Stacey Johnson v. Larry Norris ( 2008 )


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  •                     United States Court of Appeals
    FOR THE EIGHTH CIRCUIT
    ___________
    No. 07-3058
    ___________
    Stacey Eugene Johnson,                *
    *
    Appellant,                *
    * Appeal from the United States
    v.                              * District Court for the
    * Eastern District of Arkansas.
    Larry Norris, Director, Arkansas      *
    Department of Correction,             *
    *
    Appellee.                 *
    ___________
    Submitted: May 12, 2008
    Filed: August 8, 2008
    ___________
    Before LOKEN, Chief Judge, BYE, and COLLOTON, Circuit Judges.
    ___________
    COLLOTON, Circuit Judge.
    Stacey Eugene Johnson was convicted of the murder of Carol Heath and
    sentenced to death in 1994. The Supreme Court of Arkansas reversed the conviction,
    see Johnson v. Arkansas, 
    934 S.W.2d 179
    (Ark. 1996) (“Johnson I”), and the case was
    retried. Johnson was again convicted and sentenced to death, and a divided Supreme
    Court of Arkansas affirmed. Johnson v. Arkansas, 
    27 S.W.3d 405
    (Ark. 2000)
    (“Johnson II”). After the state circuit court denied Johnson’s petitions for post-
    conviction relief, the Supreme Court of Arkansas affirmed in part, but remanded the
    case for the limited purpose of conducting a second round of DNA testing of evidence
    from the murder scene. Johnson v. Arkansas, 
    157 S.W.3d 151
    (Ark. 2004) (“Johnson
    III”). The court subsequently acknowledged that a second round of DNA testing
    already had occurred, and thus affirmed the decision of the circuit court denying the
    petitions for post-conviction relief. Johnson v. Arkansas, 
    235 S.W.3d 872
    (Ark. 2006)
    (“Johnson IV”). Having exhausted his state remedies, Johnson petitioned the district
    court1 for a writ of habeas corpus under 28 U.S.C. § 2254. The district court denied
    relief, Johnson v. Norris, No. 5:06CV00185 JLH, 
    2007 WL 2343883
    (E.D. Ark. 2007)
    (“Johnson V”), but granted Johnson a certificate of appealability on several issues.
    We affirm.
    I.
    We recite the pertinent facts as set forth by the Supreme Court of Arkansas in
    Johnson I and Johnson II, which are cited with approval in that court’s two decisions
    upholding the denial of post-conviction relief.
    On the morning of April 2, 1993, a friend discovered Carol Heath’s body in the
    living room of Heath’s apartment in DeQueen, Arkansas. When the police removed
    Heath’s two children from the home, Ashley Heath, then six years old, told Heath’s
    friend that a man had broken into the home during the night. Johnson 
    II, 27 S.W.3d at 408
    . Ashley was interviewed by Arkansas state police investigator Hayes
    McWhirter a few hours later. Ashley told McWhirter that a black male with “a girl
    sounding name” had come to the house during the night. Ashley said that the man,
    who was wearing a green shirt and sweater, told Heath that he had just been released
    from jail, and said that the man was mad at Heath for dating another man, Branson
    Ramsey. Ashley said that after her mother and the man fought, she saw her mother
    on the floor bleeding, and that the man was next to her mother, holding a knife. 
    Id. at 409.
    After this exchange, McWhirter handed Ashley a stack of seven photographs
    1
    The Honorable J. Leon Holmes, United States District Judge for the Eastern
    District of Arkansas.
    -2-
    from which to identify the intruder, and she selected a photograph of Johnson.
    Johnson 
    I, 934 S.W.2d at 181
    .
    Johnson was arrested in Albuquerque, New Mexico, on April 14th, 1993, after
    falsely identifying himself to officers during a traffic stop. According to one officer,
    Johnson offered each officer $5000 to let him go, and told the officers that he had
    killed someone in Arkansas. Johnson was taken into custody and returned to
    Arkansas. See Johnson 
    III, 157 S.W.3d at 164
    .
    DNA from hair found in Heath’s apartment was consistent with Johnson’s, and
    initial testing showed that the DNA pattern in the hair appeared in one of every 250
    African-Americans. More precise DNA testing later revealed that the DNA pattern
    occurs in only one of every 720 million African-Americans. Johnson 
    IV, 235 S.W.3d at 874-75
    . DNA testing on a cigarette butt and a bloody green shirt found by the
    roadside yielded similar results. The DNA from the saliva on the cigarette butt was
    consistent with Johnson’s and occurred with a frequency of 1 in every 28 million
    African-Americans. Johnson 
    III, 157 S.W.3d at 162-63
    . The DNA from the blood
    on the shirt was consistent with Heath’s, and occurred with a frequency of 1 in 380
    million Caucasians, 1 in 6.4 billion African-Americans, and 1 in 390 million western
    Hispanics. Johnson V, 
    2007 WL 2343883
    at *3.
