Phoenix v. Matesanz ( 2000 )


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  •               United States Court of Appeals
    For the First Circuit
    No. 00-1140
    KENNETH P. PHOENIX,
    Petitioner, Appellant,
    v.
    JAMES MATESANZ,
    Respondent, Appellee.
    APPEAL FROM THE UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF MASSACHUSETTS
    [Hon. Reginald C. Lindsay, U.S. District Judge]
    Before
    Torruella, Chief Judge,
    Coffin, Senior Circuit Judge,
    and Boudin, Circuit Judge.
    Robert L. Sheketoff, with whom Sheketoff & Homan was on brief, for
    appellant.
    William J. Meade, Assistant Attorney General, Criminal Bureau,
    with whom Thomas F. Reilly, Attorney General, was on brief, for
    appellee.
    December 1, 2000
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    TORRUELLA, Chief Judge.      According to the prosecution,
    Kenneth Phoenix "almost committed the perfect crime . . . except for
    one mistake." Based on that mistake -- a blood-soaked fingerprint left
    near the scene -- Phoenix was convicted of the first degree murder of
    Raymond Green. Although Phoenix's defense counsel cross-examined the
    forensic serologist and fingerprint experts presented by the
    Commonwealth of Massachusetts, he did not call defense experts to
    further contradict their testimony.      Phoenix now claims that his
    attorney's decision not to call such experts denied him his
    constitutional right to effective assistance of counsel. Having had
    his petition for a writ of habeas corpus denied by the district court,
    he appeals to this Court. For the reasons stated herein, we affirm the
    decision of the district court.
    BACKGROUND
    As our previous decision, Phoenix v. Matesanz, 
    189 F.3d 20
    ,
    22-24 (1st Cir. 1999), summarizes this case's procedural history prior
    to the district court's denial of habeas, we need provide only a brief
    summary here.
    Raymond Green was a plant manager at the Belchertown State
    School. On August 4, 1986, he was found dead in his office, shot five
    times. Police found pieces of a green scouring pad on his face and on
    the floor of his office, as well as in a metal drum on the first floor
    of the plant. In that drum police also found a crumpled brown paper
    -3-
    bag. Fingerprints and blood were found on the paper bag. Two experts
    presented by the Commonwealth testified at trial that the identifiable
    fingerprints on the bag belonged to Phoenix, who was one of 63
    employees supervised by Green. Expert serologist Dr. Moses Schanfield
    testified that the blood from the only successfully tested blood stain
    was consistent with Green's blood and inconsistent with Phoenix's
    blood. Based largely on these two pieces of incriminating evidence,
    Phoenix was convicted.
    Although Phoenix's counsel, William Bennett, had retained a
    forensic serologist and a fingerprint analyst, he called neither to
    testify. The serologist, Dr. Brian Wraxall, later filed an affidavit
    stating that he would have testified that the allotype blood test
    performed by Schanfield yielded scientifically meaningless results.
    Wraxall would have further testified that no scientific basis existed
    to conclude that the tested stain was either consistent with Green's
    blood or inconsistent with Phoenix's blood. The fingerprint expert,
    Herbert MacDonnell, filed an affidavit stating that the fingerprint
    lacked sufficient detail to be identified either as Phoenix's or not
    Phoenix's.
    After Phoenix's direct appeals were denied, ultimately by the
    Massachusetts Supreme Judicial Court, Commonwealth v. Phoenix, 
    567 N.E.2d 193
     (Mass. 1991), he filed a second motion for a new trial
    claiming that he had been denied effective assistance of counsel based
    -4-
    on Bennett's failure to call Wraxall and MacDonnell. The Superior
    Court denied his motion, as did a single gatekeeper justice of the SJC.
    The federal district court then found that Phoenix was not procedurally
    barred from filing a habeas petition based on ineffective assistance of
    counsel, a decision we affirmed. See Phoenix v. Matesanz, 
    189 F.3d 20
    (1st Cir. 1999). After remand, the district court ruled on the merits
    of Phoenix's petition, ultimately concluding that the state court
    decisions did not involve an unreasonable application of the Strickland
    v. Washington, 
    466 U.S. 668
     (1984), standard for determining
    ineffective assistance of counsel.
