Paul Satterfield v. District Attorney Philadelphia , 872 F.3d 152 ( 2017 )


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  •                                      PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    _____________
    No. 15-2190
    _____________
    PAUL SATTERFIELD,
    Appellant
    v.
    DISTRICT ATTORNEY PHILADELPHIA;
    ATTORNEY GENERAL PENNSYLVANIA;
    SECRETARY PENNSYLVANIA DEPARTMENT OF
    CORRECTIONS
    _______
    On Appeal from the United States District Court
    for the Eastern District of Pennsylvania
    (D.C. Civil No. 2-02-cv-00448)
    District Judge: Hon. Jan E. DuBois
    ______________
    Argued March 27, 2017
    ______________
    Before: AMBRO, VANASKIE, and RESTREPO, Circuit
    Judges
    (Opinion Filed: September 26, 2017)
    Aren K. Adjoian, Esq. [Argued]
    Arianna J. Freeman, Esq.
    Federal Community Defender Office
    for the Eastern District of Pennsylvania
    601 Walnut Street
    The Curtis Center, Suite 540 West
    Philadelphia, PA 19106
    Counsel for Appellant Paul Satterfield
    Susan E. Affronti, Esq.
    Simran Dhillon, Esq.     [Argued]
    Philadelphia County Office of District Attorney
    3 South Penn Square
    Philadelphia, PA 19107
    Counsel for Appellees District Attorney of
    Philadelphia, Attorney General of Pennsylvania, and
    Secretary of the Pennsylvania Department of Corrections
    ________________
    OPINION OF THE COURT
    ________________
    VANASKIE, Circuit Judge.
    Society views the conviction of an innocent person as
    perhaps the most grievous mistake our judicial system can
    commit. Reflecting the gravity of such an affront to liberty,
    the “fundamental miscarriage of justice” exception has evolved
    to allow habeas corpus petitioners to litigate their
    constitutional claims despite certain procedural bars if the
    petitioner can make a credible showing of actual innocence. In
    2
    2013, the Supreme Court’s decision in McQuiggin v. Perkins,
    
    133 S. Ct. 1924
    (2013), extended this doctrine to allow
    petitioners who can make this showing to overcome the
    Antiterrorism and Effective Death Penalty Act’s (“AEDPA”)
    one-year statute of limitations. 1 In doing so, the Supreme
    Court recognized that an untimely petition should not prevent
    a petitioner who can adequately demonstrate his actual
    innocence from pursuing his claims. This view reflects
    society’s value judgment that procedure should yield to
    substance when actual innocence is at stake.
    Despite repeatedly asserting his innocence, Appellant
    Paul Satterfield was convicted of first degree murder in 1985
    and sentenced to life in prison. After many years of direct and
    collateral litigation, he appeared to emerge victorious when the
    District Court, acting on his habeas petition, found that his
    ineffective assistance of counsel claim was meritorious. But
    Satterfield’s hopes for relief were short-lived, as we reversed
    the order granting habeas relief after finding that his petition
    was barred by AEDPA’s statute of limitations. Satterfield’s
    fight was revived several years later when the Supreme Court
    handed down its decision in McQuiggin. Had this decision
    been earlier, Satterfield had more solid support to pursue his
    ineffective assistance of counsel claim in spite of his untimely
    petition. In McQuiggin’s wake, Satterfield sought relief from
    the judgment denying his habeas petition, characterizing
    1
    AEDPA, 110 Stat. 1214, states that “[a] 1-year period
    of limitation shall apply to an application for a writ of habeas
    corpus by a person in custody pursuant to the judgment of a
    State court.” 28 U.S.C. § 2244(d)(1).
    3
    McQuiggin’s change in relevant decisional law as an
    extraordinary circumstance to justify relief under Federal Rule
    of Civil Procedure 60(b)(6).
    The District Court denied Satterfield’s Rule 60(b)(6)
    motion after determining that McQuiggin was not an
    extraordinary circumstance. While we do not opine whether
    the Rule 60(b)(6) motion should ultimately be granted, we will
    nonetheless vacate the District Court’s order. In Cox v. Horn,
    
    757 F.3d 113
    (3d. Cir. 2014), we held that changes in
    decisional     law     may—when        paired     with     certain
    circumstances—justify Rule 60(b)(6) relief. A district court
    addressing a Rule 60(b)(6) motion premised on a change in
    decisional law must examine the full panoply of equitable
    circumstances in the particular case before rendering a
    decision. In this case, we believe that the District Court did not
    articulate the requisite equitable analysis, and we will remand
    for proper consideration.
    Separately, and perhaps more importantly, we explain
    that the nature of the change in decisional law must be weighed
    appropriately in the analysis of pertinent equitable factors.
    McQuiggin implicates the foundational principle of avoiding
    the conviction of an innocent man and attempts to prevent such
    a mistake through the fundamental miscarriage of justice
    exception. If Satterfield can make the required credible
    showing of actual innocence to avail himself of the
    fundamental miscarriage of justice exception had McQuiggin
    been decided when his petition was dismissed, equitable
    analysis would weigh heavily in favor of deeming
    McQuiggin’s change in law, as applied to Satterfield’s case, an
    exceptional circumstance justifying Rule 60(b)(6) relief.
