John Ham, Jr. v. Warden M. Breckon ( 2021 )


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  •                                          PUBLISHED
    UNITED STATES COURT OF APPEALS
    FOR THE FOURTH CIRCUIT
    No. 20-6972
    JOHN FORREST HAM, JR.,
    Petitioner – Appellant,
    v.
    WARDEN M. BRECKON,
    Respondent – Appellee.
    ------------------------------
    KATHRYN MARGARET BARBER, Esq.,
    Court-Assigned Amicus Counsel.
    Appeal from the United States District Court for the Western District of Virginia, at
    Roanoke. Glen E. Conrad, Senior District Judge. (7:18-cv-00649-GEC-PMS)
    Argued: January 28, 2021                                     Decided: April 20, 2021
    Before AGEE, THACKER, and QUATTLEBAUM, Circuit Judges.
    Affirmed by published opinion. Judge Thacker wrote the opinion, in which Judge Agee
    and Judge Quattlebaum joined.
    ARGUED: Lisa M. Lorish, OFFICE OF THE FEDERAL PUBLIC DEFENDER,
    Charlottesville, Virginia, for Appellant. Jennifer R. Bockhorst, OFFICE OF THE
    UNITED STATES ATTORNEY, Abingdon, Virginia, for Appellee. Kathryn Margaret
    Barber, MCGUIREWOODS LLP, Richmond, Virginia, Court-Assigned Amicus Counsel.
    ON BRIEF: Juval O. Scott, Federal Public Defender, OFFICE OF THE FEDERAL
    PUBLIC DEFENDER, Roanoke, Virginia, for Appellant. Thomas T. Cullen, United States
    Attorney, OFFICE OF THE UNITED STATES ATTORNEY, Roanoke, Virginia, for
    Appellee. Matthew A. Fitzgerald, MCGUIREWOODS LLP, Richmond, Virginia, Court-
    Assigned Amicus Counsel.
    2
    THACKER, Circuit Judge:
    John Forrest Ham, Jr. (“Petitioner”) appeals the district court’s dismissal of his 
    28 U.S.C. § 2241
     habeas petition for lack of jurisdiction. He claims that, pursuant to United
    States v. Wheeler, 
    886 F.3d 415
     (4th Cir. 2018), the district court was permitted to address
    the merits of his petition. Wheeler provides a four-part test for a federal prisoner who
    wishes to seek relief from an allegedly defective sentence, where remedy by a 
    28 U.S.C. § 2255
     motion would be “inadequate or ineffective.” 
    28 U.S.C. § 2255
    (e) (commonly
    known as the “savings clause”). 1 Relevant to this appeal, Wheeler requires that, in order
    for a district court to possess jurisdiction to consider a § 2241 petition pursuant to the
    savings clause, a petitioner must demonstrate a retroactive change in settled substantive
    law subsequent to his direct appeal and first § 2255 motion.
    Petitioner claims that in his case, Mathis v. United States, 
    136 S. Ct. 2243
     (2016),
    satisfies this requirement. Specifically, he argues Mathis changed “well-settled substantive
    law” regarding how a sentencing court should apply the categorical approach. 2 Pet’r’s Br.
    1
    “An application for a writ of habeas corpus in behalf of a prisoner who is
    authorized to apply for relief by motion pursuant to this section, shall not be entertained if
    it appears that the applicant has failed to apply for relief, by motion, to the court which
    sentenced him, or that such court has denied him relief, unless it also appears that the
    remedy by motion is inadequate or ineffective to test the legality of his detention.” 
    28 U.S.C. § 2255
    (e).
    2
    The categorical approach, as applied in cases such as Petitioner’s, is an analytical
    sentencing method by which courts determine whether the elements of a defendant’s prior
    conviction fit within a generic definition of a federal crime. Using this approach, courts
    can decide if, when, and how a defendant should receive an enhanced sentence. The
    modified categorical approach allows courts to look behind the elements to documents
    3
    11. The district court rejected this argument, and we affirm. To the extent Petitioner
    contends Mathis changed settled substantive Supreme Court law, Mathis itself made clear
    that it was not changing, but rather clarifying, the law. To the extent Petitioner contends
    Mathis changed settled Fourth Circuit law, for the reasons that follow, we are not
    convinced. Therefore, Petitioner cannot meet the high bar to pass through the savings
    clause and have his § 2241 petition heard on the merits.
    I.
    A.
    Procedural History
    1.
    Petitioner’s Plea and Sentencing
    On May 12, 2010, Petitioner pled guilty in the United States District Court for the
    District of South Carolina (“DSC”) to (1) being a felon in possession of a firearm, in
    violation of 
    18 U.S.C. § 922
    (g)(1), with three prior convictions for a violent felony or a
    serious drug offense, see 
    id.
     § 924(e)(1) (the Armed Career Criminal Act (“ACCA”)); (2)
    carjacking, in violation of 
    18 U.S.C. § 2119
    (1); and (3) possession of a firearm in
    furtherance of a crime of violence, in violation of 
    18 U.S.C. § 924
    (c)(1).
    Petitioner was sentenced on September 10, 2010, to a total term of 319 months,
    consisting of 235 months on the ACCA count and 180 months on the carjacking count, to
    underlying the prior conviction, such as the charging papers and jury instructions, in certain
    circumstances.
