Com. v. Dixon, D. ( 2017 )


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  • J-S08002-17
    NON-PRECEDENTIAL DECISION - SEE SUPERIOR COURT I.O.P. 65.37
    COMMONWEALTH OF PENNSYLVANIA        IN THE SUPERIOR COURT OF
    PENNSYLVANIA
    Appellee
    v.
    DARNELL DIXON
    Appellant                 No. 148 WDA 2016
    Appeal from the PCRA Order dated December 25, 2015
    In the Court of Common Pleas of Allegheny County
    Criminal Division at No(s): CP-02-CR-0017215-2008
    BEFORE: GANTMAN, P.J., FORD ELLIOTT, P.J.E., and SOLANO, J.
    MEMORANDUM BY SOLANO, J.:                       FILED NOVEMBER 21, 2017
    Appellant Darnell Dixon appeals pro se from the order dismissing his
    first petition filed under the Post Conviction Relief Act (PCRA), 42 Pa.C.S.
    §§ 9541-9546. We affirm.1
    We adopt the facts as described by the trial court:
    On November 8, 2008, Michael Ross was the owner and operator
    of a business known as CC&M Fashions located on Hodgkins
    Street in the Northside Section of the City of Pittsburgh. Ross
    sold t-shirts and other sports-related wearing apparel from the
    store; however, because his father and grandfather who had
    previously operated the store were robbed or attempted to be
    robbed on several occasions, Ross rarely kept more than sixty
    dollars on the premises and he also had a thirty-eight-caliber
    revolver in his desk drawer. Ross opened his store sometime
    ____________________________________________
    1 As we explain in the course of this memorandum, we initially issued a
    decision affirming the PCRA court’s dismissal on May 25, 2017, on the
    ground that Appellant waived his claims by failing to respond to the PCRA
    court’s notice of its intent to dismiss. On June 19, 2017, Appellant filed an
    application for reargument in which he explained that he did respond to that
    notice, but that his response was not docketed by the PCRA court.
    Accordingly, we granted Appellant’s application for reargument and now
    once again consider his appeal.
    J-S08002-17
    between 11:30 a.m. and 12:00 p.m. and shortly thereafter,
    Ross’ father came to the store and assisted him and was working
    in the back of the store, storing additional items that Ross had
    for sale.
    Earlier on November 8, 2008, Ross had attempted to call his
    girlfriend, Christine Johnson. They had made numerous phone
    calls to each other; however, they had not been able to reach
    each other. At approximately 1:00 p.m., Ross and Johnson were
    finally able to reach each other on the telephone and were
    talking for several moments when she heard someone come into
    the store. Apparently Ross believed that he had disconnected
    the phone connection but he had not and Johnson was able to
    hear what was going on in the store. Johnson heard Ross say to
    someone who had come into to the store, “Take your hoodie off”
    and also heard the individual who came into the store say, “Give
    me your money”. She then disconnected this conversation and
    called 911 to report a robbery that was taking place at Ross’
    business.
    Fred Ross, who was working in the back of the store, knew that
    his son was on the phone and decided to deal with the inventory
    in the storage area. While he was working in the back of the
    store, he heard Michael Ross yell to him, “Dad, it’s on”.
    Fred Ross then came to the front of the store and partially
    obscured by several racks of clothing saw two young, black
    males come into the store, both of whom were dressed in black
    and had what appeared to be black masks on. Both of the men
    that Fred Ross saw were armed and one of the two was yelling
    at Michael Ross to “Give up the money”. The two intruders were
    focused on Michael Ross and not Fred Ross and he was able to
    run out the front door and across the street to a Kuhn’s Market
    where he had hoped to find a Pittsburgh Police Officer or security
    guard to assist him in the prevention of this robbery. Once he
    was outside of the store he heard several gunshots and turned
    to see the two intruders leaving the store and heading down
    toward Ingram Street. Fred Ross went into the store and saw
    Michael Ross lying on the floor and realized that there was
    nothing he could do for him.
    Victoria Zuback, (hereinafter referred to as “Zuback”), was
    walking her dog along Ingram Street when she heard a series of
    gun shots. Shortly after hearing those gunshots, she heard the
    sound of footsteps approaching her and when she turned to look,
    she saw two individuals dressed in black, with black masks on.
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    The first individual went to a large SUV that was parked in front
    of a house and [she] saw that individual go to the rear of the
    vehicle, open the left rear door and appear to put something in
    the back, close the door and then get into the driver’s seat.
    Shortly thereafter she heard another individual heading toward
    the SUV and saw that individual get into the front passenger
    seat and then saw the vehicle leave the scene.
    Jamal El-Main, (hereinafter referred to as “El-Main”), was in his
    bedroom on the second floor of his home [on] Ingram Street and
    was about to change his clothes so he could go out and rake the
    leaves. When he was looking out his bedroom window, he
    noticed a large SUV parked in front of his house, which was
    parked in the wrong direction.        El-Main went to his son’s
    bedroom to get a better look at the vehicle and in looking out his
    son’s bedroom window, he saw an individual all dressed in black
    reach the SUV, go to the back rear, open up the rear door and
    attempt to dispose of something. He then saw that individual
    get into the driver’s seat. He also saw that there was someone
    else in the passenger seat and although he did not have a full
    view of them he was able to determine that there was someone
    there because he saw his legs. El-Main went down the stairs but
    by the time he got down the stairs, the SUV was gone. When he
    observed the driver of the SUV, he noticed that his hair was
    messed up like it had been braided and combed out and
    processed to relax it. El-Main then went out to rake his leaves
    and while he was doing this chore, he was approached by
    homicide detectives who were investigating the shooting at
    CC&M and told them what he had seen. When the homicide
    detectives asked him whether he could identify the van and the
    driver if he saw them again, he told them yes.
    The killing of Michael Ross occurred . . . at approximately 1:15
    p.m.      At approximately 1:30 p.m., Pittsburgh homicide
    detectives received a phone call from the Mercy Hospital
    emergency room stating that they had a shooting victim in their
    emergency room that was being treated.          Detectives were
    dispatched to Mercy Hospital to investigate that shooting and
    determined that individual who had been shot was [Appellant]
    and that he was currently in surgery for his gunshot wound.
    These homicide detectives also saw [Appellant’s nephew,]
    Edward [Dixon (“Edward”),] in the emergency room. These
    detectives also noted a Chevrolet Yukon SUV with the driver’s
    side and passenger side doors open and noticed that there was
    blood on the passenger seat area of that Yukon. They asked
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    Edward if he was the owner of the vehicle and he said that he
    was and they received consent from him to search that vehicle.
    In the rear of the vehicle, they found two black t-shirts tied up in
    a manner so as to permit them to be used as masks and they
    also found several white sports t-shirts. During the course of the
    inspection of the vehicle, it was noticed that the interior panel in
    the rear on the driver’s side was loose and when that was
    removed a twenty-two caliber semi-automatic handgun was
    found.
    Homicide detectives at the CC&M shooting and at Mercy Hospital
    were continuing to provide each other with information on what
    they believed to be two different shootings when it was
    suggested that El-Main be brought to Mercy Hospital to see if he
    might be able to identify the SUV and driver. El-Main was driven
    to Mercy Hospital and when he saw Edward, he immediately
    identified him as the driver of the SUV that was parked in the
    emergency area of Mercy Hospital.
    Detective Robert Provident of the Pittsburgh Homicide Unit
    initially interviewed Edward at the emergency room at Mercy
    Hospital and Edward told him that his uncle had been shot in
    Swissvale and that he drove him to the nearest hospital that he
    knew. At the time that Detective Provident interviewed Edward,
    he did not know that Edward had been identified by El-Main as
    the driver of the SUV seen in connection with the CC&M
    shooting. Detective Provident transported Edward to the
    Homicide Division Headquarters so that he could be interviewed
    as a material witness. At the Homicide Headquarters, Detective
    Provident obtained biographical information about Edward and
    also obtained written consent forms to search his car and his
    house and Edward was given his Miranda warnings, both verbally
    and in writing and signed the Miranda rights form.
    In his initial version of what transpired, Edward maintained that
    he was at home with his girlfriend when he received a phone call
    from his uncle asking for him to pick him up near McKeesport.
    Edward was traveling the Parkway East when he [exited] on the
    Edgewood Exit and as he approached Braddock Avenue, saw his
    uncle crouched down on the side of the road. He stopped his
    vehicle and his uncle got in and told him that he had been shot
    and then he turned around and headed toward Mercy Hospital.
    After a break, Detective Provident continued his interview and
    Edward said he was at [Appellant]’s home in the Woods Run
    Section of the City of Pittsburgh, which is located on the
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    Northside area of Pittsburgh. Eventually he gave his uncle a ride
    to a Shell gas station located at Hodgkins Street and Ingram
    when he received a phone call from his uncle to pick him up at
    the gas station and that his uncle was shot and to take him to
    the hospital.
    Detective Provident took another break and then resumed his
    interview with Edward but this time, prior to asking Edward any
    questions, he advised him that there were potential witnesses
    who would identify him as being associated with the shooting
    that occurred at the CC&M Fashion store. Edward then told
    Detective Provident of his involvement in the shooting at CC&M
    Fashions. He stated that he had parked the SUV approximately
    one block from the store and before he got out of the vehicle,
    [Appellant] told him to put a black t-shirt on as a mask to cover
    up his face. [Appellant] went into the store first and had two
    guns and was pointing them at the clerk when Edward came into
    the store. [Appellant] then told him to get the clerk from behind
    the counter and to get some shirts. He then took one of the two
    revolvers from his uncle and ordered the clerk from behind the
    counter. While he was making these demands, [Appellant] was
    demanding that Michael Ross give him the money. While he []
    held a gun on Michael Ross he heard Fred Ross in the back room
    and then saw him run past both of them and out the door.
    Michael Ross came from behind the counter and a physical
    encounter then began between Michael Ross and [Appellant],
    with both of these individuals firing their weapons at each other.