    While Satterfield’s ability to show actual innocence is not case
    determinative in that the District Court must weigh all of the
    4
    equitable factors as guided by precedent, we clarify that the
    nature of the change in law cannot be divorced from that
    analysis.
    I.
    The tortuous path to Satterfield’s current appeal begins
    more than three decades ago. In 1983, Satterfield visited the
    home of Azzizah Abdullah to repair her television set. When
    Satterfield had finished and the television appeared to be
    working properly, Abdullah paid Satterfield’s fee. But the
    television ceased working only a short while later, prompting
    Abdullah to summon Satterfield back to her home to complete
    the task. He made several additional attempts to fix the
    recalcitrant television, but his efforts were in vain. During
    Satterfield’s final service call to Abdullah’s home, her husband
    William Bryant became frustrated with Satterfield’s repeated
    failures.    Conflict erupted.        When Bryant demanded
    Abdullah’s money back while brandishing a knife and a
    baseball bat, 2 Satterfield returned the money and quickly
    departed, never reporting the incident to the police.
    Approximately one week after the altercation in
    Abdullah’s home, Bryant was shot outside his home in the
    early morning hours. Police interviewed two eyewitnesses—
    2
    There are three versions of this event: (1) Satterfield
    testified that Bryant poked him with the baseball bat, (J.A.
    544); (2) Wayne Edwards claimed that Satterfield told him
    Bryant had struck him with the bat, (J.A. 488); and (3)
    Abdullah explained that Bryant had nudged Satterfield’s
    shoulder with the bat, (J.A. 465).
    5
    brothers Eric and Grady Freeman—on the morning of Bryant’s
    murder. The Freemans had been in their home at the time of
    the shooting and, upon hearing the gunshots, peered out from
    their windows at the crime scene. Eric Freeman reportedly saw
    a man who “looked like he was white,” “had like blond hair,”
    and was about 5’ 9”. 3 (J.A. 695–97.) According to Eric, the
    man briskly walked to a parked car, looked both ways before
    getting in, and had his hand inside his jacket “like he was
    putting away something.” (J.A. 695–97.) Grady Freeman
    similarly described seeing a “light skin guy” about 5’7” or 8”.
    (J.A. 698.) Critically, Satterfield is a black man with brown
    hair and stands six feet tall. (J.A. 439.)
    Investigators soon learned of Satterfield’s recent
    altercation with Bryant. This information yielded a search
    warrant for Satterfield’s home and car. Upon execution,
    however, the searches produced no evidence implicating
    Satterfield, and the investigation went dormant for about a
    year.
    The story picks back up in 1984, when Satterfield met
    Patricia Edwards at a nearby racquet club. Mrs. Edwards
    suggested that Satterfield play tennis with her husband, Wayne
    Edwards. After playing together on several occasions,
    Satterfield and Mr. Edwards met for lunch at the racquet club.
    The conversation began with benign pleasantries, with the two
    discussing commonalities in their upbringings, among other
    things. Mr. Edwards claimed that the conversation eventually
    culminated with Satterfield admitting to Bryant’s murder in
    3
    Both brothers also described the shooter has having
    closely cropped hair, while Satterfield was said to have had a
    bushy Afro of a brown or reddish color. (J.A. 436, 614.)
    6
    fairly explicit detail. Mr. Edwards contacted the police through
    his attorney, and Satterfield was arrested days later.
    At Satterfield’s trial, Mr. Edwards testified to
    Satterfield’s confession. The State Respondents characterize
    Mr. Edwards’ testimony on the stand as both credible and
    corroborated by the evidence. Mr. Edwards told the jury that
    Satterfield had not reported his altercation with Bryant to the
    police because he assumed it would be futile based on a past
    experience with a customer. Mr. Edwards also explained that
    Satterfield had admitted to disposing of his .44 caliber gun—
    the purported murder weapon—shortly after the killing, only
    to later tell police the firearm had been stolen. According to
    the State Respondents, Mr. Edwards also testified to details of
    the crime that nobody beside the killer could have known; for
    instance, that the killer had fired four shots at the victim and
    that the victim was running away at the time he was struck. 4
    Satterfield took the stand in his own defense. He
    admitted that he had told Mr. Edwards that he was once
    suspected of murder and recounted to Mr. Edwards the details
    laid bare in the search warrants he had been served with during
    the investigation. But Satterfield insisted that Mr. Edwards had
    fabricated the rest of the confession, possibly prompted by a
    developing romantic relationship between Satterfield and Mr.
    Edwards’ wife. Satterfield also testified that he had owned a
    .44 caliber special gun like the one used in Bryant’s murder,
    but reaffirmed that it had been stolen in an unreported burglary
    years before the killing. He nonetheless admitted that he had
    4
    We note, however, that the search warrants indicated
    four bullets were removed from Bryant’s body. (J.A. 708.)
    7
    purchased .44 special ammunition on the very day that he was
    assaulted by Bryant.