    At Johnson’s first trial, conducted in Sevier County, Ashley was seven years
    old, and she could not be persuaded to testify. The trial judge deemed her not
    competent to testify, and allowed investigator McWhirter to read Ashley’s prior
    statement to the jury. McWhirter testified that Ashley identified Johnson as the
    intruder after she viewed a stack of photographs. Johnson 
    II, 27 S.W.3d at 410
    . The
    Supreme Court of Arkansas reversed and ordered a new trial after determining that the
    trial court erred in allowing McWhirter to testify about Ashley’s identification of
    Johnson. The court concluded that the evidence was not admissible under the excited
    utterance exception to the hearsay rule. Johnson 
    I, 934 S.W.2d at 182
    .
    -3-
    On remand, Johnson asked that the trial be moved to Little River County in
    light of the extensive publicity in Sevier County. The trial judge granted the motion
    for a change of venue, but moved the trial to Pike County rather than Little River
    County. Johnson objected to the judge’s choice of venue on the ground that the
    percentage of African-Americans in Pike is much smaller than that in either Sevier or
    Little River. The judge overruled Johnson’s objection, and the case was transferred
    to Pike County.
    Ashley was ten years old at the time of the second trial, and she had been
    treated by a psychotherapist in the years after the murder of her mother. Prior to a
    hearing about Ashley’s competency to testify in the second trial, Johnson requested
    discovery of notes taken during Ashley’s psychotherapy sessions. Although Arkansas
    law recognizes a privilege protecting confidential communications between a
    psychotherapist and her patient, Ark. R. Evid. 503(b), Johnson argued that these
    records were necessary for him to present an adequate defense, for they would enable
    him to challenge the witness’s competency at the competency hearing and before the
    jury, and to show the need for a defense expert. Ashley had waived the
    psychotherapist privilege for the first trial, but her attorney ad litem invoked the
    privilege as it related to counseling that occurred after the first trial. The trial judge
    agreed that communications occurring after the first trial were privileged, and denied
    Johnson’s motion to discover records that would disclose those communications.
    Johnson 
    II, 27 S.W.3d at 410
    .
    Prior to the second trial, Johnson also moved to suppress the statements made
    to the arresting officers in Albuquerque. Johnson did not testify at the suppression
    hearing. Johnson’s motion to suppress was ultimately denied. Johnson 
    III, 157 S.W.3d at 164
    . At trial, Johnson sought to introduce testimony from Cordelia
    Vinyard, Branson Ramsey’s ex-wife, in an effort to portray Ramsey as an alternative
    suspect. The trial court excluded the testimony. 
    Id. at 166.
    -4-
    Johnson was convicted at the second trial and sentenced to death. In the penalty
    phase of the proceeding, the jury found that the State proved three statutory
    aggravating circumstances, see Ark. Code. 5-4-604, including that Johnson committed
    the murder in an “especially cruel manner.” 
    Id. § 5-4-604(8).
    The State also
    presented certain victim impact evidence, pursuant to Ark. Code § 5-4-602(4), which
    was admitted over Johnson’s objection. The Supreme Court of Arkansas concluded
    on direct appeal that the trial court correctly applied state law when it refused to
    provide access to Ashley’s psychotherapy records, did not abuse its discretion in
    excluding Vinyard’s testimony, and properly admitted victim impact evidence. In
    anticipation of a retrial after Johnson’s first conviction, the state supreme court also
    had ruled that the “especially cruel” aggravating circumstance was not
    unconstitutionally vague or overbroad, and that the Arkansas victim impact statute
    was constitutional. In a post-conviction proceeding, the state courts concluded that
    Johnson did not receive ineffective assistance of counsel, and that the consideration
    of victim impact evidence did not violate the Constitution. These federal proceedings
    followed.
    II.
    A federal court shall not grant a writ of habeas corpus on a claim that was
    adjudicated on the merits by a state court unless the state court’s decision “was
    contrary to, or involved an unreasonable application of, clearly established Federal
    law, as determined by the Supreme Court,” or the state court’s decision “was based
    on an unreasonable determination of the facts in light of the evidence presented in the
    State court.” 28 U.S.C. § 2254(d). With this standard of review in mind, we turn to
    Johnson’s claims.
