Daniel Makiel v. Kim Butler , 782 F.3d 882 ( 2015 )


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  •                                In the
    United States Court of Appeals
    For the Seventh Circuit
    ____________________
    Nos. 13-3076 & 13-3777
    DANIEL MAKIEL,
    Petitioner-Appellant,
    v.
    KIM BUTLER, Warden,
    Respondent-Appellee.
    ____________________
    Appeals from the United States District Court for the
    Northern District of Illinois, Eastern Division.
    No. 12 CV 9644—James B. Zagel, Judge.
    ____________________
    ARGUED NOVEMBER 10, 2014 — DECIDED APRIL 10, 2015
    ____________________
    Before WOOD, Chief Judge, and ROVNER and HAMILTON,
    Circuit Judges.
    HAMILTON, Circuit Judge. Petitioner Daniel Makiel was
    convicted in an Illinois state court for the murder of Kathe-
    rine Hoch and the armed robbery of a gas station where she
    worked. He appeals from the district court’s denial of his pe-
    tition for a writ of habeas corpus and raises two claims on
    appeal. First, he argues that his appellate counsel was consti-
    tutionally ineffective under Strickland v. Washington, 
    466 U.S. 668
     (1984), for failing to challenge two evidentiary rulings
    2                                      Nos. 13-3076 & 13-3777
    during his direct appeal. Second, he contends that his consti-
    tutional right to compulsory process was violated when the
    trial court prevented a witness from testifying on his behalf.
    We affirm. Although there were some problems in the
    state courts’ handling of Makiel’s case, he is not entitled to
    federal habeas corpus relief. The state courts did not apply
    federal law unreasonably in concluding that Makiel’s coun-
    sel was not ineffective in selecting the issues to pursue on
    appeal. The evidence shows that his counsel selected the is-
    sues with care. One issue she raised drew a remand, and al-
    though the other two issues did not prevail, they both drew
    a dissenting opinion. The first issue Makiel complains she
    did not raise—an evidentiary ruling preventing the defense
    from impeaching prosecution witness Allen Martin with a
    pending forgery charge—was not so clearly stronger than
    the issues she did raise that the state courts were required to
    find ineffective assistance of counsel under Strickland. The
    second issue she did not raise—the trial court’s exclusion of
    Brian Spodach’s testimony about the reputations of prosecu-
    tion witnesses Martin and Shane Miller—was not clearly
    stronger than the issues she raised.
    The state court also did not act unreasonably when it
    found no violation of Makiel’s constitutional right to com-
    pulsory process. The trial court excluded the testimony of
    eleven-year-old Tim Anderson, who would have blamed an-
    other young boy (not the adult Makiel) for the murder. This
    proffered testimony was uncorroborated at the time of trial,
    but its exclusion was an error. That was the basis for the state
    appellate court’s remand in the original appeal for an evi-
    dentiary hearing. See People v. Makiel, 
    635 N.E.2d 941
     (Ill.
    App. 1994), from which we draw most facts in this opinion.
    Nos. 13-3076 & 13-3777                                         3
    By the time the state courts decided the constitutional issue,
    however, Anderson had completely disavowed his proffered
    trial testimony, and there was no reason to think his prof-
    fered trial testimony would have been probative or reliable.
    Under the circumstances, the state courts’ denial of relief was
    not an unreasonable application of U.S. Supreme Court
    precedent.
    I. Factual and Procedural History
    The complex history of this case spans more than twenty-
    five years. Several of our ultimate conclusions depend on
    evaluating the record as a whole, so we must describe in
    some detail each stage of Makiel’s process through the state
    and federal courts.
    A. The Murder of Katherine Hoch
    Katherine Hoch managed a Mobil gas station in Calumet
    City, Illinois. On the night of October 19, 1988, the gas station
    was robbed. She was taken into a back room and shot in the
    back of the head. The State initially charged three men with
    the murder and armed robbery: Samuel Ilich, Todd Hlinko,
    and petitioner Daniel Makiel. Ilich went to trial and was ac-
    quitted. After Ilich’s acquittal, Hlinko reached a plea agree-
    ment with the State. He agreed to testify against Makiel in
    exchange for dropping the murder and armed robbery
    charges against him. Makiel was tried, convicted, and sen-
    tenced to life in prison. Makiel maintains his innocence.
    B. Pretrial Proceedings
    On March 2, 1989, several months after the murder and
    robbery, police arrested Todd Hlinko on a drug offense,
    which also violated his probation from an earlier aggravated
    battery conviction. While in custody that day, Hlinko signed
    4                                      Nos. 13-3076 & 13-3777
    a statement saying that on October 19, 1988, Makiel went in-
    to the Mobil gas station alone, returned, and jumped back
    into the car, and that Makiel, Hlinko, and Ilich then drove to
    Makiel’s house. According to the statement, Hlinko saw a
    purse at Makiel’s house that night before they went to sleep.
    On March 16, 1989, the police arrested Hlinko again, this
    time for the murder and armed robbery at the gas station.
    After questioning by the police, Hlinko signed a second
    statement that was inconsistent with his first statement. In
    the March 16 statement, he again placed himself, Ilich, and
    Makiel at the gas station, but this time he told police that he
    stayed in the car while Makiel and Ilich went inside. He also
    told police that after Makiel returned to the car, he saw Ma-
    kiel throw something out of the window but never saw a
    gun.
    On April 7, 1989, Makiel was indicted for the murder and
    armed robbery at the gas station. At the time, he was already
    in the custody of the Indiana Department of Correction on
    an attempted murder conviction. Indiana held an extradition
    hearing where Makiel was represented by counsel. The ex-
    tradition request was granted, and Illinois authorities trans-
    ported him from Indiana to Illinois on October 20, 1989.
    During the trip, an Illinois prosecutor questioned him
    about the crime. Makiel answered some of the questions and
    gave an arguably incriminating statement. Before trial, he
    moved to suppress this statement. The state trial court de-
    nied his motion.
    Nos. 13-3076 & 13-3777                                                    5
    C. Trial
    Makiel went to trial in February 1991.1 No physical evi-
    dence directly linked him to the crime scene. The prosecu-
    tion’s case rested primarily on witness testimony, especially
    from Hlinko, who reached a plea agreement with the State in
    October 1990 in exchange for testifying against Makiel.
    1. Hlinko’s Plea Agreement
    Hlinko’s plea agreement in the murder case was unusual-
    ly generous. Hlinko first pled guilty to the probation viola-
    tion based on the sale of narcotics that led to his first arrest
    on March 2, 1989. Without any plea agreement on that
    charge, he was sentenced to five years in prison. His plea to
    the probation violation admitted the sale of narcotics, and he
    faced another possible fifteen years in prison on that charge.
    When the State first approached Hlinko to offer a re-
    duced prison sentence in exchange for testifying against
    Makiel, he refused. Ilich was then acquitted of the murder
    and armed robbery in a separate trial. After Ilich’s acquittal,
    the State went back to Hlinko and made a much more gen-
    erous offer: in exchange for his testimony against Makiel,
    Hlinko would receive five years in prison on the pending
    1
    Judge Paul T. Foxgrover presided over Makiel’s trial. Shortly after
    the trial concluded, Judge Foxgrover was convicted of stealing fines he
    imposed on defendants and of forgery. See People v. Fair, 
    738 N.E.2d 500
    ,
    502 (Ill. 2000); accord, Terry Wilson, Foxgrover Sentenced to 6 Years for
    Theft and Forgery as Judge, Chicago Tribune (July 15, 1992), available at
    http://articles.chicagotribune.com/1992-07-15/news/9203030778_1_defendants-
    sentenced-cook-county-circuit-judge (last visited April 9, 2015). Judge Fox-
    grover’s crimes have not been an issue in this federal habeas corpus ac-
    tion.
    6                                      Nos. 13-3076 & 13-3777
    narcotics charge, which would run concurrently with the
    five-year term on the probation violation, plus the State
    would drop the murder and armed robbery charges. In ef-
    fect, he would face no additional punishment on the narcot-
    ics charge or for the murder and armed robbery. This time,
    Hlinko accepted the deal.
    2. Hlinko’s Testimony
    At trial, Hlinko testified that on October 19, 1988, he,
    Makiel, and Ilich were driving a blue Oldsmobile Cutlass
    442 belonging to a friend, John Miller, around Calumet City.
    In later testimony, John Miller said that he had loaned the car
    to Makiel and Hlinko and noticed from its condition the next
    day that it had been driven the night before.
    According to Hlinko, at about 11:00 p.m. Makiel said he
    “would stop and get some money.” They pulled up to the
    Mobil gas station and parked just off the road. They waited
    in the car for a few minutes until the two customers in the
    gas station had left. Then they parked the Cutlass next to a
    white van, which belonged to Katherine Hoch.
    Hlinko testified that Makiel got out of the car, and—
    contrary to his earlier statements to police—that Hlinko
    himself followed Makiel into the gas station. As they en-
    tered, Hlinko saw Hoch walking from the counter toward a
    back room. Makiel told Hlinko to “watch out,” pointed a
    gun at Hoch, grabbed her arm, and led her to the back room.
    As he acted as a lookout, Hlinko heard Makiel demand
    money from Hoch and heard noises like drawers slamming.
    Then he heard a single gunshot. Makiel left the back room
    holding the gun and a purse and went behind the counter to
    the cash register. Makiel picked up an envelope from the
    Nos. 13-3076 & 13-3777                                      7
    register, took two packs of cigarettes, and handed the ciga-
    rettes to Hlinko. Hlinko did not see anyone else in the gas
    station at the time. He estimated that they had been inside
    the store for only a few minutes.
    Hlinko and Makiel returned to the car, and Makiel put
    the purse under the driver’s seat. Once inside the car, Hlinko
    repeatedly asked Makiel, “What the hell was going on?”
    Makiel told Hlinko that “something went wrong” inside the
    station but not to worry about it.
    Hlinko testified that during the ensuing car ride, they
    stopped in an alley near Ilich’s house. Makiel left the car
    with the purse and walked toward a dumpster. Hlinko did
    not see what Makiel did at the dumpster, but he noticed that
    when Makiel returned to the car, he no longer had the purse
    with him.
    At about 11:30 p.m., the men reached the home of a
    friend, Shane Miller (no relation to the John Miller who
    owned the Cutlass). Shane Miller invited Makiel, Hlinko,
    and Ilich into his house, and the four of them smoked some
    marijuana. About five minutes after smoking, all four drove
    in the Cutlass to the Calumet Expressway. Makiel, who was
    driving, slowed the car down and took the gun from his
    pants as they crossed a bridge near Calumet City. He handed
    the gun to Hlinko and told him to get rid of it. Hlinko threw
    the gun out of the passenger-side window and into the Cal-
    Sag River. Shane Miller, sitting in the backseat, asked Hlinko
    what he threw out the window. Hlinko said it was a gun.