    Satterfield was represented by attorney Lee Mandell at
    his murder trial. Mandell did not call either of the Freeman
    brothers as witnesses, nor did Mandell even interview either of
    the brothers prior to trial. 5 Instead, the only mention of either
    brother’s eyewitness statement came when Satterfield read
    Eric Freeman’s description of the suspect from a search
    warrant affidavit. The jury convicted Satterfield of first degree
    murder in June 1985.
    After his conviction, Satterfield filed post-verdict
    motions alleging that Mandell was ineffective for failing to
    present the Freemans as defense witnesses at trial. The trial
    court held an evidentiary hearing during which it heard
    testimony from Mandell and both Freeman brothers. Eric
    Freeman repeated his earlier description of the suspect as a
    white man with blonde hair. (J.A. 642.) Grady Freeman,
    however, took the opportunity to clarify his initial description
    of the suspect as having “light skin,” now explaining that the
    suspect was “Caucasian” and had light blonde hair. (J.A. 620.)
    He further proclaimed that he was “positive” Satterfield was
    not the man he had seen at the time of the shooting. (J.A. 620.)
    Importantly, there was some sparring at the evidentiary hearing
    over whether Grady’s initial statement to police that the
    5
    Mandell testified his investigator had encountered
    difficulty tracking the Freeman brothers down. Both brothers,
    however, responded to the State’s subpoena to appear for the
    trial. Satterfield’s initial post-trial counsel, Ms. Gelb, also had
    no problem locating the brothers and easily procuring their
    appearance at the post-trial motion hearing.
    8
    suspect was light-skinned meant that the suspect had lighter
    black skin or was white. (J.A. 612.)
    Following the evidentiary hearing, the trial court
    dismissed Satterfield’s post-verdict motion and sentenced him
    to life imprisonment. The Pennsylvania Superior Court then
    denied his appeal, determining that that Mandell had pursued a
    valid trial strategy in attempting to avoid a rebuttal of Eric’s
    favorable description of the suspect with Grady’s initial
    statement. (J.A. 675.) But the Superior Court’s conclusion
    relied on its observation that Grady Freeman had identified the
    fleeing man “as a ‘light-skinned’ black male, with cut short
    hair, in his early thirties,” a description which “closely fit that
    of Satterfield.” (J.A. 674.) Later, the District Court presiding
    over Satterfield’s habeas proceedings would point out that the
    Superior Court’s characterization of Grady’s statement was in
    error. Grady Freeman had never described the suspect as a
    “light-skinned black male,” but merely as “light-skinned.”
    Nonetheless, the Pennsylvania Supreme Court denied
    allocatur.
    Satterfield next filed a pro se King’s Bench petition
    with the Pennsylvania Supreme Court in 1996. This petition
    was denied, along with his petition for reconsideration.
    Satterfield’s 1997 pro se PCRA petition was also denied, and
    his appeals were unsuccessful.
    In 2002—almost 20 years after Bryant’s murder—
    Satterfield filed a federal habeas petition raising nine claims,
    including actual innocence and ineffective assistance of trial
    counsel for failing to present the Freemans as witnesses. A
    Magistrate Judge initially recommended the petition be
    dismissed as time-barred. After finding that Satterfield’s
    King’s Bench petition was a “properly filed” application for
    9
    state post-conviction review, the District Court remanded the
    petition to the Magistrate Judge for further analysis of the
    timeliness issue and the merits of Satterfield’s claims. The
    Magistrate Judge then issued a supplemental report
    recommending Satterfield’s claims be denied on their merits,
    which the District Court initially adopted.            But after
    Satterfield’s objections, the District Court granted relief on his
    ineffective-assistance-of-counsel claim. The District Court
    concluded that the Pennsylvania Superior Court’s
    determination that Mandell had a reasonable basis in not
    putting forth the Freemans’ testimony was based, as mentioned
    earlier, on a misreading of Grady Freeman’s statement.
    Satterfield v. Johnson, 
    322 F. Supp. 2d 613
    , 620, 623–24 (E.D.
    Pa. 2004). The District Court, however, adopted the
    supplemental report and recommendation of the Magistrate
    Judge denying relief on Satterfield’s other claims. 
    Id. at 624.
    The State Respondents appealed the District Court’s
    decision, arguing that Satterfield’s petition should be
    dismissed as time-barred. We reversed and remanded, finding
    that Satterfield’s King’s Bench petition to the Pennsylvania
    Supreme Court was not a “properly filed” collateral challenge
    to his conviction for the purposes of 28 U.S.C. § 2244(d)(2),
    and thus did not toll AEDPA’s statute of limitations.
    Satterfield v. Johnson, 
    434 F.3d 185
    , 195 (3d Cir. 2006). We
    also determined that Satterfield was not entitled to equitable
    tolling. 
    Id. at 196.
    Upon remand, the District Court dismissed
    Satterfield’s petition.