    -5-
    A.
    Johnson first argues that his rights under the Sixth and Fourteenth Amendments
    were violated when the district court denied Johnson access to Ashley’s
    psychotherapist records. Johnson claims that this denial limited his “right to present
    a defense” by infringing on “his rights of compulsory process, confrontation, and due
    process.” Specifically, Johnson claims that the psychotherapy records would have
    allowed him to impeach Ashley during the competency hearing and at trial. He
    contends that by denying him access to these records, the trial court prevented him
    from presenting material information to the jury and impaired his ability to confront
    the witness. Johnson argues that his constitutional rights override the psychotherapist
    privilege embodied in Arkansas Rule of Evidence 503.
    The Arkansas courts rejected this argument, reasoning that the denial of access
    did not violate Johnson’s Sixth and Fourteenth Amendment rights, because according
    to Jaffee v. Richmond, 
    518 U.S. 1
    (1996), the psychotherapist “privilege is more
    important than ‘the need for probative evidence.’” Johnson 
    II, 27 S.W.3d at 412
    (quoting 
    Jaffee, 518 U.S. at 9-10
    ). In response to Johnson’s claim that the records
    would have allowed him more effectively to challenge Ashley’s competency, the
    Supreme Court of Arkansas reasoned that “[a]ccess to the records of [Ashley’s]
    second therapist would have in no way aided the defense in challenging whether or
    not the child was able to appreciate telling the truth on the witness stand, as the child
    herself was available for cross-examination on this point.” 
    Id. at 410.
    The state court
    further rejected Johnson’s claim that he was entitled to obtain the records for use at
    trial, because it thought Jaffee established that the “psychotherapist-patient privilege
    is paramount to the need to gain access to the privileged material for evidentiary
    purposes.” Johnson 
    II, 27 S.W.3d at 412
    .
    Johnson claims that the rationale of Jaffee is inapplicable here, because that
    decision did not consider whether the privilege must give way to the rights of an
    -6-
    accused in a criminal case. He contends that the Arkansas courts unreasonably
    applied another precedent, Pennsylvania v. Ritchie, 
    480 U.S. 39
    (1987), which held
    that the Due Process Clause of the Fourteenth Amendment entitled an accused to have
    a trial court conduct in camera review of a state agency’s confidential file to
    determine whether any information in the file was material to the accused’s defense.
    
    Id. at 60.
    The Pennsylvania statute at issue in Ritchie, however, contemplated some
    use of agency records in judicial proceedings, and provided that information would
    be disclosed when directed by court order. 
    Id. at 58.
    The Supreme Court expressed
    no opinion on whether the result would be different if the statute had protected the
    agency files from disclosure to anyone, including law enforcement and judicial
    personnel. 
    Id. at 57
    n.14. Unlike the confidentiality protection for the agency files
    in Ritchie, the psychotherapist privilege in Arkansas is unqualified, and it is waivable
    only by the person who is entitled to assert it. Ark. R. Evid. 503(b)-(c). Ritchie thus
    does not dictate the conclusion in this case.
    In Newton v. Kemna, 
    354 F.3d 776
    , 781 (8th Cir. 2004), we considered a
    contention similar to Johnson’s. In that case, the petitioner argued that his
    constitutional right to confront witnesses against him should trump an unqualified
    Missouri privilege that protected physician-patient communications, and that the state
    court’s invocation of the privilege to limit his cross-examination of a prosecution
    witness violated the Sixth Amendment. We concluded that whether a constitutional
    right overrides a state policy to protect confidentiality “seems to be a function of the
    relative strength of the privilege and the nature of the constitutional right at 
    stake.” 354 F.3d at 782
    . The right to cross-examine a key witness prevailed over a state
    policy of protecting the anonymity of juvenile offender records in Davis v. Alaska,
    
    415 U.S. 308
    , 319-20 (1974), but the Court “expressly left open the question of
    whether a criminal defendant’s constitutional rights might overcome the attorney-
    client privilege” in Swidler & Berlin v. United States, 
    524 U.S. 399
    , 408 n.3 (1998).
