militate against denying
Wade and Gilbert the benefit of today's decisions. Inequity
arguably results from according the benefit of a new rule to the
parties in the case in which it is announced, but not to other
litigants similarly situated in the trial or appellate process who
have raised the same issue. But we regard the fact that the parties
involved are chance beneficiaries as an insignificant cost for
adherence to sound principles of decisionmaking."
388 U.S. at
388 U. S. 301
(footnotes omitted). I see no reason to abandon these views.
Perfectly evenhanded treatment of habeas petitioners can by no
means justify the plurality's
sua sponte renunciation of
the ample benefits of adjudicating novel constitutional claims on
habeas corpus that do not bear substantially on guilt or
innocence.
III
Even if one accepts the plurality's account of the appropriate
limits to habeas relief, its conclusion that Teague's claim may not
be heard is dubious. The plurality seeks to give its decision a
less startling aspect than it wears by repeatedly mischaracterizing
Teague's Sixth Amendment claim. As the plurality would have it,
Teague contends "
that petit juries actually chosen must mirror
the community and reflect the
Page 489 U. S.
341
various distinctive groups in the population,'"
ante at 489 U. S. 292,
quoting Taylor v. Louisiana, 419 U.
S. 522, 419 U. S. 538
(1975), and that fairness in jury selection "`require[s]
proportional representation of races upon a jury.'" Ante
at 301, quoting Akins v. Texas, 325 U.
S. 398, 325 U. S. 403
(1945). Teague, however, makes no such claim -- which is presumably
why the plurality quotes dicta from other cases, rather than
Teague's brief. He submits, rather, that
"the Sixth Amendment guarantees the accused a jury selected in
accordance with procedures that allow a
fair possibility
for the jury to reflect a cross-section of the community."
Brief for Petitioner 4 (emphasis added). Indeed, Teague
specifically disavows the position attributed to him by the
plurality:
"The defendant is not entitled to a jury of any particular
composition, and no requirement exists that the petit jury mirror
the distinctive groups in the population. . . ."
Ibid. Teague's claim is simply that the Sixth
Amendment's command that no distinctive groups be systematically
excluded from jury pools,
Taylor v. Louisiana, supra, or
from venires drawn from them,
Duren v. Missouri,
439 U. S. 357
(1979), applies with equal force to the selection of petit juries.
He maintains that this firmly established principle prohibits the
prosecution from using its peremptory challenges discriminatorily
to prevent venirepersons from sitting on the jury merely because
they belong to some racial, ethnic, or other group cognizable for
Sixth Amendment purposes. Teague's claim is therefore closely akin
to that which prevailed in
Batson v. Kentucky,
476 U. S. 79
(1986), where we held that the Equal Protection Clause forbids the
prosecution from using its peremptory challenges to exclude
venirepersons from the jury solely because they share the
defendant's race. The only potentially significant difference is
that Teague's claim, if valid, would bar the prosecution from
excluding venirepersons from the petit jury on account of their
membership in some cognizable group even when the defendant is not
himself a member of that group, whereas the Equal Protection Clause
might not
Page 489 U. S. 342
provide a basis for relief unless the defendant himself belonged
to the group whose members were improperly excluded. [
Footnote 3/8]
Once Teague's claim is characterized correctly, the plurality's
assertions that on its new standard his claim is too novel to be
recognized on habeas corpus,
ante at
489 U. S. 301,
and that the right he invokes is "a far cry from the kind of
absolute prerequisite to fundamental fairness that is
implicit
in the concept of ordered liberty,'" ante at 489 U.S. 314, are dubious. The
requirement Teague asks us to impose does not go far beyond our
mandates in Taylor, Duren, and Batson; indeed, it
flows quite naturally from those decisions. The fact that the Sixth
Amendment would permit a challenge by a defendant who did not
belong to a cognizable group whose members were discriminatorily
excluded from the jury does not alter that conclusion. As we said
in Rose v. Mitchell, 443 U.S. at 443 U. S.
555-556:
"Discrimination on the basis of race, odious in all aspects, is
especially pernicious in the administration of justice. Selection
of members of a grand jury because they are of one race and not
another destroys the appearance of justice, and thereby casts doubt
on the integrity of the judicial process. The exclusion from grand
jury service of Negroes,
or any group otherwise qualified to
serve, impairs the confidence of the public in the
administration of justice. As this Court repeatedly has
Page 489 U. S. 343
emphasized, such discrimination"
"not only violates our Constitution and the laws enacted under
it, but is at war with our basic concepts of a democratic society
and a representative government."