    4
    run concurrently. On the § 924(c) count, Petitioner received a sentence of 84 months, to
    run consecutively to the ACCA and carjacking sentences. By his § 2241 petition, Petitioner
    seeks to challenge his sentencing enhancement pursuant to the ACCA, which provides:
    In the case of a person who violates section 922(g) of this title
    and has three previous convictions . . . for a violent felony or a
    serious drug offense, or both, committed on occasions different
    from one another, such person shall be fined under this title and
    imprisoned not less than fifteen years . . . .
    [T]he term “violent felony” means any crime punishable by
    imprisonment for a term exceeding one year that . . . is
    burglary . . . .
    
    18 U.S.C. § 924
    (e)(1), (e)(2)(B)(ii) (emphases supplied).           Applying the modified
    categorical approach, the DSC sentenced Petitioner to an enhanced sentence based in part
    on his prior conviction for South Carolina third-degree burglary, 3 which provides, “A
    person is guilty of burglary in the third degree if the person enters a building without
    consent and with intent to commit a crime therein.” 
    S.C. Code Ann. § 16-11-313
    (A)
    (emphasis supplied). “Building” is defined to include “any structure, vehicle, watercraft,
    or aircraft . . . [w]here any person lodges or lives . . . people assemble. . . or where goods
    are stored.” 
    Id.
     § 16-11-310(1). This court affirmed Petitioner’s conviction and sentence
    on July 12, 2011. See United States v. Ham, 438 F. App’x 183 (4th Cir. 2011) (per curiam).
    3
    The DSC also relied on Petitioner’s prior conviction for South Carolina assault
    and battery of a high and aggravated nature (“ABHAN”) and a drug offense. The validity
    of these prior convictions is not at issue in this appeal.
    5
    2.
    Post-Conviction Litigation
    a.
    In July 2012, Petitioner filed his first § 2255 motion to vacate his sentence, raising
    several ineffective assistance of counsel claims, including a claim his attorney should have
    argued that South Carolina third degree burglary “is not an armed career criminal
    [p]redicate.” Mot. at 6, United States v. Ham, No. 6:10-cr-46 (D.S.C. filed July 5, 2012),
    ECF No. 44. While that motion was pending, the Supreme Court decided Descamps v.
    United States, 
    570 U.S. 254
     (2013), holding that courts may not apply the modified
    categorical approach to an ACCA sentencing when the offense of conviction has a single,
    indivisible set of elements.
    On August 9, 2013, seven weeks after Descamps was decided, the DSC dismissed
    Petitioner’s first § 2255 motion as without merit. In addressing the ineffective assistance
    claim grounded in the ACCA, the DSC explained that trial counsel was not ineffective for
    failing to argue that South Carolina third degree burglary is not an ACCA predicate because
    “there was no basis for [Petitioner’s] defense counsel to object.” United States v. Ham,
    No. 6:10-cr-46, 
    2013 WL 4048988
    , at *3 (D.S.C. Aug. 9, 2013). The DSC explained,
    “[B]ecause some states broadly define burglary to include places other than buildings, the
    categorical approach may be modified to ‘permit the sentencing court to go beyond the
    mere fact of conviction.’” 
    Id.
     (quoting Taylor v. United States, 
    495 U.S. 575
    , 602 (1990)).
    The DSC also cited this court’s unpublished decision in United States v. Hickman, which
    held that when analyzing South Carolina third degree burglary, the court “may rely on a
    6
    prepared presentence investigations report . . . to determine whether a prior crime qualifies
    as a predicate offense under the ACCA.” 
    Id.
     (quoting Hickman, 358 F. App’x 488, 489
    (4th Cir. 2009) (per curiam)). It then looked to Petitioner’s PSR and saw that Petitioner’s
    “state burglary conviction was committed when [Petitioner] forced open the front door of
    [the victim’s] residence and entered the residence”; therefore, the offense constituted a
    generic burglary for purposes of the ACCA. 
    Id.
     The DSC did not cite Descamps, and
    Petitioner did not appeal.
    b.
    Three years later, the Supreme Court decided Mathis v. United States, 
    136 S. Ct. 2243
     (2016). Petitioner thereafter filed a pro se § 2241 petition in the district of his
    confinement, the United States District Court for the Western District of Virginia
    (“WDVA”), arguing that pursuant to Mathis, and employing the categorical approach (not
    modified), South Carolina third degree burglary is not a violent felony. Pet. at 2, Ham v.
    Breckon, No. 7:17-cv-295 (W.D. Va. June 23, 2017), ECF No. 1. The WDVA construed
    the § 2241 petition as a § 2255 motion and transferred it to the DSC, the district of
    sentencing. The WDVA also opined that § 2241 relief was not available because Mathis
    “had no effect on the criminality of [Petitioner’s] federal offense conduct,” and this court
    had not yet concluded that a prisoner could challenge the legality of his sentence via the
    savings clause. Mem. Op. at 2, id. (W.D. Va. June 27, 2017), ECF No. 3.
    On March 2, 2018, the DSC dismissed the transferred § 2255 motion as successive.