    DISCUSSION
    I.   Applying the habeas corpus statute
    In enacting the Antiterrorism and Effective Death Penalty Act
    (AEDPA), Congress placed new restrictions on the power of federal
    courts to grant writs of habeas corpus to state prisoners. As relevant
    here, 
    28 U.S.C. § 2254
    (d)(1) was revised to provide:
    (d) An application for a writ of habeas corpus on
    behalf of a person in custody pursuant to the
    judgment of a State court shall not be granted
    with respect to any claim that was adjudicated on
    the merits in State court proceedings unless the
    adjudication of the claim -
    (1) resulted in a decision that was contrary to,
    or involved an unreasonable application of,
    clearly established Federal law, as determined by
    the Supreme Court of the United States.
    -5-
    Until last Term, the Supreme Court had not been presented
    with the opportunity to elucidate the meaning of the revised provision,
    and the various courts of appeals, including this Court, had been left
    to take our best shots. See, e.g., Green v. French, 
    153 F.3d 865
     (4th
    Cir. 1998); O'Brien v. DuBois, 
    145 F.3d 16
     (1st Cir. 1998); Drinkard v.
    Johnson, 
    97 F.3d 751
     (5th Cir. 1996); Lindh v. Murphy, 
    96 F.3d 856
     (7th
    Cir. 1996). However, in Williams v. Taylor, 
    120 S. Ct. 1495
     (2000),
    the Supreme Court provided the first explicit guidance on the
    construction of this section of the AEDPA, fortuitously in the very
    context of a claim of ineffective assistance of counsel.1 It is to this
    decision that we must now turn.
    Addressing a case out of the Fourth Circuit, Williams v.
    Taylor, 
    163 F.3d 860
     (4th Cir. 1998), the Supreme Court generally
    upheld Green's interpretation of § 2254(d)(1), albeit with several
    significant differences. The Court began by sustaining the Green
    conception of the "contrary to" clause, holding that the clause applied
    in two types of situations.    First, "a state-court decision will
    certainly be contrary to our clearly established precedent if the state
    court applies a rule that contradicts the governing law set forth in
    [Supreme Court] cases." Williams, 
    120 S. Ct. at 1519
    . For example,
    1 In Williams, Justice O'Connor delivered the section of the majority
    opinion interpreting § 2254(d)(1), see Williams, 
    120 S. Ct. at 1518-23
    ,
    but Justice Stevens delivered the section applying the Strickland test
    to the facts at hand, see 
    id. at 1512-16
    . Williams was decided after
    the briefs were filed in this case.
    -6-
    requiring a petitioner to meet a higher burden than that provided for
    in Strickland would be contrary to clearly established Supreme Court
    precedent.   See 
    id.
     Second, "a state-court decision will also be
    contrary to this Court's clearly established precedent if [it]
    confronts a set of facts that are materially indistinguishable from a
    [Supreme Court decision] and nevertheless arrives at a [different
    result]." 
    Id. at 1519-20
    . However, Justice O'Connor noted that the
    run-of-the-mill state-court case, applying the correct legal rule to a
    new set of facts, would not fit comfortably within the "contrary to"
    clause of § 2254(d)(1). To place such a case within that clause would
    sap the "unreasonable application" clause of any meaning.          See id.
    The Court then found that the Fourth Circuit was again
    generally correct as to its interpretation of the "unreasonable
    application" clause. Green held that an "unreasonable application" of
    Supreme Court precedent occurs when (i) "the state court identifies the
    correct governing legal rule . . . but unreasonably applies it to the
    facts of the particular [case]," and (ii) when "the state court either
    unreasonably extends a legal principle from [Supreme Court] precedent
    to a new context where it should not apply or unreasonably refuses to
    extend that principle to a new context where it should apply." Id. at
    1520 (citing Green, 153 F.3d at 869-70). The Court endorsed the first
    approach, see id. at 1520-21, while withholding judgment on the second,
    see id. at 1521.
    -7-
    However, the Court refused to endorse the Fourth Circuit's
    determination of "what exactly qualifies" as an unreasonable
    application of law under § 2254(d)(1). Green limited unreasonable
    applications to those cases where all reasonable jurists would agree
    that the state court application of law is unreasonable. See Green,
    153 F.3d at 870. The Supreme Court concluded that such an approach
    provides little assistance to federal courts, and is in fact misleading
    in its subjectivity. See Williams, 
    120 S. Ct. at 1521
     (noting that
    under such a standard, any conflicting authority, including a 2-1
    split, would foreclose review). Instead, the federal habeas court
    "should ask whether the state court's application of clearly
    established federal law was objectively unreasonable." 
