Jarrod Johnson v. United States , 457 F. App'x 462 ( 2012 )


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  •                 NOT RECOMMENDED FOR FULL-TEXT PUBLICATION
    File Name: 12a0071n.06
    No. 09-1556                                     FILED
    UNITED STATES COURT OF APPEALS                              Jan 23, 2012
    FOR THE SIXTH CIRCUIT                           LEONARD GREEN, Clerk
    JARROD JOHNSON,                                   )      ON APPEAL FROM THE
    )      UNITED STATES DISTRICT
    Petitioner - Appellant,                    )      COURT FOR THE EASTERN
    )      DISTRICT OF MICHIGAN
    v.                                                )
    )
    UNITED STATES OF AMERICA                          )
    )
    Respondent - Appellee.                      )
    _____________________________                     )
    Before: MARTIN, CLAY, and WHITE, Circuit Judges.
    HELENE N. WHITE, Circuit Judge. Petitioner Jarrod Johnson was convicted of bank
    robbery and firearms charges in the Eastern District of Michigan. He is now serving two concurrent
    96-month sentences and one 84-month consecutive sentence. Johnson attempted to file a habeas
    petition under 
    28 U.S.C. § 2255
     (“§ 2255”), which the district court dismissed as untimely filed. We
    AFFIRM.
    I.
    Johnson was convicted of bank robbery, 
    18 U.S.C. § 2113
    (a) (count one), using, carrying,
    and brandishing a firearm during and in relation to a crime of violence, 
    18 U.S.C. §§ 924
    (c)(1)
    (count two), and felon in possession of a firearm, 
    18 U.S.C. § 924
    (g)(1) (count three). He received
    concurrent 115-month sentences on counts one and three, and an 84-month consecutive sentence on
    count two. Johnson appealed, and we affirmed the convictions and remanded for re-sentencing in
    light of United States v. Booker, 
    543 U.S. 220
     (2005). At resentencing, the district court reduced
    the concurrent sentences to 96 months, and the amended judgment was entered on January 24, 2007.
    Johnson claims that at the time of resentencing he directed his counsel to file a notice of
    appeal. However, neither Johnson nor his counsel filed a notice of appeal prior to the then-10-day
    deadline for filing a notice of appeal after entry of final judgment.
    On May 15, 2007, Johnson wrote a letter to the district court stating:
    Greetings, the purpose of this letter is to restore my appellate rights which I fear have
    been time barred due to inaction on the part of counsel. The attorney was instructed
    to enter notice of appeal on re-sentencing and as of this date nothing has been
    received showing notice has been filed.
    If notice has been filed and my being informed [sic] is due to a delay in mail catching
    up due to transit please disregard this letter. If notice of appeal has not been timely
    filed let this letter serve as that notice. Your assistance and cooperation is
    appreciated with your response being anticipated. Thank you.
    Johnson’s letter was docketed as a notice of appeal. On June 15, 2007, we issued an order
    to show cause why the appeal should not be dismissed for lack of jurisdiction due to untimeliness.
    In Johnson’s response, he outlined his attempts to reach his attorney while being transferred from
    one institution to another to determine whether his appeal had been filed. On July 30, 2007, we
    dismissed Johnson’s appeal for lack of jurisdiction on the basis that it was untimely.
    On August 2, 2007, Johnson wrote a letter to the district court, which stated in its entirety:
    My name is Jarrod Johnson and I’m writing this honorable court’s clerk to ask when
    is my deadline date for my “2255.” The reason why I’m asking is to prevent me from
    missing out on the opportunity to file the “2255.” I’ll be graciously waiting on your
    reply, thank you for your attention clerk of the court. Sincerely, Jarrod Johnson.
    The letter was docketed on August 9, 2007, as a letter regarding deadlines; the district court
    did not respond to this letter.
    2
    Johnson moved for reconsideration of the dismissal of his appeal on August 17, 2007,
    asserting that he had told his trial counsel to file an appeal on his behalf and that her failure to do so
    constituted ineffective assistance of counsel. We denied the motion on September 20, 2007,
    “without prejudice to whatever rights the defendant may have to seek relief pursuant to 
    28 U.S.C. § 2255
     for the alleged ineffective assistance of counsel.” Johnson did not seek Supreme Court
    review.