    Later that same month, we decided United States v. Wheeler, setting forth a four-part test
    7
    for prisoners wishing to the challenge the legality of their sentence pursuant to the savings
    clause of § 2255(e). See 
    886 F.3d 415
     (4th Cir. 2018). The test requires:
    (1) at the time of sentencing, settled law of this circuit or the
    Supreme Court established the legality of the sentence; (2)
    subsequent to the prisoner’s direct appeal and first § 2255
    motion, the aforementioned settled substantive law changed
    and was deemed to apply retroactively on collateral review; (3)
    the prisoner is unable to meet the gatekeeping provisions of §
    2255(h)(2) for second or successive motions; and (4) due to
    this retroactive change, the sentence now presents an error
    sufficiently grave to be deemed a fundamental defect.
    Id. at 429.
    Petitioner promptly filed a motion to alter or amend in the DSC, asking that court
    to reassess its order dismissing his § 2255 motion as successive in light of Wheeler. On
    January 7, 2019, the DSC denied the motion, concluding “[Petitioner] cannot meet the
    second prong of Wheeler” because Petitioner “d[id] not rely on a retroactively applicable
    change in substantive law.” Order at 2–3, No. 6:10-cr-46 (D.S.C. Jan. 7, 2018), ECF No.
    131. Petitioner appealed, and we denied a certificate of appealability and dismissed the
    appeal. See United States v. Ham, 773 F. App’x 746 (4th Cir. 2019) (per curiam).
    While the motion to reconsider was pending in the DSC, on December 31, 2018,
    Petitioner filed the instant pro se § 2241 petition in the WDVA, alleging that he could meet
    Wheeler’s four prongs because his sentencing enhancement was misapplied “in light of
    subsequent caselaw establishing that [his] predicate offenses no longer qualify.” J.A. 33. 4
    4
    Citations to the “J.A.” refer to the Joint Appendix filed by the parties in this appeal.
    8
    The Government responded to Petitioner’s § 2241 petition, agreeing that Petitioner was
    entitled to relief.
    Nonetheless, the WDVA dismissed the § 2241 petition for lack of jurisdiction. Like
    the DSC, the WDVA concluded Petitioner did not meet prong two of the Wheeler test,
    reasoning that his § 2241 petition “does not rely on a retroactively applicable change in
    substantive law subsequent to his direct appeal and first § 2255 motion.” J.A. 67 (internal
    quotation marks omitted). Specifically, the WDVA explained that many courts -- including
    this court in unpublished decisions -- “have found that Mathis did not change settled
    substantive law.” J.A. 68 (emphasis in original). In so holding, the WDVA cited our
    unpublished decision in Brooks v. Bragg, in which we stated, “Descamps and Mathis did
    not announce a retroactively applicable substantive change in the law. Rather, these cases
    reiterated and clarified the application of the categorical approach or the modified
    categorical approach, to determine whether prior convictions qualify as predicates for
    recidivist enhancements.” 735 F. App’x 108, 109 (4th Cir. 2018) (per curiam); see also
    Muhammad v. Wilson, 715 F. App’x 251, 252 (4th Cir. 2017) (per curiam) (“Descamps
    and Mathis did not announce a substantive change to the law.”). Thus, the WDVA
    determined that Petitioner “has simply failed to make the requisite showing” under
    Wheeler. J.A. 69.
    c.
    Petitioner timely noted this appeal from the WDVA’s dismissal of his § 2241
    petition. Because the Government and Petitioner agree that Petitioner is entitled to pass
    through the savings clause, we appointed amicus counsel to argue the position of the district
    9
    court.    Whether a petitioner satisfies the requirements of the savings clause is a
    jurisdictional question that we review de novo. See Wheeler, 886 F.3d at 426; Young v.
    Antonelli, 
    982 F.3d 914
    , 917 (4th Cir. 2020).
    B.
    Legal Landscape -- Mathis and the Categorical Approach
    Because Petitioner bases his Wheeler claim on Mathis, we start with an overview of
    that decision and its place in a succession of Supreme Court cases addressing the
    categorical approach.
    1.
    Taylor v. United States
    In the seminal case of Taylor v. United States, 
    495 U.S. 575
     (1990), the Supreme
    Court held that generally, in determining whether an offense qualifies as a “violent felony”
    under the ACCA, a federal sentencing court “must look only to the statutory definition” --
    i.e., the elements of a defendant’s prior offenses, and not to “the particular facts underlying
    those convictions.” 
    495 U.S. at 600
    . If the definition of the prior offense sweeps more
    broadly than the generic offense, then the prior offense fails to qualify as an ACCA
    predicate. See 
    id. at 599
    . The Supreme Court referred to this framework as the “formal
    categorical approach.” 
    Id. at 600
    . Taylor also recognized, however, that this approach
    “may permit the sentencing court to go beyond the mere fact of conviction in a narrow
    range of cases where a jury was actually required to find all the elements of [the generic
    offense].” 
    Id. at 602
    . In such a case, Taylor explained a court may look beyond the
    10
    statutory elements to the “charging paper and jury instructions” to determine whether an
    offense qualifies as a violent felony. 
    Id.
    This process of looking behind statutory elements of the crime became known as
    the “modified categorical approach.” Gonzales v. Duenas-Alvarez, 
    549 U.S. 183
    , 187
    (2007) (quoting Conteh v. Gonzales, 
    461 F.3d 45
    , 54 (1st Cir. 2006)).
    2.