    Id.
     Although
    "unreasonable" may be difficult to define, Justice O'Connor noted that
    it is a term familiar to the legal world and to federal judges. At the
    very least, an unreasonable application of federal law differs from an
    incorrect application of federal law. See 
    id.
     at 1522 (citing Wright
    v. West, 
    505 U.S. 277
    , 287 (1992), for this distinction). In sum,
    "[u]nder § 2254(d)(1)'s 'unreasonable application' clause, a federal
    habeas court may not issue the writ simply because that court concludes
    in its independent judgment that the relevant state-court decision
    applied clearly established federal law erroneously or incorrectly.
    Rather, that application must also be unreasonable."         Id.
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    Finally, Justice O'Connor noted that so-called "old rules"
    under Teague v. Lane, 
    489 U.S. 288
     (1989), would qualify as "clearly
    established Federal law," the only caveat being that post-AEDPA, such
    "old rules" could only stem from the Supreme Court's jurisprudence.
    See Williams, 
    120 S. Ct. at 1523
    .
    The Supreme Court then applied its Williams v. Taylor
    analysis to the denial of effective assistance of counsel, concluding
    that "[i]t is past question that the rule set forth in [ Strickland]
    qualifies as 'clearly established law, as determined by the Supreme
    Court of the United States.'" Williams, 
    120 S. Ct. at 1512
    . The Court
    noted that the Strickland test, "of necessity," requires a case-by-case
    examination of the evidence, but held that such case-specific concerns
    "obviate neither the clarity of the rule nor the extent to which the
    rule must be seen as 'established' by this Court."         
    Id.
    II.   The Strickland Standard
    The Court in Williams nicely summarized the relevant aspects
    of the Strickland test:
    [A] violation of the right [to effective
    assistance of counsel] has two components:
    "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. Second, the defendant must show that
    the deficient performance prejudiced the defense.
    This requires showing that counsel's errors were
    so serious as to deprive the defendant of a fair
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    trial, a trial whose result is reliable."
    Strickland, 
    466 U.S. at 687
    .
    To establish ineffectiveness, a "defendant
    must show that counsel's representation fell
    below an objective standard of reasonableness."
    
    Id. at 688
    . To establish prejudice, he "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." 
    Id. at 694
    .
    Williams, 
    120 S. Ct. at 1511-12
    .
    In Strickland itself the Supreme Court spoke in more detail
    about the deferential level of scrutiny involved in this review,
    particularly with respect to potentially strategic decisions made by
    counsel. The Court cautioned as to the use of hindsight: "It is all
    too tempting for a defendant to second-guess counsel's assistance after
    conviction . . . , 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." Strickland,
    466 U.S at 689; see also United States v. Natanel, 
    938 F.2d 302
    , 310
    (1st Cir. 1991) (cautioning that "[the fact that] counsel's selection
    of a stratagem may, in retrospect, have proved unsuccessful, or even
    unwise, is not the issue"). The defendant, as a result, must "overcome
    the presumption that, under the circumstances, the challenged action
    'might be considered sound trial strategy.'" 
    Id.
     (quoting Michel v.
    Louisiana, 
    350 U.S. 91
    , 101 (1955)). Specifically, a court must judge
    -10-
    the reasonableness of counsel's challenged conduct on the facts of the
    case at the time of that conduct. Moreover, "counsel is strongly
    presumed to have rendered adequate assistance and made all significant
    decisions in the exercise of reasonable professional judgment." Id. at
    690. In short, "strategic choices made after thorough investigation of
    law   and   facts   relevant   to   plausible   options   are   virtually
    unchallengeable."      Id. (emphasis added).2
    2 We should note that " virtually unchallengeable" does differ from
    "unchallengeable." Our overall task according to Strickland is to
    determine whether the challenged "acts or omissions [are] outside the
    wide range of professionally competent assistance." Strickland, 
    466 U.S. at 690
    . In making this statement, the Supreme Court cited with
    approval the Court of Appeals approach to strategic decision-making,
    which had in fact allowed challenges when "the choice was so patently
    unreasonable that no competent attorney would have made it."
    Washington v. Strickland, 
    693 F.2d 1243
    , 1254 (5th Cir. 1982).