    On August 13, 2008, Johnson filed the instant pro se motion to vacate under § 2255. He
    raised several ineffective assistance of counsel claims, including the claim that his counsel on appeal
    neglected to file a notice of appeal. In that section of his § 2255 motion, Johnson asserted the motion
    was timely on the ground that because his “appeal was docketed in the Sixth Circuit and adjudicated,
    albeit unfavorably,” his judgment did not become final until the time for filing a petition for writ of
    certiorari to the Supreme Court expired, ninety days after the motion for reconsideration of the
    appeal was denied. Johnson cited Clay v. United States, 
    537 U.S. 522
    , 525 (2003).
    The United States moved to dismiss Johnson’s § 2255 petition on the basis that it was
    untimely. In Johnson’s response, he reiterated his argument that the one-year statute of limitations
    began to run ninety days after his motion for reconsideration was denied. The district court
    dismissed Johnson’s § 2255 petition as untimely, and Johnson timely appealed from that dismissal.
    II.
    We review de novo a district court’s legal conclusions in a habeas proceeding. See Miller
    v. Collins, 
    305 F.3d 491
    , 493 (6th Cir. 2002) (citation omitted). The decision whether to apply
    equitable tolling to a case where determinative facts are undisputed is reviewed de novo. See
    Solomon v. United States, 
    467 F.3d 928
    , 932 (6th Cir. 2006) (citation omitted).
    3
    III.
    A. Timeliness Under § 2255(f)(1)
    1. Date of Finality of the Conviction
    The Antiterrorism and Effective Death Penalty Act (AEDPA) establishes that state and
    federal prisoners have a one-year limitations period in which to file a habeas corpus petition. That
    period runs from one of four specified dates, the first of which is “the date on which the judgment
    of conviction becomes final.” 
    28 U.S.C. § 2255
    (f)(1). Generally, a conviction becomes final upon
    conclusion of direct review. See Sanchez-Castellano v. United States, 
    358 F.3d 424
    , 426 (6th Cir.
    2004) (citing United States v. Cottage, 
    307 F.3d 494
    , 498 (6th Cir. 2002)). When a federal criminal
    defendant appeals to the court of appeals, the judgment of conviction becomes final for § 2255
    purposes upon the expiration of the ninety-day period in which the defendant could have petitioned
    for certiorari to the Supreme Court, even when no certiorari petition is filed. See id. at 426–27
    (citing Clay, 
    537 U.S. at 532
     (reading the words “becomes final” in § 2255 to have the same
    meaning as the analogous provision for state prisoners in 
    28 U.S.C. § 2244
    (d)(1)(A), which specifies
    “by the conclusion of direct review or the expiration of the time for seeking such review”)). Using
    the same reasoning, we have held that “when a federal criminal defendant does not appeal to the
    court of appeals, the judgment becomes final upon the expiration of the period in which the
    defendant could have appealed to the court of appeals, even when no notice of appeal was filed.”
    
    Id. at 427
    . At the time relevant to this suit, that period was ten days after the entry of judgment, or
    February 7, 2007. See Fed. R. App. P. 4(b)(1) (2008) (amended 2009).
    Johnson argues that his conviction did not become final, and therefore the one-year statute
    of limitations did not begin to run, until December 19, 2007, ninety days after the denial of his
    4
    motion to reconsider the dismissal of his direct appeal for untimeliness. The ninety-day period
    represents the expiration of the time for seeking Supreme Court review.
    There are circumstances under which a conviction that has become final can be rendered
    nonfinal for purposes of the 1-year AEDPA limitations period for filing a § 2255 or § 2254 motion.
    In Jimenez v. Quarterman, 
    555 U.S. 113
     (2009), the Supreme Court held that where a state court
    reopens direct review of a conviction, the conviction is no longer final for purposes of the one-year
    statute of limitations for state habeas proceedings. 