    The four men then returned to the same Mobil gas station
    to get some gas. When they arrived, they saw police cars in
    the parking lot. A police officer stopped their car, told them
    8                                      Nos. 13-3076 & 13-3777
    that something had happened, and directed them to leave.
    The four men then drove to Makiel’s house, arriving around
    midnight. Hlinko and Makiel went upstairs to Makiel’s bed-
    room, while Ilich and Shane Miller used the downstairs
    bathroom. During the moments before Ilich and Miller en-
    tered the bedroom, Hlinko again asked Makiel what had
    happened, and Makiel again told him that something had
    gone wrong but not to worry. After Ilich and Miller entered
    the room, Hlinko heard Makiel tell Miller about the shoot-
    ing.
    At about 1:00 a.m., John Pullybank and his girlfriend ar-
    rived at Makiel’s house. No one said anything to them about
    the gas station incident. Pullybank and his girlfriend offered
    to go out and buy more alcohol. To Hlinko’s surprise, Makiel
    contributed $20 for himself, Hlinko, and Ilich. Hlinko testi-
    fied that the $20 surprised him because Makiel usually had
    no money on him and Hlinko had paid for everything earlier
    that evening. In later testimony, Pullybank said that he was
    friends with Hlinko, Makiel, and Ilich, but he denied seeing
    Shane Miller while visiting Makiel’s house that night. He al-
    so did not know for certain whether he had visited Makiel’s
    house on the night in question.
    On cross-examination, defense counsel attacked Hlinko’s
    credibility in three main ways. First, counsel confronted
    Hlinko with his two earlier statements to police, which were
    inconsistent with each other and with his testimony at trial.
    In fact, at several points during cross-examination, Hlinko
    admitted that he “lied” to police during earlier parts of their
    investigation. Second, counsel confronted Hlinko with a let-
    ter he sent to Makiel in April 1989 (before he agreed to testi-
    fy against Makiel) apologizing for falsely implicating him in
    Nos. 13-3076 & 13-3777                                       9
    his earlier statements to police. In that letter, Hlinko also
    wrote that police officers had beaten him when he initially
    denied knowing anything about the murder. Third, counsel
    walked through Hlinko’s prior criminal history and the de-
    tails of his generous plea agreement with the State.
    3. Shane Miller’s Testimony
    The prosecution called Shane Miller to corroborate
    Hlinko’s testimony. Miller testified that he was in the Cutlass
    with Makiel, Hlinko, and Ilich on the night of October 19 (af-
    ter the murder occurred) and saw Makiel hand something to
    Hlinko while the men were on the Calumet Expressway. Ac-
    cording to Miller, Makiel told Hlinko to get rid of it, and
    Hlinko tossed it out the window into the Cal-Sag River. Mil-
    ler asked Hlinko what it was, and Hlinko told him it was a
    gun.
    Shane Miller also testified that the four men stayed at
    Makiel’s house that night for about twenty-five minutes.
    During that time, Makiel told Miller that he, Hlinko, and
    Ilich had gone to the Mobil gas station and that Makiel had
    shot the manager. Another man, Brian Spodach, later
    dropped by Makiel’s house and gave Miller a ride to Miller’s
    sister’s house.
    On cross-examination, defense counsel confronted Shane
    Miller with a signed statement from February 1990 saying
    that his earlier statements to police implicating Hlinko and
    Makiel in the gas station murder were untrue. He testified
    that the statement was written by Hlinko’s mother and that
    he signed the statement because she begged him. Defense
    counsel also pointed out that Shane Miller waited approxi-
    10                                     Nos. 13-3076 & 13-3777
    mately five months before telling the police what he knew
    about the crime.
    4. Allen Martin’s Testimony
    The prosecution also called Allen Martin to bolster
    Hlinko’s testimony. Martin testified that at about 11:00 p.m.
    on October 19, 1988, he and his girlfriend stopped at the
    Mobil gas station to buy gas. He recognized John Miller’s
    distinctively-painted Cutlass 442 parked along the fence on
    the east side of the gas station. He saw his friends—Makiel,
    Hlinko, and Ilich—sitting in the Cutlass. After he paid for his
    gas, he waved to the three men, who were still sitting in the
    Cutlass, got back in his car, and drove to a game room. He
    estimated that he was at the Mobil station for a total of three
    minutes and at the game room for about twenty minutes be-
    fore he left to drive his girlfriend home. On the way, Martin
    passed the Mobil station and saw an ambulance and police
    cars. He read about the murder in the newspaper and later
    found out that his friends had been implicated in the crime.
    Martin testified that it took him a while to make a connec-
    tion between having seen his friends at the gas station on
    October 19 and their possible involvement in the murder.
    5. Martin’s Pending Forgery Charge
    On cross-examination, Makiel’s counsel attempted to im-
    peach Martin in several ways. Counsel had Martin admit
    that he (1) had been drinking the night of the murder, (2)
    waited a long time before coming forward to the police, and
    (3) denied who he was when he was initially approached by
    a defense attorney.
    Makiel’s counsel also attempted to impeach Martin with
    a pending forgery charge. Counsel asked Martin whether he
    Nos. 13-3076 & 13-3777                                       11
    had been charged with forgery, and Martin flatly denied it.
    Defense counsel then informed the court at a sidebar confer-
    ence that he wanted to impeach Martin by introducing a cer-
    tified copy of the pending charge. During this sidebar, the
    State did not contest the fact that Martin had a pending for-
    gery charge. The trial court nevertheless barred defense
    counsel from introducing the charge and ordered both sides
    not to discuss it further in front of the jury.
    6. Prosecutor Quinn’s Testimony
    Assistant State’s Attorney Patrick Quinn testified that on
    March 21, 1989—before Makiel was indicted—he inter-
    viewed Makiel in the presence of police investigators after
    reading him his Miranda rights. Makiel denied knowing any-
    thing about the murder. Quinn informed Makiel that a wit-
    ness had seen him with Hlinko and Ilich at the Mobil gas sta-
    tion around the time of the murder on October 19, 1988. At
    that point, Quinn testified, Makiel said that he remembered
    that he had stopped at the gas station on that night with
    Hlinko and Ilich to buy some cigarettes.
    7. Physical Evidence
    A Chicago sanitation employee testified that on Octo-
    ber 24, 1988, he found a purse containing Hoch’s driver’s li-
    cense in a trash can in an alley less than ten minutes from
    Ilich’s home. Hoch’s husband testified that the purse be-
    longed to his wife. A forensic scientist and fingerprint expert
    analyzed the purse and found sixteen latent prints suitable
    for comparison. Eight prints belonged to Hoch, but none of
    the remaining eight prints matched Makiel, Hlinko, or Ilich.
    The first police officer to arrive at the crime scene testi-
    fied that he found a .38-caliber shell casing in the back room
    12                                     Nos. 13-3076 & 13-3777
    of the gas station, but it yielded no suitable fingerprints. Nor
    could the evidence technician find any suitable prints inside
    or outside the gas station. Divers searched the Cal-Sag River
    for the murder weapon but did not find it.
    8. Makiel’s Alibi Defense
    Makiel presented an alibi defense. His sister Laura Kobak
    testified that he was babysitting on the night of the murder.
    Kobak testified that Makiel agreed to babysit so that she and
    her boyfriend could celebrate her birthday. According to her
    testimony, Makiel, Hlinko, and two others—Cory and Lisa
    Majszak—arrived about 6:30 p.m. on October 19, 1988. When
    Kobak returned around midnight, Makiel and Hlinko were
    alone with the children. In addition, Makiel presented sever-
    al witnesses who testified that they had stopped by the gas
    station around 11:00 p.m. on October 19 and had not seen a
    blue Cutlass or a white van.
    Tony Rodriguez testified that he and another man visited
    Kobak’s house sometime after 8:00 p.m. on October 19. Ac-
    cording to Rodriguez, when he arrived, Makiel, Hlinko, and
    both Majszaks were babysitting Kobak’s children. He also
    testified that he had seen John Miller’s Cutlass 442 “up on
    jacks” in Makiel’s driveway earlier that day.
    To rebut Makiel’s alibi defense, the prosecution called
    Cory and Lisa Majszak, who testified that they did not
    babysit with Makiel and Hlinko on the night of the murder.
    They testified that they babysat at Kobak’s house with Ma-
    kiel and Hlinko only once, sometime after October 23, 1988.
    They also testified that they did not see Rodriguez on the
    evening they babysat with Makiel and Hlinko. The State also
    called a police investigator who testified that when he first
    Nos. 13-3076 & 13-3777                                       13
    spoke to Rodriguez about visiting Kobak’s house in October
    1988, Rodriguez did not know the exact date of the visit.
    9. Brian Spodach’s Potential Testimony
    Defense counsel also called Brian Spodach. Recall that
    Shane Miller testified that Spodach came by Makiel’s house
    and gave Miller a ride on the night of October 19, 1988.
    Spodach testified that he neither went to the house nor gave
    Miller a ride that night. In addition, defense counsel sought
    to introduce testimony from Spodach about Martin’s and
    Shane Miller’s reputations for truthfulness. The trial court
    excluded the evidence. According to defense counsel’s prof-
    fer, Spodach would have testified that he knew their reputa-
    tions based on his contacts with other people in the commu-
    nity and that they had reputations for being “liars.”
    10. Tim Anderson’s Potential Testimony
    Makiel’s counsel then sought to introduce the testimony
    of Tim Anderson. According to counsel’s proffer, Anderson
    would have testified that Makiel had nothing to do with the
    murder and armed robbery. Anderson was prepared to testi-
    fy that on October 19, 1988, when he was nine years old, he
    snuck out of his parents’ home around midnight and met up
    with three friends: Brandon, Brian, and Jay. Jay said “let’s go
    get some money,” and the four boys drove Brandon’s car to
    the Mobil gas station. At the station, Jay took out an auto-
    matic handgun, cocked it, and went inside. Anderson heard
    a “loud shot.” Jay then returned to the car and said “I did it,”
    and the boys drove off. Later that night, Brian told Anderson
    that if he told anyone what had happened, Brian would
    shoot him.
    14                                     Nos. 13-3076 & 13-3777
    The prosecution moved in limine to bar this testimony “as
    not being relevant, not relating to this case and being too
    remote and uncertain and speculative.” The trial court con-
    ducted a sidebar and heard argument from both sides. The
    prosecutor presented a November 1990 written statement to
    police from Anderson that the incident occurred in August
    1988, not October 1988 when Hoch was murdered. The pros-
    ecutor also questioned Anderson’s competency to testify, ob-
    serving that Anderson was only eleven years old at the time
    of trial and that he had initially disclosed the story about the
    gas station murder to a psychiatrist when he was hospital-
    ized for mental health issues.