    Descamps v. United States
    In 2013, the Supreme Court clarified that the modified categorical approach does
    not apply to statutes containing a single, indivisible set of elements. See Descamps, 570
    U.S. at 258. Rather, the modified categorical approach only applies when an offense is
    divisible with alternative elements. See id. at 260. As an example, the Court explained
    that a statute that sets forth divisible, alternative elements would be a “burglary [statute
    that] involves entry into a building or an automobile.” Id. at 257 (emphasis in original).
    3.
    Mathis v. United States
    Finally, in Mathis, the Supreme Court relied on Taylor and Descamps to clarify that
    where an offense of conviction enumerates various alternative factual means of satisfying
    one element of the crime, courts may not use the modified categorical approach. See 136
    S. Ct. at 2248–49. Specifically, the Court addressed Iowa burglary, which prohibited
    unprivileged entry into an “occupied structure” -- defined to include “any building,
    structure, appurtenances to buildings and structures, land, water or air vehicle, or similar
    place.” 
    Iowa Code § 702.12
    . The Court explained the Iowa statute did not list “alternative
    11
    elements” but rather, “alternative ways of satisfying a single locational element.” Mathis,
    136 S. Ct. at 2250. In other words, “occupied structure” was the element, and the different
    variances of “occupied structure” were merely ways to satisfy that element. Thus, the Iowa
    statute was not divisible, and the modified categorical approach was not appropriate. Using
    the categorical approach, then, the Supreme Court determined that because Iowa burglary
    applied to burglary of “any building, structure, or land, water, or air vehicle,” id. (emphasis
    supplied), the Iowa statute covered a broader swath of conduct than the generic burglary
    offense, defined in Taylor as unlawful entry into a “building or other structure,” id. (quoting
    Taylor, 
    495 U.S. at 598
    ). Therefore, Iowa burglary could not serve as an ACCA predicate.
    Importantly for the case at hand, Mathis made clear that it was not breaking new
    ground or changing any of its prior decisions regarding how to apply the categorical
    approach. Indeed, Mathis begins by noting, “For more than 25 years, our decisions have
    held that the prior crime qualifies as an ACCA predicate if, but only if, its elements are the
    same as, or narrower than, those of the generic offense.” Mathis, 136 S. Ct. at 2247
    (emphasis supplied). It then declined to make an “exception” to this established rule for
    the situation in which a defendant is convicted under a statute “that lists multiple,
    alternative means of satisfying one (or more) of its elements.” Id. at 2247–48. Mathis did
    not amend any elements of any state burglary statutes, nor did it render any such statutes
    indivisible that the Supreme Court had previously rendered divisible. It merely reiterated
    the “longstanding principle[]” that “[h]ow a given defendant actually perpetrated the crime
    . . . makes no difference” in analyzing a prior conviction under the categorical approach.
    Id. at 2251 (emphasis supplied).
    12
    II.
    Prong Two of the Wheeler Test 5
    This case boils down to an analysis of prong two of the Wheeler test. Prong two has
    two components. First, it requires the “settled substantive law” establishing the legality of
    the prisoner’s sentence to have “changed.” United States v. Wheeler, 
    886 F.3d 415
    , 429
    (4th Cir. 2018). Second, it requires this change to have been “deemed to apply retroactively
    on collateral review.” 
    Id.
     Because we conclude Mathis did not change the settled
    substantive law, we need not reach the retroactivity question.
    A.
    Change in Settled Substantive Law
    Wheeler prong two requires the petitioner to demonstrate that “the aforementioned
    settled substantive law changed,” 886 F.3d at 429, that is, “the ‘settled law of this circuit
    or the Supreme Court,’” Young v. Antonelli, 
    982 F.3d 914
    , 918 (4th Cir. 2020) (quoting
    Wheeler, 886 F.3d at 429).
    1.
    Origin and Application
    In this court’s decision In re Jones, we held for the first time that a prisoner could
    pass through the savings clause and challenge his conviction if he could demonstrate that
    the “substantive law changed.” 
    226 F.3d 328
    , 334 (4th Cir. 2000). In Jones, the petitioner,
    5
    Because we conclude Petitioner cannot satisfy prong two, we do not consider the
    other three prongs.
    13
    Byron Jones, sought § 2241 relief based on the Supreme Court decision in Bailey v. United
    States, which held that the Government “must prove active employment of a firearm in
    order to convict under the ‘use’ prong of [18 U.S.C.] § 924(c)(1).” Id. at 330. We
    explained Bailey “overruled the prior law of this circuit.” Id. Specifically, before Bailey,
    this court had concluded “constructive possession of firearms in relation to a drug
    transaction is sufficient to establish ‘use.’” United States v. Paz, 
    927 F.2d 176
    , 179 (4th
    Cir. 1991).
    Because Jones could not meet the requirements for a second or successive § 2255
    motion, he attempted to pass through the savings clause of § 2255(e) by demonstrating that
    a § 2255 motion was “inadequate or ineffective” to test the legality of his conviction. See
    Jones, 
    226 F.3d at 331
    . We created a three-part test, explaining that, inter alia, the prisoner
    was required to demonstrate that the “substantive law changed” such that the conduct of
    which the prisoner was convicted was no longer criminal. 
    Id.
     at 333–34; see Hahn v.