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    III.   Application to Phoenix's Appeal
    Under Strickland, we must ask whether defense counsel's
    decision not to call either defense expert was an act that falls below
    "an objective standard of reasonableness." However, if the state court
    applied the correct test, we cannot answer this question de novo. See
    Williams, 
    120 S. Ct. at 1519-20
     (holding that application of the
    Strickland test is under the unreasonable application prong of §
    2254(d)(1)). Although Justice Fried, as single gatekeeper justice of
    the SJC, did not cite Strickland in his analysis, it is clear from his
    language that his decision denying Phoenix's motion was based on the
    judgment that the failure to call Wraxall was a strategic choice:
    It is this strategy which defendant now claims
    amounted to ineffective assistance of counsel.
    The defendant claims that if only the expert
    witness, Dr. Wraxall, had been called to testify,
    it would have had a damaging effect on the
    Commonwealth's own expert testimony regarding the
    crucial blood testimony. But the subject of the
    reliability of the Commonwealth's testimony on
    this score had been so thoroughly canvassed both
    at trial, by cross-examination by defendant's
    counsel, and then examined by the full court on
    plenary review, that I think the claim of
    ineffectiveness of counsel is so far-fetched as
    to be insubstantial.
    Phoenix v. Commonwealth, No. SJ-96-0571, at 4-5 (SJC Memorandum, Fried,
    J., May 8, 1997). The strategy to which Justice Fried referred was
    described in the prior decision of the full SJC. See Commonwealth v.
    Phoenix, 
    409 Mass. 408
    , 421 n.8 (1991). In denying leave to admit into
    -12-
    the record on direct appeal the Wraxall affidavit, the SJC referred to
    defendant's arguments that he did not have Wraxall testify because of
    the expense and because of his belief that Schanfield's testimony would
    expose the unreliability of the critical test. The court concluded
    that "[t]hese considerations were purely ones of trial strategy, and,
    therefore, there is no reason to permit the filing of the affidavit."
    
    Id.
    As for the fingerprint evidence, Judge Moriarty of the
    Massachusetts Superior Court plainly found that the failure to call
    MacDonnell was a strategic one. See Commonwealth v. Phoenix, No. 87-
    068, at 8 (Superior Court Memorandum, Moriarty, J., March 18, 1996)
    ("[Bennett] made a tactical decision - and probably a wise one.").
    Hence, we must assess whether the respective state court
    applications of Strickland to these ineffective assistance claims was
    in fact objectively unreasonable. In other words, were the state court
    findings that Bennett made strategic choices in not calling either
    Wraxall or MacDonell reasonable determinations? Cf. Tucker v. Catoe,
    
    221 F.3d 600
     (4th Cir. 2000) (applying Williams/Strickland analysis in
    a similar manner); Barnabei v. Angelone, 
    214 F.3d 463
    , 469 (4th Cir.
    2000) (recognizing "the legal effect of the prior state court
    adjudication while independently reviewing the issues raised").
    -13-
    We make this assessment under the guidance of our decision
    in Lema v. United States, 
    987 F.2d 48
    , 53 (1st Cir. 1993).3 In Lema,
    we denied an ineffective assistance claim based on counsel's failure to
    call three witnesses proposed by the defendant. We noted that "[t]he
    decision whether to call a particular witness is almost always
    strategic, requiring a balancing of the benefits and risks of the
    anticipated testimony." 
    Id. at 54
    . "Where the prosecution's case is
    less than compelling . . . the risk of 'rocking the boat' may warrant
    a decision by trial counsel to forego the presentation of further
    defense testimony, even favorable testimony." 
    Id.
     (citing Johnson v.
    Lockhart, 
    921 F.2d 796
    , 800 (8th Cir. 1990)). Moreover, choices in
    emphasis during cross-examination are prototypical examples of
    unchallengeable strategy. See Matthews v. Rakiey, 
    54 F.3d 908
    , 916-18
    (1st Cir. 1996).
    We now examine each claim in turn.
    A.   The Fingerprint Evidence
    In response to the prosecution experts' identification of his
    client's prints and exclusion of another suspect's prints, Bennett
    cross-examined the Commonwealth's two fingerprint experts both at voir
    3  Although decisions issuing from this Court are not "clearly
    established" for the purposes of § 2254(d)(1) because they do not issue
    from the Supreme Court, they provide significant insight on what
    constitutes reasonableness for a particular fact pattern. Cf. Clark v.