    Edward fired three shots into the floor in an attempt to scare
    Michael Ross and then ran out of the store. As he ran out of the
    store, he then handed his gun off to his uncle. When he was
    running down the street toward the SUV, he heard at least three
    or four more shots. As he got to the SUV his uncle joined him
    and they threw the shirts that his uncle had taken from the
    store, along with a gun in the back of the truck. Edward got into
    the driver’s seat and [Appellant] got into the passenger seat and
    told Edward that he had been shot and take him to a hospital
    and [] not to a hospital on the Northside. As they were driving
    down Marshall Avenue, Appellant lowered the passenger window
    and threw out a handgun.           Edward then drove from the
    Northside to Mercy Hospital located in the Uptown Section of the
    City of Pittsburgh. As they concluded their interview with him,
    Detective Provident asked Edward if he would give a taped
    statement and he agreed to do so.
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    On November 11, 2008, Detective James Magee went to Mercy
    Hospital, seeking to interview [Appellant]. Detective Magee was
    directed to [Appellant]’s attending physician and asked him
    whether or not [Appellant] was in any condition to be
    interviewed and was informed that he could be interviewed.
    Detective Magee then met [Appellant] in his hospital room and
    then told him the reason that he was there to interview him was
    about the circumstances of which he was shot on November 8,
    2008. [Appellant] told him that he had met with two detectives
    the day before and they advised him that he was probably going
    to be charged with criminal homicide. Detective Magee told him
    that he was probably correct and then advised him of his
    Miranda rights. [Appellant] told Detective Magee that although
    he recalled going to CC&M Fashions, he did not recall where they
    parked the car. He remembered going into the store and then
    Michael Ross came from behind the counter with a gun in his
    hand and then he heard lots of people yelling at which time he
    ran out of the store back to the area where they had left the car.
    While running to the SUV, he had difficulty breathing and he
    realized he had been shot and told Edward to drive him to a
    hospital. After ten or fifteen minutes it became apparent that
    [Appellant] was experiencing some pain and the interview
    ceased. [Appellant] was discharged later that day from the
    hospital.
    During the ongoing investigation in the CC&M Fashion shooting a
    thirty-two-caliber handgun was recovered from Marshall Avenue
    at the Route 65 Interchange. A review of the gun ownership
    records indicated that Fred Ross owned that firearm. . . . During
    the course of his initial investigation, Detective Provident was
    updated on the shooting that had occurred on the Northside and
    received information that there were two black males who had
    fled the scene in a tan SUV. Detective Provident took Edward
    back to Homicide Headquarters and after securing the consent
    form to search his car, he advised Edward of his Miranda rights
    since he was a possible suspect in the shooting that occurred in
    the Northside. Edward answered all of the questions of the
    Miranda form and signed that form. In addition he agreed to
    have a buccal swab taken from him for DNA investigation
    purposes. Initially Edward gave Detective Provident a statement
    that his uncle had been shot in another section of town and that
    his uncle called him to take him to the hospital. When Edward
    was confronted with the fact that he was a possible suspect in
    the shooting death of Michael Ross, he gave Detective Provident
    [] a statement of his involvement [in] that shooting and then
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    had that statement taped. At no time did Edward appear to be
    under the influence of alcohol or a controlled substance nor did
    he appear to be unable to understand the questions that were
    being asked of him[.]
    Trial Ct. Op., 5/8/12, at 4-11, 24.
    A criminal complaint was filed against Appellant on November 11,
    2008, and trial was scheduled for April 27, 2009.       On the scheduled trial
    date, Appellant obtained a postponement in light of his counsel’s scheduling
    conflict. Trial was rescheduled for September 14, 2009, but on that date,
    the Commonwealth requested a postponement so that it could have more
    time to obtain DNA results, and the case was scheduled for February 22,
    2010. PCRA Ct. Op., 8/8/16, at 18.
    On September 17, 2009, Appellant filed a civil action against his trial
    counsel.2 The docket for that action does not show that the complaint was
    ever served on trial counsel, and no evidence was ever presented that trial
    counsel was aware that such a lawsuit had been filed.           PCRA Ct. Op.,
    8/8/16, at 13.      Additionally, the docket for the civil suit states that the
    complaint was dismissed by court order on October 14, 2009. No attempt
    was made to reinstate that lawsuit or file another suit. Id.; see also Docket
    for Allegheny County Dkt. No. GD 2009-016073.
    On February 11, 2010, Appellant asked to have his case severed from
    that of his co-defendant. Trial did not go forward on the scheduled trial date
    of February 22, 2010 because the trial court was involved in a death penalty
    ____________________________________________
    2   Allegheny County Docket Number GD 2009-016073.
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    case and unavailable. Accordingly, trial was rescheduled for May 10, 2010.
    After trial counsel requested a postponement to have additional time to
    review more than 60 hours of phone conversations provided by the
    Commonwealth, trial was rescheduled for October 18, 2010. PCRA Ct. Op.,
    8/8/16, at 18.
    Appellant’s jury trial was held from October 18 to October 25, 2010.
    During the trial, the jury heard testimony from Christine Johnson, Fred Ross,
    Justin Shipton, Victoria Zuback, and Jamal El-Main that corresponded to the
    facts outlined above. It also heard the following evidence:
    During the course of the initial investigation of the homicide
    scene, it was determined that three different weapons had been
    fired [] during this robbery. Shell casings and bullets were found
    from a twenty-two-caliber weapon and a thirty-eight-caliber
    weapon. A twenty-two-caliber weapon was found in the interior
    quarter panel of the SUV owned by Edward and the thirty-eight-
    caliber weapon was found at the Route 65 on ramp off of
    Marshall Avenue, not far from the shooting scene. This thirty-
    eight caliber was lawfully owned and registered to Fred Ross, the
    victim’s father.      The thirty-two-caliber weapon was never
    recovered. In addition to finding the twenty-two-caliber weapon
    in Edward’s vehicle, there were several white t-shirts that had
    been taken from Michael Ross’ business.
    Trial Ct. Op., 5/8/12, at 14-15. In addition:
    Walter Lorenz testified as a Commonwealth expert that in his
    examination of the twenty-two caliber firearm he was able to
    determine that there was DNA on the grip that was consistent
    with [Appellant]’s profile and that the victim and co-defendant
    were excluded as contributors. . . . [T]here was a stipulation
    between the Commonwealth and [Appellant] that [Lorenz] had
    the expertise to render the opinions that he did with respect to
    the DNA sample. . . .
    The Commonwealth called Robert Levine, Ph[.D.,] to testify as to
    examination of the firearms and shell casing which were found
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    during the course of investigation of this homicide. Before
    Dr. Levine testified there was a stipulation between counsel that
    he was an expert in examining these firearms.
    PCRA Ct. Op., 8/8/16, at 12, 23.
    During the closing jury charge, the trial court gave the following
    instruction about reasonable doubt:
    That presumption of innocence can be overcome if and only if
    you are individually and collectively convinced that the
    Commonwealth has met its burden by proving the elements of
    the offenses charged beyond a reasonable doubt.
    A reasonable doubt has been defined as that which would cause
    you to pause or hesitate before doing something important in
    your own personal affairs. It must fairly arise from the evidence
    that’s been presented or lack thereof.
    The Commonwealth’s burden is to prove its case beyond a
    reasonable doubt. It is not required to prove its case to a
    mathematical certainty or even to demonstrate the impossibility
    of innocence. It is only beyond a reasonable doubt.
    If you look at that term grammatically, it may help you
    understand it a little bit better.
    It is a noun modified by an adjective. You may have a doubt.
    The ultimate question, however, is whether or not that doubt is
    reasonable.
    An example that I often use occurred a couple of summers ago
    when one of my sons came over to our house and asked me if I
    would follow him down to the car dealer because he wanted to
    drop his car off for inspection and he didn’t want to stay there. I
    did. I brought him back to the house. We did a few things, and
    then he told me, as he does all too often, that he’s hungry. So I
    made him lunch.
    We got a call after the lunch. His car was ready and we could go
    back to pick it up. We got back in my car.
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    While driving to the car dealership, he said: Did you turn off the
    stove? I had a doubt. I had a question. The ultimate question
    was whether or not I did. I worked through the process.
    When I thought about what had happened, then I said: Yes, I
    did. He said: Are you sure? Well, he wasn’t anywhere near the
    stove, but I was. I said: Yes, I did.
    We drove to pick up his car. We came back to our house, and
    the first thing he did was go over to the stove. I didn’t have to
    do that, because I knew what I had done. Initially I had a
    doubt. But ultimately I worked through the process, went back
    through the facts, and then made the determination that doubt
    was not reasonable.
    If you believe that the Commonwealth has met its burden of
    proving its case beyond a reasonable doubt, you would find the
    defendant guilty.
    If you believe that the Commonwealth has not met that burden,
    you must find the defendant not guilty.
    N.T., 10/25/10, at 63-65.
    Also during final jury instructions, the trial court explained murder of
    the second degree as follows:
    You would also consider the question of second degree murder.
    Second degree murder is described as felony murder. That is
    where a murder occurs during the commission of certain
    enumerated felonies.
    In order for you to find the defendant guilty of the crime of
    second degree murder, you must be satisfied that Michael Ross
    was killed; second, that the defendant did so while in the course
    of committing or attempting to commit a robbery; and third, that
    he was acting with malice.
    You may find that the defendant was acting with malice if you
    are satisfied beyond a reasonable doubt that he was engaged in
    the course of committing a robbery, and that is because robbery
    is a crime inherently dangerous to human life, and, therefore,
    does not require the proof of malice.
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    When we talk about a robbery, you must be satisfied that the
    Commonwealth has proven beyond a reasonable doubt that the
    defendant inflicted serious bodily injury or death upon the victim
    and he did so during the course of the commission of a theft.
    When you talk about the commission of a theft means the taking
    unlawfully or control over personal property of another with the
    intent to deprive that individual of his property.
    If you believe that the Commonwealth has met that burden,
    then you would find the defendant guilty of the crime of second
    degree murder. If you believe that the Commonwealth has not
    met that burden, then you must find him not guilty.
    N.T., 10/25/10, at 72-74.
    On October 25, 2010, Appellant was convicted by a jury of murder of
    the second degree, robbery, carrying firearms without a license, and criminal
    conspiracy to commit robbery.3             A separate firearms charge had been
    severed from the other four counts prior to the jury trial, and, following a
    bench trial, Appellant was also convicted of that crime.4
    The court ordered a pre-sentence investigation report, and, on
    February 15, 2011, Appellant was sentenced to life imprisonment for
    second-degree murder, 10-20 years’ imprisonment for robbery, and 10-20
    years’ imprisonment for criminal conspiracy, with the latter sentences to be
    served consecutively to each other and to the life imprisonment.             He
    received no further penalty on the remaining counts.