    The trial court asked defense counsel whether the No-
    vember 1990 written statement was the expected testimony
    from Anderson. Defense counsel clarified that Anderson, if
    permitted to testify, would say that the incident occurred in
    October 1988, not August 1988. Counsel acknowledged that
    Anderson’s written statement to police said that the incident
    occurred in August, but he argued that the inconsistency
    was simply a matter for cross-examination—not a reason to
    bar the testimony altogether.
    The trial court granted the State’s motion and barred An-
    derson from testifying: “The Court finds, on the matter of
    relevancy, the testimony here would be too remote, too
    speculative.” It also discussed Anderson’s competency and
    the desire to avoid trying collateral issues during the trial:
    “The circumstances, taking into account a competency situa-
    tion, both on a mental status and the age of the witness and
    the remoteness of the same, reference to time of the incident,
    such that the court would grant the State’s motion to bar.”
    Although the trial court discussed Anderson’s competency
    Nos. 13-3076 & 13-3777                                       15
    and whether it would inject collateral issues into the trial, it
    clarified: “The Court has not ruled on his competency.”
    D. Direct Appeal (Makiel I)
    Makiel appealed his conviction on three grounds: (1) the
    October 20, 1989 statement he made after his extradition
    hearing should have been suppressed, (2) the trial court
    erred in excluding Tim Anderson’s testimony, and (3) the
    prosecution made improper remarks during closing argu-
    ments. In a split decision, the state appellate court denied
    relief on Makiel’s claims regarding his pretrial statement and
    the prosecutor’s closing arguments, but it unanimously held
    that the trial court erred in barring Anderson from testifying.
    People v. Makiel, 
    635 N.E.2d 941
     (Ill. App. 1994) (“Makiel I”).
    The court identified two errors with the trial court’s
    handling of Anderson’s testimony. First, in determining that
    the testimony was “not relevant,” the trial court improperly
    relied on the State’s impeachment evidence (the November
    1990 written statement to police) and confused relevance
    with credibility: “The circuit court, by relying on the factors
    it cited, essentially determined that Anderson’s proffered
    testimony was not sufficiently credible.” 
    Id. at 954
    . Since
    credibility determinations go to the weight of the testimony,
    not its admissibility, “the circuit court may have erred by
    keeping relevant evidence from the jury based on the court’s
    impression of its credibility.” 
    Id.
    Second, although the trial court said that it did not de-
    termine competency, the appellate court noted that concerns
    about Anderson’s competency might have improperly influ-
    enced the trial court’s decision. The appellate court held that
    the trial court erred by not examining Anderson to see if he
    16                                       Nos. 13-3076 & 13-3777
    was in fact competent to testify. 
    Id.
     Accordingly, the appel-
    late court remanded the case to the trial court with the fol-
    lowing instructions:
    We find that the circuit court here erred by failing to
    interview Anderson as a preliminary step to deter-
    mine his competence and the relevance of his testi-
    mony. We therefore remand this case for such an in-
    quiry. If both his competency and the relevance of
    his testimony are established, the circuit court is to
    grant defendant’s motion for a new trial. If for some
    reason Anderson is unavailable, or unwilling, to
    participate in the inquiry, or if the circuit court finds
    him incompetent or his evidence irrelevant, we re-
    tain jurisdiction in this matter.
    
    Id.
    Justice McCormick concurred in part and dissented in
    part. 
    Id.
     at 956–61. He agreed with the majority that the case
    had to be remanded to determine Anderson’s competency to
    testify, but he disagreed with the majority that the trial court
    needed to address the relevance of Anderson’s testimony on
    remand. Justice McCormick believed the majority had al-
    ready decided that Anderson’s proffered testimony was rel-
    evant, so a remand on this issue was unnecessary. 
    Id. at 958
    .
    He also disagreed with the majority’s treatment of Ma-
    kiel’s other two claims and would have granted a new trial.
    
    Id. at 956, 961
    . Justice McCormick analyzed the evidence
    against Makiel in great detail, concluding that the evidence
    was “far from overwhelming” and that the State’s case
    “hinged largely on the credibility of Hlinko’s testimony at
    trial, which was inconsistent with all of his many pretrial
    Nos. 13-3076 & 13-3777                                        17
    statements, some of which he made under oath.” 
    Id. at 958
    .
    The dissent emphasized that Hlinko’s plea agreement “gave
    him a strong reason to lie,” that all of the physical evidence
    that allegedly corroborated Hlinko’s trial testimony was
    found before Hlinko accepted the plea deal, and that the al-
    legedly corroborating testimony from Shane Miller and Al-
    len Martin contradicted Hlinko’s testimony in several re-
    spects. 
    Id.
     at 959–60. Justice McCormick concluded:
    “Hlinko’s testimony … is sufficient to support the conviction
    if the jury chose to believe it, but the evidence is closely bal-
    anced.” 
    Id. at 961
    . The Supreme Court of Illinois denied
    leave to appeal in October 1994.
    E. Evidentiary Hearing and Appeal After Remand (Makiel II)
    The evidentiary hearing took place in December 1996 be-
    fore a different trial judge. Tim Anderson and his mother
    testified. The parties also entered stipulations regarding the
    testimony of police officers who investigated Anderson’s
    statement at the time of his hospitalization in 1990.
    Anderson recanted his earlier story implicating “Jay” in
    the gas station murder. He testified that in October 1988, the
    month the crime occurred, he was nine years old and that at
    the time of the murder, he did not know Jay or the other
    boys mentioned in his story. He did not meet them until
    1990—approximately two years after Hoch was murdered.
    He explained that he had fabricated the entire story to retali-
    ate against the boys for bullying him.
    After the hearing, the trial court stated its findings about
    Anderson’s competency and the relevance of his testimony.
    On the issue of competency, the court found that Anderson
    was “intellectually challenged” at the time of Makiel’s trial,
    18                                     Nos. 13-3076 & 13-3777
    but that it did not have sufficient information to determine
    his competency to testify at the time of trial. It did find,
    however, that Anderson “was competent to testify at the De-
    cember 30, 1996 hearing.”
    On the issue of relevance, the court found that Anderson
    first told the story about Jay and the gas station murder to a
    psychiatrist or counselor in October 1990 while he was a
    psychiatric patient at a hospital. The court also found that
    Anderson told the same story to police the following month
    and then again to Makiel’s attorney sometime before his trial
    in February 1991. The court found that Anderson recanted
    the story for the first time four years later, in February 1995.
    The trial court concluded:
    Further, based upon his not telling the story until
    two (2) years after the event, that his story is totally
    [uncorroborated], his propensity to lie at an early
    age, his motive to fabricate, the fact that no one ever
    believed his story and his subsequent recantation of
    his story of the October 19, 1988 events involving
    his friend, I find that his testimony would be remote
    and speculative and, therefore, would not be rele-
    vant.
    Supp. App. 26.
    Makiel appealed, arguing that the trial court erred by de-
    termining that Anderson’s testimony was irrelevant, and that
    in any event the principles of Chambers v. Mississippi, 
    410 U.S. 284
     (1973), required its admission. The state appellate court
    affirmed. People v. Makiel, No. 1-97-2140, slip op. (Ill. App.
    June 8, 1998) (“Makiel II”). Apparently focusing on the rele-
    vance of Anderson’s hearing testimony rather than his prof-
    Nos. 13-3076 & 13-3777                                         19
    fered testimony at Makiel’s trial, the appellate court held that
    Anderson’s “testimony” would have been irrelevant because
    it had been fabricated and therefore was not “material to es-
    tablishing [Makiel’s] guilt.” Supp. App. 29.
    The court then addressed the Chambers argument, refer-
    ring to the excluded evidence as Anderson’s “prior state-
    ments.” The court held that these “prior statements” consti-
    tuted “inadmissible hearsay” and could be excluded under
    Chambers because they lacked insufficient indicia of reliabil-
    ity. Supp. App. 30–31. Citing Chambers, the court explained
    that “[w]hen judging the admissibility of [Anderson’s] decla-
    ration, it must be determined whether the declaration was
    made under circumstances that provide ‘considerable assur-
    ance’ of its reliability by objective indicia of trustworthiness.”
    Id. at 31. It then concluded that Anderson’s “prior state-
    ments” did not satisfy these criteria. Id. The Supreme Court
    of Illinois again denied leave to appeal in October 1998.
    F. State Post-Conviction Proceedings (Makiel III)
    While still awaiting the evidentiary hearing on Tim An-
    derson’s excluded testimony, Makiel filed a motion for post-
    conviction relief in June 1995 under 725 Ill. Comp. Stat.
    5/122-1 et seq. Makiel argued that his appellate counsel was
    constitutionally ineffective because she did not argue in his
    direct appeal that the trial court erred by excluding (1) Allen
    Martin’s pending forgery charge and (2) Brian Spodach’s tes-
    timony about the reputations of Martin and Shane Miller.
    Makiel’s petition was initially stayed pending completion of
    his direct appeal and eventually denied without an eviden-
    tiary hearing.
    20                                      Nos. 13-3076 & 13-3777
    The state appellate court unanimously reversed, holding
    that Makiel had made a substantial showing of a deprivation
    of his Sixth Amendment right to effective assistance of coun-
    sel. People v. Makiel, 
    830 N.E.2d 731
     (Ill. App. 2005) (“Makiel
    III”). On both of Makiel’s claims of ineffective assistance of
    appellate counsel, the court ordered an evidentiary hearing
    because his petition raised “unanswered questions of fact as
    to the strategy which motivated appellate counsel” not to
    challenge the trial court’s evidentiary rulings. 
    Id. at 745, 748
    .
    The court noted, however, that it was not taking a position
    on whether Makiel could ultimately prove his claims. 
    Id. at 749
    .
    G. Evidentiary Hearing and Appeal After Remand (Makiel
    IV)
    The evidentiary hearing was held on March 14 and
    April 4, 2008. Makiel presented the testimony of the assistant
    public defender who represented him in his original appeal.
    She testified that she could not explain why she did not chal-
    lenge either of the trial court’s evidentiary rulings. She also
    testified that she did not remember “specifically considering
    and rejecting” the two issues. The lawyer explained, howev-
    er, that she reviewed the trial record and Makiel’s post-trial
    motion, consulted with her supervisor about which issues to
    raise, and discussed her strategy with Makiel during the ap-
    peal. At the conclusion of the hearing, the trial court denied
    Makiel’s petition.
