Opinion

Gantt v. State

  • 241 Md. App. 276
  • 209 A.3d 812
Court
Court of Special Appeals of Maryland
Filed
Jun 4, 2019
Status
Published
Author
Wright
On the bench
Moylan
Cited by
1 cases
Authority
More cited than 44.6%

all references to “the appellant” replaced with “Gantt”

How later courts described this case

  • all references to “the appellant” replaced with “Gantt”

Written by the judges who cited it.

The opinion

Gantt v. State, No. 902 of the 2018 Term, Opinion by Moylan, J.

POST-CONVICTION HEARING – UNAPPEALED BATSON CHALLENGE

– INEFFECTIVE ASSISTANCE OF COUNSEL – THE SCOURGE OF

LEXINGTON PARK – THE ADJUDICATORY SAGA – STRICKLAND V.

WASHINGTON: THE TWO-PRONGED TEST – THE PERFORMANCE PRONG

– THE PREJUDICE PRONG – ADEQUACY OF APPELLATE COUNSEL – THE

SELECTION OF APPELLATE ISSUES – SELECTION OF ISSUES IN THIS

CASE – A. MULTIPLE SENTENCES OF LIFE WITHOUT PAROLE – B.

MARYLAND RULE 4–215 AND SELF-REPRESENTATION – C. THE RIGHT TO

TESTIFY VERSUS THE RIGHT NOT TO TESTIFY – D. SUBPOENAS FOR

WITNESSES AND A REQUEST FOR A CONTINUANCE – E. TEN

PEREMPTORY CHALLENGES AND LIFE IMPRISONMENT WITHOUT

PAROLE – F. THE BOTTOM LINE – THE BATSON CHALLENGE: INHERENT

PROCEDURAL WEAKNESSES – A. NON-PRESERVATION – B. WAIVER – C.

THE COMBINED PROCEDURAL FLAWS – THE BATSON MERITS: THE

PURKETT V. ELEM THREE-STEP – A. STEP ONE: AN EXPRESS OBJECTION,

LOUD AND CLEAR – B. STEP TWO: HE LOVED NOT CAESAR LESS, BUT

ONLY ROME MORE – C. STEP THREE: ALL QUIET ON THE BATSON FRONT

– INEFFECTIVENESS CUBED

Circuit Court for St. Mary’s County

Case No. 18-K-07-000578

REPORTED

IN THE COURT OF SPECIAL APPEALS

OF MARYLAND

No. 902

September Term, 2018

______________________________________

ANTONIO GANTT

v.

STATE OF MARYLAND

______________________________________

Wright,

Reed,

Moylan, Charles E., Jr.

(Senior Judge, Specially Assigned),

JJ.

______________________________________

Opinion by Moylan, J.

______________________________________

Filed: June 4, 2019

Pursuant to Maryland Uniform Electronic Legal

Materials Act

(§§ 10-1601 et seq. of the State Government Article) this document is authentic.

2019-06-04 15:22-04:00

Suzanne C. Johnson, Clerk

It would be challenging to declare that in this case the 1986 decision of Batson v.

Kentucky, 476 U.S. 79, 106 S. Ct. 1712, 90 L. Ed. 2d 69, is robustly alive and well. The

mundane reality, however, is that in this case, the raising of a Batson issue is but an

opportunistic afterthought on tenuous life-support. Even without Batson, however, the

appellant’s criminal history has a stubborn vitality of its own that is slowly hardening into

local legend.

The Scourge Of Lexington Park

The appellant is Antonio Warren Gantt. His specialty is bank robbery. For a town

the size of Lexington Park (population 11,626 as of the census of 2010), the appellant was

for a decade a one-man crime wave. Prior to the two bank robberies which we will be

mentioning in fuller detail, the appellant had already compiled a not insignificant criminal

history. The first of the actual bank robberies occurred on September 24, 2007, at the

Lexington Park branch of the Maryland Bank and Trust. The appellant, single-handedly,

walked up to a teller and demanded cash in hundreds and fifties, threatening to kill the

teller if she did not comply. The teller turned over to him approximately $22,000. The

appellant was not immediately apprehended and remained at large to strike again.

Five weeks later, on October 31, 2007, the appellant, again single-handedly, robbed

the same Lexington Park branch of the Maryland Bank and Trust for yet a second time,

making off on that occasion with between $43,000 and $44,000. Eight separate witnesses

identified him at trial. Three of the tellers were sprayed with gasoline and ordered to go

into the back room where the money was stored. The appellant threatened to “kill [them]

and burn the bank down” if they did not follow his orders. The appellant herded them into

the vault and shut the door. On that occasion, however, the bank manager was able to turn

over to the appellant $1,000 in “bait money.” The appellant was shortly thereafter

apprehended.

On November 18, 2008, a St. Mary’s County jury convicted the appellant of the

October 31, 2007, bank robbery. On the next day, November 19, 2008, another St. Mary’s

County jury convicted the appellant of the September 24, 2007, bank robbery. At a joint

sentencing for both sets of convictions on January 16, 2009, the appellant was sentenced,

as a subsequent offender, to concurrent terms of life imprisonment without parole for each

of the bank robberies.

The appellant took a consolidated appeal to this Court. In an unpublished opinion,

we concluded that Rule 4–215 had been violated because the appellant had been permitted

to discharge his counsel without having been informed that he was facing the possible

sentence in each case of life without parole. Gantt v. State, No. 2704, September Term,

2008, filed on August 24, 2010.

Some indication of the local reaction to the reversals may be had from the August

23, 2011, article in the St. Mary’s County Enterprise which quoted one of the exasperated

trial judges, upon being informed of the reversals, as saying, “I think the Court of Special

Appeals made a very stupid decision . . . . It’s obvious I hate him. I think he should be

hung. Go get me a rope.”1

1

The trial judge’s rancor would surface again several years later at a hearing

considering the appellant’s Petition for Post-Conviction Relief.

2

On September 6, 7, and 8, 2011, the appellant was retried for the October 31, 2007,

bank robbery by a St. Mary’s County jury, presided over by Judge Karen H. Abrams. The

appellant was again convicted. The appellant then took his second appeal to this Court.

Gantt v. State, No. 1871, September Term, 2011, filed on April 1, 2013. In a footnote, the

opinion of this Court on that occasion took note of the “less than amicable” feeling of the

appellant toward the judiciary.

The mood throughout this pre-trial hearing was less than amicable. At

one point the appellant requested that he be at the trial in civilian clothing. In

declining that request, Judge Abrams reminded the appellant that he had

actually been bound and shackled at his first trial. At one point Judge Abrams

advised him that, as a pro se defendant, he was “going to have to show respect

for the court or be removed from the courtroom.” The appellant responded:

MR. GANTT: You bitch. You are a bitch. You are a real

bitch. I never came into this courtroom and did anything. These

officers tazed me and they tape me up. You have the nerve to

chastise me about if I act up? You were the ones who abused

me. I never abused anyone. So I don’t want to hear that shit.

We want to go to trial, let’s go to trial. Don’t chastise me like

I came into this courtroom and did something to someone. You

want me – you got blood on your –

(Emphasis supplied).

Thus, the cast of characters (the appellant) and the mood of the local community.

Feelings were running high.