    Id. at 120
    . In Jimenez, the Texas Court of
    Criminal Appeals granted petitioner the right to file an out-of-time appeal when it determined that
    he was denied the right to a meaningful appeal. As a result, his conviction “was again capable of
    modification through direct appeal to the state courts and to [the Supreme Court] on certiorari
    review.” 
    Id.
     The pendency of his direct appeal was restored and his conviction did not become final
    until the time for seeking certiorari review in the Supreme Court expired. 
    Id.
    Similarly, we have contemplated but not decided whether a conviction that became final at
    the expiration of the time to file a notice of appeal would no longer be final where a Fed. R. App.
    P. 4(b)(4) extension of time is sought and granted.1 See Sanchez-Castellano, 
    358 F.3d at 427
    .
    Jimenez suggests that if a 4(b)(4) motion were granted, thereby extending the time to file a direct
    appeal, a late notice of appeal could render a conviction nonfinal and delay the running of the one-
    year limitations period until after the Supreme Court affirmed a conviction on the merits or denied
    a petition for writ of certiorari, or the time for filing a certiorari petition expired.
    1
    Fed. R. App. P. 4(b)(4) allows the district court, before or after time has expired, and upon
    a showing of good cause or excusable neglect, to extend the time to file a notice of appeal for a
    period not to exceed 30 days from the expiration of the time otherwise prescribed by Rule 4(b).
    5
    However, the mere filing of a late notice of appeal is not sufficient under Jimenez to render
    a final conviction nonfinal for purposes of § 2255. See Jimenez, 
    555 U.S. at
    120 n.4 (refusing to
    depart from the general rule that “the possibility that a state court may open direct review ‘does not
    render convictions and sentences that are no longer subject to direct review nonfinal’” (citing Beard
    v. Banks, 
    542 U.S. 406
    , 412 (2004))). Jimenez merely held that “where a state court has in fact
    reopened direct review, the conviction is rendered nonfinal for purposes of § 2244(d)(1)(A) during
    the pendency of the reopened appeal.” Id. (emphasis added). We reached a similar conclusion in
    Searcy v. Carter, 
    246 F.3d 515
     (6th Cir. 2001). There, we held that where the time for seeking an
    appeal in the state Supreme Court had expired, the filing of a “motion for delayed appeal” under the
    Ohio Supreme Court Rules of Practice did not delay the running of the one-year statute of limitations
    because,
    it would effectively eviscerate the AEDPA’s statute of limitations. Leave to file a
    late notice of appeal can be sought at any time, even many years after conviction. If
    the one-year period of limitations did not begin to run until such an application for
    leave to appeal was denied, the one-year statute of limitations would be meaningless;
    merely by delaying his application for leave to file a late notice of appeal, a petition
    could indefinitely extend the time for seeking habeas relief.
    
    Id. at 519
     (quoting Raynor v. Dufrain, 
    28 F. Supp. 2d 896
    , 898 (S.D.N.Y. 1998)).
    Johnson’s attempt to distinguish Searcy by characterizing his untimely notice of appeal as
    a direct appeal that was not resolved on the merits is unpersuasive. In Searcy, we rejected the
    argument that a “motion for delayed appeal” under the Ohio Supreme Court Rules of Practice was
    a part of the direct appeal process. Despite differences in nomenclature, petitioners in both cases
    were seeking leave to file an untimely appeal. The reasoning in Searcy applies with equal force to
    an untimely notice of appeal, which similarly can be filed “at any time, even many years after the
    6
    conviction.” If the filing of an untimely notice of appeal reset the running of the limitations period,
    the statute of limitations period would be rendered just as meaningless.2 Because Johnson filed his
    notice of appeal after the period in which an extension could have been granted, the district court
    lacked authority at that time to reopen direct review, see Fed. R. App. P. 26(b)(1), and in fact it did
    not do so, instead rejecting Johnson’s appeal as untimely on July 30, 2007. Therefore, we conclude
    Johnson’s conviction became final on February 7, 2007, ten days after entry of the amended
    judgment, when the time to file a notice of appeal expired without Johnson having done so.