    ____________________________________________
    3   18 Pa.C.S. §§ 2502(b), 3701(a)(1)(i), 6106(a)(1), and 903, respectively.
    4   18 Pa.C.S. § 6105(a)(2)(i).
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    On February 22, 2011, Appellant filed a timely post-sentence motion,
    and a hearing was held on June 20, 2011. At the conclusion of the hearing,
    the motion was denied.
    On July 8, 2011, Appellant filed a timely notice of appeal to this Court.
    On December 28, 2012, we affirmed the convictions, vacated the judgment
    of sentence for robbery, and affirmed the judgment of sentence for the
    remaining convictions. Commonwealth v. Dixon, No. 1133 WDA 2011, at
    1-2 (Pa. Super. Dec. 28, 2012) (unpublished memorandum). Appellant filed
    a petition for allowance of appeal to the Supreme Court of Pennsylvania,
    which was denied on October 9, 2013.
    Appellant filed this timely pro se PCRA petition on March 3, 2014. On
    May 12, 2014, the PCRA court appointed Charles Pass III, Esquire, to
    represent Appellant. On June 2, 2014, Attorney Pass filed a Turner/Finley5
    letter with a memorandum and a request to withdraw as PCRA counsel. On
    July 7, 2014, the PCRA court granted Attorney Pass’s request to withdraw
    and sent a notice to Appellant of its intention to dismiss his PCRA petition
    pursuant to Pa.R.Crim.P. 907(1). The PCRA court gave Appellant thirty days
    to file a response to this Rule 907 Notice.
    On July 22, 2014, the PCRA court docketed Appellant’s “Notice with
    Court Explaining How Defendant Wishes to Proceed,” in which he stated that
    he would be proceeding pro se and “will be notifying this Honorable Court
    ____________________________________________
    5 Commonwealth v. Turner, 
    544 A.2d 927
     (Pa. 1988); Commonwealth
    v. Finley, 
    550 A.2d 213
     (Pa. Super. 1988) (en banc).
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    why court-appointed counsel, Charles R. Pass, III should not be permitted to
    withdraw as counsel in regards to the above-entitled matter,” even though
    Attorney Pass had already been allowed to withdraw by the PCRA court.
    On September 21, 2014,6 Appellant filed a pro se motion for leave to
    amend his PCRA petition, in which he stated that he wished to amend so he
    could add a claim that Attorney Pass “rendered ineffective assistance of
    counsel.”     On March 16, 2015, the PCRA court entered an order that
    appointed Alan R. Patterson III, Esquire, as Appellant’s new PCRA counsel. 7
    In that same order, the PCRA court stated the following regarding
    Appellant’s motion for leave to amend his PCRA petition: “[t]he motion is
    returned to defendant for amendment as follows, such amendment to be
    made on or before, May 4, 2015, or counsel to advise that no amendment is
    necessary.”      The order thus directed Appellant’s new counsel, Attorney
    Patterson, to review Appellant’s proposed amendment and to decide whether
    it should be filed.       Attorney Patterson never filed Appellant’s proposed
    amended PCRA petition or any amended PCRA petition.
    ____________________________________________
    6 The certificate of service was dated September 21, 2014, and the court
    docketed the filing on September 30, 2014. See Commonwealth v.
    Whitehawk, 
    146 A.3d 266
    , 268 n.3 (Pa. Super. 2016) (under the “prisoner
    mailbox rule,” a document is deemed filed when placed in the hands of
    prison authorities for mailing).
    7 We note that “Commonwealth v. Maple, 
    385 Pa. Super. 14
    , 
    559 A.2d 953
     (1989), forbids appointment of new counsel where a proper
    Turner/Finley no-merit letter has been accepted and counsel was
    permitted to withdraw.” Commonwealth v. Rykard, 
    55 A.3d 1177
    , 1183
    n.1 (Pa. Super. 2012), appeal denied, 
    64 A.3d 631
     (Pa. 2013). The PCRA
    court therefore erred in appointing Attorney Patterson. In light of our
    disposition of this appeal, we need not address that error.
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    On September 16, 2015, Attorney Patterson filed a Turner/Finley
    petition to withdraw as counsel, averring that he had analyzed Appellant’s
    September 21, 2014 pro se petition to amend his PCRA petition and
    concluded that there were no meritorious issues.        Pet. to Withdraw as
    Counsel under Turner & Finley, 9/16/15, at 1-2 (unpaginated). The PCRA
    court, “after reviewing that letter and the memorandum accompanying that
    letter,” granted Attorney Patterson’s petition to withdraw on October 26,
    2015, and, on that same day, sent Appellant a notice of its intention to
    dismiss his PCRA petition.   PCRA Ct. Op., 8/8/16, at 3.    The court’s order
    and notice stated:
    It is further ORDERED, ADJUDGED and DECREED that the
    Defendant must file a notice with th[e PCRA c]ourt within thirty
    (30) days of this Order, which will explain how he wishes to
    proceed. If no such notification is filed within thirty (30) days,
    the Court will enter a final Order dismissing the post-conviction
    petition.
    Order, 10/26/15.      On December 1, 2015, the PCRA court dismissed
    Appellant’s PCRA petition. On December 25, 2015, Appellant filed a timely
    notice of appeal to this Court.
    On May 25, 2017, this Court entered a memorandum decision holding
    that Appellant had failed to preserve any of his issues and affirming the
    order dismissing Appellant’s PCRA petition. Commonwealth v. Dixon, No.
    148 WDA 2016 (Pa. Super. May 25, 2017). We explained:
    Appellant had an opportunity to respond to Attorney Patterson’s
    statements to the court, but he did not do so.               In
    Commonwealth v. Rykard, 
    55 A.3d 1177
     (Pa. Super. 2012),
    appeal denied, 
    64 A.3d 631
     (Pa. 2013), this Court stated that
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    “a petitioner waives issues of PCRA counsel’s effectiveness
    regarding Turner/Finley requirements if he declines to respond
    to the PCRA court’s notice of intent to dismiss.” Id. at 1186
    (citation omitted). Since Appellant did not file a response to the
    PCRA court’s notice of intent to dismiss, he may not now
    challenge the correctness of Attorney Patterson’s conclusion that
    there was no merit to any allegation that Attorney Pass was
    ineffective. Moreover, Appellant’s failure to respond to the PCRA
    court’s order of October 26, 2015, which notified Appellant of the
    court’s intention to dismiss, waived not only Appellant’s claims of
    ineffectiveness against Attorney Pass, but also those against
    Attorney Patterson. See id. at 1186.
    Id. at 9-10. Thus, we held that all ineffective assistance of counsel claims
    against both Attorney Pass and Attorney Patterson were waived. Id. at 8-9.
    On June 19, 2017, Appellant filed an application for reargument
    challenging our holding of waiver as to his ineffective assistance of counsel
    claims against Attorney Pass and Attorney Patterson. Appellant attached his
    “Objections to Petition to Withdraw as Counsel” (“Objections”), dated
    October 8, 2015, to his application for reargument.
    According to the cash slips from the Department of Corrections date-
    stamped November 10, 2015, and attached to the Objections, Appellant
    served his Objections on the Honorable David R. Cashman and the Assistant
    District Attorney, but he never filed his Objections with the Allegheny County
    Department of Court Records. Thus, Appellant’s Objections did not appear
    on the docket and were not in the certified record, which is why this Court
    had no knowledge of Appellant’s Objections at the time it issued its earlier
    memorandum. Even though Appellant technically did not file his Objections,
    we choose not to find waiver of his challenges based on that fact, as both
    - 15 -
    J-S08002-17
    the PCRA court and opposing counsel had timely notice of Appellant’s
    Objections in November 2015.
    Commonwealth v. Rykard, 
    55 A.3d 1177
     (Pa. Super. 2012), appeal
    denied, 
    64 A.3d 631
     (Pa. 2013), holds that “a petitioner waives issues of
    PCRA counsel’s effectiveness regarding Turner/Finley requirements if he
    declines    to    respond     to    the    PCRA    court’s    notice    of        intent   to
    dismiss.”    Rykard, 
    55 A.3d at 1186
     (citation omitted).               Appellant never
    actually responded to the second Rule 907 notice; he responded to Attorney
    Patterson’s Turner/Finley petition. Accordingly, Appellant did not fulfill the
    Rykard requirement of responding “to the PCRA court’s notice of intent
    to dismiss.” 
    Id.
     (emphasis added). For that reason, this Court could again
    conclude that issues regarding ineffectiveness of both of Appellant’s PCRA
    counsel are waived.
    However, Appellant’s November 10, 2015 Objections appear to have
    been mailed to and received by the PCRA court after the court entered the
    second Rule 907 notice on October 26, 2015. By his Objections to Attorney
    Patterson’s      Turner/Finley      petition,   Appellant    responded       to    Attorney
    Patterson’s statements and thus preserved his claims alleging ineffective
    assistance of his PCRA counsel.8 See Rykard, 
    55 A.3d at 1186
    . In light of
    that filing, this Court granted reargument on July 12, 2017. Accordingly, we
    ____________________________________________
    8As we discuss below, the preservation was only as to the claims regarding
    Attorney Patterson, and not claims regarding Attorney Pass, since
    Appellant’s Objections contain no statement of ineffectiveness regarding
    Attorney Pass.
    - 16 -
    J-S08002-17
    will treat Appellant’s November 10, 2015 Objections as if they were a
    response to the PCRA court’s second Rule 907 notice, and we therefore do
    not find waiver under Rykard.
    In his pro se appeal, Appellant raises the following issues, as stated in
    his brief:
    I.    Whether in reviewing the [propriety] of the PCRA court’s
    dismissal of Appellant’s PCRA filing, it was an abuse of discretion
    for the PCRA court to accept the Turner/Finley “no-merit”
    letters filed by Appellant’s PCRA counsels when those letters did
    not meet the standards set forth in Commonwealth v.
    Mosteller, 
    633 A.2d 615
     (Pa.Super. 1993) in reference to the
    following sub-claims:
    1.    Trial-Counsel was ineffective for failing to object to
    the addition of a firearms charge after the Preliminary
    Hearing;
    2.   Trial Counsel was ineffective for faili[n]g to object to
    the DNA identification discovered on the firearm;
    3.    Counsel was ineffective for failing to [undertake] a
    pre-Trial investigation as to whether or not the T-shirt
    produced at the time of Trial actually came from Ross-
    Store or was part of his inventory at the time of the crime;
    4.    Trial Counsel was ineffective for failing []to object to
    the absence of the signature of the District Attorney on the
    Police Criminal Complaint filed in this matter - Pa.R.Crim.P.