    
    Newton, 354 F.3d at 781
    ; see also 
    Ritchie, 480 U.S. at 56
    (observing that the
    applicability of the Compulsory Process Clause to a claim for discovery of evidence
    -7-
    is “unsettled”). Because we were “unable to discern any transcendental governing
    principles” that foreshadowed how the Supreme Court would resolve a claim that the
    right to confrontation prevails over the physician-patient privilege, we held in Newton
    that the state court’s decision was not contrary to or an unreasonable application of
    clearly established 
    law. 354 F.3d at 782
    .
    We reach the same conclusion with respect to Johnson’s claim. Although Davis
    and Ritchie establish that in at least some circumstances, an accused’s constitutional
    rights are paramount to a State’s interest in protecting confidential information, those
    decisions do not establish a specific legal rule that answers whether a State’s
    psychotherapist-patient privilege must yield to an accused’s desire to use confidential
    information in defense of a criminal case. In Newton, moreover, we specifically
    rejected an argument in the context of a discovery dispute that Jaffee allows for a
    “balancing” approach to the psychotherapist-patient 
    privilege. 354 F.3d at 784
    . Even
    if the Supreme Court’s decisions suggest that some degree of balancing is necessary
    in a criminal case, they seem to provide only general guidance. “Applying a general
    standard to a specific case can demand a substantial element of judgment,”
    Yarborough v. Alvarado, 
    541 U.S. 652
    , 664 (2004), and under AEDPA, “[t]he more
    general the rule, the more leeway courts have in reaching outcomes in case-by-case
    determinations.” 
    Id. Given the
    absence of direct guidance from the Supreme Court
    in this area, the decisions of the Arkansas courts to enforce the psychotherapist-patient
    privilege under these circumstances were within the range of reasonableness permitted
    by AEDPA.
    Johnson also argues that production of the psychotherapy records was required
    under the due process rationale of Brady v. Maryland, 
    373 U.S. 83
    (1963). The
    Supreme Court of Arkansas rejected this contention, because the argument
    “presupposes that the State had access to or knowledge of the records and their
    contents,” and Johnson had “not shown that the State had access to the records
    sought.” Johnson 
    II, 27 S.W.3d at 412
    -13. The Arkansas court did not unreasonably
    -8-
    apply Brady when it said that the State has no obligation to disclose medical records
    that are not in its possession. See United States v. Riley, 
    657 F.2d 1377
    , 1386 (8th Cir.
    1981). Johnson does not refute the state court’s determination that the prosecution
    had no access to records of Ashley’s psychotherapy treatment. Accordingly, the
    Arkansas court did not unreasonably apply clearly established federal law in rejecting
    Johnson’s Brady claim.
    B.
    Johnson next argues that his Sixth Amendment right to counsel was violated
    because his trial counsel was ineffective at the pre-trial suppression hearing. Johnson
    claims that he never made an unprovoked confession to the arresting officers in
    Albuquerque, and that trial counsel failed to challenge the testimony of police officers
    that Johnson made admissions to them. Johnson says that he would have disputed the
    police testimony if he had been called as a witness, but that trial counsel urged him
    not to testify. Counsel, he contends, was ignorant of Arkansas Rule of Evidence
    104(d), which allows a defendant at a preliminary hearing to avoid cross-examination
    on the merits of a case. Johnson also argues that even if he did confess to the officers
    in New Mexico, trial counsel was ineffective for not attempting more vigorously to
    exclude the confession, and for failing to object to the admission of other
    incriminating statements made at the same time as the confession.
    Johnson’s ineffective assistance claim is governed by Strickland v. Washington,
    
    466 U.S. 668
    (1984), which requires a defendant to show both that counsel’s
    performance was deficient and that the deficiency prejudiced his defense. The
    Supreme Court of Arkansas determined that Johnson had not made either showing.
    Johnson 
    III, 157 S.W.3d at 164
    . The state court explained that even though trial
    counsel did not file a written motion to suppress, counsel was able to litigate the
    suppression issue at a pretrial hearing. We agree that Johnson has not demonstrated
    that counsel’s failure to present a motion in writing, rather than orally, was such a
    -9-
    serious failure that “counsel was not functioning as the ‘counsel’ guaranteed the
    defendant by the Sixth Amendment,” 
    Strickland, 466 U.S. at 687
    , or that Johnson was
    prejudiced by counsel’s choice to proceed in that manner. The state court’s rejection
    of this ineffective-assistance claim was not an unreasonable application of Strickland.
