Luis Mesta v. John Myrick ( 2019 )


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  •                                                                            FILED
    NOT FOR PUBLICATION
    JUN 3 2019
    UNITED STATES COURT OF APPEALS                      MOLLY C. DWYER, CLERK
    U.S. COURT OF APPEALS
    FOR THE NINTH CIRCUIT
    LUIS ARMANDO MESTA,                              No.   17-35801
    Petitioner-Appellant,              D.C. No. 2:14-cv-01625-AA
    v.
    MEMORANDUM*
    JOHN M. MYRICK,
    Respondent-Appellee.
    Appeal from the United States District Court
    for the District of Oregon
    Ann L. Aiken, District Judge, Presiding
    Argued and Submitted May 17, 2019
    Portland, Oregon
    Before: N.R. SMITH and WATFORD, Circuit Judges, and SELNA,** District
    Judge.
    Luis Armando Mesta appeals the district court’s denial of his habeas petition
    under 28 U.S.C. § 2254, as amended by the Antiterrorism and Effective Death
    *
    This disposition is not appropriate for publication and is not precedent
    except as provided by Ninth Circuit Rule 36-3.
    **
    The Honorable James V. Selna, United States District Judge for the
    Central District of California, sitting by designation.
    Penalty Act of 1996 (AEDPA). We have jurisdiction under 28 U.S.C. § 1291, and
    we affirm.
    The Oregon Court of Appeals did not unreasonably deny Mesta’s ineffective
    assistance of appellate counsel claim, which is based on counsel’s failure to amend
    Mesta’s opening brief on direct appeal to challenge the admission of a medical
    diagnosis of sexual abuse without physical evidence under Rule 403 of the Oregon
    Rules of Evidence (Rule 403).
    AEDPA creates a scheme of double-deference for reviewing Mesta’s claim.
    First, the state courts “must indulge a strong presumption that counsel’s conduct
    falls within the wide range of reasonable professional assistance,” and Mesta “must
    overcome the presumption that, under the circumstances, the challenged action
    ‘might be considered sound . . . strategy.’” Strickland v. Washington, 
    466 U.S. 668
    ,
    689 (1984) (quoting Michel v. Louisiana, 
    350 U.S. 91
    , 101 (1955)). Additionally,
    counsel’s “conduct must be evaluated . . . ‘as of the time of counsel’s conduct.’”
    Lowry v. Lewis, 
    21 F.3d 344
    , 346 (9th Cir. 1994) (quoting 
    Strickland, 466 U.S. at 690
    ). Second, we must uphold the Oregon Court of Appeals’ decision denying
    Mesta’s claim, “unless it is shown that the . . . decision ‘was contrary to’ federal
    law then clearly established in the holdings of [the United States Supreme] Court;
    or that it ‘involved an unreasonable application of’ such law; or that it ‘was based
    2
    on an unreasonable determination of the facts’ in light of the record before the state
    court.” Harrington v. Richter, 
    562 U.S. 86
    , 100 (2011) (citations omitted).
    Given the strong presumption in favor of counsel’s reasonable professional
    assistance, it was not unreasonable for the state court to determine that Mesta failed
    to meet his high burden of demonstrating that appellate counsel’s performance was
    deficient.1 Though the Oregon Supreme Court has now declared that medical
    diagnoses of sexual abuse absent physical evidence are inadmissible under Rule
    403, State v. Southard, 
    218 P.3d 104
    , 113 (Or. 2009), similar diagnoses of sexual
    abuse were generally admissible under Oregon law at the time appellate counsel
    filed Mesta’s opening brief. See State v. Sanchez-Cruz, 
    33 P.3d 1037
    , 1038–39,
    1045 (Or. Ct. App. 2001); State v. Wilson, 
    855 P.2d 657
    , 658 (Or. Ct. App. 1993).
    Accordingly, Mesta does not assert that appellate counsel was required to
    challenge the admission of the relevant medical diagnosis on Rule 403 grounds in
    the opening brief.
    Instead, Mesta argues that appellate counsel was required to amend the brief
    to add a Rule 403 challenge once the Oregon Supreme Court issued a press release
    stating that, in Southard, the court would consider the admissibility of medical
    1
    Because we find that counsel was not deficient, we do not reach the issue of
    prejudice. See 
    Strickland, 466 U.S. at 687
    .
    3
    diagnoses of sexual abuse on both Rule 403 and improper vouching grounds. The
    Oregon Court of Appeals rejected this argument, concluding that counsel “may
    have reasonably decided . . . that raising [the Rule 403 claim] after the Supreme
    Court granted review in Southard was not worth the candle.” Mesta v. Franke, 
    322 P.3d 1136
    , 1151 (Or. Ct. App. 2014).
    Counsel could have determined that an improper vouching challenge against
    the medical diagnosis—which counsel raised—was more likely to succeed than a
    Rule 403 challenge, and thereby winnowed out the Rule 403 challenge. See Smith
    v. Murray, 
    477 U.S. 527
    , 536 (1986) (“[The] process of ‘winnowing out weaker
    arguments on appeal and focusing on’ those more likely to prevail, far from being
    evidence of incompetence, is the hallmark of effective appellate advocacy.”