The Adjudicatory Saga

Both that second trial of September 6, 7, and 8, 2011, for the October 31, 2007, bank

robbery and that second appeal to this Court will be examined in full detail. In that appeal,

the appellant raised five contentions. In response to one of the contentions, this Court

3

vacated the enhanced sentence for two of the armed robbery convictions, but we otherwise

affirmed the convictions. On the sentencing remand, Judge Abrams sentenced the appellant

to a term of 20 years on each of the armed robbery convictions, the sentences to run

concurrently. Calhoun v. State, 46 Md. App. 478, 488–89, 418 A.2d 1241 (1980), aff’d,

290 Md. 1, 425 A.2d 1361 (1981); State v. Taylor, 329 Md. 671, 674, 621 A.2d 424 (1993).

On December 13, 2013, the appellant filed a pro se Petition for Post-Conviction

Relief. Supplemental Petitions followed on December 20, 2013; on September 26, 2014;

on December 27, 2016; and on November 1, 2017. On November 9, 2017, the appellant

withdrew all grounds for Post-Conviction Relief not set forth in the “November

Supplement.”

A Post-Conviction hearing was held before Judge Steven I. Platt on November 9,

2017. On December 21, 2017, Judge Platt filed his order, which permitted the appellant to

file a belated Motion for Modification with respect to two counts and which permitted the

appellant to file a belated Application for Review of Sentence by a Three Judge Panel. He

otherwise denied the Petition for Post-Conviction Relief in all respects.

Of the four issues before Judge Platt at the Post-Conviction hearing, two of them

alleged that appellate counsel had been inadequate for failing to raise issues on the second

appeal to this Court from the September 8, 2011, conviction for the October 31, 2007, bank

robbery. One of the alleged inadequacies of appellate counsel was the failure to appeal the

rejection of the appellant’s ostensible Batson challenge, the alleged inadequacy now before

us. The other alleged appellate inadequacy was counsel’s failure to appeal from the denial

4

of the appellant’s motion for a change of venue based on the intemperate remarks of the

first trial judge to the local newspaper upon the reversal of both bank robbery convictions.

The appellant is not now challenging that second alleged appellate inadequacy.

A Single Contention

On January 9, 2018, the appellant filed an Application for Leave to Appeal to this

Court based on his chagrin at failing to prevail at the Post-Conviction hearing. That

application was granted on July 17, 2018. In what is now his third appeal to this Court, the

appellant raises a single contention:

The post conviction court erred in denying Appellant’s claim of

ineffective assistance of appellate counsel for failing to raise his

meritorious Batson issue on direct appeal.

Strickland v. Washington:

The Two-Pronged Test

Since 1984, the universally accepted test for measuring the Sixth Amendment

adequacy of counsel, both trial and appellate, has been Strickland v. Washington, 466 U.S.

668, 104 S. Ct. 2052, 80 L. Ed. 2d 674. In thoroughly analyzing Strickland, this Court in

State v. Gross, 134 Md. App. 528, 760 A.2d 725 (2000), aff’d, Gross v. State, 371 Md.

334, 809 A.2d 627 (2002), focused on its two-pronged character.

The fountainhead is Strickland v. Washington. After pointing out that

the “benchmark for judging any claim of ineffectiveness must be whether

counsel’s conduct so undermined the proper functioning of the adversarial

process that the trial cannot be relied on as having produced a just result,” the

Supreme Court went on to establish the now classic two-pronged test for

making such a determination. It referred to the two distinct elements that had

to be analyzed as the “performance component” and the “prejudice

component” of the “ineffectiveness inquiry.”

5

134 Md. App. at 550 (emphasis supplied; citations omitted).

A number of Maryland cases, incidentally, have discussed and

applied Strickland and its two-pronged test. Wiggins v. State, 352 Md. 580, 600–03, 724

A.2d 1 (1999); Oken v. State, 343 Md. 256, 283–95, 681 A.2d 30 (1996); Gilliam v.

State, 331 Md. 651, 664–86, 629 A.2d 685 (1993); State v. Thomas, 328 Md. 541, 616

A.2d 365 (1992); Williams v. State, 326 Md. 367, 605 A.2d 103 (1992); State v. Thomas,

325 Md. 160, 169–73, 178–88, 599 A.2d 1171 (1992); Bowers v. State, 320 Md. 416, 424–

31, 578 A.2d 734 (1990); State v. Colvin, 314 Md. 1, 5–7, 14–19, 548 A.2d 506

(1988); State v. Calhoun, 306 Md. 692, 728–38, 511 A.2d 461 (1986); State v.

Tichnell, 306 Md. 428, 433–57, 509 A.2d 1179 (1986); Harris v. State, 303 Md. 685, 496

A.2d 1074 (1985); State v. Purvey, 129 Md. App. 1, 5–27, 740 A.2d 54 (1999), cert.

denied, 357 Md. 483, 745 A.2d 437 (2000); and Cirincione v. State, 119 Md. App. 471,

483–509, 705 A.2d 96, cert. denied, 350 Md. 275, 711 A.2d 868 (1998).

To prevail on a claim that the constitutionally guaranteed assistance of counsel was

inadequate, a defendant must satisfy both the performance component and the prejudice

component of Strickland. The defendant, moreover, has the burden of proof with respect

to each.

The Performance Prong

Strickland itself pointed out that the defendant’s burden on the performance prong

is to prove that counsel’s representation was so deficient as to undermine the adversarial

process.

6

First, the defendant must show that counsel’s performance was deficient.

This requires showing that counsel made errors so serious that counsel was

not functioning as the “counsel” guaranteed the defendant by the Sixth

Amendment.

466 U.S. at 687 (emphasis supplied).

In State v. Gross, we pointed out that the standard for appellate comparison is not

an “ideal” but only a “reasonable performance.”

Strickland then admonished that counsel is not to be measured against an

ideal standard but is to be assessed in terms of whether his lawyerly

assistance was “reasonable” and that that is to be measured “under prevailing

professional norms[.]”

134 Md. App. at 551.

Strickland was very clear, moreover, that counsel’s performance must be measured

against prevailing professional norms.

As all the Federal Courts of Appeals have now held, the proper

standard for attorney performance is that of reasonably effective assistance. .

. . When a convicted defendant complains of the ineffectiveness of counsel’s

assistance, the defendant must show that counsel’s representation fell below

an objective standard of reasonableness.

....

The proper measure of attorney performance remains simply reasonableness

under prevailing professional norms.

466 U.S. at 687–88 (emphasis supplied; citations omitted).

In State v. Gross, we made it clear that the appellate review of counsel’s

performance must be highly deferential.

In guarding against too facile a finding of deficient performance by

trial counsel, the Supreme Court circumscribed after-the-fact review, by

post-conviction court and appellate court alike, with a number of cautionary

7

admonitions. One of those is that “judicial scrutiny of counsel’s performance

must be highly deferential” and that reviewing courts should be especially

careful not to judge a performance through the distorting lens of hindsight.

134 Md. App. at 552 (emphasis supplied).

As to the standard of review of the adequacy of a performance, Strickland left no

doubt.

It is all too tempting for a defendant to second-guess counsel’s assistance

after conviction or adverse sentence, and it is all too easy for a court,

examining counsel’s defense after it has proved unsuccessful, to conclude

that a particular act or omission of counsel was unreasonable. A fair

assessment of attorney performance requires that every effort be made to

eliminate the distorting effects of hindsight, to reconstruct the circumstances

of counsel’s challenged conduct, and to evaluate the conduct from counsel’s

perspective at the time. Because of the difficulties inherent in making the

evaluation, a court must indulge a strong presumption that counsel’s conduct

falls within the wide range of reasonable professional assistance; that is, the

defendant must overcome the presumption that, under the circumstances, the

challenged action “might be considered sound trial strategy.”