    As for Johnson’s claim that his counsel should have called him to testify at the
    pretrial hearing, the state circuit court determined that counsel’s decision was a matter
    of trial strategy, (Johnson App. 2313), and the Supreme Court of Arkansas accepted
    the testimony of trial counsel that Johnson made the decision not to testify after
    counsel explained the situation. Johnson 
    III, 157 S.W.3d at 164
    . Johnson relies on
    an admission by a junior member of Johnson’s trial team that he was unfamiliar with
    Arkansas Rules of Evidence, but the record does not refute the state court’s
    determination that Johnson was able to make his own decision about whether to testify
    after counsel explained the situation. This is because Johnson’s lead counsel testified
    that he informed Johnson that the rules of evidence would limit the scope of cross-
    examination at the hearing, but there was still a risk to Johnson if he took the stand.
    According to counsel, he advised Johnson of the risk that testimony by the defendant
    would “open the door” to potentially damaging evidence, and that prosecutors “are
    going to figure out a way a lot of times to get something else in.” Counsel recounted
    his advice to Johnson that “if the defendant cannot really, really help himself, he
    should never take the stand because if he can’t help himself and he takes the stand, he
    puts himself subject to cross-examination by the prosecutor.” This advice reflects
    counsel’s strategic understanding of the risks and benefits of his client testifying at the
    suppression hearing. It was not an unreasonable application of Strickland for the state
    courts to determine that counsel acted within the wide range of professionally
    competent assistance when he gave this advice to Johnson before allowing Johnson
    to decide whether to testify.
    Finally, Johnson claims that his trial counsel was ineffective in failing to object
    to the admission of other statements that Johnson made to the officers in New Mexico.
    -10-
    In particular, one officer testified that Johnson “start[ed] talking about some
    homicides in Arizona and [was] talking about drugs.” Johnson contends that this
    testimony suggested that he had committed other crimes, and that counsel should have
    tried to exclude them. At the post-conviction hearing, trial counsel testified that he
    believed the statements would be admitted, and he decided not to object as part of a
    strategy to make Johnson’s statements (including the confession to the Heath murder)
    appear to be “outrageous ramblings” and “not credible.” Johnson 
    III, 157 S.W.3d at 164
    . The Arkansas circuit court and the Supreme Court of Arkansas determined that
    this decision was part of defense counsel’s trial strategy, and thus not grounds for
    postconviction relief. 
    Id. The Supreme
    Court’s guidance is that strategic decisions
    by counsel are “virtually unchallengeable” unless they are based on deficient
    investigation. See 
    Strickland, 466 U.S. at 690
    ; Link v. Luebbers, 
    469 F.3d 1197
    , 1204
    (8th Cir. 2006). The Supreme Court of Arkansas decision on this point is therefore
    not contrary to, or an unreasonable application of, clearly established federal law.
    C.
    Johnson’s next claim is that his trial counsel was ineffective when he failed to
    raise a constitutional challenge to the trial court’s refusal to admit Cordelia Vinyard’s
    testimony. Vinyard had been married to Branson Ramsey until April 1, 1993, the date
    of Heath’s death. Johnson proffered that Vinyard would have testified that Ramsey
    had physically abused her and had bitten her breast at times during the four years prior
    to their divorce. Ramsey was dating Heath at the time of the murder, and Johnson
    sought to use her testimony to portray Ramsey as an alternative suspect, by connecting
    the bite marks that Vinyard allegedly suffered with the bite marks on Heath’s body.
    Johnson’s trial counsel argued that the evidence was relevant to the defense, but the
    trial judge excluded the testimony as a matter of state evidentiary law, on the ground
    that it would do “no more than create an inference or conjecture as to another’s guilt.”
    Zinger v. State, 
    852 S.W.2d 320
    , 323 (Ark. 1993) (internal quotation omitted).
    -11-
    Johnson now argues that his counsel also should have raised a federal constitutional
    argument for admitting the testimony.
    The Supreme Court of Arkansas rejected Johnson’s claim, holding that he failed
    to show a reasonable probability that the outcome would have been different if
    counsel had couched the argument for admission of Vinyard’s testimony in
    constitutional terms. Johnson 
    III, 157 S.W.3d at 166
    . This was not an unreasonable
    application of the prejudice component of Strickland. The state trial court rejected the
    proffered testimony under the Zinger rule, concluding that it provided only an
    “inference or conjecture” of Ramsey’s guilt. Johnson 
    II, 27 S.W.3d at 201
    (citing
    
    Zinger, 852 S.W.2d at 323
    ). Given the state law basis for rejecting the testimony,
    there is little reason to believe that the trial court would have accepted an argument
    to admit Vinyard’s testimony based on a constitutional right “to present a defense.”