"
Smith v. Texas, 311 U. S. 128,
311 U. S.
130 (1940) (footnote omitted). The harm is not only to
the accused, indicted as he is by a jury from which a segment of
the community has been excluded. It is to society as a whole."
"The injury is not limited to the defendant -- there is injury
to the jury system, to the law as an institution, to the community
at large, and to the democratic ideal reflected in the processes of
our courts."
"
Ballard v. United States, 329 U. S.
187,
329 U. S. 195 (1946)."
(Emphasis added.)
The plurality's assertion that Teague's claim fails to fit
within Justice Harlan's second exception is also questionable. It
bears noting that Justice Powell, long a staunch advocate of
Justice Harlan's views on the scope of collateral review, leaned to
the opposite opinion:
"Whenever the fairness of the petit jury is brought into
question, doubts are raised as to the integrity of the process that
found the prisoner guilty. Collateral relief therefore may be
justified even though it entails some damages to our federal
fabric."
Rose v. Mitchell, supra, at
443 U. S. 584,
n. 6 (Powell, J., concurring) (citation omitted). Justice Jackson
rightly observed:
"It is obvious that discriminatory exclusion of Negroes from a
trial jury does, or at least may, prejudice a Negro's right to a
fair trial, and that a conviction so obtained should not stand. The
trial jury hears the evidence of both sides, and chooses what it
will believe. In so deciding, it is influenced by imponderables --
unconscious and conscious prejudices and preferences -- and a
thousand things we cannot detect or isolate in its verdict and
whose influence we cannot weigh. A single juror's dissent is
generally enough to prevent conviction. A trial jury on which one
of the defendant's race has no chance to sit may not have the
substance, and cannot
Page 489 U. S. 344
have the appearance, of impartiality, especially when the
accused is a Negro and the alleged victim is not."
Cassell v. Texas, 339 U. S. 282,
339 U. S.
301-302 (1950) (dissenting opinion).
More recently, in
Vasquez v. Hillery, 474 U.S. at
474 U. S. 263,
we expressly rejected the claim that "discrimination in the grand
jury has no effect on the fairness of the criminal trials that
result from that grand jury's actions." Because
"intentional discrimination in the selection of grand jurors is
a grave constitutional trespass, possible only under color of state
authority, and wholly within the power of the State to
prevent,"
id. at
474 U. S. 262,
we reaffirmed our decision in
Rose v. Mitchell, supra, and
held that a prisoner may seek relief on federal habeas for racial
discrimination in the selection of the grand jury that indicted him
and that such claims are not subject to harmless error review.
Compelling the State to indict and try him a second time, we said,
despite the heavy burdens it imposes, "is not disproportionate to
the evil that it seeks to deter." 474 U.S. at
474 U. S. 262.
The plurality's assertion that an allegation, like Teague's, of
discrimination in the selection of the petit jury -- with far
graver impact on the fundamental fairness of a petitioner's trial
than the discrimination we condemned in
Hillery -- is too
tangentially connected with truth finding to warrant retroactive
application on habeas corpus under its new approach therefore
strains credibility.
IV
A majority of this Court's Members now share the view that cases
on direct and collateral review should be handled differently for
retroactivity purposes.
See Griffith v. Kentucky,
479 U. S. 314
(1987);
Allen v. Hardy, 478 U. S. 255
(1986) (per curiam);
Williams v. United States,
401 U. S. 646,
401 U. S. 665
(1971) (opinion of MARSHALL, J.). In
Griffith, the Court
adopted Justice Harlan's proposal that a new rule be applied
retroactively to all convictions not yet final when the rule was
announced. If we had adhered to our precedents,
Page 489 U. S. 345
reached Teague's Sixth Amendment claim, and ruled in his favor,
we would ultimately have had to decide whether we should continue
to apply to habeas cases the three-factor approach outlined in
Stovall v. Denno, 388 U.S. at
388 U. S. 297,
or whether we should embrace most of the other half of Justice
Harlan's proposal and ordinarily refuse to apply new rules
retroactively to cases on collateral review, except in the cases
where they are announced.
In my view, that is not a question we should decide here. The
better course would have been to grant certiorari in another case
on collateral review raising the same issue, and to resolve the
question after full briefing and oral argument. JUSTICES BLACKMUN
and STEVENS,
ante pp.