466 U.S. at 689 (emphasis supplied; citations omitted).

The Prejudice Prong

The fact that a given trial tactic proves to be unsuccessful, moreover, does not ipso

facto establish that the defendant was prejudiced. Strickland is clear.

[I]neffectiveness claims alleging a deficiency in attorney performance are

subject to a general requirement that the defendant affirmatively prove

prejudice . . . .

466 U.S. at 693 (emphasis supplied). Strickland went on:

The defendant must show that there is a reasonable probability that, but for

counsel’s unprofessional errors, the result of the proceeding would have been

different. A reasonable probability is a probability sufficient to undermine

confidence in the outcome.

8

466 U.S. at 694 (emphasis supplied).

In Oken v. State, 343 Md. 256, 681 A.2d 30 (1996), the Court of Appeals discussed

Strickland’s prejudice component.

In order to establish prejudice, Oken must show that there is a substantial

possibility that, but for counsel’s unprofessional errors, the result of the

proceeding would have been different.

343 Md. at 284 (emphasis supplied).

Adequacy Of Appellate Counsel

With inevitable variations in its appellate application, Strickland’s two-pronged test

for the adequacy of counsel operates as surely at the appellate level as it does at the trial

level. As this Court observed in State v. Gross:

The two-pronged test enunciated in Strickland applies to claims of

ineffective assistance of appellate counsel just as surely as it does to claims

of ineffective assistance of trial counsel.

Although the basic principles enunciated by Strickland remain the

same, whether applied to a trial performance or an appellate performance,

the juridical events to which those principles apply obviously differ

somewhat depending on the operational level being scrutinized.

134 Md. App. at 556 (emphasis supplied; citations omitted).

A major and recurring issue at the appellate level is the selection of which issues,

out of a larger totality of issues, to raise on appeal. In Jones v. Barnes, 463 U.S. 745, 103

S. Ct. 3308, 77 L. Ed. 2d 987 (1983), the Supreme Court was assessing the constitutional

adequacy of appellate lawyering. The United States Court of Appeals for the Second

Circuit had granted habeas corpus relief because an attorney had failed to raise on appeal

a non-frivolous argument specifically requested by a defendant. In reversing the Second

9

Circuit, the Supreme Court pointed out that the strategic selection of which appellate issues

to raise and which to ignore is one entrusted to the strategic judgment of appellate counsel

and is not a matter for second-guessing by an appellate court.

There can hardly be any question about the importance of having the

appellate advocate examine the record with a view to selecting the most

promising issues for review. This has assumed a greater importance in an

era when oral argument is strictly limited in most courts—often to as little

as 15 minutes—and when page limits on briefs are widely imposed. Even in

a court that imposes no time or page limits, however, the new per se rule

laid down by the Court of Appeals is contrary to all experience and logic. A

brief that raises every colorable issue runs the risk of burying good

arguments—those that, in the words of the great advocate John W. Davis,

“go for the jugular,” Davis, The Argument of an Appeal, 26 A.B.A.J. 895,

897 (1940)—in a verbal mound made up of strong and weak contentions.

463 U.S. at 752–53 (emphasis supplied; citation omitted).

In Smith v. Murray, 477 U.S. 527, 106 S. Ct. 2661, 91 L. Ed. 2d 434 (1986), the

Supreme Court reaffirmed the tactical role of appellate counsel in assessing the relative

strengths and weaknesses of various arguments and in then choosing, as a matter of trial

tactics, which to push and which to ignore.

After conducting a vigorous defense at both the guilt and sentencing phases

of the trial, counsel surveyed the extensive transcript, researched a number

of claims, and decided that, under the current state of the law, 13 were worth

pursuing on direct appeal. This process of “winnowing out weaker arguments

on appeal and focusing on” those more likely to prevail, far from being

evidence of incompetence, is the hallmark of effective appellate advocacy.

477 U.S. at 535–36 (emphasis supplied).

At the appellate level, the prejudice prong as well as the performance prong must

be satisfied. Smith v. Robbins, 528 U.S. 259, 120 S. Ct. 746, 145 L. Ed. 2d 756 (2000),

makes it clear that the burden remains on the defendant to demonstrate prejudice at the

10

appellate level by showing that had the unraised argument been raised, the appeal would

probably have been successful.

If Robbins succeeds in such a showing [of a deficient

performance], he then has the burden of demonstrating prejudice. That is, he

must show a reasonable probability that, but for his counsel’s unreasonable

failure to file a merits brief, he would have prevailed on his appeal.

528 U.S. at 285 (emphasis supplied).

In Newton v. State, 455 Md. 341, 168 A.3d 1 (2017), Judge Adkins wrote for the

Court of Appeals:

As to the performance prong, “[t]he Sixth Amendment does not require an

attorney to argue every possible issue on appeal.” . . . . Therefore, appellate

counsel “need not (and should not) raise every nonfrivolous claim, but rather

may select from among them in order to maximize the likelihood of success

on appeal.”

455 Md. at 363 (emphasis supplied; citations omitted).

The Selection Of Appellate Issues

In a relativistic world, the manager who has both a Ruth and a Cobb in his starting

line-up will not be second-guessed for having left even a DiMaggio on the bench. Appellate

counsel are well advised to be highly selective in choosing contentions and then to go with

the best. Even good contentions may prudently be ignored if they are less than the best. As

this Court noted in State v. Gross:

We are not suggesting for a moment that Gross’s claims with respect

to the DNA evidence were frivolous. An effective performance by appellate

counsel, however, does not require that every claim, even if non-frivolous,

be raised on appeal. Smith v. Robbins observed in this regard:

[A]ppellate counsel who files a merits brief need not (and

should not) raise every nonfrivolous claim, but rather may

11

select from among them in order to maximize the likelihood of

success on appeal.

134 Md. App. at 562–63 (some emphasis supplied; citation omitted).

The Supreme Court similarly observed in Jones v. Barnes:

Experienced advocates since time beyond memory have emphasized the

importance of winnowing out weaker arguments on appeal and focusing on

one central issue if possible, or at most on a few key issues.

463 U.S. at 751–52 (emphasis supplied). The Supreme Court quoted with approval from

the 1980 Manual of the Association of the Bar of the City of New York on practice before

the Second Circuit.

“[A] brief which treats more than three or four matters runs serious risks of

becoming too diffuse and giving the overall impression that no one claim of

error can be serious.”

463 U.S. at 752 n.2 (emphasis supplied).

Selection Of Issues In This Case

In assessing the legal adequacy of appellant’s counsel in this case, our focus is

exclusively appellate. At the appellant’s retrial of September 6, 7, and 8, 2011, for the bank

robbery of October 31, 2007, the appellant was, at the outset of the trial, permitted to fire

his lawyer. Not being entitled to a replacement, he represented himself throughout the trial.

The Office of the Public Defender assumed the representation of the appellant only for his

subsequent appeal. On appeal, counsel for the appellant raised the following five

contentions:

1. that the court erroneously imposed multiple sentences of life

imprisonment without parole;

12

2. that the court erroneously denied his motion to have the court appoint

counsel for him;

3. that the court erroneously advised him with respect to his right to testify;

4. that the court erroneously denied his request to summon defense

witnesses or, in the alternative, erroneously denied his motion to postpone

the trial; and

5. that the court erroneously limited him to ten peremptory juror challenges.

The appellant’s brief complied with the word limit imposed by Rule 8–503. The

unpublished opinion of this Court ran to 27 pages. Each of the contentions, moreover, had

solid merit.