    504;
    5.    Trial Counsel was ineffective for not seeking to
    wit[h]draw as Counsel once he found out that the
    Defendant had filed a civil suit against him;
    6.    Trial Counsel was ineffective for failing to preserve
    the issue that a thorough inventory of the truck was not
    conducted;
    7.    Trial Counsel was ineffective for failing to challenge
    the introduction of the twenty-two (22) caliber handgun
    - 17 -
    J-S08002-17
    which he maintains was seen in the hands of his co-
    defendant;
    8.    Trial Counsel was ineffective for failing to object to
    the prosecutor’s argument that [Appellant] put the gun in
    the back of the co-defendant’s truck as a stash spot;
    9.     Trial Counsel was in[e]ffective for failing to conduct a
    pre-Trial investigation of the truck, fingerprints and back of
    the truck where the gun was placed since he believed that
    this investigation would have exonerated him;
    10. Appella[te] Counsel was [i]neffective for failing to
    raise the claims of the ineffectiveness of Trial Counsel on
    Direct-Appeal where the record was preserved;
    11. Trial Counsel was ineffective for failing to object to
    the Commonwealth’s p[e]remptory strike [challenges];
    12. Trial Counsel was ineffective for failing to file a
    motion to Dismiss charge against him on a violation of his
    Rule 600 rights;
    13. Trial Counsel was ineffective in failing to object to
    the language employed by the Trial Court in defining
    reasonable doubt to the jury;
    14. Trial Counsel was ineffective in failing to object to
    the charge given to the jury on Second-degree Murder;
    15. Trial Counsel was ineffective in failing to investigate
    and to develop an adeq[ua]te Trial strategy;
    16. All Counsels from Trial Counsel through Appellate
    Counsel were ineffective for failing to raise the claims of
    ineffectiveness of Appellant’s trial Counsel;
    17. Trial Counsel was ineffective in failing to obtain his
    own DNA expert.
    18. Trial Counsel was ineffective for not withdrawing
    from the case once he determined there was a conflict of
    interest since [Appellant] had filed a Civil suit against him;
    - 18 -
    J-S08002-17
    19. The Trial Court erred when it did not include
    [Appellant]’s first sentencing hearing where Trial Counsel
    was forced to withdraw from the case;
    20. Trial Counsel was ineffective in failing to object to
    the Trial Court’s vouching to the expertise of a witness on
    behalf of the Commonwealth;
    21. There was a violation of the Brady Rule in that while
    Appellant was in the jail he had surgery to remove the
    bullet lodged in his back and he wanted the bullet to be
    presented into evidence maintaining that this bullet would
    demonstrate that he did not shoot the decease[d]
    Mr. Ross, b[e]cause it was the same caliber-bullet that
    inflicted the fatal wound to Mr. Ross.
    22. Violation of due process rights of Appellant in that he
    did not have transcripts of the proceedings at the time of
    the hearing on his petition for Post-Conviction Relief;
    23. The verdicts [a]gainst Appellant were a result of the
    cumulative errors previously presented.
    II.   Whether the PCRA court erred and denied Appellant his
    federal and state constitutional rights to due process of law by
    dismissing Appellant’s initial PCRA petition without an evidentiary
    hearing . . . where Appellant raised substantial questions of
    disputed facts regarding his conviction?
    III. Whether initial PCRA counsel rendered ineffective
    assistance . . . of counsel based on the filing of a Turner/Finley
    “no-merit” letter and this Honorable Court should disapprove the
    [PCRA] court’s adoption of appointed PCRA counsels’ Finley “no-
    merit” letter analysis and reasoning and remand this matter to
    the PCRA court for a proper Rule 1925(a) opinion in reference to
    the afore-mentioned claims of ineffective assistance of counsel?
    Appellant’s Brief at 4-6 (internal brackets and parentheses omitted).
    Our standard of review of a PCRA court’s denial of a PCRA petition is
    limited to examining whether the PCRA court’s determination is supported by
    the record evidence and free of legal error.   Commonwealth v. Wilson,
    - 19 -
    J-S08002-17
    
    824 A.2d 331
    , 333 (Pa. Super. 2003) (en banc), appeal denied, 
    839 A.2d 352
     (Pa. 2003).
    We shall address Appellant’s issues out of order, and, before turning to
    Appellant’s lengthy list of reasons why Attorney Patterson should not have
    been permitted to withdraw and why the errors listed under Appellant’s
    Issue I supposedly entitle Appellant to relief, we shall briefly discuss
    Appellant’s second and third issues. Appellant’s third issue refers only to a
    claim regarding Appellant’s “initial PCRA counsel” – that is, Attorney Pass.
    See Appellant’s Brief at 6 (emphasis added).           However, Appellant’s
    Objections (which we are treating as his response to the second Rule 907
    notice) contain no statement that Attorney Pass was ineffective.      For this
    reason, Appellant failed to preserve any issues regarding a claim of
    ineffectiveness by Attorney Pass, and he therefore may not obtain relief on
    his third issue.
    Appellant’s second issue, which challenges the PCRA court’s dismissal
    of his PCRA petition without a hearing, is waived for a different reason:
    Appellant did not include that issue in his Rule 1925(b) Statement. An issue
    that is not included in a Rule 1925(b) statement cannot be raised for the
    first time on an appeal to this Court.       See Pa.R.A.P. 302(a), 1925(b);
    Commonwealth v. Castillo, 
    888 A.2d 775
    , 780 (Pa. 2005) (“Any issues
    not raised in a Pa.R.A.P.1925(b) statement will be deemed waived”). Hence,
    we may not address this issue.
    - 20 -
    J-S08002-17
    Having determined that Appellant is not entitled to relief on his second
    and third issues, we now turn to his first issue, which alleges various claims
    of error and asserts that Attorney Patterson should not have been permitted
    to withdraw because he erroneously concluded that these claims of error
    lack merit.    Nineteen of the 23 sub-claims listed by Appellant under his
    Issue I allege ineffective assistance of counsel.       To obtain relief under the
    PCRA premised on a claim that counsel was ineffective, a petitioner must
    demonstrate that: (1) the underlying claim is of arguable merit; (2) counsel
    had no reasonable strategic basis for his or her action or inaction; and (3)
    petitioner    was   prejudiced    by     counsel’s    act    or    omission.       See
    Commonwealth v. Pierce, 
    527 A.2d 973
    , 975 (Pa. 1987) (citing
    Strickland     v.   Washington,        
    466 U.S. 668
    ,    687     (1984)).    “[T]he
    commanding intent of Strickland is to burden the defendant with the task
    of proving actual prejudice.”     
    Id.
        In this context, a finding of “prejudice”
    requires the petitioner to show “there is a reasonable probability that, but
    for the error of counsel, the outcome of the proceeding would have been
    different.” Commonwealth v. Stevens, 
    739 A.2d 507
    , 512 (Pa. 1999). If
    a petitioner fails to prove by a preponderance of the evidence any of the
    Pierce   prongs,    the   court   need    not     address   the    remaining    prongs.
    Commonwealth v. Fitzgerald, 
    979 A.2d 908
    , 911 (Pa. Super. 2009),
    appeal denied, 
    990 A.2d 727
     (Pa. 2010). Where “the underlying claim is
    meritless, the derivative claim of ineffective assistance of counsel for failing
    to object has no arguable merit.” Commonwealth v. Spotz, 
    47 A.3d 63
    ,
    - 21 -
    J-S08002-17
    122 (Pa. 2012). Claims are deemed meritless where the assertions therein
    are not explained, developed, or supported by the record factually or legally.
    
    Id.
     at 108 n.34.
    With this background, we turn to Appellant’s list of errors.
    Failure to Object to Addition of a Firearms Charge
    (Sub-Claim 1)
    Appellant’s first sub-claim contends that Trial Counsel was ineffective
    for failing to object to the addition of a firearms offense to the criminal
    information, as this charge “was not in the Police Criminal Complaint.”
    Appellant’s Brief at 31.          Appellant argues that trial counsel “had no
    reasonable basis for not challenging the absence of a hearing to determine
    whether the Commonwealth could present a prima facie case that Appellant
    committed one/or both of the firearms offenses charged, [and] Appellant
    was prejudiced by [trial counsel]’s inactions not challenging the absence of a
    hearing[.]” Id. at 31-32.
    As Appellant fails to cite any applicable law in support of his
    contention, it does not merit relief.9 Nor could Appellant obtain relief if we
    ____________________________________________
    9 See Spotz, 47 A.3d at 108 n.34 (claims are deemed meritless where the
    assertions therein are not explained, developed, or supported by the record
    factually or legally); In re Estate of Whitley, 
    50 A.3d 203
    , 209 (Pa. Super.
    2012) (“[t]he argument portion of an appellate brief must include a
    pertinent discussion of the particular point raised along with discussion and
    citation of pertinent authorities” (internal citations and quotation marks
    omitted)), appeal denied, 
    69 A.3d 603
     (Pa. 2013); see also Lackner v.
    Glosser, 
    892 A.2d 21
    , 29-30 (Pa. Super. 2006) (explaining that appellant’s
    arguments must adhere to rules of appellate procedure, and “arguments
    which are not appropriately developed are waived”; arguments not
    (Footnote Continued Next Page)
    - 22 -
    J-S08002-17
    were to consider this claim on the merits.        The PCRA court stated that
    Appellant “was aware that a firearm was used in this homicide since the
    facts stated at the preliminary hearing indicated [Michael] Ross died as a
    result of the gunshot wounds that he received,” and thus “[t]he addition of a
    gun charge following the preliminary hearing in no way prejudiced”
    Appellant. PCRA Ct. Op., 8/8/16, at 11-12. We agree with the trial court.
    Criminal Rule of 564 governs amendment of a criminal information:
    The court may allow an information to be amended when there
    is a defect in form, the description of the offense(s), the
    description of any person or any property, or the date charged,
    provided the information as amended does not charge an
    additional or different offense. Upon amendment, the court may
    grant such postponement of trial or other relief as is necessary
    in the interests of justice.