    In 2014, approximately 30 years after Satterfield’s
    arrest in connection with Bryant’s murder, he filed a motion
    with the District Court under Federal Rule of Civil Procedure
    60(b)(6) seeking relief from the judgment dismissing his
    habeas petition. Satterfield argued that the Supreme Court’s
    10
    holding in McQuiggin was a change in decisional law that
    served as an extraordinary circumstance upon which Rule
    60(b)(6) relief may issue. McQuiggin held that “actual
    innocence, if proved, serves as a gateway through which a
    petitioner may pass” to overcome an untimely petition under
    
    AEDPA. 133 S. Ct. at 1928
    . Upon review, the District Court
    ruled that McQuiggin was not a ground for relief and denied
    the Rule 60(b)(6) motion. Satterfield then requested a
    Certificate of Appealability, which we granted on the issue of
    whether McQuiggin, either alone or in combination with other
    equitable factors, is sufficient to invoke relief from final
    judgment under Rule 60(b)(6) to allow an appellant to raise an
    otherwise time-barred valid claim that trial counsel was
    ineffective.
    II.
    The District Court had jurisdiction pursuant to 28 U.S.C
    § 2241 and § 2254. We have appellate jurisdiction under 28
    U.S.C. § 1291 and § 2253. We review the District Court’s
    denial of Satterfield’s Rule 60(b)(6) motion for abuse of
    discretion. Cox v. Horn, 
    757 F.3d 113
    , 118 (3d Cir. 2014). “A
    district court abuses its discretion when it bases its decision
    upon a clearly erroneous finding of fact, an erroneous
    conclusion of law, or an improper application of law to fact.”
    
    Id. III. Satterfield
    invokes Federal Rule of Civil Procedure
    60(b)(6) to seek relief from the District Court’s judgment
    dismissing his habeas petition. Rule 60(b) provides litigants
    with a mechanism by which they may obtain relief from a final
    judgment “under a limited set of circumstances including
    11
    fraud, mistake, and newly discovered evidence.” Gonzalez v.
    Crosby, 
    545 U.S. 524
    , 528 (2005). Satterfield specifically
    relies upon Rule 60(b)(6), a catch-all provision extending
    beyond the listed circumstances to “any other reason that
    justifies relief.” Despite the open-ended nature of the
    provision, a district court may only grant relief under Rule
    60(b)(6) in “extraordinary circumstances where, without such
    relief, an extreme and unexpected hardship would occur.”
    
    Cox, 757 F.3d at 120
    (quoting Sawka v. Healtheast, Inc., 
    989 F.2d 138
    , 140 (3d Cir. 1993)); see also Boughner v. Sec’y of
    Health, Ed. & Welfare, 
    572 F.2d 976
    , 978 (3d Cir. 1978). This
    is a difficult standard to meet, and “[s]uch circumstances will
    rarely occur in the habeas context.” 
    Gonzalez, 545 U.S. at 535
    .
    Satterfield asserts in his Rule 60(b)(6) motion that a
    change in relevant decisional law occurring after his petition
    had been denied is an extraordinary circumstance upon which
    his Rule 60(b)(6) relief may issue. Satterfield identifies the
    Supreme Court’s ruling in McQuiggin—handed down seven
    years after the District Court dismissed Satterfield’s habeas
    petition on remand—as an intervening change in relevant
    decisional law that requires such relief. McQuiggin focused on
    the “fundamental miscarriage of justice” exception, a doctrine
    that had previously been applied to allow a habeas petitioner
    “to pursue his constitutional claims . . . on the merits
    notwithstanding the existence of a procedural bar to relief”
    where the petitioner makes “a credible showing of actual
    
    innocence.” 133 S. Ct. at 1931
    . The Supreme Court clarified
    that the fundamental miscarriage of justice exception would
    also permit a petitioner to overcome a petition that failed to
    comply with AEDPA’s statute of limitations. Even so, a
    petitioner asserting actual innocence may not avail himself of
    the exception “unless he persuades the district court that, in
    12
    light of the new evidence, no juror, acting reasonably, would
    have voted to find him guilty beyond a reasonable doubt.” 
    Id. at 1928,
    1935 (quoting Schlup v. Delo, 
    513 U.S. 298
    , 329
    (1995)).
    The decision in McQuiggin is particularly relevant to
    Satterfield’s case because we reversed his successful
    ineffective assistance of counsel claim after finding that his
    petition was untimely under AEDPA. Had McQuiggin been in
    place at the time of Satterfield’s habeas proceedings, an
    appropriate showing of actual innocence may have allowed
    Satterfield to overcome his untimely petition and pursue his
    ineffective assistance claim. Thus, we must determine whether
    McQuiggin is a change in decisional law that can serve as an
    extraordinary circumstance upon which Rule 60(b)(6) relief
    may issue, either on its own or when paired with the equitable
    circumstances of the case.
    A.
    Satterfield properly characterizes McQuiggin as
    effecting a change in our decisional law. Prior to McQuiggin,
    we had never affirmatively held that a showing of actual
    innocence could serve as an equitable exception to AEDPA’s
    one-year statute of limitations. In fact, several circuits were
    split on the issue of whether such an equitable exception or
    basis for equitable tolling existed at the time McQuiggin was
    decided. Compare Rivas v. Fischer, 
    687 F.3d 514
    , 548 (2d Cir.