    Moseley, 
    931 F.3d 295
    , 303 (4th Cir. 2019) (“Jones assumes that the factual record is
    settled but requires this Court to compare prior and current precedent to evaluate whether
    a substantive change in the law has occurred.”); see also 
    id. at 302
     (applying Jones,
    concluding the substantive law changed where a decision “introduce[d] a new statutory
    framework” that was not present at the time of conviction). 6
    6
    Jones also required that a petitioner show that at the time of his conviction, the
    “settled law of this circuit or the Supreme Court established the legality of the conviction,”
    and that he “cannot satisfy the gatekeeping provisions of § 2255 because the new rule is
    not one of constitutional law.” 
    226 F.3d at
    333–34. Neither of those requirements are
    relevant here.
    14
    Eighteen years later in Wheeler, we extended Jones to erroneous sentences resulting
    in fundamental defects. In making this extension, we specifically relied on the idea that
    Jones “contemplate[d] a change in ‘substantive law,’” and we borrowed that requirement
    in fashioning prong two of the Wheeler test. Wheeler, 886 F.3d at 428 (quoting Jones, 
    226 F.3d at
    333–34); see also Braswell v. Smith, 
    952 F.3d 441
    , 448 (4th Cir. 2020) (“[T]he
    combination of the change in settled substantive law and its retroactivity must occur after
    the first § 2255 motion has been resolved.” (alteration omitted) (emphasis supplied)).
    The petitioner in Wheeler was able to demonstrate a change in settled substantive
    law because at the time of his sentencing (where he received an enhanced sentence based
    on having a prior felony drug offense punishable by a prison term “exceeding one year,”
    886 F.3d at 420), the settled substantive law in this circuit was that “to determine whether
    a conviction is for a crime punishable by a prison term exceeding one year, . . . we consider
    the maximum aggravated sentence that could be imposed for that crime upon a defendant
    with the worst possible criminal history,” United States v. Harp, 
    406 F.3d 242
    , 246 (4th
    Cir. 2005) (emphasis in original). However, after Wheeler’s direct appeal and first § 2255
    motion, this court decided United States v. Simmons, wherein we overturned Harp and
    ruled that a district court could no longer look to a hypothetical defendant with the worst
    possible criminal history. See 
    649 F.3d 237
    , 246 (4th Cir. 2011) (en banc). Instead, a
    sentencing court could only consider the maximum possible sentence that the particular
    defendant could have received. See 
    id.
     at 246–47. Simmons, therefore, changed the settled
    substantive law of this circuit. See Miller v. United States, 
    735 F.3d 141
    , 144 (4th Cir.
    15
    2013) (explaining that in Simmons, “this Court changed course, overruling long-standing
    precedent”).
    Likewise, in our few published decisions applying the Wheeler test, those petitioners
    who were granted entry through the savings clause presented substantive changes in the
    law.
    For example, Braswell, like Wheeler, relied on the change in law set forth in
    Simmons. See 952 F.3d at 448. And, in Lester v. Flournoy, 
    909 F.3d 708
    , 712 (4th Cir.
    2018), we concluded that the petitioner, Stoney Lester, satisfied prong two of Wheeler
    based on a change in this court’s law regarding the crime of walkaway escape. 7 First, the
    Supreme Court held that the Illinois crime of failure to report to a prison was not a violent
    felony for purposes of the ACCA in Chambers v. United States, 
    555 U.S. 122
    , 130 (2009).
    Then, based on Chambers, this court ruled that walkway escape, Lester’s prior offense,
    was not a crime of violence for purposes of the (then mandatory) career offender
    Sentencing Guidelines, see United States v. Clay, 
    627 F.3d 959
    , 969 (4th Cir. 2010). We
    noted that after Chambers and Clay, Lester had “new precedents in hand.” Lester, 909
    F.3d at 710; see also id. at 711 (suggesting Lester’s petition was based on a “new statutory
    construction[]”); id. at 712 (referring to Chambers and Clay as “new authority”); cf. Young,
    982 F.3d at 918–19 (holding that, although this court elected to change the law of this
    7
    Provided, Lester was primarily concerned not with whether a substantive change
    occurred, but whether there was “an error sufficiently grave to be deemed a fundamental
    defect.” 909 F.3d at 712. In fact, the opinion’s brief analysis of the first three prongs of
    Wheeler appears rooted in the parties’ agreement. See id. (“Nobody disagrees that the first
    three Wheeler requirements are satisfied.”).
    16
    circuit by extending Burrage v. United States, 
    571 U.S. 204
    , 206 (2014), to the death results
    Sentencing Guidelines, the district court was correct that at the time of its decision, Burrage
    had not changed the law of this circuit).
    2.
    No Change in Supreme Court Law
    Turning to the case at hand, we look to whether Mathis changed settled Supreme
    Court law with regard to application of the categorical approach. Petitioner submits that
    Descamps “clarif[ied] that the modified categorical approach only applies when an offense
    is divisible with alternative elements.”      Pet’r’s Br. 12 (emphasis in original).       But,
    Petitioner maintains, “it was not until Mathis that the Supreme Court gave further
    explanation of how to determine whether an offense had alternative elements, or alternative
    methods of committing a single offense.” 
    Id. at 13
     (emphases in original).