    Pa.R.Crim.P. 564.
    When the trial court exercises its discretionary power to allow
    amendment of the information, the defendant can obtain relief if
    the amendment prejudices him. Factors for a court to consider
    in determining the existence of prejudice include:
    (1) whether the amendment changes the factual scenario
    supporting the charges; (2) whether the amendment adds
    new facts previously unknown to the defendant; (3)
    whether the entire factual scenario was developed during a
    preliminary hearing; (4) whether the description of the
    charges changed with the amendment; (5) whether a
    change in defense strategy was necessitated by the
    amendment; and (6) whether the timing of the
    Commonwealth’s request for amendment allowed for
    ample notice and preparation.
    (Footnote Continued) _______________________
    appropriately developed include those where party has failed to cite any
    authority in support of contention).
    - 23 -
    J-S08002-17
    Commonwealth v. Williams, 
    166 A.3d 460
    , 464 (Pa. Super. 2017)
    (citation omitted).
    The safeguards [governing the amendment of criminal
    informations] are intended to give the defendant adequate
    preparation time for trial without risk of last-minute additions to
    the charges which materially alter his defense. . . . In assessing
    the propriety of permitting a[n] amendment, [t]he courts of this
    Commonwealth employ the test of whether the crimes specified
    in the original indictment or information involve the same basic
    elements and evolved out of the same factual situation as the
    crimes specified in the amended indictment or information. If
    so, then the defendant is deemed to have been placed on notice
    regarding his alleged criminal conduct.
    Commonwealth v. Mosley, 
    585 A.2d 1057
    , 1059–60 (Pa. Super. 1991)
    (en banc) (emphasis in original; internal brackets and citations omitted),
    appeal denied, 
    600 A.2d 952
     (Pa. 1991); see also Commonwealth v.
    Stanley, 
    401 A.2d 1166
    , 1175 (Pa. Super. 1979) (if “the amended provision
    alleges a different set of events, or the elements or defenses to the
    amended crime are materially different from the elements or defenses to the
    crime originally charged, such that the defendant would be prejudiced by the
    change, then the amendment is not permitted” (footnotes omitted)), aff’d,
    
    446 A.2d 583
     (Pa. 1982).
    Here, as the PCRA court noted, Appellant already knew prior to the
    amendment to the information on January 20, 2009 — more than twenty
    months before his trial commenced — that he had been charged with
    committing a robbery and criminal homicide involving an unlicensed firearm
    which he was alleged to have carried. The factual situation that needed to
    be proven by the Commonwealth did not change with the addition of the
    - 24 -
    J-S08002-17
    firearms charge; the Commonwealth did not allege a different set of events.
    Thus, the amendment did not require a change in Appellant’s defense
    strategy, and Appellant therefore had adequate time to prepare his defense.
    See Mosley, 
    585 A.2d at 1059
    .
    As Appellant’s underlying claim is meritless, his derivative claim of
    ineffective assistance of counsel for failing to object has no arguable merit.
    See Spotz, 47 A.3d at 122.
    Failure to Object to DNA Identification
    (Sub-Claim 2)
    Appellant next argues that “[t]rial [c]ounsel was ineffective for faili[n]g
    to object to the DNA identification discovered on the firearm.” Appellant’s
    Brief at 4.   Appellant is referring to the testimony by Walter Lorenz, a
    Commonwealth expert, who stated that the DNA on the grip of the
    recovered twenty-two caliber semi-automatic handgun was consistent with
    Appellant’s DNA profile and inconsistent with that of Michael Ross or the Co-
    Defendant. PCRA Ct. Op., 8/8/16, at 12. The PCRA court stated that “[t]he
    testimony with respect to this firearm showed an adequate chain of custody
    was maintained with respect to the collection and testing of the sample.”
    Id. There was a stipulation between the Commonwealth and Appellant that
    Lorenz had the expertise to render the opinions that he did with respect to
    the DNA sample.
    Appellant is unclear as to why he believes that trial counsel should
    have objected to the DNA identification. The only reference to this issue in
    - 25 -
    J-S08002-17
    Appellant’s brief to this Court is on page 32:
    the underlying claim of [trial counsel]’s ineffectiveness for failure
    to object to the identification of the DNA type discovered on the
    grip of a .22 caliber firearm has arguable merit and presents
    genuine issues concerning material fact, no reasonable basis
    exist[s] for [trial counsel]’s inactions, and Appellant suffered
    prejudice as a result of Counsel’s error in his defense[.]
    Appellant does not further explain why this claim is of “arguable merit” — he
    merely makes the bald assertion that it is so.          Since this claim is not
    explained, developed, or supported by the record factually or legally,
    Appellant is not entitled to relief with respect to it. See Spotz, 47 A.3d at
    108 n.34.
    Failure to Investigate T-Shirts
    (Sub-Claim 3)
    Appellant’s third sub-claim contends that trial counsel —
    was ineffective for failing to [undertake] a [pretrial] investigation
    as to whether or not the T-shirt[s] produced at the time of Trial
    actually came from [the business owned and operated by
    Michael Ross, which sold t-shirts and other sports-related
    wearing apparel] or was part of his inventory at the time of the
    crime.
    Appellant’s Brief at 4; see also id. at 18 (“Appellant raise[s] an issue of
    [t]rial [c]ounsel’s ineffectiveness for failure to investigate [Appellant]’s case”
    (citing Commonwealth v. Mosteller, 
    633 A.2d 615
     (Pa. Super. 1993));
    Trial Ct. Op., 5/8/12, at 4.
    The PCRA court asserted:
    The problem with this contention is that the determination that
    the t-shirt entered into evidence did not come from the
    inventory of [Michael] Ross’ store would not provide any helpful
    or exculpatory information to [Appellant].          There was
    - 26 -
    J-S08002-17
    identification of [Appellant] by several witnesses and there was
    his DNA on the murder weapon.
    PCRA Ct. Op., 8/8/16, at 12.
    We agree with the PCRA court that there is no indication that evidence
    regarding the origin of the white sports t-shirts found in the rear of the Co-
    Defendant’s SUV would have resulted in a different outcome had trial
    counsel objected. See Trial Ct. Op., 5/8/12, at 7. The record supports the
    trial court’s summary of the evidence sufficient to convict Appellant — the
    physical evidence of shell casings and bullets recovered from the scene and
    the   testimony      of   five   witnesses:        Christine   Johnson,   Fred   Ross,
    Victoria Zuback, Jamal El-Main, and Justin Shipton. Trial Ct. Op., 5/8/12, at
    4-6, 14-15.10 Hence, Appellant’s third sub-claim is meritless.
    Conflict of Interest
    (Sub-Claims 5, 18)
    Appellant’s fifth and eighteenth sub-claims overlap, as they both
    address whether trial counsel had a conflict of interest and was thus
    ineffective for not petitioning to withdraw as Appellant’s counsel. Appellant
    bases these claims on Martinez v. Ryan, 
    566 U.S. 1
     (2012).                        See
    Appellant’s Brief at 37.
    ____________________________________________
    10 Assuming trial counsel erred by not investigating, Appellant failed to
    establish a reasonable probability of a different outcome. The evidence of
    guilt was so overwhelming that any determination that the sports t-shirts at
    issue were not from Michael Ross’ store would have been insignificant by
    comparison. As Appellant was not prejudiced by trial counsel’s failure to
    investigate the origin of the t-shirts, he cannot establish one of the Pierce
    prongs and therefore has failed to demonstrate ineffective assistance of
    counsel. Pierce, 527 A.2d at 975; Fitzgerald, 
    979 A.2d at 911
    .
    - 27 -
    J-S08002-17
    Martinez held that where, under state law, ineffective-assistance-of-
    trial-counsel claims must be raised in the initial collateral proceeding, a
    procedural default will not bar a federal habeas court from hearing those
    claims if, in that initial collateral proceeding, there was no counsel or counsel
    in that proceeding was ineffective.     As Appellant is not pursuing a federal
    habeas claim, Martinez is inapplicable to the current PCRA petition.
    Commonwealth v. Robinson, 
    139 A.3d 178
    , 183-84, 187 (Pa. 2016);
    Commonwealth v. Brown, 
    143 A.3d 418
    , 420–21 (Pa. Super. 2016).
    Additionally, the complaint in the underlying civil suit was never served
    on trial counsel, and there is no indication that trial counsel was even aware
    of the existence of this civil suit. PCRA Ct. Op., 8/8/16, at 13. The suit was
    dismissed less than a month after the complaint was filed, and there is no
    sign that Appellant ever attempted to reinstate the suit or to file a new one.
    Id.; see also Docket for Allegheny County Dkt. No. GD 2009-016073. As
    Appellant has failed to demonstrate that trial counsel knew of the suit, he
    likewise failed to demonstrate that a conflict of interest existed between
    himself and trial counsel.
    Furthermore, Appellant has failed to explain how the alleged conflict of
    interest affected trial counsel’s representation of him. See Appellant’s Brief
    at 37. The PCRA court stated that trial counsel’s “conduct in the trial of this
    case showed that he undertook to represent his client by the best possible
    means.” PCRA Ct. Op., 8/8/16, at 13. Appellant’s fifth and eighteenth sub-
    claims therefore fail.
    - 28 -
    J-S08002-17
    Failure to Raise Claims of Ineffective Assistance of Counsel
    (Sub-Claims 10, 16)
    We advance to Appellant’s tenth and sixteenth sub-claims, which
    contend that appellate counsel was ineffective for failing to raise claims of
    ineffective assistance of trial counsel on direct appeal. Appellant’s Brief at 4-
    5 ¶¶ 10, 16 & at 33, 36-37.11            As the PCRA court noted, PCRA Ct. Op.,
    8/8/16, at 15, claims of ineffective assistance of counsel are to be deferred
    to PCRA review. Commonwealth v. Holmes, 
    79 A.3d 562
    , 576 (Pa. 2013).
    Thus, in the current case, appellate counsel cannot be deemed ineffective for
    failing to raise claims of ineffective assistance of trial counsel, when such
    claims could not be raised at that time.12           Hence, Appellant’s tenth and
    sixteenth sub-claims are meritless.
    Failure to Object to Commonwealth’s Peremptory Strikes
    (Sub-Claim 11)
    In his eleventh sub-claim, Appellant contends that “trial counsel
    rendered     ineffective    assistance     of   counsel   for   failure   to   make   a
    contemporaneous objection to the prosecutor’s [peremptory] strikes.”