    2. Johnson’s Letter of August 2, 2007
    Johnson further argues that his § 2255 petition is nevertheless timely under § 2255(f)(1)
    because his letter of August 2, 2007, should be construed as a § 2255 petition. Rule 2 of the Rules
    Governing Section 2255 Proceedings prescribes the form of a § 2255 petition. It requires that such
    motions, inter alia, (1) specify all the grounds for relief available to the moving party; (2) state the
    facts supporting each ground; and (3) state the relief requested. See R. Governing § 2255
    Proceedings 2(b)(1)–(3). Rule 2(c) provides that a § 2255 motion must “substantially follow either
    the form appended to these rules or a form prescribed by a local district-court rule.” R. Governing
    § 2255 Proceedings 2(c). Johnson’s letter undoubtedly was not filed in the form of a § 2255 motion
    2
    Johnson also argues that it would be unfair for the limitations period to run against him
    while his direct appeal was pending because he could not have filed a § 2255 motion during that
    period. See Capaldi v. Pontesso, 
    135 F.3d 1122
    , 1124 (6th Cir. 1998) (refusing to consider a § 2255
    petition while a direct appeal was pending in another court). But direct review of Johnson’s
    conviction had ended prior to his filing an untimely notice of appeal. To the extent Johnson’s
    argument is that the district court’s docketing of his untimely notice of appeal as a “notice of appeal”
    misled him into believing direct review of his conviction had not ended, we find—and Johnson
    cites—no support for the proposition that any unfairness resulting from such confusion would
    postpone the running of the statute of limitations under 
    28 U.S.C. § 2255
    (f)(1). Instead, this
    argument goes to whether confusion over the state of the law can operate to equitably toll the statute
    of limitations, and is considered in the section on equitable tolling below. See infra Part III.C.
    7
    because it specified no grounds for relief, offered no facts to support any ground for relief, and asked
    only about the deadline for filing a § 2255 motion so as to “prevent [Johnson] from missing out on
    the opportunity to file” one.
    The advisory committee notes to the 2004 Amendments to Rule 2 indicate that, in light of
    the significant penalties imposed by AEDPA for late filings, the rules were reconfigured so that
    motions that are not in proper form would no longer be returned as insufficient. See R. Governing
    § 2255 Proceedings 2 advisory committee’s note. In revising Rule 2 to reflect the more lenient
    approach, “[t]he Committee believed that the better procedure was to accept the defective motion
    and require the moving party to submit a corrected motion that conforms to Rule 2(b).” See id.
    Johnson contends that the letter should be liberally construed as a defective § 2255 motion
    for the purposes of satisfying the statute of limitations because it “unequivocally manifested his
    intent to file a § 2255 petition.” The Sixth Circuit has held that pro se pleadings are to be liberally
    construed and that in some cases active interpretation is required “to construe a pro se petition ‘to
    encompass any allegation stating federal relief.’” Franklin v. Rose, 
    765 F.2d 82
    , 85 (6th Cir. 1985)
    (citing White v. Wyrick, 
    530 F.2d 818
    , 819 (8th Cir.1976)). In the context of a direct appeal, we have
    ruled that even though a district court may not extend the time period for filing a notice of appeal,
    “where a document is filed within the [deadline] which represents a clear assertion of an intent to
    appeal, courts of appeals have the power to overlook irregularities where fairness and justice so
    require.” See United States v. Hoye, 
    548 F.2d 1271
    , 1273 (6th Cir. 1977) (finding that a motion for
    delayed appeal filed by defense counsel who erroneously concluded the deadline for appeal as of
    right had expired, and which contained most of the essential facts required of a notice of appeal,
    should be treated as in compliance with the deadline); but see Isert v. Ford Motor Co., 
    461 F.3d 756
    ,
    8
    760–62 (6th Cir. 2006) (refusing to construe a motion for extension of time to file a notice of appeal
    as a notice of appeal where the motion did not specify the judgment being appealed nor otherwise
    convey an intent to appeal).