A. Multiple Sentences Of Life Without Parole

The appellate attack on three concurrent sentences of life imprisonment without

parole not only had solid merit; it ultimately prevailed and caused this Court to vacate the

sentences and to remand the case for resentencing. It was, self-evidently, a contention

worthy of being raised.

B. Maryland Rule 4–215 And Self-Representation

From the beginning of this series of bank robbery trials, the appellant had serious

ongoing differences with his assigned assistant public defender and at one point actually

threatened to kill him. At the outset of the September 2011 trial now being considered, the

appellant was permitted to fire the assistant public defender in question but was not eligible

for replacement counsel. Our earlier opinion of April 1, 2013, described the issue.

On July 21, 2011, Judge Abrams granted the appellant’s request to

discharge Mr. Getz but ruled that the appellant’s reasons were not

meritorious. She found Mr. Getz to be “fully competent, extremely

13

competent.” She ruled that the appellant was “not entitled to an attorney of

your choice as long as you have competent counsel.” Judge Abrams’s

opinion strongly suggested that the appellant was deliberately manipulating

the system in order to cause trouble:

He’s been advised of everything. [I]f I accept the doctor’s

evaluation that everything he does, he knows what he’s doing

and he’s doing it on purpose, then I have to believe that what

he’s doing . . . on the issue of counsel is on purpose and with –

with a potential – with a possibility that if Mr. Getz is not going

to represent him and that maybe we’ll find him another

attorney that he likes better or maybe we won’t find him an

attorney, but either way, he’s prolonging the process and he’s

avoiding the trial, he’s avoiding the Motions hearings that

we’re having here, he’s not letting them take place.

In fact, the only way they’ve taken place today is

because I’ve taken him away from the Courtroom. So I think

that he has in fact waived his right to counsel and there is

absolutely no meritorious reason for him – for Mr. Getz to be

removed at his request and – and he has given the Court no

choice, no ability to give him counsel.

(Emphasis supplied).

Our opinion on appeal affirmed that decision of Judge Abrams to deny the appellant

any further governmental representation.

A sense that a litigant is trying to “manipulate” the legal system is just

as legitimate a sensitivity as any other aspect of a credibility determination.

In a case such as this, it may be especially pertinent. A manipulative decision

to fire one’s lawyer is less likely to have been a meritorious decision.

Maryland Rule 4–215 is a procedural minefield for a trial judge, with an

inadvertent misstep in attempting to traverse it by no means unusual. For a

cagey defendant with no hope of relief on the merits of guilt or innocence,

creating as much Rule 4–215 turmoil as possible may be a far more

promising path to appellate reversal than would be reliance on the evidentiary

merits. The only sure antidote for such stratagems is the psychological

sensitivity of the judge on the field in getting a “feel” for what is really going

on behind the spoken or written words. On appellate review, of course, we

defer to the infinitely superior vantage point of the judge in the courtroom to

14

hear the tones, observe the expressions, and be aware of the total background

as the conflict unfolds in front of her.

(Emphasis supplied).

The merits are no longer before us, but for a defendant, even an obstreperous one,

to go to trial without a lawyer and to be sentenced to life imprisonment without the

possibility of parole was obviously a very grave matter. The periodic confrontations

between the defendant and the trial judge, already alluded to, only exasperated a very

difficult situation. Because of its implications, this contention obviously had weight and

was self-evidently appeal-worthy.

C. The Right To Testify Versus The Right Not To Testify

On his third contention, appellate counsel (or the appellant himself) sought to

exploit the tension between “two separate but equal constitutional rights”—the right not to

testify pursuant to the Fifth Amendment privilege against compelled self-incrimination and

the right to testify pursuant to the Sixth Amendment right to present witnesses. When he

was explained “the pros and cons of either choice,” the appellant sought at first to avoid

the cons by testifying as an expert witness.

MR. GANTT: I wish to testify as an expert witness to give my analysis

on [the prosecutor’s] case and his report.

THE COURT: Well, Mr. Gantt. You can’t do that. You can testify as

a fact witness, but you – you need to understand the potential consequences

of your testimony.

If you testify, and you may if you wish as to your version of the events,

of what you have alleged has happened or didn’t happen, but then you open

the door for [the prosecutor] to go into your background and to testify – to

15

ask you questions about any criminal convictions that you have, any prior

involvement with the law and so forth and to explore that with you –

MR. GANTT: Okay.

THE COURT: – which can often be prejudicial in front of a jury. So

I need to know – I can’t qualify you as an expert. You can make any argument

you want when your time comes for closing argument, but – within the

confines of the law, that is, but I need to know whether you want to waive

your right to testify or whether you want to get on the stand to testify knowing

what the potential risks are.

MR. GANTT: Well, I won’t be testifying then.

(Emphasis supplied).

After properly warning the appellant that he could be cross-examined about his

convictions for robbery, forgery, escape, and conspiracy, Judge Abrams may have

committed a minor glitch with respect to second-degree assault. The appellant seized upon

the glitch with this third contention. This Court’s decision was hard pressed to prevent the

appellant from exploiting the minor glitch.

This case does not remotely present a Morales situation. Initially, it

absolutely defies logic that the appellant would have readily exposed to the

jury his numerous convictions for life endangering felonies in his desire to

testify but suddenly would have changed his mind because of the fear that

the jury would learn about a couple of second-degree assaults.

In this case, moreover, we can glean from the record no inkling that

the appellant ever wanted to testify as a fact witness. He did not so testify at

his earlier trial. He did not so testify at his retrial for the September 24, 2007,

bank robbery, which took place one week before trial in this case. The

appellant made no proffer as to what his testimony would have been, and we

cannot imagine what relevant and helpful testimony he could have offered

with respect to the bank robbery of October 31, 2007.

What the appellant clearly wanted was a platform from which he

could expostulate about what had been done wrong by the prosecution and

16

the police and the court system (and, quite possibly, the public defender’s

office and Mr. Getz). This was precisely why he requested that he be allowed

to testify “as an expert witness to give my analysis on the [prosecutor’s] case

and his report.” It was when Judge Abrams assured him that “you can make

any argument you want when your time comes for closing argument,” that

he indicated his satisfaction with that arrangement: “Well, I won’t be

testifying then.”

We hold that no advice given by Judge Abrams operated to dissuade

the appellant from exercising his desire to testify as a fact witness.

(Emphasis supplied). For present purposes, however, this was, by any standard of

measurement, a clever contention and an addition to the appellant’s arsenal of

unpredictable import.

D. Subpoenas For Witnesses And A Request For A Continuance

The fourth contention chosen by counsel concerned the procedural requirements for

issuing subpoenas for witnesses. This Court’s opinion of April 1, 2013, recounted the

exchange between the appellant and Judge Abrams on this subject.

THE COURT: Alright. Well, the problem with your request for

witnesses is that it was not filed with the clerk’s office until August 31st

which was last Wednesday. There had been – there’s no possible way of

getting subpoenas out for any of these people . . . I don’t know who most of

these people are, if in fact they are important fact witnesses, then I’m sure

that the detention center personnel will help you get on the phone and try to

locate some of these people.

MR. GANTT: You telling me that I sent the notice to the (inaudible)?

I sent the notice to request the court, to the prosecutor, and to . . . the sheriff

requesting witnesses and you’re telling me that you can’t have my witnesses

here. That’s a violation of my constitutional rights.

THE COURT: Okay. I – I cannot have your witnesses here. It’s up to

you to do that in a timely manner so that they can be subpoenaed.