    Appellant’s Brief at 23-24, 34; see also 
    id.
     at 5 ¶ 11.13 Appellant adds that
    ____________________________________________
    11 The sixteenth claim also asserts that trial counsel was ineffective in raising
    his own ineffectiveness. This claim has the same lack of merit as the claim
    against appellate counsel.
    12Appellant does not assert any of the narrow exceptions that would allow
    assertion of an ineffective assistance of counsel claim on direct review. See
    Appellant’s Brief at 33, 36-37; Holmes, 79 A.3d at 577-78.
    13 Appellant labels this his twelfth claim, although in the list of questions
    presented, it is his eleventh claim. Hereinafter, our numbering of Appellant’s
    (Footnote Continued Next Page)
    - 29 -
    J-S08002-17
    “the underlying claim has arguable merit under Batson v. Kentucky, 
    476 U.S. 79
     (1986).” Id. at 24.
    In    Batson,     the    United    States   Supreme   Court      “upheld   the
    constitutional limitations on a prosecutor’s use of peremptory challenges to
    purposely exclude members of a defendant’s race from participating as
    jurors.”    Commonwealth v. Dinwiddle, 
    542 A.2d 102
    , 104 (Pa. Super.
    1998), aff’d, 
    601 A.2d 1216
     (Pa. 1992).            As the Pennsylvania Supreme
    Court explained in Commonwealth v. Johnson, 
    139 A.3d 1257
     (Pa. 2016):
    In Batson, the United States Supreme Court established a
    three-part inquiry to evaluate claims that a prosecutor engaged
    in racial discrimination during jury selection. First, a defendant
    must make a prima facie demonstration that the prosecutor
    exercised peremptory challenges upon the basis of race.
    Second, the burden then shifts to the prosecutor to articulate a
    race-neutral explanation for striking the particular juror. Finally,
    the trial court must determine whether the defendant has carried
    his burden of proving purposeful discrimination. Batson, 
    476 U.S. at
    96–98[.]
    Id. at 1282. In order to establish the first prong, “The defendant first must
    show that he [or she] is a member of a cognizable racial group, and that the
    prosecutor has exercised peremptory challenges to remove from the venire
    members of the defendant’s race.” Batson, 
    476 U.S. at 96
     (internal citation
    omitted).
    Appellant is a black male.        Trial Ct. Op., 5/8/12, at 5.    There is no
    evidence in the certified record of the racial profile of the venirepersons
    against whom the Commonwealth used its preemptory strikes. The absence
    (Footnote Continued) _______________________
    sub-claims will continue to reflect their enumeration in his Statement of
    Questions Involved.
    - 30 -
    J-S08002-17
    of this evidence, which is essential for proof of Appellant’s claim, precludes
    recovery by Appellant on this issue.
    The PCRA court represents that the Commonwealth’s preemptory
    challenges were used against a black venireperson, two white venirepersons,
    and a fourth venireperson whose race was not identified.       PCRA Ct. Op.,
    8/8/16, at 15. Appellant does not contradict the PCRA court’s description of
    the stricken venirepersons.     Thus, even if we accept the PCRA court’s
    representation of the missing evidence, Appellant still could not establish an
    improper pattern of purposeful exclusion of members of Appellant’s race,
    given that at least half of those removed were of a different race.       See
    Dinwiddle, 542 A.2d at 104. Hence, a Batson challenge is insupportable,
    and trial counsel cannot be considered ineffective for failing to make a
    meritless objection.   See Spotz, 47 A.3d at 122.       Therefore, Appellant’s
    eleventh sub-claim fails.
    Rule 600
    (Sub-Claim 12)
    Appellant next claims that “[t]rial [c]ounsel was ineffective for failing
    to file a motion to Dismiss charge against him on a violation of his Rule 600
    rights.” Appellant’s Brief at 5 ¶ 12, 12 ¶ 12 (identical language). However,
    Appellant fails to cite any legal authority or to present any developed
    argument to support this sub-claim, and he does not state which subsection
    of Pa.R.Crim.P. 600 he believes applies to his case. He therefore waived this
    - 31 -
    J-S08002-17
    twelfth sub-claim. See Commonwealth v. Perez, 
    93 A.3d 829
    , 841 (Pa.
    2014), cert. denied, 
    135 S. Ct. 480
     (2014).
    If Appellant had preserved this issue, we would agree with the PCRA
    court’s calculations and conclusion:
    A defendant’s right to a speedy trial is codified in Rule 600 of the
    Pennsylvania Rules of Criminal Procedure . . . A total of seven
    hundred seven days elapsed between the filing of the complaint
    and the commencement of trial. In calculating a defendant’s
    Rule 600 rights, one must also consider excludable and
    excusable time.      There are three hundred seven days of
    excludable time based upon the requests by [Appellant] to have
    his case continued and at least one hundred sixty days of
    excusable time based upon the unavailability of th[e trial c]ourt
    to try this case and a combined four hundred sixty-one days of
    excludable and excusable time demonstrate that there was no
    violation of [Appellant]’s speedy trial rights under Rule 600 of
    the Pennsylvania Rules of Criminal Procedure.
    PCRA Ct. Op., 8/8/16, at 15-16, 19 (some formatting altered).
    Failure to Object to Charge on Reasonable Doubt
    (Sub-Claim 13)
    Appellant’s thirteenth sub-claim states, in its entirety:
    Trial counsel rendered ineffective assistance of counsel for failure
    to object and preserve the issue of the trial court’s instruction on
    reasonable doubt[. T]he underlying claim has arguable merit
    under Commonwealth v. [Ramos], 2007 PA Super. [335], 
    936 A.2d 1097
    , 1100 (Pa. Super. 2007), and presents genuine issues
    concerning material fact, [trial counsel] had no reasonable basis
    for not challenging this claim, and there was prejudice to
    Appellant’s strategy and defense at Trial. . . . Trial counse[l]
    rendered ineffective assistance of counsel for failure to object
    and preserve the issue of the trial court’s instruction on
    reasonable doubt the underlying claim has arguable merit under
    Victor v. Nebraska, 
    511 U.S. 1
    , 20, 
    114 S.Ct. 1239
    , 1250
    (1994), and presents genuine issues concerning material fact,
    [trial counsel] had no reasonable basis for not challenging this
    claim, and there was prejudice to Appellant’s strategy and
    defense at Trial.
    - 32 -
    J-S08002-17
    Appellant’s    Brief    at   24-25.14          Contrary   to   Appellant’s   argument,
    Commonwealth v. Ramos, 
    936 A.2d 1097
     (Pa. Super. 2007) (en banc),
    appeal denied, 
    948 A.2d 803
     (Pa. 2008), does not address jury instructions
    about reasonable doubt.
    Victor v. Nebraska, 
    511 U.S. 1
     (1994),15 was decided together with
    Sandoval v. California. In its opinion, the U.S. Supreme Court described
    those two cases as follows:
    The jury in Sandoval’s case was given the following instruction
    on the government’s burden of proof:
    “A defendant in a criminal action is presumed to be
    innocent until the contrary is proved, and in case of a
    reasonable doubt whether his guilt is satisfactorily shown,
    he is entitled to a verdict of not guilty. This presumption
    places upon the State the burden of proving him guilty
    beyond a reasonable doubt.
    “Reasonable doubt is defined as follows: It is not a mere
    possible doubt; because everything relating to human
    affairs, and depending on moral evidence, is open to some
    possible or imaginary doubt. It is that state of the case
    which, after the entire comparison and consideration of all
    the evidence, leaves the minds of the jurors in that
    condition that they cannot say they feel an abiding
    conviction, to a moral certainty, of the truth of the
    charge.”
    ____________________________________________
    14 In addressing this issue, the PCRA court focused on the fact that Appellant
    had maintained in his PCRA petition that the trial court had allegedly
    “inserted the word ‘pause’ in its definition [of reasonable doubt] and that his
    counsel should have objected to the use of that word.” PCRA Ct. Op.,
    8/8/16, at 19. Appellant makes no such argument about the word “pause”
    in his brief to this Court.
    15Appellant’s argument regarding Victor was included in Appellant’s PCRA
    petition, under “Supplemental Issue 14.”
    - 33 -
    J-S08002-17
    * * *
    At Victor’s trial, the judge instructed the jury that “[t]he burden
    is always on the State to prove beyond a reasonable doubt all of
    the material elements of the crime charged, and this burden
    never shifts.” The charge continued:
    “‘Reasonable doubt’ is such a doubt as would cause a
    reasonable and prudent person, in one of the graver and
    more important transactions of life, to pause and hesitate
    before taking the represented facts as true and relying and
    acting thereon. It is such a doubt as will not permit you,
    after full, fair, and impartial consideration of all the
    evidence, to have an abiding conviction, to a moral
    certainty, of the guilt of the accused. At the same time,
    absolute or mathematical certainty is not required. You
    may be convinced of the truth of a fact beyond a
    reasonable doubt and yet be fully aware that possibly you
    may be mistaken. You may find an accused guilty upon
    the strong probabilities of the case, provided such
    probabilities are strong enough to exclude any doubt of his
    guilt that is reasonable. A reasonable doubt is an actual
    and substantial doubt reasonably arising from the
    evidence, from the facts or circumstances shown by the
    evidence, or from the lack of evidence on the part of the
    State, as distinguished from a doubt arising from mere
    possibility, from bare imagination, or from fanciful
    conjecture.”
    
    Id. at 7, 18
     (emphasis in original; citations to record omitted).
    The Court held in Victor that neither of these instructions defining
    “reasonable doubt” violated the due process clause, and it contrasted the
    charges before it with a charge that it disapproved in Cage v. Louisiana,
    
    498 U.S. 39
     (1990) (per curiam).
    In only one case have we held that a definition of reasonable
    doubt violated the Due Process Clause. Cage v. Louisiana
    . . . . There, the jurors were told:
    “‘A reasonable doubt is one that is founded upon a real
    tangible substantial basis and not upon mere caprice and
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    J-S08002-17
    conjecture. It must be such doubt as would give rise to a
    grave uncertainty, raised in your mind by reasons of the
    unsatisfactory character of the evidence or lack thereof. A
    reasonable doubt is not a mere possible doubt. It is an
    actual substantial doubt. It is a doubt that a reasonable
    man can seriously entertain. What is required is not an
    absolute or mathematical certainty, but a moral
    certainty.’ ” 
    Id., at 40
    , 
    111 S.Ct., at 329
     (emphasis added
    by this Court in Cage ).