    2012) (a compelling claim of actual innocence may excuse an
    otherwise untimely habeas petition); Lee v. Lampert, 
    653 F.3d 929
    , 934 (9th Cir. 2011) (en banc) (same); San Martin v.
    McNeil, 
    633 F.3d 1257
    , 1267–68 (11th Cir. 2011) (same);
    Lopez v. Trani, 
    628 F.3d 1228
    , 1230–31 (10th Cir. 2010)
    (same); and Souter v. Jones, 
    395 F.3d 577
    (6th Cir. 2005)
    13
    (same), with David v. Hall, 
    318 F.3d 343
    , 347 (1st Cir. 2003)
    (a showing of actual innocence does not excuse an otherwise
    untimely filing of a habeas petition); Cousin v. Lensing, 
    310 F.3d 843
    , 849 (5th Cir. 2002) (same); and Escamilla v.
    Jungwirth, 
    426 F.3d 868
    , 871–72 (7th Cir. 2004) (same).
    We had numerous opportunities to confront habeas
    petitioners’ arguments that their actual innocence should
    permit an equitable exception to, or equitable tolling of, 6 the
    statute of limitations. In each case, we declined to decide
    whether a showing of actual innocence could provide a basis
    for an equitable exception or equitable tolling in the habeas
    context and instead opted to sidestep the issue by determining
    that the petitioners had failed to establish actual innocence.
    See, e.g., Munchinski v. Wilson, 
    694 F.3d 308
    , 329 n.16 (3d
    Cir. 2012) (noting that other circuits were split on the existence
    of an actual innocence exception, but declining to consider the
    issue because the petitioner had shown the diligence and
    extraordinary circumstances sufficient for equitable tolling);
    Scott v. Lavan, 190 F. App’x 196, 199 (3d Cir. 2006) (declining
    to consider whether an actual innocence exception exists
    because the petitioner had no basis to assert a claim of actual
    innocence); Hussmann v. Vaughn, 67 F. App’x 667, 669 (3d
    Cir. 2003) (same); see also Sistrunk v. Rozum, 
    674 F.3d 181
    ,
    191 (3d Cir. 2012) (avoiding the question of whether actual
    6
    The Supreme Court explained in McQuiggin that there
    is a distinction between equitable tolling, where a petitioner
    seeks an extension of the prescribed statutory period to file, and
    an equitable exception, which would permit a petitioner to
    override the statute of 
    limitations. 133 S. Ct. at 1931
    ; see also
    
    Rivas, 687 F.3d at 547
    n.42 (distinguishing between equitable
    tolling and equitable exceptions).
    14
    innocence allowed for equitable tolling, and instead finding the
    petitioner’s showing of actual innocence to be inadequate);
    Teagle v. Diguglielmo, 336 F. App’x 209, 212 (3d Cir. 2009)
    (same); Knecht v. Shannon, 132 F. App’x 407, 409 (3d Cir.
    2005) (same). While Satterfield could have looked to other
    circuits to make an equitable-exception argument at the time
    his petition was denied, actual innocence had not yet been
    established as a basis for an equitable exception to untimely
    filing under AEDPA in our circuit. 7
    B.
    We turn next to whether the change in law borne by
    McQuiggin may properly serve as the basis of a Rule 60(b)(6)
    motion. Precedent makes clear that changes in decisional law
    alone will “rarely” constitute “extraordinary circumstances”
    for purposes of a Rule 60(b) motion. 
    Cox, 757 F.3d at 121
    .
    Satterfield’s reliance on an intervening change in the law is
    hardly novel in the habeas context, and petitioners have had
    little success with such arguments. The Supreme Court’s
    decision in Gonzalez v. Crosby is a prime example of the
    difficulty of pursuing a Rule 60(b)(6) motion premised on a
    change in law. In Gonzalez, a district court had denied a
    prisoner’s habeas petition on statute of limitations grounds.
    The prisoner later sought Rule 60(b)(6) relief, arguing that the
    Supreme Court’s intervening decision in Artuz v. Bennett, 
    531 U.S. 4
    (2000), marked a change in the interpretation of
    7
    Satterfield did argue that actual innocence should
    allow for equitable tolling at the time of his petition.
    15
    AEDPA’s statute of limitations. 8 
    Gonzalez, 545 U.S. at 536
    .
    The Court affirmed the denial of the prisoner’s Rule 60(b)(6)
    motion, emphasizing that the district court’s initial ruling on
    the timeliness of the petition was consistent with the Eleventh
    Circuit’s then-prevailing interpretation of the statute. In that
    sense, the Court observed, “[i]t is hardly extraordinary that
    subsequently, after petitioner’s case was no longer pending,
    this Court arrived at a different interpretation,” and “[a]lthough
    [the Court’s] constructions of federal statutes customarily
    apply to all cases then pending on direct review, not every
    interpretation of the federal statutes setting forth the
    requirements for habeas provides cause for reopening cases
    long since final.” 
    Id. (citation omitted).