    Makiel appealed again, and this time the state appellate
    court affirmed. People v. Makiel, No. 1-08-0921, 
    2011 WL 9548460
    , at *1 (Ill. App. Sept. 28, 2011) (“Makiel IV”). The ap-
    pellate court held that the trial court had erred when it
    barred evidence of Martin’s pending forgery charge, but that
    Nos. 13-3076 & 13-3777                                        21
    appellate counsel was not constitutionally ineffective for fail-
    ing to raise the issue because she “reasonably could have de-
    termined” that such a challenge “would not have been a
    meritorious issue on appeal.” Id. at *14. The court also held
    that Makiel had not established prejudice from appellate
    counsel’s failure to raise the issue. Id.
    On Makiel’s claim for failure to appeal the exclusion of
    Spodach’s testimony about reputation, the state appellate
    court relied on a purported state-law rule that Makiel failed
    to satisfy the burden of proof applicable to third-stage post-
    conviction proceedings because he relied exclusively on his
    initial proffer and failed to present additional evidence to
    support his claim. Id. (As explained below, the State con-
    cedes on appeal that state law imposed no such requirement
    on Makiel.) The court also concluded that Makiel had failed
    to establish prejudice from appellate counsel’s failure to raise
    this issue. Id. at *15. Once more, the Supreme Court of Illi-
    nois denied leave to appeal in January 2012.
    H. Federal Habeas Petition
    In December 2012, Makiel filed a petition for a writ of
    habeas corpus in federal district court raising claims about
    the prosecutor’s remarks during closing arguments, the trial
    court’s exclusion of Tim Anderson’s testimony, and appellate
    counsel’s failure to challenge the trial court’s evidentiary rul-
    ings on Martin’s pending forgery charge and Spodach’s rep-
    utation testimony. The district court denied the petition
    without an evidentiary hearing and granted a certificate of
    appealability limited to the claim about the prosecutor’s re-
    marks. United States ex rel. Makiel v. Atchison, No. 12 CV 9644,
    
    2013 WL 4538583
    , at *19 (N.D. Ill. Aug. 27, 2013). We granted
    Makiel’s motion to expand the certificate of appealability to
    22                                      Nos. 13-3076 & 13-3777
    include his other claims. On appeal, Makiel has abandoned
    the claim about closing arguments and raises only the claims
    about appellate counsel’s failure to challenge the evidentiary
    rulings and the trial court’s exclusion of Anderson’s testimo-
    ny.
    II. Habeas Corpus Review Under 
    28 U.S.C. § 2254
    We have jurisdiction under 
    28 U.S.C. § 2253
    (a), and we
    review de novo the district court’s denial of habeas corpus re-
    lief. E.g., Harris v. Thompson, 
    698 F.3d 609
    , 622 (7th Cir. 2012).
    Federal courts have authority to issue writs of habeas corpus
    for persons in state custody under § 2254, as amended by the
    Antiterrorism and Effective Death Penalty Act of 1996
    (AEDPA). Under AEDPA, a federal habeas petition may be
    granted only if a state court’s ruling on a federal constitu-
    tional question “was contrary to, or involved an unreason-
    able application of, clearly established Federal law, as de-
    termined by the Supreme Court,” or “was based on an un-
    reasonable determination of the facts in light of the evidence
    presented in the State court proceeding.” 
    28 U.S.C. § 2254
    (d)(1) & (2).
    The standard under AEDPA is “difficult to meet” and
    “highly deferential.” Cullen v. Pinholster, 563 U.S. —, 
    131 S. Ct. 1388
    , 1398 (2011). Federal courts must avoid “using fed-
    eral habeas corpus review as a vehicle to second-guess the
    reasonable decisions of state courts.” Parker v. Matthews, 567
    U.S. —, 
    132 S. Ct. 2148
    , 2149 (2012) (per curiam), quoting Re-
    nico v. Lett, 
    559 U.S. 766
    , 779 (2010). A petitioner cannot pre-
    vail by showing simply that the state court’s decision was
    wrong. E.g., White v. Woodall, 572 U.S. —, 
    134 S. Ct. 1697
    ,
    1702 (2014). A petitioner “must show that the state court’s
    ruling on the claim being presented in federal court was so
    Nos. 13-3076 & 13-3777                                        23
    lacking in justification that there was an error well under-
    stood and comprehended in existing law beyond any possi-
    bility for fairminded disagreement.” Harrington v. Richter,
    
    562 U.S. 86
    , 103 (2011). Our review under § 2254(d) is limited
    to the record that was before the state court. Pinholster, 
    131 S. Ct. at 1398
    .
    AEDPA’s deferential standard of review applies only to
    claims that were actually “adjudicated on the merits in State
    court proceedings.” 
    28 U.S.C. § 2254
    (d). Where state courts
    did not reach a federal constitutional issue, § 2254(d) defer-
    ence applies “only to those issues the state court explicitly
    addressed.” Quintana v. Chandler, 
    723 F.3d 849
    , 853 (7th Cir.
    2013), citing Wiggins v. Smith, 
    539 U.S. 510
    , 534 (2003). The
    operative decision under review is that of the last state court
    to address a given claim on the merits. See Greene v. Fisher,
    565 U.S. —, 
    132 S. Ct. 38
    , 45 (2011).
    III. Ineffective Assistance of Counsel
    The Sixth Amendment provides that “the accused shall
    enjoy the right to … have the Assistance of Counsel for his
    defence.” To demonstrate that his right to counsel was vio-
    lated by ineffective assistance, Makiel must satisfy the famil-
    iar two-prong test set forth in Strickland v. Washington, 
    466 U.S. 668
     (1984). First, he must show that his counsel’s per-
    formance was deficient because it “fell below an objective
    standard of reasonableness.” 
    Id.
     at 687–88. Second, he must
    show that the deficient performance prejudiced the defense,
    which means that “there is a reasonable probability that, but
    for counsel’s unprofessional errors, the result of the proceed-
    ing would have been different.” 
    Id. at 694
    .
    24                                       Nos. 13-3076 & 13-3777
    A. Standard of Review
    Under AEDPA, “the bar for establishing that a state
    court’s application of the Strickland standard was ‘unreason-
    able’ is a high one.” Allen v. Chandler, 
    555 F.3d 596
    , 600 (7th
    Cir. 2009). “When § 2254(d) applies, the question is not
    whether counsel’s actions were reasonable. The question is
    whether there is any reasonable statement that counsel satis-
    fied Strickland’s deferential standard.” Harrington, 
    562 U.S. at 105
    .
    B. Performance
    To establish deficient performance under Strickland, Ma-
    kiel must identify acts or omissions by counsel that fell be-
    low an objective standard of reasonableness and could not
    have been the result of professional judgment. Strickland, 
    466 U.S. at 688, 690
    . “The question is whether an attorney’s rep-
    resentation amounted to incompetence under ‘prevailing
    professional norms,’ not whether it deviated from best prac-
    tices or most common custom.” Harrington, 
    562 U.S. at 105
    ,
    quoting Strickland, 
    466 U.S. at 690
    . “The court must then de-
    termine whether, in light of all the circumstances, the identi-
    fied acts or omissions were outside the wide range of profes-
    sionally competent assistance.” Strickland, 
    466 U.S. at 690
    . To
    avoid the distorting effects of hindsight, “counsel is strongly
    presumed to have rendered adequate assistance and made
    all significant decisions in the exercise of reasonable profes-
    sional judgment.” Id.
    1. Ineffective Assistance of Appellate Counsel
    The general Strickland standard governs claims of ineffec-
    tive assistance of appellate counsel as well as trial counsel,
    Smith v. Robbins, 
    528 U.S. 259
    , 285 (2000), but with a special
    Nos. 13-3076 & 13-3777                                        25
    gloss when the challenge is aimed at the selection of issues
    to present on appeal. Appellate counsel is not required to
    present every non-frivolous claim on behalf of her client.
    E.g., Mason v. Hanks, 
    97 F.3d 887
    , 893 (7th Cir. 1996). “This
    process of ‘winnowing out weaker arguments on appeal and
    focusing on’ those more likely to prevail, far from being evi-
    dence of incompetence, is the hallmark of effective appellate
    advocacy.” Smith v. Murray, 
    477 U.S. 527
    , 536 (1986), quoting
    Jones v. Barnes, 
    463 U.S. 745
    , 751–52 (1983). In fact, when ap-
    pellate judges address professional education programs on
    appellate practice, they almost always stress this need for
    careful selection of just a few issues on appeal. “Lawyers
    must curtail the number of issues they present, not only be-
    cause briefs are limited in length but also because the more
    issues a brief presents the less attention each receives, and
    thin presentation may submerge or forfeit a point.” Knox v.
    United States, 
    400 F.3d 519
    , 521 (7th Cir. 2005).
    Because appellate counsel is not required to raise every
    non-frivolous issue on appeal, appellate counsel’s perfor-
    mance is deficient under Strickland only if she fails to argue
    an issue that is both “obvious” and “clearly stronger” than
    the issues actually raised. E.g., Brown v. Finnan, 
    598 F.3d 416
    ,
    425 (7th Cir. 2010); Lee v. Davis, 
    328 F.3d 896
    , 900–01 (7th Cir.
    2003). Proving that an unraised claim is clearly stronger than
    a claim that was raised is generally difficult “because the
    comparative strength of two claims is usually debatable.”
    Shaw v. Wilson, 
    721 F.3d 908
    , 915 (7th Cir. 2013) (reversing
    denial of habeas relief in unusually clear case of ineffective
    assistance in selecting appellate issues).
    26                                       Nos. 13-3076 & 13-3777
    2. Appellate Counsel’s Process for Selecting the Issues
    In this case, evidence shows that Makiel’s appellate coun-
    sel approached the selection process diligently. At the evi-
    dentiary hearing, which occurred a full sixteen years after
    the direct appeal, the lawyer explained what she remem-
    bered about her process for selecting the issues. She admit-
    ted that she could not explain why she did not appeal the
    trial court’s evidentiary rulings about Martin’s pending for-
    gery charge and Spodach’s reputation testimony. She also
    testified that she could not remember “specifically consider-
    ing and rejecting” these issues. She explained, however, that
    she reviewed the trial record, including the documents in the
    record, transcripts of the relevant proceedings, and Makiel’s
    post-trial motion, which raised no fewer than 54 different
    issues. She also testified that she made notes of the issues she
    could possibly raise, discussed the case and the potential is-
    sues with her supervisor at the appellate defender’s office,
    and discussed the appeal with Makiel by letter and over the
    phone during the appeal. She also filed a petition for leave to
    appeal with the Supreme Court of Illinois after losing on two
    of the three issues she raised.