    We held that the highlighted portions of the instruction rendered
    it unconstitutional:
    “It is plain to us that the words ‘substantial’ and ‘grave,’ as
    they are commonly understood, suggest a higher degree of
    doubt than is required for acquittal under the reasonable
    doubt standard.         When those statements are then
    considered with the reference to ‘moral certainty,’ rather
    than evidentiary certainty, it becomes clear that a
    reasonable juror could have interpreted the instruction to
    allow a finding of guilt based on a degree of proof below
    that required by the Due Process Clause.” 
    Id., at 41
    , 
    111 S.Ct., at 329
    .
    Victor, 
    511 U.S. at
    5–6 (brackets omitted).
    None of the challenged language in the Sandoval, Victor, or Cage
    jury instructions appears in the instruction given at Appellant’s trial. N.T.,
    10/25/10, at 63-65. Thus, those decisions cannot serve as the basis for a
    challenge to the instruction at Appellant’s trial. 16    As the underlying sub-
    claim is meritless, “the derivative claim of ineffective assistance of counsel
    for failing to object has no arguable merit.” Spotz, 47 A.3d at 122.
    ____________________________________________
    16Appellant’s does not challenge use of any specific language in the trial
    court’s charge. See Appellant’s Brief at 24-25. He therefore has waived any
    more specific claim relating to the charge. We caution the PCRA court,
    however, that a charge equating reasonable doubt to a judge’s personal
    experiences may raise questions that we do not reach here.
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    J-S08002-17
    Failure to Object to Charge on Second-Degree Murder
    (Sub-Claim 14)
    Appellant’s fourteenth sub-claim is that, “Trial Counsel was ineffective
    in failing to object to the charge given to the jury on Second-degree
    Murder.” Appellant’s Brief at 5 ¶ 14. He contends:
    At the conclusion of the evidence the [t]rial [court] instru[c]ted
    [the j]ury that the Commonwealth must prove that the killing
    was done in the course of committing a [r]obbery. However, the
    Judge did not tell the [j]ury that the prosecution had to prove
    that the killing had to be done “in furtherance” of the [r]obbery
    in order for the killing to rise to the level of Second-degree
    Murder. Since that instruction was never given, Appellant’s
    conviction for Murder in the Second-degree cannot stand
    because Trial Counsel’s error in not asking for the proper
    instruction was of constitutional dimen[s]ion. Strickland v.
    Washington, 
    466 U.S. 668
    , 687 (1984).
    Under Pennsylvania law, a killing can rise to the level of Second-
    degree Murder if it is committed “in the perpetration of a
    Robbery.” This requirement can be particularly problematic
    when the individual who is charged with the Murder is not the
    actual slayer. There must be a sufficient nexus between the
    killing and the felonious act justifying imposing vicarious liability
    for the killing upon one who though not the killer was
    nevertheless involved in the underlying felony.                 See
    Commonwealth v. Waters 
    418 A.2d 312
    , 315 (Pa. 1980),
    Commonwealth v. Olds, 
    469 A.2d 1072
    , 1076-77 (Pa.Super.
    1984) (citing Commonwealth v. Redline, 
    137 A.2d 472
     (Pa.
    1958)[)], see also Commonwealth ex rel. Smith v. Myers,
    
    261 A.2d 550
    , 555 (Pa. 1970).
    Appellant’s Brief at 22 (parentheses and unnecessary punctuation omitted),
    25.
    The PCRA court’s entire response to Appellant’s challenge to the jury
    instruction on second degree murder is:       “In reviewing this charge, it is
    abundantly clear that the charge to the jury was correct on the elements of
    - 36 -
    J-S08002-17
    second degree murder, and that charge was consistent with the standard
    jury instruction on the issue of second degree murder.”      PCRA Ct. Op.,
    8/8/16, at 20-21.
    The trial court instructed the jury that murder of the second degree “is
    where a murder occurs during the commission of certain enumerated
    felonies.” N.T., 10/25/10, at 72-73 (emphasis added). It continued:
    In order for you to find the defendant guilty of the crime of
    second degree murder, you must be satisfied that Michael Ross
    was killed; second, that the defendant did so while in the
    course of committing or attempting to commit a robbery; and
    third, that he was acting with malice.
    Id. at 73 (emphasis added).
    In Commonwealth v. Munchinski, 
    585 A.2d 471
    , 482 (Pa. Super.
    1990), appeal denied, 
    600 A.2d 535
     (Pa. 1991), the appellant challenged a
    charge on second degree murder. In response, we explained:
    The constituent element of second degree murder is the killing of
    a person in the course of committing a felony. . . . What is
    required is that the actor be found guilty of a homicide in the
    progress of committing a felony with sufficient evidence to
    establish a felony was in process and the killing occurred.
    Id. at 483 (emphasis added). Here, the trial court’s jury charge for murder
    of the second degree used the same language as in Munchinski — “in the
    course of committing.”     N.T., 10/25/10, at 73.      Also, we note that
    Commonwealth v. Tolbert, 
    670 A.2d 1172
    , 1179 (Pa. Super. 1995),
    appeal denied, 
    693 A.2d 588
     (Pa. 1997), cert. denied, 
    522 U.S. 891
    (1997), defines second-degree murder as “the killing of another with malice
    - 37 -
    J-S08002-17
    during the commission of a felony” (emphasis added), thereby reflecting
    other language used by the trial court in this case.
    Appellant’s reliance on Commonwealth v. Waters, 
    418 A.2d 312
    (Pa. 1980), is misplaced.        Waters was an accomplice in the commission a
    felony; his co-defendant’s act caused the victim’s death. Id. at 316. This
    Court explained this distinction in greater detail in Commonwealth v.
    Mease, 
    516 A.2d 24
    , 26-27 (Pa. Super. 1986), appeal denied, 
    531 A.2d 428
     (Pa. 1987):
    [In Waters,] the issue was accomplice liability for a killing
    committed during the perpetration of a burglary. The Supreme
    Court held that the accomplice, who had not fired the fatal
    bullet, was entitled to a jury instruction that to be found guilty of
    murder of the second degree there would have to be proof “of a
    conspiratorial design by the slayer and the others to commit the
    underlying felony and of an act by the slayer causing death
    which was in furtherance of the felony.” . . . 418 A.2d at 317
    (emphasis in original) (footnote omitted). In the instant case,
    Mease was the slayer and not merely an accomplice, and it was
    enough that the evidence showed that he had killed his victim
    while engaged in committing the crime of kidnapping.
    Similarly to Mease, in the current action the Commonwealth’s theory always
    was that Appellant was the slayer and not merely an accomplice. 17 The co-
    defendant gave a statement that Appellant fired his weapon at the victim,
    and only Appellant’s DNA was found on the grip of the firearm that killed the
    victim. Trial Ct. Op., 5/8/12, at 9; PCRA Ct. Op., 8/8/16, at 12. Hence, “it
    was enough that the evidence showed that he had killed his victim while
    ____________________________________________
    17In contrast to other arguments in his brief, Appellant’s argument on this
    sub-claim does not assert that he was an accomplice and not the shooter.
    Compare Appellant’s Brief at 4 ¶ 14 & 22 with id. at 4 ¶ 7 & 20-21.
    - 38 -
    J-S08002-17
    engaged in committing the crime” of robbery.         Mease, 516 A.2d at 27.
    Appellant’s reliance on Commonwealth v. Olds, 
    469 A.2d 1072
     (Pa. Super.
    1983), is inapt for this same reason.        See 
    id. at 1075
     (“there [was] no
    evidence that appellant participated directly in . . . the murder,” so “the
    validity of [his] convictions depend[ed] upon his responsibility for acts done
    in furtherance of an alleged conspiracy”).
    Because any objection to the trial court’s instruction thus would have
    been meritless, counsel cannot be considered ineffective for failing to raise
    it. Spotz, 47 A.3d at 122.
    Failure to Investigate and Develop Trial Strategy
    (Sub-Claim 15)
    Appellant’s fifteenth sub-claim is that trial counsel “was ineffective in
    failing to investigate and to develop an adeq[ua]te Trial strategy.”
    Appellant’s Brief 5 ¶ 15.      “Appellant asserted that Trial Counsel was
    unprepared for Trial and sabotaged his case by giving many different
    theories of what happened instead of sticking with the truth while the
    Commonwealth used different theories against Appellant during Closing
    Arguments.” Id. at 18.
    The PCRA court rebutted:
    This claim, however, is refuted by the record. His [trial counsel]
    knew that the evidence that was going to be presented by the
    Commonwealth would place [Appellant] and . . . the co-
    defendant, at the scene of the homicide. It was also clear that
    [Appellant] was shot at Ross’ store and was driven by his
    [nephew] to the hospital where he was treated. It was also
    evident that he had given multiple, conflicting statements about
    his whereabouts and involvement to the police and that his
    - 39 -
    J-S08002-17
    [nephew] had also given multiple and conflicting statements
    about what they were doing at the time the homicide occurred.
    There was the fact that the DNA evidence was on the murder
    weapon and that that DNA evidence established that it was
    [Appellant]’s DNA on that murder weapon. The record in this
    case clearly shows that [trial counsel] was prepared and
    attempted to defend [Appellant] in the best possible manner in
    spite of the overwhelming evidence against him.
    PCRA Ct. Op., 8/8/16, at 21.
    We note that elsewhere in Appellant’s Brief, he acknowledges that trial
    counsel did develop a trial strategy — specifically, that trial counsel’s “trial
    strategy was that his Client was in the Store, during the course of time he
    became caught up in the middle of a shoot-out.” Appellant’s Brief at 23, 35
    (citing N.T., 10/18/10, at 55). In this connection —
    Th[e Supreme] Court [of Pennsylvania] has previously held PCRA
    hearings are not discovery expeditions, but are conducted when
    necessary to offer the petitioner an opportunity to prove his
    explicit assertion of ineffectiveness raising a colorable claim
    about which there remains an issue of material fact.
    Commonwealth v. Sneed, 
    616 Pa. 1
    , 
    45 A.3d 1096
    , 1107
    (2012).       Particularly when PCRA claims require
    examination of trial strategy, it is not enough to take a
    cold record, state alternative choices counsel could have
    made, and then declare an entitlement to relief. 