    But even in Petitioner’s view, Descamps and Mathis provided “clarif[ication]” and
    “further explanation” of prior Supreme Court case law. And all parties in this appeal agree
    that Mathis was merely restating an old rule. See Pet’r’s Br. 21–22 (“[T]he fact that Mathis
    itself explains that it was based on prior precedent demonstrates that it is an ‘old rule’ . . .
    .”); Gov’t’s Br. 12, 17 (“Mathis is an old rule . . . .” and Mathis “was not saying anything
    new.”); Amicus Br. 19 (“Mathis is an old rule that does not satisfy Wheeler’s second
    prong.” (capitalization omitted)).
    The parties are correct. Mathis made clear that the categorical approach has always
    required a look at the elements of an offense, not the facts underlying it. See Mathis, 136
    S. Ct. at 2257 (“Whether or not [alternative means of commission are] made explicit, they
    17
    remain what they ever were -- just the facts, which [the] ACCA (so we have held, over and
    over) does not care about.”). Indeed, Mathis merely repeated the “simple point” that served
    as “a mantra” in its ACCA decisions: “a sentencing judge may look only to the elements
    of the offense, not to the facts of the defendant’s conduct.” Id. at 2251 (alterations and
    internal quotation marks omitted); see also id. at 2248 (“ACCA, as we have always
    understood it, cares not a whit about [facts].” (emphasis supplied)); id. at 2253 (“[O]ur
    cases involving the modified categorical approach have already made exactly that point
    [i.e., that facts cannot be used to enhance a sentence].”); id. at 2255 (“Descamps made clear
    that when the Court had earlier said (and said and said) ‘elements,’ it meant just that and
    nothing else.”); id. at 2257 (“Our precedents make this a straightforward case.”). At the
    risk of “downright tedium,” it listed the ACCA decisions explaining this point. Id. at 2252
    (citing James v. United States, 
    550 U.S. 192
     (2007); Sykes v. United States, 
    564 U.S. 1
    (2011); Descamps, 570 U.S. at 261).
    Even in Descamps, which was decided while Petitioner’s first § 2255 motion was
    pending, the Court stated, “In [our prior] decisions . . . the modified approach serves a
    limited function: It helps effectuate the categorical analysis when a divisible statute, listing
    potential offense elements in the alternative, renders opaque which element played a part
    in the defendant’s conviction.” 570 U.S. at 260. And “[t]he key” when deciding whether
    to apply an enhancement pursuant to the ACCA “is elements, not facts.” Id. at 261.
    For these reasons, Mathis did not change the settled substantive law of the Supreme
    Court with regard to when a court should apply the categorical or modified categorical
    approach. See Muhammad v. Wilson, 715 F. App’x 251, 252–53 (4th Cir. 2017) (per
    18
    curiam) (“Descamps and Mathis did not announce a substantive change to the law. Rather,
    these cases reiterated and clarified when to apply the categorical approach or the modified
    categorical approach, which was set forth in Taylor. . . .”).
    3.
    No Change in Fourth Circuit Law
    Primarily, however, Petitioner contends that he can satisfy the second prong of the
    Wheeler test because Mathis changed the settled substantive law of this court.             As
    Petitioner’s argument goes, before Mathis, courts in this circuit believed South Carolina
    third-degree burglary was divisible and therefore subject to the modified categorical
    approach, but after Mathis, those courts are now using the categorical approach. See Pet’r’s
    Br. 15–16; see also Gov’t’s Br. 17–18. Petitioner’s argument, however, misses the mark.
    a.
    United States v. Hall
    First, Petitioner points to our unpublished decision in United States v. Hall, 684 F.
    App’x 333 (4th Cir. 2017) (per curiam), as evidence of the shift in this court’s application
    of the categorical approach to South Carolina third degree burglary. See Pet’r’s Br. 15.
    Specifically, Hall concluded that South Carolina third degree burglary “cannot serve as a
    predicate felony under the ACCA” because, like the Iowa statute at issue in Mathis, “the
    South Carolina statute . . . is not divisible.” Id. at 335. And we said Mathis “is dispositive
    in this case.” Id.
    But Hall cannot bear the weight Petitioner gives it. Hall was an unpublished, non-
    precedential decision and cannot be faithfully read to demarcate a change in settled law.
    19
    We have “be[en] clear” that, where this court concluded in an unpublished opinion that
    Virginia abduction fell within the residual clause of U.S.S.G. § 4B1.2(a), such a decision
    “d[id] not constitute binding authority under our circuit rules.” United States v. Morris,
    
    917 F.3d 818
    , 826 (4th Cir. 2019); see also Edmonson v. Eagle Nat’l Bank, 
    922 F.3d 535
    ,
    545–46 n.4 (4th Cir. 2019) (“Unpublished decisions, of course, do not constitute binding
    precedent in this Circuit.”); Pressley v. Tupperware Long Term Disability Plan, 
    553 F.3d 334
    , 339 (4th Cir. 2009) (reaching a decision at odds with unpublished precedent, noting
    that “[w]e . . . are not bound by” unpublished precedent, and “‘we ordinarily do not accord
    precedential value to our unpublished decisions.’”) (quoting Collins v. Pond Creek Mining
    Co., 
    468 F.3d 213
    , 219 (4th Cir. 2006)); cf. 4th Cir. Local R. 36(b) (“Unpublished opinions
    give counsel, the parties, and the lower court or agency a statement of the reasons for the
    decision.” (emphasis supplied)).
    b.