    However, these cases all arose in the context of appeals under Rule 3 of the Federal Rules
    of Appellate Procedure, which explicitly provides that “[a]n appeal must not be dismissed for
    informality of form or title of the notice of appeal, or for failure to name a party whose intent to
    appeal is otherwise clear from the notice.” Fed. R. App. P. 3(c)(4). The advisory committee notes
    further clarify that “dismissal of an appeal should not occur when it is otherwise clear from the
    notice that the party intended to appeal. If a court determines it is objectively clear that a party
    intended to appeal, there are neither administrative concerns nor fairness concerns that should
    prevent the appeal from going forward.” See Fed. R. App. P. 3 advisory committee’s note.
    Assuming that a similar clear intent standard should be applied to a § 2255 petition,
    Johnson’s letter in no way evidenced a clear intent to serve as a § 2255 petition. Rather, it was an
    inquiry regarding deadlines and revealed Johnson’s intent to file a § 2255 petition in the future.
    Johnson cites cases from the Third Circuit in arguing that his letter should have at least
    triggered an obligation on the part of the district court to provide Johnson with notice of his rights
    under § 2255. See United States v. Miller, 
    197 F.3d 644
    , 646 (3d Cir. 1999) (requiring district courts
    to provide notice of rights under §2255 “upon receipt of a pro se pleading challenging an inmate's
    conviction or incarceration—whether styled as a § 2255 motion or not”); see also United States v.
    Delgado, 363 F. App’x 853, 855 (3d Cir. 2010) (holding that where a pro se criminal defendant sent
    a letter to the district court expressing a “present intention to seek relief potentially available under
    § 2255,” the letter was sufficient to trigger the obligation under Miller to provide Delgado with
    9
    notice of the effect of his pleadings). However, even under the Third Circuit’s approach, Johnson’s
    letter would not trigger a duty on the part of the district court to provide him with notice of the effect
    of his pleadings. Again, although Johnson’s letter expressed clearly his intent to file a § 2255 motion
    (“the reason why I’m asking is to prevent me from missing out on the opportunity to file the
    ‘2255’”), it is best characterized as an intention to file a § 2255 motion in the future, prior to the
    deadline, rather than a present intention to seek relief under § 2255.
    Accordingly we conclude that even under liberal rules of construction, Johnson’s letter
    cannot be construed as a § 2255 motion for the purposes of the § 2255 limitations period. Therefore,
    Johnson did not file his § 2255 petition within one year of the date on which his judgment of
    conviction became final.
    B. Timeliness Under § 2255(f)(4)
    A petition for habeas relief under § 2255 may also be filed within one year of “the date on
    which the facts supporting the claim or claims presented could have been discovered through the
    exercise of due diligence.” 
    28 U.S.C. § 2255
    (f)(4). “[T]he petitioner bears the burden of proving
    that he exercised due diligence.” DiCenzi v. Rose, 
    452 F.3d 465
    , 471 (6th Cir.2006) (ruling on a 
    28 U.S.C. § 2254
     petition filed by a state prisoner). As we explained in DiCenzi:
    [t]he proper task in a case such as this one is to determine when a duly diligent
    person in petitioner’s circumstances would have discovered [that no appeal had been
    filed]. After that date, petitioner was entitled to further delay (whether in actually
    making the discovery, or in acting on a previously made discovery, or for any other
    reason whatsoever), so long as he filed his petition within one year of the date in
    which the discovery would have been made in the exercise of due diligence.
    
    Id.
     (quoting with alteration Wims v. United States, 
    225 F.3d 186
    , 190 (2d. Cir. 2000)).
    10
    Here, Johnson argues that the facts supporting his claim of ineffective assistance of counsel
    based on his counsel’s failure to file a notice of appeal could not have been discovered through the
    exercise of due diligence prior to August 13, 2007, one year prior to the date on which his habeas
    petition was filed. Specifically, Johnson argues that the statute of limitations did not begin to run
    until September 20, 2007, when we denied his motion for reconsideration of the dismissal of his
    appeal. The United States responds that the facts supporting Johnson’s claim could have been
    discovered on or before May 18, 2007, when he wrote to the district court questioning whether his
    counsel had filed a notice of appeal.
    Johnson relies on additional language in Wims for the contention that, to determine the
    relevant date for purposes of § 2255(f)(4), the court must look to when the particular claim accrued.