17

MR. GANTT: Okay. From – well, let me ask you this question, from

July 21st when you discharged John Getz when I became my own lawyer,

when was I suppose to request witnesses? How much time did I have in a

timely manner? Don’t forget he had ten months and subpoenaed no one. So

now you’re telling me that you gave me a month and a half to subpoena

witnesses, but when was my timely manner suppose to be . . . ?

THE COURT: In sufficient time for the clerk’s office to be able to

process subpoenas, send them to the . . . sheriff’s department, and the

sheriff’s department to send personnel out to serve them.

MR. GANTT: Well, the point is –

THE COURT: Five days is not enough.

MR. GANTT: Let me say this, all the witnesses that I subpoenaed,

they are already witnesses that the prosecutor subpoenaed.

THE COURT: Well, then you’re alright then. . . . I’m not disallowing

your witnesses to be here. You may get them here any way you wish.

(Some emphasis supplied).

The contretemps about subpoenas immediately segued into a spirited discussion of

the appellant’s request for postponement.

MR. GANTT: . . . I want to ask for a postponement then. This is the

first postponement I’ve had. If you’re not going to allow my witnesses to be

here which I subpoenaed them –

THE COURT: I’m not disallowing your witnesses to be here. You

may get them here any way you wish.

MR. GANTT: I have no way to do that. . . . If . . . the court can’t

process my witnesses and subpoena them in time, well, I’m asking for a

postponement until you do so. That’s what I respectfully request.

THE COURT: I’m not going to postpone the case. This has been set.

This had been especially set. We’ve cleared my docket for the rest of the

week so that this trial can go –

18

MR. GANTT: Well, it’s going to be obvious when your (inaudible)

conviction gets appealed, Ms. Abrams, because you’re making every excuse

you can. All I want to do is get my witnesses into the courtroom. You only

gave me a month and a half to do anything.

THE COURT: Mr. Gantt, while you were refusing to talk to [your

defense counsel] for ten months, you needed to be working on your case

yourself.

MR. GANTT: There you go. Hiding behind [defense counsel] . . . You

bitch. That’s all you do is hide behind [defense counsel]. You are a real bitch.

That’s what you are. . . . You won’t give me my witnesses, you won’t give

me a lawyer, you won’t give me a postponement. You give – you give

attorneys six months – 180 days to prepare a defense for their . . . clients, but

you won’t even give me a postponement to get – you won’t even extend this

trial for a few days until – just until the witnesses are subpoenaed? Why can’t

you just do that?

THE COURT: I can’t.

MR. GANTT: You don’t want me to have a fair trial. . . . I never had

a chance to be my own lawyer. I went out – I was – for the past ten months,

I wasn’t my own counsel so I just became my own counsel on the 21st and

you won’t even allow me an extension of time to subpoena witnesses?

THE COURT: Mr. Gantt, when you spent all that time refusing to talk

to [defense counsel] you knew then you were going to be your own attorney.

(Emphasis supplied).

Our response on appeal was sure, but it took some pages of legal analysis to get to

that point. That is a tell-tale sign of a thorny contention.

This case had long been set for trial. The court calendar had been

cleared for a full week of trial. A full jury panel had been summoned.

Numerous witnesses had been summoned. We hold that Judge Abrams did

not abuse her discretion in refusing to continue this case.

(Emphasis supplied).

19

This combined contention about the trial court’s denial of the appellant’s request for

witness subpoenas and then about the court’s denial of the appellant’s request for a trial

postponement generated spirited argument on appeal. The tactical decision to choose it for

appellate argument over a lame and unpreserved argument over a single Batson challenge

is not for us to second-guess.

E. Ten Peremptory Challenges And Life Imprisonment Without Parole

Albeit unpreserved, the fifth and final contention that appellate counsel opted to

pursue concerned limiting the appellant to ten peremptory challenges. Although on this

argument, the appellant did not prevail, it was nonetheless a clever argument on which

there is painfully little caselaw. Of all the charges against the appellant, the most serious

single charge was robbery, which, to be sure, would confer on the appellant only ten

peremptory challenges. The appellant’s argument was that because combinations of

convictions subjected the appellant to an enhanced sentence of life imprisonment without

parole, he should thereby be entitled to twenty peremptory challenges because of the

severity of that aggregate and ultimate sentence. After a brief discussion, this Court held

against the appellant on the merits of that contention. As a backdrop argument, however,

we did rely on the general disinclination of an appellate court to indulge a request to notice

plain error.

Even if, purely arguendo, the appellant were right about his

entitlement to peremptories, however, the dispositive answer to the

contention would be that it has not been preserved for appellate review. The

appellant recognizes this and asks us to notice plain error. Even if we thought

there had been error in this regard, we would, in the exercise of our

discretion, decline to take notice of it.

20

F. The Bottom Line

As a deliberate strategic decision, appellate counsel selected five plausible and

cogent contentions to pursue on appeal. As an equally deliberate strategic decision,

appellate counsel decided not to diminish the possible force of those contentions by diluting

them with other probably less persuasive arguments. Counsel sagely followed the Supreme

Court’s admonishment in Jones v. Barnes as it quoted with approval Justice Robert

Jackson’s article Advocacy Before the Supreme Court, 25 Temple L.Q. 115, 119 (1951).

“One of the first tests of a discriminating advocate is to select the question,

or questions, that he will present orally. Legal contentions, like the currency,

depreciate through over-issue. The mind of an appellate judge is habitually

receptive to the suggestion that a lower court committed an error. But

receptiveness declines as the number of assigned errors increases.

Multiplicity hints at lack of confidence in any one . . . . [E]xperience on the

bench convinces me that multiplying assignments of error will dilute and

weaken a good case and will not save a bad one.”

463 U.S. at 752 (emphasis supplied).

In that same opinion of Jones v. Barnes, the Supreme Court quoted with approval

R. Stern, Appellate Practice in the United States, 266 (1981):

“Most cases present only one, two, or three significant questions . . . .

Usually, . . . if you cannot win on a few major points, the others are not likely

to help, and to attempt to deal with a great many in the limited number of

pages allowed for briefs will mean that none may receive adequate attention.

The effect of adding weak arguments will be to dilute the force of the stronger

ones.”

Id. (Emphasis supplied).

In holding, as we hereby do, that appellate counsel was not in any sense inadequate

for failing to pursue the Batson issue on appeal, our conclusion as to appellate counsel’s

21

adequacy in this case parallels precisely our conclusion with respect to appellate counsel’s

adequacy in State v. Gross:

It cannot seriously be contended that the issues not raised on Gross’s

appeal to this Court were “clearly stronger than those presented.” It cannot

seriously be maintained that appellate counsel failed to select the stronger

arguments available to him “in order to maximize the likelihood of success

on appeal.” It cannot seriously be said that “appellate counsel’s choice of

issues for appeal . . . [fell] below an objective standard of reasonableness.”

134 Md. App. at 570 (emphasis supplied).

The Batson Challenge:

Inherent Procedural Weaknesses

Quite aside from the relative force and probity of the contentions that counsel chose

to advance, several inherent procedural flaws in the potential Batson challenge itself

reinforce the wisdom of counsel’s decision not to appeal it. Just as our earlier analysis,

under the subhead “Selection Of Issues In This Case,” was of the relative strength of the

appellate contentions that were raised, this immediate analysis is of the relative weakness

of the contention that was not raised. In making a prudent selection, one needs to take note

of both the assets of the option chosen and the demerits of the option rejected. Before even

addressing the ultimate substantive merits, we note two possibly crippling procedural

flaws. The appellant will, no doubt, protest these possible procedural flaws strenuously,

but it cannot be gainsaid that even an arguable procedural flaw is a relative weakness.