    Id.
     Mere
    conclusory allegations, without some proffer as to what counsel
    would say in response to the allegations are insufficient to
    establish entitlement to relief. 
    Id.
     Thus a supporting document
    from counsel stating his reasons for the course chosen is
    generally necessary to establish potential entitlement to a
    hearing. 
    Id.
     See, e.g., Pa.R.Crim.P. 902(A)(12)(b) (PCRA
    petition shall contain facts supporting each ground for relief; if
    supporting facts do not appear of record “affidavits, documents
    and other evidence showing such facts” to be identified).
    Commonwealth v. Cousar, 
    154 A.3d 287
    , 299–300 (Pa. 2017) (emphasis
    added).   Here, Appellant did not attach any sort of supporting document
    - 40 -
    J-S08002-17
    from trial counsel “stating his reason for the course chosen[.]”
    Appellant also makes the bald assertion that “there was prejudice to
    Appellant’s strategy and defense at Trial.”        Appellant’s Brief at 25, 37.
    However, he does not articulate what prejudice he suffered as a result of
    trial counsel’s actions or lack thereof, see 
    id.,
     and “Strickland prejudice is
    not proved by such conclusory characterizations[.]”       Cousar, 154 A.3d at
    309.
    For these reasons, Appellant’s challenge that trial counsel failed to
    investigate and to develop an adequate trial strategy does not merit relief.
    Failure to Produce
    Bullet Removed from Appellant’s Back
    (Sub-Claim 21)
    For his twenty-first claim, Appellant contends that he was shot in the
    back during the robbery and a bullet lodged in his back. Appellant’s Brief at
    20. He continues:
    Claim 21.- violation of Brady Rule,[18] the exculpatory evidence
    from the jury, by failure to [produce the] bullet lodged in
    suppression of Appellant’s back. The infirmary Staff Doctor
    Patterson in . . . Allegheny County Prison turned over the bullet
    Appellant was shot with to the District Attorney’s Office, once
    surgical Doctors came in from the outside Hospital and removed
    the bullet out of [Appellant’s] back. By failure to disclose the
    bullet this was suppression of exculpatory evidence by the
    Commonwealth from the jury.
    Doctor Levine testified as a[n] expert witness in firearms (N.T.
    10/22/10, [at] 257[]-279) that he examined a .22 long caliber
    ____________________________________________
    18 Under Brady v. Maryland, 
    373 U.S. 83
    , 87-88 (1963), “suppression by
    prosecution of evidence favorable to an accused upon request violates due
    process where the evidence is material either to guilt or to punishment,
    irrespective of the good faith or bad faith of prosecution.”
    - 41 -
    J-S08002-17
    Ruger with a Serial Number 213-38048, discharged the .22
    caliber cartridges and a number of .22 caliber bullets, .22 caliber
    bullets were removed from the post-mort[e]m examination of
    the decedent Michael Ross, Appellant contends he was shot in
    the back with a .22 caliber bullet which establishes that he was
    not the actual Killer of the decedent as the Commonwealth
    argued to the Jury.
    Appellant’s Brief at 20-21.
    The PCRA court stated: “This particular claim is nonsensical. The fact
    that a bullet was removed from [Appellant’s] body in no way exonerates him
    from the killing of [Michael] Ross.” PCRA Ct. Op., 8/8/16, at 23.
    “To establish a Brady violation, [A]ppellant must demonstrate that:
    (1) the prosecution concealed evidence; (2) the evidence was either
    exculpatory or impeachment evidence favorable to him; and (3) he was
    prejudiced.”   Commonwealth v. Treiber, 
    121 A.3d 435
    , 460–61 (Pa.
    2015). Appellant failed to meet these requirements.
    First, Appellant failed to demonstrate that “the prosecution concealed
    evidence.” See Treiber, 121 A.3d at 460. Appellant clearly knew that he
    had a bullet surgically removed, without having to be told so by the
    Commonwealth. Second, Appellant also failed to show that the allegedly
    concealed evidence was exculpatory. See id. at 461. “Exculpatory evidence
    is that which extrinsically tends to establish defendant’s innocence of the
    crimes charged.”   Commonwealth v. Lisa Lambert, 
    765 A.2d 306
    , 325
    n.15 (Pa. Super. 2000).       “Brady does not require the disclosure of
    information that is not exculpatory but might merely form the groundwork
    for possible arguments or defenses.” Commonwealth v. Roney, 79 A.3d
    - 42 -
    J-S08002-17
    595, 608 (Pa. 2013) (citations and internal quotations omitted). Here, the
    twenty-two-caliber      bullet   removed       from   Appellant’s   back   is   actually
    inculpatory, because it confirms Appellant’s presence at the scene of the
    crime. Assuming, for argument’s sake, that additional information about the
    removed bullet could have laid the groundwork for possible arguments or
    defenses, Brady does not require the disclosure of such information.
    Roney, 79 A.3d at 608. In addition, Appellant fails to explain how he was
    prejudiced.     See Treiber, 121 A.3d at 461.             Hence, Appellant has not
    established any of the three required prongs to support a Brady claim. His
    twenty-first sub-claim thereby collapses.
    Remaining Non-Cumulative Claims of Error
    (Sub-Claims 4, 6, 7, 8, 9, 17, 19, 20, 22)
    Appellant is entitled to no relief on his remaining claims, because his
    brief does not develop them. Appellant’s fourth, sixth, seventh, eighth, and
    ninth sub-claims are vague and undeveloped ineffective assistance of
    counsel claims. See Appellant’s Brief at 32-33. Because these claims are
    not explained, developed, or supported by the record factually or legally,
    Appellant has not established he is entitled to relief on any of these claims.
    See Spotz, 47 A.3d at 108 n.34.19
    The result is the same for Appellant’s seventeenth, nineteenth,
    twentieth, and twenty-second sub-claims. Appellant proffers no argument in
    ____________________________________________
    19Assuming that these claims were explained, developed, and supported, we
    would agree with the PCRA court’s analysis for each issue. See PCRA Ct.
    Op., 8/8/16, at 12-15.
    - 43 -
    J-S08002-17
    his brief or in his reply brief to this Court in support of these claims. See
    Appellant’s Brief at 11-39; Appellant’s Reply Brief at 2-6.20     Beyond baldly
    enumerating these issues in his Statement of Questions Involved and
    copying identical language from his PCRA petition and amended PCRA
    petition, he does discuss these issues at all. 21     See Appellant’s Brief at 5,
    13-16.    If an issue raised on appeal is too undeveloped for the court to
    identify and address it, then it is waived. See Commonwealth v. Reeves,
    
    907 A.2d 1
    , 2 (Pa. Super. 2006), appeal denied, 
    919 A.2d 956
     (Pa. 2007);
    Commonwealth v. Butler, 
    756 A.2d 55
    , 57 (Pa. Super. 2000) (when a
    court “has to guess what issues an appellant is appealing, that is not enough
    for meaningful review” (citation omitted)), aff’d, 
    812 A.2d 631
     (Pa. 2002).
    We conclude that, as we cannot discern the nature of these sub-claims, we
    cannot provide meaningful review, and these sub-claims therefore are
    waived.
    Cumulative Errors
    (Sub-Claim 23)
    Appellant’s final sub-claim is that the “verdicts [a]gainst Appellant
    were a result of the cumulative errors previously presented.”         Appellant’s
    Brief at 5 ¶ 23. Appellant does not develop this contention.
    ____________________________________________
    20  For his nineteenth sub-claim, Appellant writes: “Conflict of interest
    between a Client and his Attorney, review of specific Notes of Testimony are
    irrelevant to this issue.”     Appellant’s Brief at 19.   Appellant has not
    elaborated on his assertion and thus we cannot ascertain what he means or
    whether he is entitled to relief.
    21Appellant’s PCRA petition and amended PCRA petition do not include any
    argument for these claims.
    - 44 -
    J-S08002-17
    The PCRA court stated:
    This particular claim is predicated upon the cumulative effect of
    all of the alleged errors asserted by [Appellant]. Since none of
    those claims have any merit, he could not be subject to a
    cumulative error claim.
    PCRA Ct. Op., 8/8/16, at 24.
    In Spotz, the Court stated:
    [The Supreme Court of Pennsylvania has] often held that no
    number of failed claims may collectively warrant relief if they fail
    to do so individually. However, we have clarified that this
    principle applies to claims that fail because of lack of merit or
    arguable merit.      When the failure of individual claims is
    grounded in lack of prejudice, then the cumulative prejudice
    from those individual claims may properly be assessed.
    However, while cumulative prejudice may properly be assessed
    with respect to individual claims that have failed due to lack of
    prejudice, nothing in our precedent relieves an appellant who
    claims cumulative prejudice from setting forth a specific,
    reasoned, and legally and factually supported argument for the
    claim.   A bald averment of cumulative prejudice does not
    constitute a claim. Appellant has set forth no reviewable claim,
    and he is entitled to no relief.
    47 A.3d at 129 (internal brackets, citations, and quotation marks omitted);
    see also Commonwealth v. Bryant, 
    855 A.2d 726
    , 751 (Pa. 2004) (“No
    number of failed claims may collectively attain merit if they could not do so
    individually” (brackets and citation omitted)).
    We have held in this memorandum that Appellant has not raised any
    claims that entitle him to relief.   Although we concluded that Appellant’s
    claim regarding investigation of the origin of the T-shirts fails mainly for lack
    of prejudice, this is the only claim that fails for this reason and it therefore
    cannot contribute to a larger claim of cumulative prejudice resulting from
    - 45 -
    J-S08002-17
    multiple similar claims.   Accordingly, Appellant’s final sub-claim in Issue I
    regarding cumulative errors is without merit.
    *      *     *
    As all of Appellant’s twenty-three sub-issues in Issue I are meritless
    and as Appellant waived Issues II and III, we conclude that the PCRA court
    did not err by granting Attorney Patterson’s petition to withdraw, see
    Commonwealth v. Freeland, 
    106 A.3d 768
    , 774-75 (Pa. Super. 2014),
    and we affirm the order dismissing Appellant’s petition filed under the Post
    Conviction Relief Act.
    Order affirmed.
    Judgment Entered.
    Joseph D. Seletyn, Esq.
    Prothonotary
    Date: 11/21/2017
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