    Stinson, 
    214 F.3d 315
    , 327 n.8 (2d Cir. 2000) (citing New York state
    law for guidance as to the reasonableness of waiver).
    -14-
    dire and at trial. Bennett challenged whether the paper bag had been
    treated for prints at the appropriate time and in the appropriate
    manner; he exposed that the expert worked only from photographs, rather
    than from the paper bag itself; and he raised questions about the chain
    of custody.    Bennett also spent a significant amount of time
    questioning the methodology of one of the Commonwealth experts
    (Shiflett), particularly with regard to discrepancies between the paper
    bag print and the comparison print.       In particular, his cross-
    examination prompted Shiflett to testify that the quality of the print
    had limited his observations and that the print on the paper bag was
    "similar to" but not "identical" to the print taken from Phoenix used
    for purposes of comparison.
    Defense expert MacDonnell submitted an affidavit stating
    that, in his opinion, the "quality of the fingerprint evidence is
    inadequate . . . to make a positive ID," and as a result he could not
    "conclude with certainty that the unknown [print] is not from Phoenix."
    MacDonnell could only testify in response to the prosecution's experts
    that identification of the fingerprint was impossible, in his opinion.
    He could not identify the fingerprint as that of another potential
    suspect. He could not say, for certain, that the fingerprint did not
    belong to Phoenix. Although Bennett had not thoroughly discredited the
    Commonwealth's fingerprint experts at trial, he had made substantial
    progress in this direction. It is possible that, given his progress
    -15-
    during cross-examination, the limitations of MacDonnell's testimony,
    and the threat of exhaustive cross-examination of his own expert,
    Bennett made a strategic decision not to call him. Judge Moriarty of
    the Massachusetts Superior Court so concluded. We cannot say that such
    a finding was objectively unreasonable, even if we might have found
    differently. See Williams, 
    120 S. Ct. at 1522
     (distinction between
    "incorrect" and "unreasonable"); see also Tucker, 
    221 F.3d at 614
    (finding that on a close issue, the appellate court can disagree with
    the state court without the state court decision having been
    unreasonable); Barnabei, 
    214 F.3d at 469
     (same).
    We also cannot conclude that Bennett's failure to send
    MacDonnell additional photographs for review during and after trial
    constituted ineffective assistance of counsel. Although it turned out
    that MacDonnell's opinion of the additional photographs would probably
    have been helpful at trial, Bennett's choice not to pursue further
    investigation on this front was a reasonable one at trial.
    MacDonnell's partially provided expert opinion had lowered Bennett's
    expectations and Bennett had adequately cross-examined the Commonwealth
    witnesses. Even with the stronger evidence, MacDonnell could still not
    testify that the print did not belong to Phoenix. Defense counsel is
    allowed to make strategic decisions, within the wide bounds of
    professional competence, as to which leads to follow up, and on which
    areas to focus his energies. This is especially true during trial,
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    when time is short. See, e.g., Genius v. Pepe, 
    147 F.3d 64
    , 67 (1st
    Cir. 1998).    Given our understanding of Bennett's failure to send
    MacDonnell additional photographs as a strategic choice at trial, we
    cannot find the state court's decision on this issue an unreasonable
    application of Strickland.
    B.   The Blood Evidence
    The blood evidence presents a more difficult case, simply
    because the defense expert affidavit promised much more. Wraxall
    offered to testify that: (1) the blood on the paper bag was not the
    result of "blowback" (i.e., blood splattered from the victim after he
    was shot); (2) the results of the May 11 test were "scientifically
    meaningless" and "not the proper basis for a scientific opinion;" (3)
    prosecution expert Schanfield's methodology was unreliable in important
    aspects; (4) taken as a whole, the blood evidence was not consistent
    with the victim, and Schanfield's statement to the contrary was
    misleading; and (5) the blood could have been taken from anyone in the
    population. Wraxall also noted that he would not have been able to
    perform independent testing on the samples, because Schanfield had
    irreparably altered them and the prosecutors had requested their
    return.