489 U. S.
319-320, disagree. They concur in the Court's judgment
on this point because they find further discussion unnecessary, and
because they believe that, although Teague's Sixth Amendment claim
is meritorious, neither he nor other habeas petitioners may benefit
from a favorable ruling. As I said in
Stovall v. Denno,
supra, at
388 U. S. 301,
according a petitioner relief when his claim prevails seems to me
"an unavoidable consequence of the necessity that constitutional
adjudications not stand as mere dictum." But I share the view of
JUSTICES BLACKMUN and STEVENS that the retroactivity question is
one we need not address until Teague's claim has been found
meritorious. Certainly it is not one the Court need decide
before it considers the merits of Teague's claim because,
as the plurality mistakenly contends, its resolution properly
determines whether the merits should be reached. By repudiating our
familiar approach without regard for the doctrine of
stare
decisis, the plurality would deprive us of the manifold
advantages of deciding important constitutional questions when they
come to us first or most cleanly on collateral review. I
dissent.
[
Footnote 3/1]
Prisoners sentenced by a federal court may seek to have their
sentences vacated, corrected, or set aside
"upon the ground that the sentence was imposed in violation of
the Constitution or laws of the United States, or that the court
was without jurisdiction to impose such sentence, or that the
sentence was in excess of the maximum authorized by law, or is
otherwise subject to collateral attack."
28 U.S.C. § 2255. The plurality does not address the
question whether the rule it announces today extends to claims
brought by federal, as well as state, prisoners.
[
Footnote 3/2]
Until today, this Court has imposed but one substantive
limitation on the cognizability of habeas claims. In
Stone v.
Powell, 428 U. S. 465
(1976), the Court held that, where a State has provided a defendant
with an opportunity for full and fair litigation of a claim that
evidence used against him was obtained through an unlawful search
or seizure in violation of the Fourth Amendment, he may not
relitigate that claim on federal habeas. The Court noted, however,
that "Fourth Amendment violations are different in kind from
denials of Fifth or Sixth Amendment rights,"
id. at
428 U. S. 479,
and it expressly stated that its decision was "
not
concerned with the scope of the habeas corpus statute as authority
for litigating constitutional claims generally," in substantial
part because "the exclusionary rule is a judicially created remedy,
rather than a personal constitutional right."
Id. at
428 U. S. 495,
n. 37. None of the Court's reasoning in
Stone v. Powell
supports the plurality's present decision not to adjudicate
Teague's claim, because Teague is attempting to vindicate what he
alleges is a fundamental personal right, rather than trying to
invoke a prophylactic rule devised by this Court to deter
violations of personal constitutional rights by law enforcement
officials. In cases of this kind, our reluctance to allow federal
courts to interfere with state criminal processes has never been
deemed paramount.
See Vasquez v. Hillery, 474 U.
S. 254,
474 U. S. 262
(1986);
Rose v. Mitchell, 443 U.
S. 545,
443 U. S. 584,
n. 6 (1979) (Powell, J., concurring in judgment).
Our ruling in
Rose v. Mitchell, supra, confirms this
conclusion. We there rejected the argument that our holding in
Stone v. Powell should be extended to preclude federal
habeas review of claims of racial discrimination in the selection
of members of a state grand jury, notwithstanding the fact that the
selection of petit jurors was free from constitutional infirmity
and that guilt was established beyond a reasonable doubt at a trial
devoid of constitutional error. Teague's challenge to the
composition of the petit jury is perforce on even firmer ground.
See also Kimmelman v. Morrison, 477 U.
S. 365 (1986) (counsel's failure to litigate competently
petitioner's Fourth Amendment claim cognizable on habeas);
Jackson v. Virginia, 443 U. S. 307,
443 U. S.
320-324 (1979) (sufficiency of the evidence claims may
be brought on habeas).
[
Footnote 3/3]
As the plurality points out,
ante at
489 U. S. 300,
our decision in
Allen v. Hardy, 478 U.
S. 255 (1986) (per curiam), addressed the retroactive
application of our holding in
Batson v. Kentucky,
476 U. S. 79
(1986), even though the petition for certiorari in that case did
not discuss that issue. Our decision in
Allen, however,
applied settled retroactivity doctrine; unlike the plurality's
opinion today, it did not announce a sharp break with past
practice. And although the course we followed in
Mapp v.