    In Wims, the Second Circuit stated that 
    28 U.S.C. § 2255
    (f)(4) “resets the limitations period's
    beginning date, moving it from the time when the conviction became final . . . to the later date on
    which the particular claim accrued.” Wims, 
    225 F.3d at 190
     (citation omitted). Johnson argues that
    because a claim of ineffective assistance of counsel requires both deficient performance by an
    attorney and prejudice to the defendant, that date could not have come until Johnson “learned that
    he had been irrevocably deprived of his appellate rights,” i.e., when this Court denied his motion for
    reconsideration on September 20, 2007.
    Johnson’s interpretation of § 2255(f)(4), tying the beginning of the limitations period to the
    date when all efforts to avoid prejudice have finally failed, conflicts with the plain language of §
    2255(f)(4), which focuses on when “the facts supporting the claim or claims presented could have
    been discovered.” It also conflicts with other language in Wims itself, quoted above and adopted by
    11
    this Court, that ties the beginning of the limitations period under § 2255(f)(4) to when a diligent
    person would have discovered no appeal has been filed. See Wims, 
    225 F.3d at 190
    .
    Accordingly, the statute of limitations for Johnson’s § 2255 petition began running on the
    date on which a duly diligent person in his circumstances would have discovered that no appeal had
    been filed. That date could come no later than when Johnson actually discovered that no appeal had
    been filed and the case would be dismissed. On June 15, 2007, Johnson was directed to show cause
    why his May 18 notice of appeal should not be dismissed as late. And on July 30, 2007, this Court
    dismissed his notice of appeal as untimely. That order would have put any duly diligent person on
    notice that his attorney had failed to timely file a notice of appeal. Because Johnson did not file his
    § 2255 petition until more than one year after July 30, 2007, we conclude that Johnson’s petition was
    not timely filed under § 2255(f)(4).
    C. Equitable Tolling
    Johnson also argues he is entitled to equitable tolling because his erroneous conclusion that
    his § 2255 petition was due before December 2008 was reasonable in light of Clay v. United States,
    which states, “a judgment of conviction becomes final when the time expires for filing a petition for
    certiorari contesting the appellate court’s affirmation of the conviction.” 
    537 U.S. at 525
    .
    Furthermore, the court’s docketing of Johnson’s May 15, 2007 letter as a notice of appeal led him
    to believe direct review of his conviction was ongoing. Additionally, when Johnson wrote to the
    district court to inquire about the deadline for filing a § 2255 petition, he received no response to
    clarify his confusion about the state of the law.
    The one-year statute of limitations for filing a § 2255 petition is subject to equitable tolling.
    See Hall v. Warden, Lebanon Corr. Inst., No. 09-3372, — F.3d —, 
    2011 WL 5965837
    , at *3 (6th
    12
    Cir. Nov. 30, 2011) (citing Holland v. Florida, 
    130 S.Ct. 2549
    , 2560, 
    177 L.Ed.2d 130
     (2010)).
    Petitioner bears the burden of demonstrating he is entitled to equitable tolling. See McClendon v.
    Sherman, 
    329 F.3d 490
    , 494 (6th Cir. 2003). Equitable tolling “allows courts to toll a statute of
    limitations when a litigant’s failure to meet a legally-mandated deadline unavoidably arose from
    circumstances beyond that litigant’s control.” Robertson v. Simpson, 
    624 F.3d 781
    , 783 (6th Cir.
    2010) (internal quotation marks omitted). Until recently, we used a five-factor inquiry to determine
    whether a habeas petitioner was entitled to equitable tolling. See Dunlap v. United States, 
    250 F.3d 1001
    , 1008 (6th Cir. 2001) (identifying the following factors as relevant to the equitable tolling
    determination: (1) the petitioner’s lack of notice of the filing requirement; (2) the petitioner’s lack
    of constructive knowledge of the filing requirement; (3) diligence in pursuing one’s rights; (4)
    absence of prejudice to the respondent; and (5) the petitioner’s reasonableness in remaining ignorant
    of the legal requirement for filing his claim). The factors were “not necessarily comprehensive or
    always relevant.” Keenan v. Bagley, 
    400 F.3d 417
    , 421 (6th Cir. 2005). The Supreme Court’s
    decision in Holland replaced the five-factory inquiry with a two-part test, under which a habeas
    petitioner is entitled to equitable tolling only if the petitioner shows that (1) “he has been pursuing
    his rights diligently,” and (2) that “some extraordinary circumstance stood in his way and prevented
    timely filing.” Hall, 
    2011 WL 5965837
    , at *3 (citing Holland, 
    130 S.Ct. at 2562
    ).