    United States v. McLeod
    Next, Petitioner relies on United States v. McLeod to demonstrate that this court was
    applying the modified categorical approach to South Carolina burglary after Descamps but
    before Mathis. See 
    808 F.3d 972
    , 974 (4th Cir. 2015). But this decision also does not help
    Petitioner.
    In McLeod, this court applied the modified categorical approach to South Carolina
    second degree burglary (which contains the same definition of “building” as third degree
    burglary), saying that approach was “authorized by Taylor and Descamps.” 808 F.3d at
    974 (citation omitted). It also explained the South Carolina burglary statute “defines the
    20
    term ‘building’ to include ‘any structure, vehicle, watercraft, or aircraft,’ providing
    elements alternative to generic burglary.” Id. at 976 (emphasis supplied) (quoting 
    S.C. Code Ann. § 16
    –11–310(1)).
    But if, as Petitioner wishes, we read McLeod as standing for the proposition that this
    court viewed South Carolina burglary as a divisible offense necessitating the modified
    categorical approach, there has been no published circuit opinion abrogating that principle.
    Although Mathis’s clarification of when to use the modified categorical approach may
    undercut McLeod’s treatment of “structure, vehicle, watercraft, or aircraft” as “elements,”
    McLeod, a precedential panel decision, could not have been “changed” by Hall, a non-
    precedential decision, to satisfy prong two of Wheeler. Wheeler, 886 F.3d at 429.
    c.
    Reading Indivisible Statutes
    Petitioner also cites United States v. Kirksey, 
    138 F.3d 120
     (4th Cir. 1998), for the
    proposition that at the time of Petitioner’s sentencing, this court was applying the modified
    categorical approach to statutes without divisible elements -- in that case, Maryland
    common law assault. See Pet’r’s Br. 12. While that may be true for the particular Maryland
    offense at issue in Kirksey, we said nothing in that case about South Carolina burglary. In
    any event, we abrogated the approach taken in Kirksey years before Mathis. See United
    States v. Royal, 
    731 F.3d 333
    , 341 (4th Cir. 2013). In Royal, we looked to the elements of
    Maryland assault, the first of which was “the defendant caused offensive physical contact
    with, or harm to, the victim.” 
    Id.
     We then explained that Maryland law did not require
    juries to be unanimous in finding either physical contact or harm; “it is enough that each
    21
    juror agree only that one of the two occurred.” 
    Id.
             Thus, “[r]ather than alternative
    elements, . . . offensive physical contact and physical harm are merely alternative means
    of satisfying a single element of the Maryland offense. Consequently, because ‘the dispute
    here does not concern any list of alternative elements,’ the modified approach ‘has no role
    to play.’” 
    Id.
     (quoting Descamps, 570 U.S. at 264) (alteration and internal quotation marks
    omitted). In other words, by 2013 we were already reading certain statutes containing
    alternative means of fulfilling one element as they should always have been read -- as
    indivisible statutes. In so doing, we expressed our view that “[i]n Descamps, the Supreme
    Court . . . clarified whether courts may apply the modified categorical approach to assess
    . . . an indivisible criminal statute.” Id. at 340; see also United States v. Aparicio-Soria,
    
    740 F.3d 152
    , 155–56 (4th Cir. 2014) (en banc) (observing how four different precedential
    decisions were abrogated by this court in decisions issued after Descamps, because
    Descamps clarified that those four decisions improperly applied the modified categorical
    approach to Maryland’s assault statute).
    Petitioner claims Descamps “began to change” the categorical approach,
    undercutting the idea that Mathis itself changed the substantive law of this circuit. Pet’r’s
    Br. 12. In fact, Mathis itself cited with favor two of this court’s decisions in describing
    how courts should differentiate between divisible and indivisible statutes. In the first
    instance, the Court set forth the circuit split that developed, in which some courts held that
    “ACCA’s general rule -- that a defendant’s crime of conviction can count as a predicate
    only if its elements match those of a generic offense -- gives way when a statute happens
    to list various means by which a defendant can satisfy an element.” Mathis, 136 S. Ct. at
    22
    2251. In a footnote, the Court cited Omargharib v. Holder, 
    775 F.3d 192
     (4th Cir. 2014)
    as properly rejecting that “exception.”      See 
    id.
     at 2251 n.1.      Indeed, we stated in
    Omargharib that “a crime is divisible under Descamps only if it is defined to include
    multiple alternative elements (thus creating multiple versions of a crime), as opposed to
    multiple alternative means (of committing the same crime).” 775 F.3d at 198 (emphases
    in original).
    Mathis positively cited another Fourth Circuit case for the proposition that “if a
    statutory list is drafted to offer illustrative examples, then it includes only a crime’s means
    of commission.” 136 S. Ct. at 2256 (internal quotation marks omitted) (citing United States
    v. Cabrera-Umanzor, 
    728 F.3d 347
    , 353 (4th Cir. 2013)). The portion of Cabrera-
    Umanzor cited by Mathis addressed a Maryland sex abuse statute that required the State to
    prove that the defendant engaged in an act involving sexual molestation or exploitation of
    a minor with whom he held a certain familial or custodial relationship. See 728 F.3d at
    353. Though the statute listed various types of crimes constituting sexual abuse (e.g.,
    “incest, rape, or sexual offense in any degree”), this court held (and the Supreme Court
    presumably endorsed) that the listed crimes “are not elements of the offense, but serve only
    as a non-exhaustive list of various means by which the elements of sexual molestation or
    sexual exploitation can be committed.” Id.