    Both the State Respondents and the District Court
    interpret Gonzalez as foreclosing Rule 60(b)(6) relief in
    Satterfield’s case. They conclude that the change in law
    brought about by McQuiggin—or any change in habeas law for
    that matter—cannot serve as an extraordinary circumstance
    justifying Rule 60(b)(6) relief. But Gonzalez does not mean
    that a change in law may never serve as the basis for Rule
    60(b)(6) relief. See 
    Cox, 757 F.3d at 123
    (“Gonzalez did not
    say that a new interpretation of the federal habeas statutes—
    much less, the equitable principles invoked to aid their
    enforcement—is always insufficient to sustain a Rule 60(b)(6)
    motion.”). Rather, Gonzalez leaves open the possibility that a
    8
    The Supreme Court in Artuz held “that an application
    for state postconviction relief can be ‘properly filed’ even if the
    state courts dismiss it as procedurally barred.” 
    Gonzalez, 545 U.S. at 527
    .
    16
    change in law may—when accompanied by appropriate
    equitable circumstances—support Rule 60(b)(6) relief. 9
    9
    The State’s brief and District Court’s opinion cite
    several Eastern District of Pennsylvania decisions holding that
    the change in law in McQuiggin is not an “extraordinary
    circumstance” that can support a 60(b)(6) motion. See, e.g.,
    Garcia v. Varner, Civ. A. No. 00-3668, 
    2014 WL 2777398
    , at
    *4 (E.D. Pa. June 19, 2014); Williams v. Patrick, Civ. A. No.
    07-776, 
    2014 WL 2452049
    , at *6 (E.D. Pa. June 2, 2014);
    Pridgen v. Shannon, Civ. A. No. 00-4561, 
    2014 WL 1884919
    ,
    at *3 (E.D. Pa. May 12, 2014); Akiens v. Wynder, Civ. A. No.
    06-5239, 
    2014 WL 1202746
    , at *2–3 (E.D. Pa. Mar. 24, 2014).
    All of these decisions compare McQuiggin to Gonzalez, noting
    that both represent a change in decisional law based on the
    interpretation of the federal habeas statute of limitations. As
    in Gonzalez, these courts found that McQuiggin was not
    sufficient to be an extraordinary circumstance. We later
    explain that McQuiggin is not merely a change in the
    procedural law governing the statute of limitations in habeas
    cases, as Gonzalez was. But to the extent that McQuiggin and
    Gonzalez are similar, our decision in Cox, emphatically rejects
    the notion that a particular change in law is never an
    extraordinary circumstance. Notably, all of these district court
    cases were decided before Cox was issued, and none engage in
    a thorough examination of the case-specific equities.
    The State Respondents also cite several cases from
    other circuits, all of which were rendered before Cox. See, e.g.,
    Tamayo v. Stephens, 
    740 F.3d 986
    , 990 (5th Cir. 2014); Ryburn
    v. Ramos, No. 09-cv-1176, 
    2014 WL 51880
    , at *2–3 (C.D. Ill.
    Jan. 7, 2014); Rodgers v. Pfister, No. 11-3120, 
    2013 WL 17
            Our decision in Cox, rendered almost ten years after
    Gonzalez, further confirms that our Circuit has “not embraced
    any categorical rule that a change in decisional law is never an
    adequate basis for Rule 60(b)(6) relief.” 
    Id. at 121–22.
    Instead, we have consistently taken the position “that
    intervening changes in the law rarely justify relief from final
    judgments under 60(b)(6).” 
    Id. (emphasis in
    original). Rather
    than impose any per se or bright-line rule that a particular
    change in law is never an extraordinary circumstance, we
    adhere to a “case-dependent analysis” rooted in equity. 
    Id. at 124.
    This analysis manifests as a “flexible, multifactor
    approach to Rule 60(b)(6) motions . . . that takes into account
    all the particulars of a movant’s case,” even where the
    proffered ground for relief is a post-judgment change in the
    law. 10 
    Cox, 757 F.3d at 122
    .
    5745835, at *2 (C.D. Ill. Oct. 23, 2013). Indeed, the Fifth
    Circuit decision in Tamayo relies on an earlier decision in
    Adams v. Thayler, 
    679 F.3d 312
    , 320 (5th Cir. 2012), which we
    explicitly declined to adopt in 
    Cox. 757 F.3d at 121
    .
    10
    We have explained that district courts should
    examine, “inter alia, [1] the general desirability that a final
    judgment should not be lightly disturbed; [2] the procedure
    provided by Rule 60(b) is not a substitute for an appeal; [3]
    the Rule should be liberally construed for the purpose of
    doing substantial justice; [4] whether, although the motion is
    made within the maximum time, if any, provided by the Rule,
    the motion is made within a reasonable time; ... [5] whether
    there are any intervening equities which make it inequitable
    to grant relief; [6] any other factor that is relevant to the
    justice of the [order] under attack....” Lasky v. Cont’l Prods.
    18
    In this context, we opt for more analysis of the equitable
    circumstances at play in Satterfield’s case. The District Court
    concluded that the change of law in McQuiggin was not an
    extraordinary circumstance that could support Rule 60(b)(6)
    relief. As best we can tell, it incorrectly focused on whether
    McQuiggin, in isolation, was sufficient to serve as an
    extraordinary circumstance. Cox, on the other hand, requires a
    district court to consider the full panoply of equitable
    circumstances before reaching its decision. Whenever a
    petitioner bases a Rule 60(b)(6) motion on a change in
    decisional law, the court should evaluate the nature of the
    change along with all of the equitable circumstances and
    clearly articulate the reasoning underlying its ultimate
    determination. Thus we remand.