A. Non-Preservation

The appellant’s Batson challenge was not indisputably preserved for appellate

review. Merely alluding to a complicated subject that may call for further exploration is

22

not the express lodging of a loud and clear objection necessary to preserve an objection for

appellate review. Maryland Rule of Procedure 4–323(c) clearly provides:

For purposes of review by the trial court or on appeal of any other ruling or

order, it is sufficient that a party, at the time the ruling or order is made or

sought, makes known to the court the action that the party desires the court

to take or the objection to the action of the court.

(Emphasis supplied).

There is, moreover, a single standard for assessing the procedural adequacy of an

objection. The fact that when a possible Batson issue first arose in this case, the appellant

was representing himself pro se does not alter the requirements for preserving an objection

for appellate review. As Judge Cathell wrote for this Court in Tretick v. Layman, 95 Md.

App. 62, 619 A.2d 201 (1993):

[T]he procedural, evidentiary, and appellate rules apply alike to parties and

their attorneys. No different standards apply when parties appear pro se.

95 Md. App. at 86 (emphasis supplied).

At the commencement of the trial, the appellant discharged the assistant public

defender who had been representing him and undertook the pro se defense of his own case.

At that point, the trial was proceeding to the jury selection process. At some undesignated

point, the State exercised one of its peremptory challenges against an Afro-American

woman.2 The appellant did not lodge any immediate objection. After the appellant had

exercised the last of his peremptory strikes, however, the following exchange took place.

2

There appears to be in the briefs some confusion as to the jury number of the

prospective juror who was struck, but this had no effect whatsoever on the resolution of

this issue. “In explaining his reasons for striking the challenged juror, the prosecutor

23

THE COURT: Okay. Mr. Gantt, you don’t have any more strikes, but

you’re satisfied with the jury?

MR. GANTT: No, ma’am, I’m not. Because the racial diversity in my

jury pool, the amount of African Americans, I’m entitled to a jury of my

peers. [The prosecutor] actually struck one African American woman. On

the other hand, I’ve chosen lots of them and I – I don’t think [the prosecutor]

should have struck an African American female because there was no reason

for him to do that. This is basically unfair. It’s basically undiversed. The only

reason for him to strike this woman.

THE COURT: Alright. Well, Mr. Gantt, the same reason I didn’t ask

any questions of why you wanted to strike people, because it is your

prerogative. I don’t get to ask any questions of [the prosecutor] because that

is his prerogative.

So unfortunately that’s just how it played out in this particular regard.

So you don’t have any other strikes, we have to go with the jury that

we have.

Alright. The rest of you who were not chosen, [I’m] going to go ahead

and excuse you. You’re welcome to stay if you’d like to watch. You’re more

than welcome. Otherwise, please call back after 4:15 as to when you need to

report again.

MR. GANTT: Your Honor, for the record, would you excuse me,

respectfully, I never said I had a problem with my jury. I said I had a problem

with the State’s Attorney striking an African American from the jury.

THE COURT: I – I understood that. I did understand that.

MR. GANTT: Thank you.

referred to the challenged juror as Juror No. 144. This appears to be an error: the transcript

reflects that Juror No. 144 had been excused earlier due to a scheduling conflict, and there

is no reference to Juror No. 144 during the selection process itself. Instead, it appears that

the prosecutor intended to refer to Juror No. 160, a female juror who was struck by the

State, thus allowing Juror No. 163 to join the jury.” This all, of course, has absolutely

nothing to do with the merits of the issue.

24

(Emphasis supplied).

At that point, Judge Abrams swore in the jury panel, addressed several

housekeeping matters, and excused the jury for a brief recess. During that recess for the

jury, the Assistant State’s Attorney, sua sponte, addressed the court.

[PROSECUTOR]: Your Honor, can I – can I be heard for a second?

THE COURT: Yes?

[PROSECUTOR]: And I – I know the Court didn’t ask me why I

struck juror number 144, but seeing as how it was raised by the defense, I’d

like the record to be clear that I struck juror number 144 who is an African

American to get to juror 163 who I’ve felt through appearances would be

more favorable, quite simply to the State in hearing the evidence.

I was impressed with his appearances, his looks. As you well know,

we don’t have a lot of information other than gut to make our decisions. That

decision was made as a gut decision. It was not a racially prejudicious

decision by the State.

Thank you, Your Honor.

(Emphasis supplied).

To that unsolicited offering of a race-neutral reason for the peremptory strike, Judge

Abrams responded affirmatively.

THE COURT: And I think, for the record, juror 345 who I thought

was rightfully stricken for cause was also African American and,

unfortunately, we don’t have a large population of African American people.

It happens all the time with our jurors that – that we don’t have a lot of

African American people and – but I’ve never known any prejudice in that

regard and I certainly wouldn’t tolerate it if I thought there was.

Alright. We’ll take a recess.

(Emphasis supplied).

25

The trial then went forward without a word being said by the appellant. There was

no request made of the court. There was no objection to how the court had handled the

matter. Buried unseen, of course, in that seemingly informal exchange was the elaborate

three-step analysis designed by the Supreme Court in Purkett v. Elem, 514 U.S. 765, 115

S. Ct. 1769, 131 L. Ed. 2d 834 (1995), to resolve Batson challenges. The appellant never

claimed that the State’s exercise of a single peremptory was presumptively racially

discriminatory, thereby compelling Judge Abrams to insist that the State come forward

with a race-neutral reason for the peremptory strike. The appellant never claimed that the

reason for the strike advanced by the State was on its face not race-neutral. The appellant

never claimed that Judge Abrams abused her discretion in implicitly accepting the State’s

explanation. One does not engage the gears of the elaborate Purkett v. Elem machinery

simply by yelling, “Batson!” The trigger is a bit more complicated than that.

The case continued until the next day, when the jury returned a verdict of guilty on

all counts. The name Batson was never whispered nor was the peremptory strike ever again

alluded to. A Batson v. Kentucky challenge “should be made of sterner stuff.”3 With no

Batson challenge having been raised before this Court on direct appeal, there was no

request that the Court overlook non-preservation by taking notice of “plain error.” At the

Post-Conviction hearing before Judge Platt, there was no suggestion that he take notice of

“plain error.” In the present appeal, there has been no request that we take notice of “plain

error.” Had there been, Newton v. State would have advised:

3

Shakespeare, Julius Caesar, Act III, Scene II.

26

Because the issue was not preserved at trial, Newton would only have

prevailed on the claim if the court concluded that it was plain error.

....

It is “rare” for the Court to find plain error.

455 Md. at 364.

Non-preservation, in and of itself, was a dispositively debilitating reason why

appellate counsel did not on appeal raise an issue, which procedurally as well as

substantively was going nowhere. Counsel was not thereby ineffective. As this Court stated

in State v. Gross:

It would seem to be the soundest of appellate strategies not to waste precious

pages and precious minutes pushing an issue that has not been preserved for

appellate review.

134 Md. App. at 571.

B. Waiver

Albeit in a sense at least intertwined with non-preservation, there is an additional

procedural infirmity with the Batson challenge in this case. The appellant waived it. At the

very end of the brief exchange in which he first raised the issue, the appellant accepted the

jury.

MR. GANTT: Your Honor, for the record, would you excuse me,

respectfully, I never said I had a problem with my jury. I said I had a problem

with the State’s Attorney striking an African American from the jury.