    At the voir dire, Bennett spent several hours cross-examining
    Schanfield and posed significant questions to the reliability of his
    testimony. As a result, the trial judge only allowed Schanfield to
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    make conclusions based on the May 11 tests. At trial, Bennett engaged
    in further cross-examination of Schanfield. Bennett was able to (1)
    expose problems with the control samples; (2) suggest what the problems
    with controls might mean for the reliability of the test as a whole;
    (3) prompt Schanfield to testify that he could not say, based on the
    May 11 test, that the blood was that of Green; (4) clarify that the
    test had yielded little in the way of interpretable results; (5)
    indicate inconsistencies in the testing of one potentially relevant
    blood allotype (the "N" allotype); (6) get Schanfield to describe
    certain inconsistencies as "false positives;" and (7) get Schanfield to
    admit inconsistencies among tests taken just 30 minutes apart. At the
    very least, even upon reading a cold record, Bennett's cross-
    examination at trial posed significant questions to the accuracy and
    integrity of Schanfield's test and his interpretation of the test
    results. The mere fact that Bennett's cross-examination failed to
    persuade the jury of Phoenix's innocence is not enough to establish
    ineffective assistance.
    At best, Wraxall's testimony could have added to Bennett's
    cross-examination by further discrediting Schanfield. Wraxall could
    have provided additional evidence challenging Schanfield's scientific
    methods and testing. He could have given the jury a reason to believe
    that the blood was not consistent with Green's. The jury would have
    heard that, because the blood was not the result of "blowback," it had
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    not been deposited on the paper bag in the manner Schanfield suggested.
    However, Wraxall could not testify that the blood was not Green's; in
    fact, he would not testify that the blood belonged to or did not belong
    to any specific person. In short, he would support Bennett's cross-
    examination attempt, but not provide any significant new facts or
    evidence that might lead the jury to an alternate explanation. As
    such, we can see that Bennett might have made a strategic decision not
    to call him: to call Wraxall would reinforce the lack of an alternative
    explanation, would open his own expert to cross-examination, and might
    simply do no good. See United States v. McGill, 
    11 F.3d 223
    , 227-28
    (1st Cir. 1993) (no ineffective assistance claim based on counsel's
    decision not to call witness, after "skillful cross-examination" had
    elicited much the same opinion evidence that counsel had hoped to
    establish through defense witness). Upon consideration of the record
    and Wraxall's affidavit, we cannot find that Justice Fried's
    understanding of Bennett's action as within the bounds of permissible
    strategic choice is objectively unreasonable. Thus we may not grant a
    writ of habeas corpus on this basis.
    We also cannot conclude that the state court's refusal to
    grant a new trial based on ineffective assistance of counsel was
    unreasonable based on Bennett's so-called "promise" to the jury.
    Phoenix bases this claim on a sentence of the opening statement in
    which Bennett noted that "if anything, tests will show that . . . some
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    of the blood that was on the bag . . . could not have been the blood of
    Ray Green."   It is true that no testimony explicitly showed this
    "promised" fact.    However, given that (i) Bennett used the "if
    anything" disclaimer; (ii) Wraxall would not have testified as
    supposedly promised, but only that Schanfield's testing was fatally
    flawed; and (iii) Bennett's cross-examination of Schanfield had
    attempted, and potentially achieved, the same result, we cannot
    conclude that Bennett either made a promise or that any promise he made
    went unfulfilled. Moreover, our cases that premise a habeas writ on an
    unfulfilled promise during opening argument generally require greater
    specificity in the promise and greater contemporaneousness between the
    promise and jury deliberations. Compare Anderson v. Butler, 
    858 F.2d 16
    , 19 (1st Cir. 1988) (ineffective assistance found upon explicit
    promise to call psychiatric witness made a day prior to jury
    deliberations, where voir dire had focused on jury willingness to
    accept such testimony), with McGill, 
    11 F.3d at 227-28
     (decision not to
    call previously promised witness who had "feet of clay" not ineffective
    assistance). The promise here was neither "dramatic" nor was the
    indicated testimony "strikingly significant." Anderson, 
    858 F.2d at 17
    .
    CONCLUSION
    We note that in the pre-Williams world, we would occasionally
    remand to the district court for hearings on whether an action was
    -20-
    within the allowable bounds of strategic choice or not. See, e.g.,
    United States v. Rodríguez-Rodríguez, 
    929 F.2d 747
    , 752 (1st Cir.
    1991). The holding of Williams dictates that we do not do so here.
    Our only question is whether the state judge's decision that defense
    counsel made a permissible strategic choice was objectively reasonable.
    Because we find that it was, we affirm the district court's denial of
    the writ of habeas corpus.
    Affirmed.
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