    23
    d.
    Mathis
    Unlike the decisions in Simmons, Chambers, Clay, Bailey, and Burrage, here, we
    cannot say Mathis changed this circuit’s settled law. Instead, Mathis explained that courts
    must look to each individual state statute and/or law to apply the elements/means analysis:
    This threshold inquiry—elements or means?—is easy in this
    case, as it will be in many others. Here, a state court decision
    definitively answers the question: The listed premises in
    Iowa’s burglary law, the State Supreme Court held, are
    “alternative method[s]” of committing one offense, so that a
    jury need not agree whether the burgled location was a
    building, other structure, or vehicle. When a ruling of that kind
    exists, a sentencing judge need only follow what it says.
    Likewise, the statute on its face may resolve the issue. If
    statutory alternatives carry different punishments, then under
    Apprendi[ 8] they must be elements. Conversely, if a statutory
    list is drafted to offer “illustrative examples,” then it includes
    only a crime’s means of commission. And a statute may itself
    identify which things must be charged (and so are elements)
    and which need not be (and so are means). Armed with such
    authoritative sources of state law, federal sentencing courts can
    readily determine the nature of an alternatively phrased list.
    Mathis, 136 S. Ct. at 2256 (citations omitted); see also id. at 2257 (“Whether or not
    [alternative means of commission are] made explicit, they remain what they ever were --
    just the facts, which ACCA (so we have held, over and over) does not care about.”
    (emphasis supplied)).     We decline to hold that Mathis’s explanation about how to
    determine whether parts of a statute are “elements or means” changed this circuit’s
    8
    Apprendi v. New Jersey, 
    530 U.S. 466
     (2000).
    24
    substantive law applying the modified categorical approach to South Carolina third degree
    burglary. 9 And with no precedential circuit decision marking this change, Petitioner has
    simply failed to demonstrate a change in this circuit’s settled substantive law. 10
    B.
    Other Circuits’ Savings Clause Tests
    Finally, Petitioner relies on cases from the three other circuits that provide relief
    from erroneous sentences via the savings clause. However, these cases are inapposite
    because they do not utilize a test like Wheeler. First, the Sixth Circuit employs a savings
    clause test requiring “(1) a case of statutory interpretation, (2) that is retroactive and could
    not have been invoked in the initial § 2255 motion, and (3) that the misapplied sentence
    presents an error sufficiently grave to be deemed a miscarriage of justice or a fundamental
    defect.” McCormick v. Butler, 
    977 F.3d 521
    , 525 (6th Cir. 2020). Rather than requiring a
    change in substantive law, as does Wheeler, the Sixth Circuit test merely requires the
    9
    At oral argument, Petitioner invited this court to create the change in substantive
    circuit law as part of our Wheeler analysis, like this court did in Young v. Antonelli. See
    982 F.3d at 919. First, the drastic step taken in Young should be used sparingly in this
    jurisdictional analysis, and only when a change in Supreme Court precedent necessarily
    dictates a change in our circuit law. Here, for the reasons explained above and because we
    have binding precedent that runs contrary to the change Petitioner asks us to make, we
    decline to go so far.
    10
    Petitioner has not argued what effect, if any, a future published decision of this
    court or the Supreme Court specifically abrogating McLeod may have on a future 2241
    petition. Federal courts “may not issue advisory opinions,” Trustgard Ins. Co. v. Collins,
    
    942 F.3d 195
    , 200 (4th Cir. 2019), and therefore we offer no view on such a future event.
    25
    petitioner to demonstrate that Mathis could not have been invoked, whether as foreclosed
    by circuit precedent or otherwise.
    Similarly the Seventh Circuit requires: “(1) the claim relies on a statutory
    interpretation case, not a constitutional case, and thus could not have been invoked by a
    successive § 2255 motion; (2) the petitioner could not have invoked the decision in his first
    § 2255 motion and the decision applies retroactively; and (3) the error is grave enough to
    be deemed a miscarriage of justice.” Chazen v. Marske, 
    938 F.3d 851
    , 856 (7th Cir. 2019)
    (internal quotation marks omitted). Again, unlike the Wheeler test, there is no requirement
    of a substantive change in law.
    Finally, the Ninth Circuit requires only that the prisoner (1) “make[] a claim of
    actual innocence,” and (2) “not [have] had an unobstructed procedural shot at presenting
    that claim.” Allen v. Ives, 
    950 F.3d 1184
    , 1188 (9th Cir. 2020) (internal quotation marks
    omitted). A “procedural shot” could arguably be obstructed by case law misinterpreting
    Mathis, rather than having a law in place that is later substantively changed.
    Therefore, because none of these out of circuit tests equate to Wheeler, we find
    Petitioner’s reliance on them unconvincing.
    III.
    For these reasons, Mathis did not change the substantive law of the Supreme Court
    or this court. Because Petitioner cannot satisfy prong two of the Wheeler test, we affirm
    the district court.
    AFFIRMED
    26