    The Supreme Court recently recognized the “well-established” and “widely accepted”
    rules of evidence that “permit trial judges to exclude evidence if its probative value
    is outweighed by certain other factors such as unfair prejudice, confusion of the
    issues, or potential to mislead the jury.” Holmes v. South Carolina, 
    547 U.S. 319
    ,
    326-27 (2006). These rules include those excluding evidence “proffered by criminal
    defendants to show that someone else committed the crime with which they are
    charged.” 
    Id. at 327.
    This discussion and the cited authorities lead us to conclude that
    any constitutional argument that might have been advanced by Johnson’s counsel
    would have been unsuccessful. Because no prejudice resulted from trial counsel’s
    failure to make a constitutional argument on this point, the state court did not
    unreasonably apply Strickland in holding that counsel was not ineffective.
    D.
    Under Arkansas law, a defendant found guilty of capital murder may be
    sentenced to death if a jury finds, beyond a reasonable doubt, that an aggravating
    circumstance exists and that all the aggravating circumstances outweigh mitigating
    -12-
    circumstances and justify the penalty of death. Ark. Code Ann. § 5-4-603. One of the
    aggravating circumstances found by the jury in Johnson’s case was that the murder
    was committed in “an especially cruel manner.” Ark. Code Ann. § 5-4-604(8)(A).
    The Arkansas statute further provides that a capital murder is committed in an
    “especially cruel manner” when “as part of a course of conduct intended to inflict
    mental anguish, serious physical abuse, or torture upon the victim prior to the victim’s
    death, mental anguish, serious physical abuse, or torture is inflicted.” “Mental
    anguish” is further defined as “the victim’s uncertainty as to his or her ultimate fate.”
    § 5-4-604(8)(A)(ii)(a). “Serious physical abuse” means physical abuse that creates
    a substantial risk of death or that causes protracted impairment of health, or loss or
    protracted impairment of any bodily member or organ,” and “torture” means “the
    infliction of extreme physical pain for a prolonged period of time prior to the victim’s
    death.” § 5-4-604(8)(A)(ii)(b)-(c). The jury was instructed in accordance with these
    definitions.
    Johnson argues that the “especially cruel manner” aggravating circumstance is
    unconstitutionally vague. The state supreme court rejected Johnson’s vagueness
    argument, relying on its earlier decision in Greene v. State, 
    878 S.W.2d 384
    , 390 (Ark.
    1994). See Johnson 
    I, 934 S.W.2d at 188
    (addressing issues in anticipation of retrial).
    Greene explained that Arkansas’s “cruel or depraved manner” aggravating
    circumstance was modeled after Arizona’s comparable aggravating circumstance,
    which was upheld against an Eighth Amendment challenge in Walton v. Arizona, 
    497 U.S. 639
    (1990), overruled on other grounds in Ring v. Arizona, 
    536 U.S. 584
    (2002).
    In Walton, the Court held that the Arizona Supreme Court’s limiting interpretation of
    its “heinous, cruel or depraved” aggravating circumstance was not unconstitutionally
    vague. The Arizona court interpreted “cruel” to mean that the perpetrator “inflicts
    mental anguish or physical abuse before the victim’s death,” and that “mental anguish
    includes a victim’s uncertainty as to his ultimate fate.” 
    Id. at 646.
    The Supreme Court
    in Walton concluded that this limiting interpretation was sufficient to give
    “meaningful guidance to the sentencer,” and not impermissibly vague. 
    Id. at 655.
    -13-
    The Supreme Court of Arkansas in Greene (and Johnson I) determined that the nearly
    identical Arkansas statute was constitutional as well. See Johnson 
    I, 934 S.W.2d at 188
    . In view of Walton’s holding regarding a comparable aggravating circumstance,
    the Arkansas court did not unreasonably apply clearly established federal law in
    rejecting Johnson’s vagueness challenge.