    Johnson cites cases in which we have applied equitable tolling where petitioners reasonably
    relied on confusing rules and laws. In Keenan v. Bagley, an order issued by the Ohio Supreme Court
    that incorrectly suggested the petitioner had six extra months to file a motion for postconviction
    relief may have altered his legal strategy and prevented him from filing a timely habeas petition. 
    400 F.3d at 419
    . We found that if the petitioner “indeed relied on the literal language of the . . . order
    13
    in structuring his legal strategy, then his argument for equitable tolling might be very strong.” 
    Id. at 421
    . We therefore remanded to the district court to determine whether Keenan in fact relied on
    the misleading court order and whether that reliance was reasonable. 
    Id. at 422
    . Johnson also cites
    an unpublished case, White v. Curtis, in which this Court equitably tolled a state habeas petition
    limitations period where the petition would have been saved from untimeliness if Michigan had
    adopted the federal “mailbox rule” for filings on which petitioner relied, or if prison officials had
    delivered petitioner’s appeal only one day earlier. See 42 F. App’x 698, 700–01 (6th Cir. 2002).
    This Court found that the petitioner in White reasonably thought he met the requirement, see id. at
    700, and noted that he exercised diligence, because although “it can be argued that White should
    not have ‘cut it so close’ . . . this is not a case where a prisoner simply sat on his rights and did
    nothing.” Id.
    Both Keenan and White were decided under our previous five-factor inquiry, which
    considered the petitioner’s “reasonableness in remaining ignorant of the legal requirement for filing
    his claim.” The analysis in Keenan and White does not survive Holland, which focuses on whether
    extraordinary circumstances prevented a timely filing, and it is questionable whether either case
    would be decided the same way under the two-part test that now controls when equitable tolling
    applies. However, even in White and Keenan, as in other equitable tolling cases, see King v. Bell,
    
    378 F.3d 550
    , 553 (6th Cir. 2004) (allowing equitable tolling where petitioner’s untimely filing was
    solely due to government delay), the untimeliness of the filings were in significant part the result of
    circumstances beyond the petitioners’ control.
    Here, Johnson’s confusion in his attempts to navigate a highly complex area of law is
    understandable. But that confusion was largely caused by his own misunderstanding of the case law
    14
    surrounding the one-year statute of limitations under AEDPA. We made clear in Sanchez-Castellano
    that “when a federal criminal defendant does not appeal to the court of appeals, the judgment
    becomes final upon the expiration of the period in which the defendant could have appealed to the
    court of appeals, even when no notice of appeal was filed.” 
    358 F.3d at 427
    . The district court’s
    docketing of his letter as a notice of appeal may have increased Johnson’s confusion about the law,
    but Johnson was put on notice no later than July 30, 2007, that this Court considered his notice of
    appeal untimely. And although the district court clerk failed to respond to Johnson’s letter regarding
    the § 2255 deadline, the court had no duty to do so, and it did not provide Johnson with incorrect
    information. We cannot find that extraordinary circumstances prevented Johnson from timely filing
    his petition. Hall, 
    2011 WL 5965837
    , at *3. Therefore, Johnson is not entitled to equitable tolling
    of his claim. Accordingly, we need not rule on whether Johnson sufficiently preserved the issue of
    equitable tolling.
    IV.
    Johnson did not file his petition within one year of either the date on which his conviction
    became final or the date on which the facts supporting his claim of ineffective assistance of counsel
    could have been discovered through the exercise of due diligence. Additionally, Johnson is not
    entitled to equitable tolling of the statute of limitations. Accordingly, we AFFIRM the district
    court’s dismissal of Johnson’s § 2255 petition as untimely.
    15