    We will vacate the order of the District Court as it
    relates to Satterfield’s Rule 60(b)(6) motion and remand to it
    to carry out another analysis. The task of weighing the
    equitable factors in order to grant or deny a Rule 60(b)(6)
    motion is “left, in the first instance, to the discretion of a district
    court.” 
    Cox, 757 F.3d at 124
    . Should the District Court grant
    Satterfield’s motion, he will be permitted to pursue his
    meritorious ineffective-assistance-of-counsel claim once
    more.
    IV.
    While the District Court must take the first pass at
    weighing the equitable factors involved in Satterfield’s Rule
    60(b)(6) motion, we emphasize that the nature of the change in
    Corp., 
    804 F.2d 250
    , 256 (3d Cir. 1986) (quoting Mayberry v.
    Maroney, 
    558 F.2d 1159
    , 1163 (3d Cir. 1977)).
    19
    decisional law itself must be a factor in the analysis. The
    principles underlying the Supreme Court’s decision in
    McQuiggin are fundamental to our system of government and
    are important to the inquiry on remand.
    McQuiggin allows a petitioner who makes a credible
    showing of actual innocence to pursue his or her constitutional
    claims even in spite of AEDPA’s statute of limitations by
    utilizing the fundamental-miscarriage-of-justice exception—
    an exception “grounded in the ‘equitable discretion’ of habeas
    courts to see that federal constitutional errors do not result in
    the incarceration of innocent persons.” 
    McQuiggin, 133 S. Ct. at 1931
    . Underlying the fundamental-miscarriage-of-justice
    exception is a “[s]ensitivity to the injustice of incarcerating an
    innocent individual,” and the doctrine aims “to balance the
    societal interests in finality, comity, and conservation of scarce
    judicial resources with the individual interest in justice that
    arises in the extraordinary case.” 
    Id. at 1932.
    For this reason,
    “‘[i]n appropriate cases,’ the principles of comity and finality
    that inform the concepts of cause and prejudice ‘must yield to
    the imperative of correcting a fundamentally unjust
    incarceration.’” Murray v. Carrier, 
    477 U.S. 478
    , 495 (1986)
    (quoting Engle v. Isaac, 
    456 U.S. 109
    , 135 (1982)) (alteration
    in the original). The Supreme Court has underscored the
    importance of these principles, explaining that “concern about
    the injustice that results from the conviction of an innocent
    person has long been at the core of our criminal justice system.
    That concern is reflected, for example, in the ‘fundamental
    value determination of our society that it is far worse to convict
    an innocent man than to let a guilty man go free.’” 
    Id. at 325
    (quoting In re Winship, 
    397 U.S. 358
    , 372 (1970) (Harlan, J.,
    concurring)).
    20
    The values encompassed by the fundamental-
    miscarriage-of-justice exception and which drive the Supreme
    Court’s decision in McQuiggin cannot be divorced from the
    Rule 60(b)(6) inquiry. Cox requires a weighing of the
    equitable factors at play in a particular case, and the nature of
    the change in law itself is highly relevant to that analysis.
    McQuiggin illustrates that where a petitioner makes an
    adequate showing of actual innocence, our interest in avoiding
    the wrongful conviction of an innocent person permits the
    petitioner to pursue his constitutional claims in spite of the
    statute-of-limitations bar. This interest is so deeply embedded
    within our system of justice that we fail to see a set of
    circumstances under which this change in law, paired with a
    petitioner’s adequate showing of actual innocence, would not
    be sufficient to support Rule 60(b)(6) relief in this context. 11
    Put another way, a proper demonstration of actual innocence
    by Satterfield should permit Rule 60(b)(6) relief unless the
    totality of equitable circumstances ultimately weigh heavily in
    the other direction. A contrary conclusion would leave open
    the possibility of preventing a petitioner who can make a
    credible showing of actual innocence from utilizing the
    fundamental-miscarriage-of-justice exception simply because
    we had not yet accepted its applicability at the time his petition
    was decided—an outcome that would plainly betray the
    principles upon which the exception was built. Such an
    outcome would also implicate two factors of the Rule 60(b)
    11
    This also marks the key difference between
    McQuiggin and Gonzalez, where the change in law was a
    statutory interpretation of AEDPA’s statute of limitations, not
    an equitable exception to the statute’s procedural requirements.
    21
    analysis recently identified by the Supreme Court: “the risk of
    injustice to the parties” and “the risk of undermining the
    public’s confidence in the judicial process.” Buck v. Davis,
    
    137 S. Ct. 759
    , 778 (2017). Thus, if a petitioner can make a
    showing of actual innocence, McQuiggin’s change in law is
    almost certainly an exceptional circumstance. 12
    Given this observation about the importance of the
    change in law effected by McQuiggin and the weight it should
    carry in the equitable analysis, a court should focus its efforts
    primarily on determining whether Satterfield has made an
    adequate showing of actual innocence to justify relief. The
    change in law brought about by McQuiggin will only permit
    him to overcome his time-barred petition if he can make a
    credible showing of actual innocence—a burdensome task that
    requires a petitioner to “persuade[] the district court that, in
    light of the new evidence, no juror, acting reasonably, would
    have voted to find him guilty beyond a reasonable doubt.”