    Johnson also claims that the limitation imposed by the “especially cruel”
    aggravating circumstance is illusory, because the circumstance can be applied “to any
    homicide in which the victim did not die almost instantly.” Even if the circumstance
    is limited to that subset of homicides, it was not unreasonable for the Supreme Court
    of Arkansas to conclude that the aggravating circumstance genuinely narrows the class
    of death-eligible persons, and therefore complies with the Eighth Amendment. See
    Lowenfield v. Phelps, 
    484 U.S. 231
    , 244 (1988). At the time of the state court’s
    decision, there was no clearly established federal law that an aggravating circumstance
    must narrow the class of death-eligible persons to any particular degree. The Supreme
    Court’s guidance has been that “the circumstance may not apply to every defendant
    convicted of a murder; it must apply only to a sub-class of defendants convicted of
    murder.” Tuilaepa v. California, 
    512 U.S. 967
    , 972 (1994); see also Arave v. Creech,
    
    507 U.S. 463
    , 474 (1993) (“If the sentencer fairly could conclude that an aggravating
    circumstance applies to every defendant eligible for the death penalty, the
    circumstance is constitutionally infirm.”). Johnson’s argument presupposes that the
    “especially cruel” circumstance does not apply to every murderer, because he
    acknowledges that it excludes at least those who kill their victims almost instantly.
    Therefore, we conclude that the Arkansas courts did not unreasonably apply clearly
    established federal law in rejecting his overbreadth challenge to the aggravating
    circumstance.
    -14-
    E.
    Johnson next challenges the use of victim impact testimony at the sentencing
    phase of his trial. Two weeks after Heath’s murder, Arkansas passed a law permitting
    the introduction of victim impact testimony in capital proceedings. See Ark. Code
    Ann. § 5-4-602. Johnson argues that the application of this law to his case violates
    the Constitution’s prohibition on ex post facto laws. This contention is foreclosed by
    Nooner v. Norris, 
    402 F.3d 801
    , 806-07 (8th Cir. 2005), where we held that “the
    Arkansas victim impact evidence statute is procedural in nature and does not offend
    the ex post facto clause.” 
    Id. at 807.
    Johnson also argues that the Arkansas victim impact statute is unconstitutional
    because it allows the admission of irrelevant and prejudicial evidence, and that victim
    impact evidence “has no place in the aggravation-mitigation weighing process.” The
    Supreme Court of Arkansas has concluded, as a matter of state law, that victim impact
    evidence is not an aggravating circumstance, but is “simply evidence to be
    considered” in the statutory weighing process. Johnson 
    III, 157 S.W.3d at 173
    . In
    response to a contention that victim impact evidence conflicts with the weighing
    process for aggravating and mitigating circumstances, the Arkansas court alluded to
    “the State’s legitimate interest in counteracting the defendant’s mitigating evidence,”
    Kemp v. State, 
    919 S.W.2d 943
    , 956 (Ark. 1996) (cited in Johnson 
    III, 157 S.W.3d at 173
    ), and relied on the Supreme Court’s recognition that “there is nothing unfair about
    allowing the jury to bear in mind [the specific harm caused by the defendant] at the
    same time it considers the mitigating evidence introduced by the defendant.” 
    Id. (quoting Payne
    v. Tennessee, 
    501 U.S. 808
    , 826 (1991)). We agree with the state
    court’s application of Payne, and conclude that the decision does not unreasonably
    apply established federal law.
    In a related argument, Johnson complains that the consideration of victim
    impact evidence in his case was unconstitutional because the jury was not directed
    -15-
    how to consider the evidence. The Supreme Court of Arkansas has rejected this claim,
    citing the Supreme Court’s direction that “‘[a] capital sentencer need not be instructed
    on how to weigh any particular fact in the capital sentencing decision.’” 
    Kemp, 919 S.W.2d at 956
    (quoting 
    Tuilaepa, 512 U.S. at 979
    ). See Johnson 
    I, 934 S.W.2d at 189
    (citing Kemp). Particularly given the Court’s statement in Payne that “[t]here is no
    reason to treat [victim impact] evidence differently than other relevant evidence is
    
    treated,” 501 U.S. at 827
    , the state court’s decision to require no special instruction
    is consistent with established federal law. We further agree with the district court that
    nothing in the Supreme Court’s decisions regarding unconstitutionally vague statutes,
    e.g., Papachristou v. City of Jacksonville, 
    405 U.S. 156
    (1972); Lanzetta v. New
    Jersey, 
    306 U.S. 451
    (1939), suggests that a State may not allow victim impact
    evidence in the penalty phase of a capital case without a specific instruction to the jury
    about how to consider that evidence.