    3. The Issues Actually Raised on Direct Appeal
    Makiel’s appellate counsel chose to present three relative-
    ly strong issues on direct appeal: (1) whether the trial court
    erred by failing to suppress Makiel’s pretrial statement,
    which was given after Miranda warnings and after he had
    been represented by counsel in the extradition proceeding;
    (2) whether the prosecutor’s closing arguments were im-
    proper; and (3) whether the trial court improperly excluded
    Nos. 13-3076 & 13-3777                                        27
    Anderson’s testimony. Counsel prevailed on the issue of An-
    derson’s testimony. On the suppression issue, the panel ma-
    jority noted that no case was “directly on point” and strug-
    gled to reconcile several cases pointing in opposite direc-
    tions. See Makiel I, 
    635 N.E.2d at 952
    . On the closing-
    argument issue, Makiel’s counsel did not simply present a
    bare-bones criticism of the prosecutor’s closing argument.
    She criticized several types of comments by the prosecutor,
    all of which had some force: comments about facts not in ev-
    idence, comments about defense counsel’s failure to call alibi
    witnesses, and comments that arguably shifted the burden of
    proof to the defense. See 
    id.
     at 955–56. One justice on the
    panel dissented on both of these issues. See 
    id. at 957, 961
    (McCormick, J., concurring in part and dissenting in part).
    4. Allen Martin’s Pending Forgery Charge
    Having described counsel’s process for selecting the is-
    sues to raise and the issues she actually raised, we now turn
    to counsel’s failure to appeal the trial court’s exclusion of Al-
    len Martin’s pending forgery charge. Makiel argues that this
    issue was obvious and clearly stronger than the suppression
    issue and the issue about the prosecutor’s closing arguments.
    The pending charge was, according to Makiel, critical im-
    peachment evidence because it would have caught Martin in
    a blatant lie, shown that he had an incentive to seek favor
    with the government, and revealed that he had been accused
    officially of deception.
    The state court held that the trial court erred when it ex-
    cluded this evidence at trial. Makiel IV, 
    2011 WL 9548460
    , at
    *13. Nevertheless, it concluded that appellate counsel was
    not deficient in failing to appeal this error because she “rea-
    sonably could have determined” that it “would not have
    28                                     Nos. 13-3076 & 13-3777
    been a meritorious issue on appeal.” Id. at *14. This was a
    merits adjudication, so we apply AEDPA deference and ask
    “whether there is any reasonable argument that counsel sat-
    isfied Strickland’s deferential standard.” Harrington, 
    562 U.S. at 105
    .
    The state court’s decision that appellate counsel’s perfor-
    mance was not deficient for failing to appeal the forgery is-
    sue was a reasonable application of Strickland. Although we
    agree with Makiel that this issue was an obvious issue to ap-
    peal, we disagree that it was so clearly stronger than the is-
    sues actually raised that the state court was required to find
    ineffective assistance of counsel under Strickland. On the rec-
    ord before the state court, it was reasonable to conclude that
    appellate counsel reasonably decided not to raise this issue
    because she predicted that the error might well be deemed
    harmless. Even if appellate counsel’s prediction might have
    been incorrect (which we do not decide), there is at least a
    reasonable argument that counsel satisfied the deferential
    Strickland standard, which means that we may not disturb
    the state court conviction on this ground under AEDPA.
    A split decision under the circumstances, although not
    dispositive, supports our conclusion that it was not unrea-
    sonable for the state court to conclude that the issue was not
    clearly stronger than the issues raised. This is not a case like
    Shaw v. Wilson, for example, where the single claim actually
    raised was so weak that pursuing it “was the equivalent of
    filing no brief at all.” 
    721 F.3d 908
    , 915 (7th Cir. 2013). In
    Shaw appellate counsel failed to raise the promising issue
    that an Indiana statute, which limited the time for amending
    charging documents, barred the State from belatedly amend-
    ing the charge from aggravated battery to murder. Id. at 916.
    Nos. 13-3076 & 13-3777                                        29
    Instead, appellate counsel filed a brief challenging only the
    sufficiency of the evidence but inexplicably conceded on ap-
    peal that the evidence could support either conviction or ac-
    quittal. In light of that concession, we said, the only argu-
    ment raised was “dead on arrival.” Id. at 915. Here, by con-
    trast, the three issues appellate counsel raised were much
    stronger. She drew a remand on one and a dissent on the
    other two.
    No rule limited Makiel’s counsel to just the three issues
    on appeal. We assume she could have raised the Martin for-
    gery issue in addition to those she actually raised. Neverthe-
    less, given the emphasis in appellate practice on not raising
    too many different issues and thus not diluting or burying
    an appellant’s strongest points, we see no unreasonable ap-
    plication of the Strickland standard by the state courts. See
    Howard v. Gramley, 
    225 F.3d 784
    , 791 (7th Cir. 2000) (selection
    of proper issues is one of most important parts of appellate
    advocacy, and too many issues can distract appellate judges
    from stronger issues; appellate counsel who raised only one
    relatively weak issue was deficient but performance did not
    prejudice defendant). In fact, the evidence of effective assis-
    tance in the selection of issues is substantial here, particular-
    ly when we recall the results with the issues actually raised.
    Makiel counters with reasons appellate counsel should
    have doubted the merits of two of the arguments she raised
    on appeal. First, he argues that because the case law was un-
    settled on the suppression issue, it was necessarily weaker
    because the trial court’s error in excluding the pending for-
    gery charge was clearly established under settled law. Sec-
    ond, he argues that the closing-argument issue was clearly
    weaker because attorneys are given wide latitude in closing
    30                                     Nos. 13-3076 & 13-3777
    arguments and the standard of review is deferential to the
    trial court. Neither point persuades us that the state court
    was required to find deficient performance under Strickland.
    Makiel’s position fails to account for the possibility that
    appellate counsel declined to raise the forgery issue because
    she predicted that the panel would deem the error harmless.
    Identifying a harmless error does not yield success on ap-
    peal. Appellate counsel’s ultimate goal in selecting issues is
    to “maximize the likelihood of success.” Smith, 
    528 U.S. at 288
    . Counsel must persuade the appellate court first that the
    trial court erred and then that the error was harmful. Ac-
    cordingly, even if there is no doubt that a trial court made an
    error, appellate counsel can decline to raise an issue when
    she reasonably believes the error would be deemed harm-
    less. See Howard, 
    225 F.3d at
    790–91 (harmless-error doctrine
    and the standard of review are appropriate factors for appel-
    late counsel to consider when selecting issues).
    Here, applying the AEDPA standard under 
    28 U.S.C. § 2254
    (d)(1), it was not unreasonable for the state court to
    conclude that appellate counsel could have reasonably pre-
    dicted that the trial court’s exclusion of the pending forgery
    charge would likely be deemed harmless. Under Illinois law,
    this error would have been reviewed for harmless error un-
    der Chapman v. California, 
    386 U.S. 18
     (1967). See People v.
    Young, 
    538 N.E.2d 461
    , 469–70 (Ill. 1989), citing Delaware v.
    Van Arsdall, 
    475 U.S. 673
    , 684 (1986) (improper denial of de-
    fendant’s opportunity to impeach a witness for bias is subject
    to harmless-error analysis). The harmless-error standard
    asks whether the State can “prove beyond a reasonable
    doubt that the error complained of did not contribute to the
    verdict.” Chapman, 
    386 U.S. at 24
    . The excluded impeach-
    Nos. 13-3076 & 13-3777                                                     31
    ment evidence affected only Martin’s credibility. The state
    court reasonably determined that appellate counsel reason-
    ably could have predicted that the issue would not likely
    have led to reversal because the evidence did not directly
    undermine Hlinko’s testimony. Hlinko’s testimony—not
    Martin’s—was the linchpin of the prosecution’s case, and it
    was corroborated by other evidence at trial. 2
    To be clear, we do not doubt the impeachment value of
    Martin’s pending forgery. Although Martin had been im-
    peached by other means, the pending forgery charge would
    have caught him in a blatant lie (he had flatly denied the
    charge on the stand), shown that he had an incentive to seek
    favor with the government, and revealed that he had been
    accused officially of deception. As the State correctly con-
    ceded in oral argument, this excluded impeachment evi-
    dence was not cumulative because it was different in kind
    from the other impeachment evidence offered at trial. See
    United States v. Wilson, 
    481 F.3d 475
    , 480–81 (7th Cir. 2007)
    (impeachment evidence not cumulative when it represents
    2
    Recall that Hlinko testified that he, Ilich, and Makiel were at the gas
    station in the distinctive blue Cutlass on the night of the murder. Ma-
    kiel’s pre-indictment statement to police that he was at the gas station
    that evening corroborated this aspect of Hlinko’s testimony. John Miller
    testified that he had loaned the Cutlass to Makiel, and that he noticed
    from the condition of the car the day after the murder that it had been
    driven the previous night. This, too, corroborated Hlinko’s testimony.
    Hlinko also testified that Makiel disposed of the victim’s purse in an al-
    ley near Ilich’s house, which was corroborated by testimony from a sani-
    tation worker who found the purse in an alley matching Hlinko’s de-
    scription.
    32                                      Nos. 13-3076 & 13-3777
    “a new and potentially powerful line of inquiry”); Redmond
    v. Kingston, 
    240 F.3d 590
    , 591–92 (7th Cir. 2001) (same).
    Nevertheless, it was not unreasonable for the state court
    to decide that appellate counsel could have reasonably pre-
    dicted that the damage it could have done to Martin’s credi-
    bility would not have extended to Hlinko and that, as a re-
    sult, the appellate court might well find that its exclusion
    would not satisfy the Chapman standard. Cf. People v. Rosario,
    
    536 N.E.2d 756
    , 760 (Ill. App. 1989) (“The improper limita-
    tion of cross-examination does not warrant reversal where
    there is no showing of manifest prejudice to defendant, and
    where the prosecution’s case does not stand or fall based up-
    on the credibility of that witness.”); see generally Van Arsdall,
    
    475 U.S. at 684
     (applying Chapman standard to improper lim-
    it on cross-examination of prosecution witness calls for anal-
    ysis of “a host of factors”); United States v. Petitjean, 
    883 F.2d 1341
    , 1348 (7th Cir. 1989) (finding limit on impeachment of
    government witness was harmless).
    Makiel disagrees, pointing out that Martin corroborated
    one aspect of Hlinko’s testimony that no other evidence cor-
    roborated: the precise time of the murder. Consistent with
    the State’s theory of when the murder happened, Hlinko tes-
    tified that Makiel shot the victim inside the gas station at
    approximately 11:00 p.m. Martin testified similarly, but, ac-
    cording to Makiel, no other evidence corroborated that time-
    line.