That is a fascinating human reaction, seemingly of first impression, with which to

wrestle. In a single breath, the appellant protested the use of the peremptory strike but

happily accepted the jury it produced. Which opposing emotion shall prevail? How does

27

the law handle mixed emotion?4 In Gilchrist v. State, 340 Md. 606, 667 A.2d 876 (1995),

the Court of Appeals described the detoxifying effect that an expression of “satisfaction

with the jury” has on a “claim of error” about the selection process.

This Court in a series of cases has taken the position that a defendant’s

claim of error in the inclusion or exclusion of a prospective juror or jurors “is

ordinarily abandoned when the defendant or his counsel indicates satisfaction

with the jury at the conclusion of the jury selection process.”

340 Md. at 617 (emphasis supplied; citations omitted).

After citing eight other Maryland opinions in support of that position, Judge

Eldridge’s opinion went on to explain:

When a party complains about the exclusion of someone from or the

inclusion of someone in a particular jury, and thereafter states without

qualification that the same jury as ultimately chosen is satisfactory or

acceptable, the party is clearly waiving or abandoning the earlier complaint

about that jury. The party’s final position is directly inconsistent with his or

her earlier complaint.

340 Md. at 618 (emphasis supplied).

On this issue of possible first impression, even if, arguendo, the appellant were to

prevail philosophically that half a waiver (or a half-hearted waiver) is effectively no waiver

at all, it would profit him little in this particular case. He seems to be saying that even if he

is happy with the result, the State should nonetheless be sanctioned for its inappropriate

behavior. That, of course, would be the application of an exclusionary principle, the

policing of the police, the regulation of governmental behavior even if the ostensible victim

4

It is the converse of Voltaire’s “I may disagree with what you have to say, but I

shall defend to the death your right to say it.” The appellant seems to say, “I may be happy

with what you did, but I will protest with my dying breath the fact that you did it.”

28

has suffered no prejudice. “The criminal is to go free because the constable has

blundered.”5 That might be fine as far as the performance prong is concerned. In a two-

pronged test, such as the Strickland v. Washington standard now being urged upon us, there

is also the prejudice prong that must be independently satisfied. It is with respect to the

prejudice prong that the appellant’s expression of satisfaction with his jury is toxic to his

claim of error. Even if he did not waive Strickland v. Washington in toto, he waived the

prejudice prong and that was fatal.

C. The Combined Procedural Flaws

We remind ourselves that it is the effectiveness of appellate counsel that we are

evaluating as we look at the charge that he flagrantly failed to raise the Batson issue on his

direct appeal to this Court. Quite aside from the fact that counsel had other and better issues

to raise and quite aside from the fact that the issue had little or no intrinsic merit (as we

shall analyze infra), these potentially fatal procedural deficiencies of 1) non-preservation

and 2) waiver further debilitated an already infirm tactical option. As this Court observed

in State v. Gross:

It is not a strategic blunder to refrain from pushing losers.

134 Md. App. at 571.

The Batson Merits:

The Purkett v. Elem Three-Step

5

Benjamin Nathan Cardozo in People v. Defore, 242 N.Y. 13, 21, 150 N.E. 585

(1926).

29

Even if, arguendo, the appellant had preserved his Batson challenge and not waived

his Batson right and even if, arguendo, this was the lone contention he had to raise, he still

could have gone nowhere on the Batson merits. In 1991, Hernandez v. New York, 500 U.S.

352, 111 S. Ct. 1859, 114 L. Ed. 2d 395, followed four years later by Purkett v. Elem, 514

U.S. 765, 115 S. Ct. 1769, 131 L. Ed. 2d 834, mapped out the judicial game plan for

handling almost all Batson v. Kentucky challenges.

In Hernandez v. New York, the Supreme Court fully set out the three-part test:

In Batson, we outlined a three-step process for evaluating claims that

a prosecutor has used peremptory challenges in a manner violating the Equal

Protection Clause. The analysis set forth in Batson permits prompt rulings on

objections to peremptory challenges without substantial disruption of the jury

selection process. First, the defendant must make a prima facie showing that

the prosecutor has exercised peremptory challenges on the basis of race.

Second, if the requisite showing has been made, the burden shifts to the

prosecutor to articulate a race-neutral explanation for striking the jurors in

question. Finally, the trial court must determine whether the defendant has

carried his burden of proving purposeful discrimination.

500 U.S. at 358 (emphasis supplied; citations omitted).

The Court of Appeals was fully on board with Whittlesey v. State, 340 Md. 30, 665

A.2d 223 (1995).

When a criminal defendant raises a Batson claim, the trial judge must

follow a three-step process. The burden is initially upon the defendant to

make a prima facie showing of purposeful discrimination [step one]. If the

requisite showing has been made, “‘the burden shifts to the State to come

forward with a neutral explanation for challenging black jurors’” [step two].

“Finally, the trial court must determine whether the defendant has carried his

burden of proving purposeful discrimination” [step three].

340 Md. at 46–47 (emphasis supplied; citations omitted).

A. Step One: An Express Objection, Loud And Clear

30

The burden is initially on the opponent of a peremptory challenge, such as the

appellant here, to raise a Batson issue by articulating a prima facie case that one or more

peremptory strikes were exercised for a discriminatory purpose forbidden by Batson.

Although the burden of making out a prima facie case is a low burden, it is nonetheless a

burden cast on the opponent of the strike. There is no sua sponte burden initially on the

proponent of the strike or upon the trial judge to do anything. In Edmonds v. State, 372

Md. 314, 812 A.2d 1034 (2002), the Court of Appeal elaborated.

Unless challenged, a proponent of a peremptory challenge need not

offer any explanation. The prosecutor did not have to proffer any reason for

the exercise of the peremptory challenges until petitioner’s Batson challenge.

Moreover, no explanation was due until the judge ruled as to whether

petitioner made a prima facie showing of intentional discrimination.

372 Md. at 335 (emphasis supplied; citation omitted).

In this case, as the appellant was asked by the trial judge whether he was satisfied

with the jury, he replied:

No, ma’am, I’m not. Because the racial diversity in my jury pool, the amount

of African Americans, I’m entitled to a jury of my peers. [The prosecutor]

actually struck one African American woman. . . . I don’t think [the

prosecutor] should have struck an African American female because there

was no reason for him to do that. This is basically unfair. It’s basically

undiversed.

Although the progression from step one to step two would ordinarily consist of the

trial judge’s determination that a prima facie case of discrimination had been made out and

that the proponent of the peremptory strike should, therefore, be required to offer an

explanation for the strike, this stage in the progression is frequently bypassed. On many

occasions, the proponent of the strike spontaneously steps up, as did the State in this case,

31

and offers an explanation for a strike even when not literally having been required to do

so. As Hernandez v. New York explained:

The prosecutor defended his use of peremptory strikes without any

prompting or inquiry from the trial court. As a result, the trial court had no

occasion to rule that petitioner had or had not made a prima facie showing of

intentional discrimination. This departure from the normal course of

proceeding need not concern us. . . . . Once a prosecutor has offered a race-

neutral explanation for the peremptory challenges and the trial court has ruled

on the ultimate question of intentional discrimination, the preliminary issue

of whether the defendant had made a prima facie showing becomes moot.

500 U.S. at 359 (emphasis supplied).

Any analysis of step one in the case now before us is accordingly moot.

B. Step Two: He Loved Not Caesar Less, But Only Rome More6

That analysis passed automatically from step one to step two. The State, without

being asked to do so, spontaneously offered an explanation for its peremptory strike.