    Johnson next claims that the admission of victim impact testimony violates the
    Sixth Amendment because victim impact constitutes a “de facto aggravating
    circumstance,” and because under Ring v. Arizona, 
    536 U.S. 584
    (2002), the Sixth
    Amendment requires that an aggravating circumstance that increases the maximum
    punishment available must be proved to a jury beyond a reasonable doubt. Under
    Arkansas law, however, victim impact is not an aggravating circumstance. Rather,
    admission of victim impact evidence is provided for separately as “[o]ther matter
    relevant to punishment.” Ark. Code Ann. § 5-4-602(4)(A)(iii). It is “not an additional
    aggravating circumstance but rather is relevant evidence which informs the jury of the
    toll the murder has taken on the victim’s family.” Noel v. State, 
    960 S.W.2d 439
    , 446
    (Ark. 1998). Unlike a statutory aggravating circumstance, victim impact testimony
    is not “necessary to support a death sentence,” 
    Ring, 536 U.S. at 607
    , and it does not
    qualify the defendant for the death penalty like an aggravating circumstance under
    Ark. Code Ann. § 5-4-603(a). As a result, the Supreme Court of Arkansas did not
    unreasonably apply federal law in concluding that Ring is inapplicable. See also
    -16-
    Schriro v. Summerlin, 
    542 U.S. 348
    , 358 (2004) (holding that Ring does not apply
    retroactively to cases on collateral review).
    F.
    Johnson also disputes the trial court’s decision to move the case to Pike County
    rather than Little River County, after Johnson requested to change venue due to
    pretrial publicity. African-Americans constituted 19 percent of the population in
    Little River County, but only 3.2 percent in Pike County. Johnson argues that the trial
    court’s decision to move the case to Pike County violated his rights under the Sixth
    Amendment to be tried by a jury that represents a fair cross-section of the community.
    See Taylor v. Louisiana, 
    419 U.S. 522
    , 530 (1975). He further contends that the
    decision of the Supreme Court of Arkansas was an unreasonable application of
    decisions “forbidding manipulative practices which would have the effect of reducing
    minority participation,” citing the Supreme Court’s holding that the Equal Protection
    Clause prohibits racially motivated peremptory challenges during jury selection. See
    Batson v. Kentucky, 
    476 U.S. 79
    (1986)
    There is no discussion of these claims in the decisions of the Supreme Court of
    Arkansas, but the State suggests that the court rejected the arguments summarily as
    part of its review of the record for prejudicial error pursuant to Ark. Sup. Ct. R. 4-
    3(h). See Johnson 
    II, 27 S.W.3d at 416
    .2 Whether or not these claims have been
    exhausted and decided on the merits by the state supreme court, see 28 U.S.C.
    2
    In his brief filed with the Supreme Court of Arkansas, Johnson discussed his
    motion for change of venue in a section advanced “pursuant to Rule 4-3 of the Rules
    of the Supreme Court,” and entitled “Other Objections.” (R. Doc. 10, Resp. Exh. F,
    at 907-08). Johnson explained that he sought to move the case to Little River County
    rather than Pike County, explained the percentage of black persons in the population
    of each county, and noted that the defense “did not move to quash the panel and did
    not object to the seating of the jury as it was.” The brief advanced no argument based
    on the fair cross-section requirement of the Sixth Amendment.
    -17-
    § 2254(b)(2). they are in any event foreclosed by our decision in Mallett v. Bowersox,
    
    160 F.3d 456
    (8th Cir. 1998). In Mallett, a black man argued that the state trial court
    violated his rights under the Sixth Amendment, Equal Protection Clause, and Due
    Process Clause by transferring his case to a county in which no black person resided.
    Our court held that Batson was inapplicable to a change of venue, because the trial
    court’s decision on venue had nothing to do with prosecutorial discrimination in
    striking venirepersons based on race. 
    Id. at 460.
    We also rejected Mallett’s claim that
    the change of venue deprived him of a jury drawn from a fair cross-section of the
    community, because “[n]o authority exists for the proposition that the term
    ‘community,’ as used in the context of this Sixth Amendment claim, means any place
    other than” the county from which the jury venire ultimately was drawn. 
    Id. at 461.
    For the reasons given in Mallett, Johnson cannot establish that the change in venue in
    this case violated his constitutional rights.
    G.
    Johnson’s final argument is that the certificate of appealability should be
    expanded to encompass a claim that his constitutional rights were violated when the
    Arkansas courts refused to order a third round of DNA testing on certain evidence
    relating to the murder, and to order testing on a number of Caucasian hairs that the
    prosecution stipulated did not belong to Johnson. For the reasons stated by the district
    court, Johnson, 
    2007 WL 2343883
    , at *18-19, we conclude that Johnson has not
    “made a substantial showing of the denial of a constitutional right” on these claims.
    28 U.S.C. § 2253(c)(2).
    *       *       *
    The judgment of the district court is affirmed.
    ______________________________
    -18-