    (quoting Jones v. Barnes, 
    463 U.S. 745
    , 751–52 (1983))). This determination was
    reasonable, because existing caselaw emphasized the impermissibility of vouching
    testimony in similar contexts. See State v. Milbradt, 
    756 P.2d 620
    , 624 (Or. 1988)
    (“We have said before, and we will say it again, but this time with emphasis-we
    really mean it-no psychotherapist may render an opinion on whether a witness is
    credible in any trial conducted in this state. The assessment of credibility is for the
    trier of fact and not for psychotherapists.”) (emphasis in original); State v. Keller,
    
    844 P.2d 195
    , 199–202 (Or. 1993). Indeed, Mesta does not claim that this initial
    4
    winnowing determination was improper; instead he claims error only after the
    Oregon Supreme Court issued its press release twelve days later.2 However,
    nothing in the press release altered the winnowing calculus. As the state court
    emphasized, “there was nothing to particularly indicate that the court was going to
    decide the case on [the Rule 403] issue, let alone decide it in a manner favorable to
    petitioner.” 
    Mesta, 322 P.3d at 1149
    ; see also 
    Lowry, 21 F.3d at 346
    (holding that
    counsel is not “required to anticipate” a drastic change in the law).
    Additionally, the press release expressly directed that “practitioners ‘should
    not rely on . . . the statement of issues to be decided . . . as indicating the questions
    that the Supreme Court will consider.’” 
    Mesta. 322 P.3d at 1147
    n.4 (emphasis
    added).3 Given the qualified nature of this release, we simply cannot find that,
    2
    Mesta does claim that counsel did not choose to make a vouching argument
    instead of a Rule 403 argument, noting that counsel later explained that he
    “attempt[ed] to obtain relief for [Mesta] on ultimately the same basis as Southard.”
    However, the record supports the state court’s contrary finding. The appellate brief
    exclusively discussed vouching concerns, without mentioning Rule 403 or
    engaging in the type of balancing analysis required by that Rule. Though the brief
    asserts that vouching testimony “misleads the jury” and “confuses the issues that
    are before it,” those statements merely presented justifications for a rule against
    vouching, and did not constitute a separate Rule 403 argument.
    3
    The prudence of the court’s disclaimer is evident from the fact that the press
    release indicated that whether medical diagnoses of sexual abuse without physical
    evidence constitute impermissible vouching was also an issue on review. As Mesta
    acknowledges, that was not the issue that was ultimately ruled upon in Southard.
    See 
    Mesta, 322 P.3d at 1147
    .
    5
    contrary to the state court’s determination, the release imposed a constitutional
    duty for counsel to amend Mesta’s opening brief to incorporate all potential issues
    mentioned therein.
    AFFIRMED.
    6
    Mesta v. Myrick, No. 17-35801
    FILED
    JUN 3 2019
    WATFORD, Circuit Judge, dissenting:                                 MOLLY C. DWYER, CLERK
    U.S. COURT OF APPEALS
    I would reverse. In my view, the Oregon Court of Appeals unreasonably
    applied Strickland v. Washington, 
    466 U.S. 668
    (1984), in concluding that Mesta’s
    direct appeal counsel exercised reasonable professional judgment in declining to
    amend Mesta’s opening brief.
    Mesta’s lawyer’s decision cannot be justified as an exercise in “winnowing”
    his arguments on appeal. Mesta raised only two arguments in his opening brief.
    His first argument—that Oregon’s non-unanimous jury verdicts violate the state
    constitution—stood no chance, for it had already been rejected by the Oregon
    Supreme Court. See State v. Osbourne, 
    57 P.2d 1083
    , 1084 (Or. 1936). His
    remaining argument, and the only argument relevant here, was that the expert
    sexual-abuse diagnoses should have been excluded at trial. Mesta raised only one
    legal ground in support of that argument—improper vouching—but that ground
    was doomed to fail in the Oregon Court of Appeals as well, as it was foreclosed by
    prior precedent. See State v. Wilson, 
    855 P.2d 657
    , 660 (Or. Ct. App. 1993). So
    when the Oregon Supreme Court granted review in State v. Southard, 
    218 P.3d 104
    (Or. 2009), and indicated that it would be considering not only the improper
    vouching ground but also exclusion under Rule 403, there was no downside to
    amending the opening brief to add Rule 403 as an additional ground. Mesta’s trial
    Page 2 of 3
    counsel had properly preserved both grounds. At that point, Mesta’s appellate
    lawyer was not trying to maximize Mesta’s chances of prevailing in the Oregon
    Court of Appeals. Mesta was going to lose in that court either way.
    The only strategic call to be made was deciding what effect—positive or
    negative—adding the Rule 403 ground to Mesta’s Court of Appeals opening brief
    would have on his chances of success in the Oregon Supreme Court, in the event
    Southard came out in the defendant’s favor. As to that strategic call, there was no
    downside whatsoever to adding the Rule 403 ground. Doing so would not have
    reduced Mesta’s chances of success in the Oregon Supreme Court; it would only
    have improved his chances of success by ensuring that he had preserved for review
    in the Oregon Supreme Court both of the legal grounds that the court itself had
    indicated it would be considering in Southard. No competent lawyer could have
    made the decision to forgo that obvious upside in the face of no conceivable
    downside.
    That remains true even though Mesta’s lawyer obviously could not have
    predicted which of the two grounds the Oregon Supreme Court might ultimately
    rest its decision on. Indeed, it is precisely because Mesta’s lawyer could not
    predict in advance on which ground the Supreme Court might rely that his failure
    to preserve both grounds constituted deficient performance. I think that conclusion
    is sufficiently obvious to render the contrary decision of the Oregon Court of
    Page 3 of 3
    Appeals unreasonable under 28 U.S.C. § 2254(d)(1).
    As to prejudice, the State has conceded that, but for his lawyer’s mistake,
    Mesta would have been granted a new trial following the decision in Southard.
    His petition for a writ of habeas corpus should therefore have been granted.