    The problem is that the specific timing of the murder was
    not essential to the State’s case against Makiel. Suppose for
    the sake of argument that the jury would have discredited
    Martin’s testimony entirely if defense counsel had been al-
    lowed to introduce the pending forgery charge. That would
    Nos. 13-3076 & 13-3777                                       33
    not necessarily mean that the jury would have discredited
    Hlinko’s testimony, especially in light of the other corrobo-
    rating evidence. At best, Hlinko’s testimony about the timing
    of the murder might have gone uncorroborated. But even if
    the jury rejected the State’s theory of the specific timing of
    the murder, that alone would not necessarily establish rea-
    sonable doubt as to Makiel’s guilt. As a result, the state court
    did not apply Strickland unreasonably in finding that appel-
    late counsel’s decision not to pursue the forgery issue did not
    fall outside the wide range of professionally competent as-
    sistance.
    But suppose that appellate counsel miscalculated and the
    panel would have found the exclusion of the pending for-
    gery charge harmful under Chapman. Makiel still has not
    shown that the state court’s application of Strickland was un-
    reasonable. A miscalculation constitutes deficient perfor-
    mance only where the miscalculation was objectively unrea-
    sonable. “Strickland does not guarantee perfect representa-
    tion, only a reasonably competent attorney.” Harrington, 
    562 U.S. at 110
     (citations and internal quotation marks omitted).
    There is “no expectation that competent counsel will be a
    flawless strategist or tactician,” and an attorney is not in-
    competent simply because of a “reasonable miscalculation.”
    
    Id.
     The decision whether to raise the forgery issue was a
    judgment call that required an assessment of a long trial rec-
    ord and a host of issues, several of which could have been
    part of a competent appeal. Under the circumstances, we
    cannot say that appellate counsel’s selection of the issues so
    clearly fell outside the wide range of professionally compe-
    tent assistance that the state court was required to find defi-
    cient performance.
    34                                      Nos. 13-3076 & 13-3777
    We recognize that even “an isolated error” can support
    an ineffective assistance of counsel claim if it is “sufficiently
    egregious and prejudicial.” Murray v. Carrier, 
    477 U.S. 478
    ,
    496 (1986). But “it is difficult to establish ineffective assis-
    tance when counsel’s overall performance indicates active
    and capable advocacy.” Harrington, 
    562 U.S. at 111
    . Here,
    there is strong circumstantial evidence that appellate counsel
    performed her job capably. She reviewed the record, consult-
    ed with her supervisor about which issues to raise, and dis-
    cussed her strategy with Makiel during the appeal. True, she
    also testified that she did not remember considering the spe-
    cific issue of the trial court’s exclusion of the pending forgery
    charge and could not explain why she failed to raise it. That
    is not surprising when the evidentiary hearing took place
    sixteen years after the appeal, and Makiel’s post-trial motion
    in the district court raised 54 different issues, all of which
    appellate counsel had to sift through and evaluate.
    If there were evidence in the record indicating that coun-
    sel was neglectful or that she otherwise failed to comply
    with prevailing professional norms of appellate representa-
    tion, our conclusion might be different. On this record, in
    light of appellate counsel’s relative success on appeal and
    her hearing testimony that she prepared diligently, the state
    courts could reasonably conclude that Makiel had failed to
    rebut the Strickland presumption of adequate assistance. See,
    e.g., Yarborough v. Gentry, 
    540 U.S. 1
    , 8–9 (2003) (per curiam)
    (state court decision not unreasonable under AEDPA where
    counsel omitted certain issues from closing argument but
    petitioner failed to rebut the presumption of adequate assis-
    tance).
    Nos. 13-3076 & 13-3777                                       35
    In sum, the state court did not unreasonably apply Strick-
    land in evaluating appellate counsel’s failure to appeal the
    exclusion of Martin’s pending forgery charge. This issue, al-
    though obvious, was not so clearly stronger than the issues
    raised on appeal that the state court was required to find de-
    ficient performance under Strickland. In addition, there is
    strong circumstantial evidence that appellate counsel per-
    formed her job capably. Even if the state court did not reach
    the correct result under Strickland, it at least reached a rea-
    sonable one, which is sufficient under § 2254(d) to require
    denial of relief on this basis.
    5. Brian Spodach’s Reputation Testimony
    Appellate counsel also did not raise the exclusion of Bri-
    an Spodach’s testimony about the reputations of Allen Mar-
    tin and Shane Miller. Before we resolve the merits, we first
    address a threshold issue about the standard of review for
    this issue. The parties dispute whether we should consider
    Makiel IV or the state trial court’s decision reviewed in Makiel
    IV as the last state court decision on the merits of this claim.
    Makiel tells us to look at Makiel IV, which is the state appel-
    late court’s decision after the evidentiary hearing in which
    appellate counsel testified. The appellate court held that ap-
    pellate counsel’s failure to challenge the trial court’s exclu-
    sion of Spodach’s reputation testimony was not prejudicial,
    but it did not decide the issue of performance. The State, on
    the other hand, argues that we should look instead to the
    state trial court’s decision at the evidentiary hearing. At the
    conclusion of the evidentiary hearing, the state trial court
    held that appellate counsel’s failure was not deficient per-
    formance, but it did not address the issue of prejudice. The
    State argues that we should “look through” Makiel IV and
    36                                             Nos. 13-3076 & 13-3777
    consider the state trial court’s decision instead because Ma-
    kiel IV incorrectly relied on an invalid or non-existent state
    procedural rule. Cf. Ylst v. Nunnemaker, 
    501 U.S. 797
    , 806
    (1991) (describing situation where federal court will “look
    through” unexplained decisions to consider earlier reasoned
    decision). 3
    Because we conclude that Makiel is not entitled to relief
    on his claim even if we consider Makiel IV the last state court
    decision on the merits, we do not need to resolve this ques-
    tion. Accordingly, we assume, without deciding, that Makiel
    IV is the relevant “adjudication on the merits” within the
    meaning of § 2254(d). Makiel IV addressed only the issue of
    prejudice, so we review the issue of performance de novo. See
    Quintana v. Chandler, 
    723 F.3d 849
    , 853 (7th Cir. 2013), citing
    Wiggins v. Smith, 
    539 U.S. 510
    , 534 (2003).
    Now to the merits. Assuming that de novo review applies,
    we conclude that appellate counsel’s failure to challenge the
    exclusion of Brian Spodach’s reputation testimony was not
    deficient under Strickland. Our conclusion follows from the
    principles discussed above.
    3
    At the hearing, the only evidence Makiel presented on his claim
    that appellate counsel unreasonably failed to challenge the trial court’s
    exclusion of Brian Spodach’s reputation testimony was a stipulation that
    Spodach would have testified at trial that Allen Martin and Shane Miller
    had reputations in their community for untruthfulness. In Makiel IV, the
    court held that this offer of proof was not itself “evidence,” so Makiel
    failed to establish prejudice because he failed to present additional evi-
    dence in support of his initial proffer. Makiel IV, 
    2011 WL 9548460
    , at *14.
    The State concedes that Illinois law imposed no such requirement on
    Makiel.
    Nos. 13-3076 & 13-3777                                      37
    We agree with Makiel that the trial court’s exclusion of
    Spodach’s reputation testimony was an obvious error under
    Illinois law. According to Makiel’s proffer at trial, Spodach
    would have testified that Martin and Shane Miller had repu-
    tations in the community as liars. See Makiel III, 
    830 N.E.2d at
    746–47 (summarizing Makiel’s proffer at trial). Under Illi-
    nois law, defense counsel should have been permitted to in-
    troduce this testimony as impeachment evidence. See 
    id. at 747
    , citing Rosario, 
    536 N.E.2d at 760
     (“Any witness may be
    impeached by evidence showing generally a poor reputation
    for truth and veracity.”), and People v. Nash, 
    222 N.E.2d 473
    ,
    475 (Ill. 1967) (same).
    Although the trial court’s error was obvious, this issue
    was not clearly stronger than the issues raised; indeed, it was
    significantly weaker than even the trial court’s exclusion of
    Martin’s pending forgery charge. Like the trial court’s exclu-
    sion of Martin’s pending forgery charge, the exclusion of
    Spodach’s reputation testimony would have been reviewed
    for harmless error under Chapman. See People v. Bascomb, 
    392 N.E.2d 1130
    , 1133 (Ill. App. 1979) (applying Chapman harm-
    less-error doctrine to exclusion of reputation evidence). Ap-
    pellate counsel could have reasonably determined that the
    trial court’s exclusion of this reputation evidence would like-
    ly be deemed harmless. Two factors would have supported
    this conclusion.
    First, both Martin and Shane Miller were impeached by
    other means, making the marginal value of this additional
    impeachment evidence less important than it would have
    been otherwise. Martin had already been impeached by evi-
    dence that he had been drinking on the night of the murder
    and that he denied who he was when first approached by a
    38                                     Nos. 13-3076 & 13-3777
    defense attorney. Shane Miller was impeached by other
    means as well. Defense counsel introduced Spodach’s testi-
    mony that he had not picked Miller up from Makiel’s house
    on the night of the murder, contrary to Miller’s testimony.
    Defense counsel also drew attention to Miller’s silence in the
    five months following the murder and to Miller’s pretrial
    statement, which he signed for Hlinko’s mother, indicating
    that his statements to police inculpating Hlinko and Makiel
    were untrue. Although reputation evidence from Spodach
    would not have been strictly cumulative, its relative im-
    portance was diminished by the fact that the jury already
    had reason to doubt the credibility of Martin and Shane Mil-
    ler. And evidence of this sort is generally weak evidence of
    credibility anyway. Cf. Michelson v. United States, 
    335 U.S. 469
    , 480 (1948) (“Growth of urban conditions, where one
    may never know or hear the name of his next-door neighbor,
    have tended to limit the use of [this form of evidence] and to
    deprive [it] of weight with juries.”); United States v. Burke,
    
    781 F.2d 1234
    , 1239 (7th Cir. 1985) (noting limits of character
    evidence).
    Second, Spodach’s reputation testimony, if credited by
    the jury, would have tended to undermine only Martin’s and
    Shane Miller’s credibility, but it would not have directly un-
    dermined Hlinko’s credibility. As explained above, the crux
    of the State’s case was Hlinko’s testimony, which was corrob-
    orated by other evidence. The jury could have completely
    rejected Martin’s and Shane Miller’s testimony but still found
    Makiel guilty beyond a reasonable doubt based on the other
    evidence presented at trial.
    Under these circumstances, we find that appellate coun-
    sel could reasonably conclude there was too great a risk the
    Nos. 13-3076 & 13-3777                                      39
    state appellate court would find the exclusion of this im-
    peachment evidence harmless. Cf. People v. Lavas, 
    446 N.E.2d 1188
    , 1193 (Ill. App. 1983) (noting that testimony about a
    prosecution witness’s “general reputation for veracity would
    not significantly alter the jury’s impression of his testimo-
    ny”). This issue was not clearly stronger than the issues
    raised on appeal.