    
    McQuiggin, 133 S. Ct. at 1928
    , 1935 (quoting 
    Schlup, 513 U.S. at 329
    ). Thus, the miscarriage-of-justice exception and
    McQuiggin’s holding more broadly will not be applicable to
    Satterfield’s case if he cannot make a proper showing of actual
    innocence, and the District Court must determine whether such
    a showing has been made as a threshold matter. We leave this
    inquiry entirely to the District Court on remand, and recognize
    that the issue may require an evidentiary hearing during which
    other equitable factors may come into play.
    12
    Because the equitable circumstances must be
    balanced, we acknowledge that, just as there may be facts that
    strengthen the determination that a change in law is
    extraordinary, there could also be a set of heavily unfavorable
    facts that require a different outcome.
    22
    Among these additional equitable factors, the District
    Court may consider Satterfield’s meritorious ineffective-
    assistance-of-counsel claim. The Supreme Court’s recent
    decision in Buck v. Davis established that the severity of the
    underlying constitutional violation is an equitable factor that
    may support a finding of extraordinary circumstances under
    Rule 60(b)(6). The appellant in Buck sought to vacate the
    court’s judgment so he could present an otherwise defaulted
    claim of ineffective assistance of trial 
    counsel. 137 S. Ct. at 777
    –79.
    McQuiggin also makes relevant whether Satterfield
    raises a colorable claim of ineffective assistance of trial
    counsel, as the actual innocence exception only provides a
    gateway for courts to review a petitioner’s separate claim of
    constitutional error. See 
    McQuiggin, 133 S. Ct. at 1931
    ; see
    also 
    Schlup, 513 U.S. at 316
    –17 (noting that petitioners
    seeking habeas relief carry less of a burden when their
    convictions are the result of unfair proceedings—and the actual
    innocence threshold standard applies—than when they have
    been convicted after a fair trial). Because Satterfield’s claim
    of constitutional error—counsel’s unreasonable failure to
    investigate and present exculpatory eyewitness testimony—is
    the reason why the actual innocence exception could apply to
    his case, the gravity of that error bears on the weight of his
    McQuiggin claim.
    In previously granting Satterfield’s ineffective-
    assistance claim, the District Court concluded that Satterfield’s
    counsel was ineffective in failing to call the Freeman brothers
    as witnesses or otherwise to present their testimony, and that
    counsel’s error prejudiced Satterfield. Such a finding of
    constitutionally deficient performance under Strickland v.
    Washington, 
    466 U.S. 668
    (1984), is rare. Thus, the District
    23
    Court may consider weighing this factor in favor of finding
    extraordinary circumstances.
    Because the District Court is ruling on a Rule 60(b)
    motion in the habeas context, it may also account for the
    “[p]rinciples of finality and comity, as expressed through
    AEDPA and habeas jurisprudence” by “consider[ing] whether
    the conviction and initial federal habeas proceeding were only
    recently completed or ended years ago.” 
    Cox, 757 F.3d at 125
    .
    When more time has elapsed since the final conviction, a court
    will give more weight to the state’s interest in finality.
    The Supreme Court, however, has established that
    considerations of finality and comity must yield to the
    fundamental right not to be wrongfully convicted. See House
    v. Bell, 
    547 U.S. 518
    , 536–37 (2006); 
    Schlup, 513 U.S. at 320
    –
    21 (citing 
    Murray, 477 U.S. at 496
    ); cf. Calderon v. Thompson,
    
    523 U.S. 538
    , 557 (1998) (“In the absence of a strong showing
    of ‘actual innocence,’ the State’s interests in actual finality
    outweigh the prisoner’s interest in obtaining yet another
    opportunity for review.” (citation omitted)). Hence the District
    Court should give less weight to these factors when a petitioner
    asserts a threshold claim of actual innocence. The fact that
    Satterfield’s state proceeding ended a decade ago should not
    preclude him from obtaining relief under Rule 60(b) if the court
    concludes that he has raised a colorable claim that he meets this
    threshold actual-innocence standard and that other equitable
    factors weigh in his favor.
    As we have explained, though, the weighing of the
    equitable factors in this case belongs to the District Court in
    the first instance. Though we have pointed out the importance
    of the change in McQuiggin and its weight in the Rule 60(b)(6)
    analysis—as well as several other equitable factors for
    24
    consideration—we express no opinion on the final outcome.
    The District Court is best positioned to carry out this analysis.
    V.
    For the foregoing reasons, we will vacate the April 16,
    2015 order of the District Court with respect to the denial of
    Satterfield’s request for Rule 60(b)(6) relief and remand for
    reconsideration of the whether the change of law wrought by
    McQuiggin, combined with the other circumstances of the
    case, merits relief under Rule 60(b)(6).
    25