I know the Court didn’t ask me why I struck juror number 144, but seeing as

how it was raised by the defense, I’d like the record to be clear that I struck

juror number 144 who is an African American to get to juror 163 who I’ve

felt through appearances would be more favorable, quite simply to the State

in hearing the evidence.

I was impressed with his appearances, his looks.

(Emphasis supplied). The Assistant State’s Attorney, like Brutus, loved not Juror No. 1447

less, but only Juror 163 more. That, as the caselaw abundantly confirms, is a race-neutral

reason.

6

The hard choice confronting Brutus in Shakespeare’s Julius Caesar, Act III, Scene

II.

7

Or, perhaps, it was Juror No. 160. See note 2 supra.

32

That, moreover, is all that is required at step two of the Batson analysis. The

proponent of the peremptory strike is required to offer a facially neutral explanation for the

strike. It is not yet necessary for the trial judge to credit or give any weight to the

explanation. That will ultimately be required, of course, but that is a step three evaluation,

not a step two evaluation. Purkett v. Elem explained:

The second step of this process does not demand an explanation that is

persuasive, or even plausible. “At this [second] step of the inquiry, the issue

is the facial validity of the prosecutor’s explanation. Unless a discriminatory

intent is inherent in the prosecutor’s explanation, the reason offered will be

deemed race neutral.”

514 U.S. at 767–68 (emphasis supplied; citation omitted).

Hernandez v. New York elaborated on this theme of facial validity or facial

neutrality.

A neutral explanation in the context of our analysis here means an

explanation based on something other than the race of the juror. At this step

of the inquiry, the issue is the facial validity of the prosecutor’s explanation.

Unless a discriminatory intent is inherent in the prosecutor’s explanation, the

reason offered will be deemed race neutral.

500 U.S. at 360 (emphasis supplied).

Picking up on that language from Purkett v. Elem and from Hernandez v. New

York, Judge Raker wrote for the Court of Appeals in Edmonds v. State, 372 Md. 314, 812

A.2d 1034 (2002):

An explanation must be race-neutral, but it does not have to be persuasive or

plausible. Any reason offered will be deemed race-neutral unless a

discriminatory intent is inherent in the explanation. If the defending party

offers a race-neutral reason, the challenging party must demonstrate that the

offered explanation merely is a pretext for a discriminatory intent or purpose.

33

372 Md. at 330 (emphasis supplied; citations omitted). The Edmonds opinion further

explained:

A neutral explanation has been defined as “an explanation based on

something other than the race of the juror. Unless a discriminatory intent is

inherent in the prosecutor’s explanation, the reason offered will be deemed

race-neutral.” The question presented is the facial validity of the reasons

offered by the State. Whether a reason is persuasive is not relevant at this

stage of the inquiry. The prosecutor’s burden of production under step two is

limited. The State had to produce a race-neutral reason, not a believable one.

A trial court meets its obligation under step two by requiring the proponent

of the strike to offer a race-neutral explanation for the peremptory challenge.

372 Md. at 332 (emphasis supplied; citations omitted).

To get rid of any prospective juror for the affirmative purpose of seating a more

desirable juror is facially a non-discriminatory purpose not forbidden by Batson. That is all

that step two requires.

C. Step Three: All Quiet On The Batson Front

Once the opponent of a peremptory strike has made out a prima facie case of a

Batson violation, the trial judge’s only role at step two is to require the proponent of the

strike to offer an explanation for the strike. It is not yet for the trial judge to make an

assessment for the explanation. That comes at step three. It more than comes at step three.

It is step three.

Batson itself made it clear that appellate review of the trial judge’s decision in that

regard will be highly deferential.

“[A] finding of intentional discrimination is a finding of fact” entitled to

appropriate deference by a reviewing court. Since the trial judge’s findings

in the context under consideration here largely turn on evaluation of

34

credibility, a reviewing court ordinarily should give those findings great

deference.

476 U.S. at 98 n.21 (emphasis supplied; citations omitted).

When probing the purpose or intent behind a peremptory strike, the answer lies

self-evidently in the head of the person executing the strike. By definition, it is not an

objective matter. Absolutely critical is the trial judge’s assessment of the credibility of the

attorney offering his explanation of why he did what he did. Hernandez v. New York took

pains to point this out.

Deference to trial court findings on the issue of discriminatory intent

makes particular sense in this context because, as we noted in Batson, the

finding “largely will turn on evaluation of credibility.” In the typical

peremptory challenge inquiry, the decisive question will be whether

counsel’s race-neutral explanation for a peremptory challenge should be

believed. There will seldom be much evidence bearing on that issue, and the

best evidence often will be the demeanor of the attorney who exercises the

challenge. As with the state of mind of a juror, evaluation of the prosecutor’s

state of mind based on demeanor and credibility lies “peculiarly within a trial

judge’s province.”

500 U.S. at 365 (emphasis supplied; citations omitted).

The Hernandez v. New York analysis concluded:

The credibility of the prosecutor’s explanation goes to the heart of the equal

protection analysis, and once that has been settled, there seems nothing left

to review.

500 U.S. at 367 (emphasis supplied).

In Edmonds v. State, the Court of Appeals put its imprimatur on this highly

deferential standard of appellate review.

The ultimate burden of proving that a peremptory challenge was

motivated by race always remains with the opponent of the challenge. The

35

trial judge’s findings in evaluating a Batson challenge are essentially factual

and accorded great deference on appeal. Whether a reason is race-neutral

rests in large part on a credibility assessment of the attorney exercising the

peremptory challenge. The trial judge is in the best position to assess

credibility and whether a challenger has met his burden. Accordingly, on

appellate review, we “will not reverse a trial judge’s determination as to the

sufficiency of the reasons offered unless it is clearly erroneous.”

372 Md. at 331 (emphasis supplied; citations omitted).

When at the appellant’s trial on September 7, 2011, the Assistant State’s Attorney

offered her ostensibly race-neutral reason for striking Juror No. 144, Judge Abrams

implicitly found that explanation to be credible. She concluded, “I’ve never known any

prejudice in that regard and I certainly wouldn’t tolerate it if I thought there was.”

If, arguendo, this Batson issue were before us on the merits, we would defer to the

not clearly erroneous factfinding of Judge Abrams. Alternatively, in a non-hypothetical

context, we defer to the factfinding and to the legal ruling of Judge Platt at the Post-

Conviction hearing, as he in turn found and ruled that there had been no Batson violation.

The Court’s response clearly shows that she did not and would not find that

the peremptory strike of the African American juror was on racial grounds.

In the words of Hernandez v. New York, “once that has been settled, there seems

nothing left to review.” 500 U.S. at 367.

Ineffectiveness Cubed

The appellant’s contention is thrice-curst. In the first place, appellate counsel cannot

be held to have been ineffective for failing to select for appeal this particular contention

when he had far sharper and more persuasive contentions in his appellate quiver. In the

second place, appellate counsel cannot be held to have been ineffective for failing to raise

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on appeal a contention that suffered the twin procedural infirmities of being unpreserved

and of having been waived. In the third place, appellate counsel cannot be held to have

been ineffective for failing to raise on appeal a contention that was devoid of any

substantive merit. In the last analysis, what was woefully ineffective in this case was not

appellate counsel for failing to raise the contention but the contention itself that counsel

wisely refrained from raising.

JUDGMENT AFFIRMED; COSTS TO BE

PAID BY APPELLANT.

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This is a copy of a public record, reproduced as it was published. It is not legal advice, and it may not be the version a court would rely on. Check the official source before you cite it.

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