    Finally, as we consider this issue, we also keep in mind
    the evidence of counsel’s process for selecting issues for the
    appeal, including reviewing the record, reviewing Makiel’s
    post-trial list of 54 issues, and conferring with a supervisor
    and with Makiel himself. We are also conscious of the chal-
    lenge of reconstructing her thought process more specifically
    sixteen years after the fact. Appellate counsel’s performance
    did not fall outside the wide range of professionally compe-
    tent assistance permitted by Strickland.
    IV. Compulsory Process
    We turn finally to Makiel’s claim that the exclusion of
    Tim Anderson’s testimony violated his right to compulsory
    process under the Sixth and Fourteenth Amendments. Be-
    fore resolving the merits of Makiel’s claim, we address an
    issue about the standard of review and then examine the
    significance of the state court’s reasoning.
    A. Adjudication on the Merits
    The parties agree that Makiel II is the last reasoned deci-
    sion on this claim. They disagree, however, about whether
    the court should review the decision de novo or through
    AEDPA’s deferential lens. Makiel argues that de novo review
    is appropriate because Makiel II relied primarily on state-law
    evidence rules regarding relevance and hearsay. According
    40                                       Nos. 13-3076 & 13-3777
    to Makiel, the state court’s failure to “consider any federal
    constitutional precedent” means that Makiel II did not adju-
    dicate the merits of the federal claim and is therefore not
    owed deference under § 2254(d). We disagree.
    Deference under § 2254(d) does not require the state
    court to have expressly considered federal law, much less to
    have cited Supreme Court precedent. Harrington v. Richter,
    
    562 U.S. 86
    , 98 (2011); Early v. Packer, 
    537 U.S. 3
    , 8 (2002) (per
    curiam). Moreover, the state court opinion shows that the
    court adjudicated Makiel’s federal claim on the merits. The
    court cited Chambers v. Mississippi, 
    410 U.S. 284
     (1973), and
    held that the exclusion of Anderson’s testimony did not vio-
    late Chambers because the testimony was not sufficiently reli-
    able.
    This is not a case like Harris v. Thompson, where the state
    court’s reasoned explanation relied exclusively on state evi-
    dence law and “did not hint at any federal (or state) constitu-
    tional ground of decision.” 
    698 F.3d 609
    , 624 (7th Cir. 2012)
    (applying de novo review to petitioner’s compulsory process
    claim). Here, the state court explicitly considered and reject-
    ed the federal claim while discussing and applying a rele-
    vant Supreme Court precedent. It did not rely exclusively on
    state evidence law.
    B. The Significance of the State Court’s Reasoning
    Makiel II decided Makiel’s claim on the merits, but as-
    pects of the state court’s reasoning are troubling. In particu-
    lar, the court characterized Anderson’s proffered testimony
    as “hearsay” and concluded under Chambers that the exclu-
    sion of this “hearsay” was constitutionally acceptable be-
    cause his “extrajudicial declaration” about the circumstances
    Nos. 13-3076 & 13-3777                                                   41
    of the murder did not bear sufficient indicia of reliability. See
    Supp. App. 30–31. The fundamental problem with this anal-
    ysis is that the lion’s share of Anderson’s proffered trial tes-
    timony would not have been hearsay.
    Anderson was available at trial and prepared to testify
    that on the night of the murder, he drove to the gas station
    with his friends Jay, Brandon, and Brian; saw Jay go inside
    the gas station with a gun; heard a loud shot; observed Jay
    return to the car; and then heard Jay confess to shooting
    someone. The only aspect of this proffered testimony that
    was actually hearsay was Jay’s supposed statement that he
    “did it.” That confession, made by a third-party declarant,
    was an out-of-court statement that would have been offered
    to prove the truth of the matter asserted. Had the trial court
    excluded only that aspect of Anderson’s testimony, Chambers
    would have fit as the appropriate framework for deciding
    whether Makiel’s compulsory process right was violated. See
    Chambers, 
    410 U.S. at
    300–01 (addressing third-party hearsay
    confessions). 4
    4
    We doubt that Anderson’s testimony that Jay said he “did it” could
    qualify for admission under Chambers or the Illinois hearsay exception
    for statements against penal interest. See People v. Bowel, 
    488 N.E.2d 995
    ,
    999 (Ill. 1986) (“Generally an extrajudicial declaration not under oath, by
    the declarant, that he, and not the defendant on trial, committed the
    crime is inadmissible as hearsay though the declaration is against the
    declarant’s penal interest.”). A statement of this sort satisfies the excep-
    tion only when “the declaration was made under circumstances that
    provide ‘considerable assurance’ of its reliability by objective indicia of
    trustworthiness.” 
    Id. at 1000
    , citing Chambers, 
    410 U.S. at
    300–01, and Peo-
    ple v. Tate, 
    429 N.E.2d 470
     (Ill. 1981); see also Fed. R. Evid. 804(b)(3)(B)
    (hearsay exception for statement against interest in a criminal case where
    42                                             Nos. 13-3076 & 13-3777
    But the remainder of Anderson’s proffered testimony was
    first-hand recollection of events he claimed he had personal-
    ly observed, none of which involved an out-of-court state-
    ment. Mischaracterizing the entirety of Anderson’s testimo-
    ny as “inadmissible hearsay” does not justify the conclusion
    that Makiel’s right to compulsory process was not violated.
    See Washington v. Texas, 
    388 U.S. 14
    , 23 (1967) (petitioner de-
    nied compulsory process where “the State arbitrarily denied
    him the right to put on the stand a witness who was physi-
    cally and mentally capable of testifying to events that he had
    personally observed”). 5
    One aspect of the state court’s reasoning, however, is not
    subject to this criticism. Independent of the court’s conclu-
    sion that Anderson’s “prior statements” were “inadmissible
    hearsay,” the court also concluded that there was no error
    because “there is no indication Anderson’s testimony would
    affect any fact which was material to establishing defend-
    ant’s guilt.” Supp. App. 29. The court based this conclusion
    on its review of the entire record, including the 1996 hearing
    the statement is “supported by corroborating circumstances that clearly
    indicate its trustworthiness”).
    5
    The cases cited by the State are distinguishable on precisely this ba-
    sis. See Ruhl v. Hardy, 
    743 F.3d 1083
    , 1099–1100 (7th Cir. 2014) (no consti-
    tutional error where defendant was denied opportunity to present testi-
    mony from witness that unavailable third-party declarant had confessed
    to crime); Cunningham v. Peters, 
    941 F.2d 535
    , 538–41 (7th Cir. 1991) (no
    constitutional error where defendant was denied opportunity to present
    testimony from defense investigator that unavailable third-party declar-
    ant had confessed to crime).
    Nos. 13-3076 & 13-3777                                                     43
    where Anderson methodically and completely recanted his
    proffered trial testimony.
    Ultimately, then, the state court’s flawed reasoning on
    hearsay does not matter for our review under § 2254(d). The
    court’s materiality determination did not rely on the court’s
    mischaracterization of the testimony as hearsay. And, even if
    it did, “a bad reason does not necessarily mean that the ul-
    timate result was an unreasonable application of established
    doctrine.” Brady v. Pfister, 
    711 F.3d 818
    , 827 (7th Cir. 2013);
    see also Lopez v. Thurmer, 
    573 F.3d 484
    , 493 (7th Cir. 2009)
    (noting that although the state court “applied the wrong
    methodology in deciding the federal due process issue be-
    fore it, it is not the court’s methodology but its result that we
    review”). 6 We therefore apply AEDPA deference to the state
    court’s decision and ask whether the state court committed
    an error “beyond any possibility for fairminded disagree-
    ment.” Harrington, 
    562 U.S. at 103
    .
    C. Constitutional Standard
    The Sixth Amendment guarantees the accused the right
    “to have compulsory process for obtaining witnesses in his
    favor.” This clause, together with the Due Process Clause of
    the Fourteenth Amendment, “embodies a substantive right
    to present a meaningful and complete criminal defense.”
    6
    See also Williams v. Roper, 
    695 F.3d 825
    , 831 (8th Cir. 2012) (proper
    inquiry under § 2254(d) is to examine “the ultimate legal conclusion
    reached by the court,” not “merely the statement of reasons explaining
    the state court’s decision”); Gill v. Mecusker, 
    633 F.3d 1272
    , 1291 (11th Cir.
    2011) (same); Clements v. Clarke, 
    592 F.3d 45
    , 55–56 (1st Cir. 2010) (“It is
    the result to which we owe deference, not the opinion expounding it.”).
    44                                      Nos. 13-3076 & 13-3777
    Harris v. Thompson, 
    698 F.3d 609
    , 626 (7th Cir. 2012). “The
    right to offer the testimony of witnesses, and to compel their
    attendance, … is in plain terms the right to present a de-
    fense, the right to present the defendant’s version of the facts
    as well as the prosecution’s to the jury so it may decide
    where the truth lies.” Washington v. Texas, 
    388 U.S. 14
    , 19
    (1967). This right is an “essential attribute of the adversary
    system itself,” Taylor v. Illinois, 
    484 U.S. 400
    , 408 (1988), and
    “imperative to the function of courts,” which “depend on
    full disclosure of all the facts, within the framework of the
    rules of evidence.” United States v. Nixon, 
    418 U.S. 683
    , 709
    (1974).
    In spite of its importance, this right is not unlimited. As a
    general rule, the defendant “must comply with established
    rules of procedure and evidence designed to assure both
    fairness and reliability.” Chambers v. Mississippi, 
    410 U.S. 284
    ,
    302 (1973). Although the defendant’s interest in presenting
    testimony of witnesses in his favor is fundamental, it must
    “bow to accommodate other legitimate interests in the crim-
    inal trial process,” Rock v. Arkansas, 
    483 U.S. 44
    , 55 (1987),
    such as the “integrity of the adversary process, which de-
    pends both on the presentation of reliable evidence and the
    rejection of unreliable evidence, the interest in the fair and
    efficient administration of justice, and the potential prejudice
    to the truth-determining function of the trial process,” Taylor,
    
    484 U.S. at
    414–15. The Compulsory Process Clause thus
    does not require criminal courts to admit evidence that is ir-
    relevant, Crane v. Kentucky, 
    476 U.S. 683
    , 689–90 (1986), tes-
    timony by persons who are mentally infirm, see Washington,
    
    388 U.S. at
    23 n.21, or evidence that represents a half-truth,
    see United States v. Nobles, 
    422 U.S. 225
    , 241 (1975).