Ohio, 367 U. S. 643
(1961), was urged on us by
amicus, rather than by the
parties themselves, incorporation of the protections of the Bill of
Rights through the Fourteenth Amendment was by no means a novel
step at that time, and the relevant issues were familiar from our
prior cases. Nor does the fact that the parties here debated the
extent to which
Batson should be applied retroactively
diminish the startling abruptness of the plurality's action, for
the adoption of a version of Justice Harlan's approach to
retroactivity to bar habeas review of most claims that would result
in new rules of law if they prevailed was
not even
mentioned by the parties.
[
Footnote 3/4]
Compare Justice Stewart's much more restrained approach
in
Milton v. Wainwright, 407 U. S. 371
(1972):
"An issue of the 'retroactivity' of a decision of this Court is
not even presented unless the decision in question marks a sharp
break in the web of the law. The issue is presented only when the
decision overrules clear past precedent or disrupts a practice long
accepted and widely relied upon."
Id. at
407 U. S. 381,
n. 2 (dissenting opinion) (citations omitted).
[
Footnote 3/5]
In
"limiting the scope of the second exception to those new
procedures without which the likelihood of an accurate conviction
is seriously diminished,"
ante at
489 U.S.
313, the plurality presumably intends the exception to cover
claims that involve the accuracy of the defendant's sentence, as
well as the accuracy of a court's determination of his guilt.
See Smith v. Murray, 477 U. S. 527,
477 U. S. 538
(1986) (no "fundamental miscarriage of justice" where introduction
of testimony at sentencing phase of capital case "neither precluded
the development of true facts nor resulted in the admission of
false ones"). Thus, the plurality's new rule apparently would not
prevent capital defendants, for example, from raising Eighth
Amendment, due process, and equal protection challenges to capital
sentencing procedures on habeas corpus.
[
Footnote 3/6]
The plurality's claim that "our cases have moved in the
direction of reaffirming the relevance of the likely accuracy of
convictions in determining the available scope of habeas review,"
ante at
489 U.S.
313, has little force. Two of the cases it cites --
Kuhlmann v. Wilson, 477 U. S. 436,
477 U. S. 454
(1986) (plurality opinion), and
Murray v. Carrier,
477 U. S. 478
(1986) -- discuss the conditions under which a habeas petitioner
may obtain review even though his claim would otherwise be
procedurally barred. They do not hold that a petitioner's likely
guilt or innocence bears on the cognizability of habeas claims in
the absence of procedural default. And the Court has limited
Stone v. Powell, 428 U. S. 465
(1976), as noted above,
see supra, at
489 U. S.
328-330, and n. 2, to Fourth Amendment exclusionary rule
claims, passing up several opportunities to extend it.
[
Footnote 3/7]
The plurality's complaint that prior retroactivity decisions
have sometimes led to more than one habeas petitioner's reaping the
benefit of a new rule while most habeas petitioners obtained no
relief because of "our failure to treat retroactivity as a
threshold question,"
ante at
489 U. S. 305,
is misguided. The disparity resulting from our deciding three years
later, in
Solem v. Stumes, 465 U.
S. 638 (1984), not to apply retroactively the rule of
Edwards v. Arizona, 451 U. S. 477,
451 U. S.
484-487 (1981), should not be ascribed to our failure to
make retroactivity a threshold question, but rather to our failure
to decide the retroactivity question
at the same time that
we decided the merits issue. If both decisions are made
contemporaneously,
see, e.g., Witherspoon v. Illinois,
391 U. S. 510,
391 U. S. 523,
n. 22 (1968);
Stovall v. Denno, 388 U.
S. 293 (1967), then only one exception need be made to
the rule of equal treatment. The plurality may find even this
slight inequality unacceptable, but the magnitude of the disparity
is not and need not be as large as its example suggests.
[
Footnote 3/8]
The plurality's persistent misreading of Teague's claim,
ante at
489 U. S.
301-302, n. 1, is puzzling. To be sure, Teague does
argue that the principles informing our decision in
Duren v.
Missouri, 439 U. S. 357
(1979), should be extended to the selection of the petit jury. But
Duren does not require that every venire provide a
microcosm of the community; it demands, instead, that no group be
systematically excluded from venires unless a significant state
interest would thereby be manifestly and primarily advanced. Lack
of proportional representation of a cognizable group on a given
petit jury, in Teague's view, helps to establish a
prima
facie Sixth Amendment violation; contrary to the plurality's
suggestion, he does not contend that it is, itself, a
per
se violation.