    Nos. 13-3076 & 13-3777                                       45
    To establish that his right to compulsory process was vio-
    lated by the exclusion of Anderson’s testimony, Makiel must
    show that (1) the testimony would have been “both material
    and favorable” to his defense, United States v. Valenzuela-
    Bernal, 
    458 U.S. 858
    , 867 (1982), and (2) the exclusion was
    “arbitrary” or “disproportionate” to the evidentiary purpos-
    es advanced by the exclusion, United States v. Scheffer, 
    523 U.S. 303
    , 308 (1998), quoting Rock, 
    483 U.S. at 56
    ; see Harris,
    698 F.3d at 627. To win federal habeas relief, he must show
    that the state court’s decision was not merely wrong but un-
    reasonably so, beyond the scope of reasonable disagreement
    among fair-minded judges.
    D. Application
    The state court’s decision that Makiel was not denied his
    right to compulsory process was not an unreasonable appli-
    cation of clearly established federal law. On the record be-
    fore the state court, which included Anderson’s 1996 hearing
    testimony as well as the state trial court’s factual findings
    from that hearing, it was not unreasonable for the state court
    to conclude that Anderson’s testimony was not material.
    The materiality standard of the Compulsory Process
    Clause analysis is identical to the materiality requirement of
    Brady v. Maryland, 
    373 U.S. 83
     (1963). Harris v. Thompson, 
    698 F.3d 609
    , 627 (7th Cir. 2012), discussing Valenzuela-Bernal, 
    458 U.S. 858
    . “Under this standard, the exclusion of a witness is
    material ‘only if there is a reasonable likelihood that the tes-
    timony could have affected the judgment of the trier of
    fact.’” 
    Id.,
     quoting Valenzuela-Bernal, 
    458 U.S. at 874
    .
    Anderson’s proffered testimony would have satisfied this
    materiality standard at the time of the trial. That is why Ma-
    46                                      Nos. 13-3076 & 13-3777
    kiel’s original appeal resulted in a remand for an evidentiary
    hearing. Anderson was prepared to testify that on the night
    of the murder he drove to the gas station with three young
    friends, saw Jay leave the car and walk into the gas station
    with a gun, heard a loud noise, and saw Jay return to the car.
    Although the evidence against Makiel was sufficient to sus-
    tain the conviction, we cannot say based on our review of
    the trial record that the evidence was overwhelming. Cf. Ma-
    kiel I, 
    635 N.E.2d at 958, 961
     (McCormick, J., concurring in
    part and dissenting in part) (analyzing trial record in great
    detail and concluding that evidence was “far from over-
    whelming” and “closely balanced”). Because the evidence of
    guilt was not overwhelming and Anderson was prepared to
    testify that another person committed the murder, there is a
    reasonable likelihood that the exclusion of Anderson’s prof-
    fered testimony affected the outcome.
    But Makiel’s claim presents an unusual situation. Ander-
    son recanted this proffer under oath at the 1996 hearing. He
    testified at the hearing that he fabricated the story to retaliate
    against three boys who had been bullying him. He explained
    that he first told this story to a counselor or psychiatrist
    while he was a psychiatric patient at a hospital, sometime in
    October 1990—two years after the murder. He also explained
    that he did not even know Jay at the time of the murder in
    1988. At the conclusion of the evidentiary hearing, the state
    court found as a matter of fact that police had investigated
    his story in 1990 and could not corroborate it. On appeal
    from the trial court’s decision at the evidentiary hearing, the
    state appellate court held that in light of Anderson’s recanta-
    tion and the lack of corroboration for the original proffered
    trial testimony, Makiel had failed to demonstrate that the ev-
    idence was material to the verdict.
    Nos. 13-3076 & 13-3777                                       47
    Makiel argues that the state court unreasonably applied
    clearly established federal law when it rejected his compul-
    sory process claim on the basis of the 1996 hearing. He con-
    tends that the state court should have ignored Anderson’s
    recantation and instead focused exclusively on the materiali-
    ty of the initial proffer. If Anderson had been permitted to
    testify at trial, Makiel maintains, he would have stuck to his
    original story and a reasonable jury could have credited his
    account and found reasonable doubt. According to Makiel,
    Anderson’s recantation merely presents a disputed question
    of fact that a jury must decide at a new trial. We disagree.
    The question presented by these unusual facts is whether
    the state court unreasonably applied clearly established fed-
    eral law when it measured materiality in light of the entire
    record rather than looking only at the trial record. In other
    words, when a court determines whether the excluded tes-
    timony is material, is it free to consider post-trial develop-
    ments that bear directly on the reliability of the testimony, or
    must it confine its review to the record at the time the trial
    court excluded the evidence?
    We think the weight of Supreme Court authority points
    in the direction that a court is permitted to review the entire
    record—not just the record at trial—when measuring mate-
    riality in the context of a compulsory process claim. But be-
    cause our review under § 2254(d) is deferential and asks on-
    ly whether the state court unreasonably applied clearly es-
    tablished federal law, we do not ultimately decide that ques-
    tion. Instead, we hold only that because no Supreme Court
    decisions clearly establish that a court considering materiali-
    ty is barred from considering post-trial developments that
    bear directly on the reliability of the excluded testimony,
    48                                      Nos. 13-3076 & 13-3777
    Makiel has failed to satisfy § 2254(d). See White v. Woodall,
    572 U.S. —, 
    134 S. Ct. 1697
    , 1706 (2014) (“Section 2254(d)(1)
    provides a remedy for instances in which a state court un-
    reasonably applies this Court’s precedent; it does not require
    state courts to extend that precedent or license federal courts
    to treat the failure to do so as error.”).
    Our conclusion is based on the nature of the constitu-
    tional right at issue. In United States v. Agurs, 
    427 U.S. 97
    (1976), the Supreme Court elaborated on the meaning of ma-
    teriality. The Court explained that the “mere possibility that
    an item of undisclosed information might have helped the
    defense, or might have affected the outcome of the trial, does
    not establish ‘materiality’ in the constitutional sense.” 
    Id.
     at
    109–10. Instead, materiality in the constitutional sense is tied
    to the “overriding concern with the justice of the finding of
    guilt.” 
    Id. at 112
    . Accordingly, evidence is material only if the
    evidence “creates a reasonable doubt that did not otherwise
    exist.” 
    Id.
    To this end, Agurs instructed courts to evaluate the omis-
    sion of the evidence “in the context of the entire record.” 
    Id.
    Agurs said this in a case where there had been no significant
    post-trial developments bearing on the reliability of the
    omitted evidence. It is possible, then, that the Court meant
    “the entire trial record but nothing beyond that” when it said
    “entire record.” But this possibility does not clearly establish
    that a court should never consider post-trial developments
    that bear directly on the reliability of the excluded evidence
    in measuring materiality.
    To the contrary, the purpose of the Compulsory Process
    Clause supports the idea that a court can, at least under
    some circumstances, consider the entire record when evalu-
    Nos. 13-3076 & 13-3777                                         49
    ating materiality. A defendant’s right to present witnesses in
    his favor is not absolute. Courts must balance the defend-
    ant’s interest in presenting evidence against “countervailing
    public interests,” including the integrity of the adversary
    process, the interest in the fair and efficient administration of
    justice, and the potential prejudice to the truth-determining
    function of the trial process. Taylor, 
    484 U.S. at
    414–15; see
    also Nobles, 
    422 U.S. at 241
     (“The Sixth Amendment does not
    confer the right to present testimony free from the legitimate
    demands of the adversarial system; one cannot invoke the
    Sixth Amendment as a justification for presenting what
    might have been a half-truth.”).
    Consider for a moment the extraordinary scenario that
    Makiel contends would be mandated by the federal Consti-
    tution. He says the state or federal courts should have vacat-
    ed his conviction and ordered a new trial so that he could
    call Anderson to testify about the story he told back in 1990,
    which is (1) uncorroborated by any other evidence, (2) disa-
    vowed by Anderson himself as a troubled boy’s misguided
    effort to get back at other boys who had bullied him, and (3)
    implausible on its face. Even if Anderson’s original state-
    ments might somehow have been squeezed into evidence
    after the recantation, a new trial for that purpose would have
    been a strange farce, at least if the truth is supposed to re-
    main important in a criminal trial. See Nix v. Whiteside, 
    475 U.S. 157
    , 175–76 (1986) (no prejudice under Strickland where
    counsel refused to present perjured testimony, even though
    jury might have believed the perjury and acquitted); see also
    Lockhart v. Fretwell, 
    506 U.S. 364
    , 371–72 (1993) (rejecting peti-
    tioner’s argument that prejudice under Strickland should be
    evaluated under the laws existing at the time of trial and
    concluding that prejudice “focuses on the question whether
    50                                           Nos. 13-3076 & 13-3777
    counsel’s deficient performance renders the result of the trial
    unreliable or the proceeding fundamentally unfair”). 7
    All three “countervailing public interests” identified by
    the Court in Taylor tend to support the state court’s decision
    to consider the entire record in this case. The state court
    quite reasonably found Anderson’s recantation credible and
    his initial proffered trial testimony not credible. The first
    time he told the story implicating Jay, it was two years after
    the crime and he was an eleven-year-old psychiatric patient.
    Police investigated the story before Makiel’s trial and found
    no corroborating evidence. At the hearing, Anderson ex-
    plained that he did not even know Jay at the time of the
    murder and that he made the story up to retaliate against the
    three boys for bullying him. Under the circumstances, the
    state court could have reasonably determined that (1) An-
    derson’s omitted testimony was unreliable, (2) a new trial
    would be pointless because no rational jury would find rea-
    sonable doubt based on Anderson’s improbable and now-
    recanted story, and (3) admitting this evidence at a new trial
    would prejudice the truth-determining function of the trial
    process. See Taylor, 
    484 U.S. at
    414–15.
    At bottom, the constitutional right Makiel invokes is “de-
    signed to vindicate the principle that the ‘ends of criminal
    justice would be defeated if judgments were to be founded
    on a partial or speculative presentation of the facts.’” 
    Id.
     at
    7
    These two cases involved Strickland claims, not compulsory process
    claims. But the prejudice component of a Strickland claim is identical to
    the materiality requirement of the Compulsory Process Clause analysis.
    Harris v. Thompson, 
    698 F.3d 609
    , 627–28 (7th Cir. 2012).
    Nos. 13-3076 & 13-3777                                     51
    411, quoting United States v. Nixon, 
    418 U.S. 683
    , 709 (1974).
    That principle applies here, where Makiel asks us to over-
    turn a state court conviction based on a partial presentation
    of the facts. Given the unusual circumstances of this case and
    the absence of controlling Supreme Court precedent, we
    cannot say the state court’s decision on Tim Anderson’s prof-
    fered testimony was an unreasonable application of clearly
    established law.
    We AFFIRM the district court’s denial of Makiel’s petition
    for a writ of habeas corpus.