Harper v. Sanders , 503 F. App'x 564 ( 2012 )


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  •                                                              FILED
    United States Court of Appeals
    UNITED STATES COURT OF APPEALS       Tenth Circuit
    FOR THE TENTH CIRCUIT                      November 27, 2012
    Elisabeth A. Shumaker
    Clerk of Court
    JAMES HARPER,
    Petitioner-Appellant,
    v.                                                         No. 11-1439
    (D.C. No. 1:10-CV-01256-MSK)
    LINDA SANDERS, Warden, U.S.P.                               (D. Colo.)
    Lompoc,
    Respondent-Appellee.
    ORDER AND JUDGMENT*
    Before HARTZ, ANDERSON, and EBEL, Circuit Judges.
    James Harper, a former spy and federal prisoner proceeding pro se, appeals
    from an order of the district court dismissing his 
    28 U.S.C. § 2241
     habeas corpus
    petition. Exercising jurisdiction pursuant to 
    28 U.S.C. § 1291
    , we affirm.
    *
    After examining the briefs and appellate record, this panel has determined
    unanimously that oral argument would not materially assist the determination of this
    appeal. See Fed. R. App. P. 34(a)(2); 10th Cir. R. 34.1(G). The case is therefore
    ordered submitted without oral argument. This order and judgment is not binding
    precedent, except under the doctrines of law of the case, res judicata, and collateral
    estoppel. It may be cited, however, for its persuasive value consistent with
    Fed. R. App. P. 32.1 and 10th Cir. R. 32.1.
    I.      BACKGROUND
    In April 1984, Harper entered into a plea agreement with the United States by
    entering a plea of guilty to one count of selling and delivering confidential materials
    relating to national security in exchange for his cooperation (eight other counts were
    dropped). Along with immunity provisions, the plea agreement included a section
    stating that if the United States determined Harper’s cooperation led to substantial
    value of benefit, it would ask that Harper be given credit or consideration in
    connection with any parole commission proceeding. The agreement also included a
    provision prohibiting the use of any of Harper’s post-arrest statements against him in
    any civil or administrative proceeding.
    Harper was given a life sentence. He became eligible for parole in 1993 and,
    in 1994, a Pre-Hearing Assessment was prepared in anticipation of Harper’s parole
    hearing. It included information contained in a post-sentence report (“PSR”)
    prepared in 1987 that recounted the actual damage caused by Harper’s espionage
    activities. The Assessment recommended a decision more than 48 months above the
    minimum guideline range because Harper’s conduct had and would continue to have
    a significant impact on the United States. Harper complained that the use of this
    “actual damage” information from the PSR was prohibited by his plea agreement.
    The Parole Commission held a hearing at which it disagreed with Harper’s objection
    to the use of “actual damage” information; it recommended continuation to a 15-year
    reconsideration hearing in 2009. The National Appeals Board affirmed in spite of
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    finding that the “actual damage” information should not have been considered
    because it was in fact prohibited by the plea agreement.
    Harper filed a petition for writ of habeas corpus challenging the Commission’s
    decision in the U.S. District Court for the District of Oregon. The district court
    found that the factors the Parole Commission relied upon in exceeding the lower limit
    by more than 48 months were not in violation of Harper’s plea agreement. The Ninth
    Circuit affirmed.
    In 2007, Harper pled guilty to one count of “Providing or Possessing
    Contraband in Prison,” a class B misdemeanor, for his role in storing and distributing
    tobacco in prison.
    Harper’s 15-year reconsideration hearing was held in 2009, and the hearing
    examiner recommended a presumptive parole date. However, the executive reviewer
    disagreed because of aggravating factors related to Harper’s espionage and his 2007
    infraction. During the hearing, the examiner recounted the “actual damage” portion
    of the 1987 PSR that Harper objected to in his prior parole hearing. The Parole
    Commission ordered Harper’s sentence to be continued to expiration and the
    National Appeals Board affirmed.
    Harper then filed his current petition for writ of habeas corpus under 
    28 U.S.C. § 2241
     in the District of Colorado making 12 separate claims. The district court
    denied the petition and Harper now appeals.
    -3-
    II.      DISCUSSION
    A. Claims Two through Seven
    The district court dismissed claims two through seven for being secondary and
    successive after finding that the Ninth Circuit had already ruled on the same claims in
    Harper’s 1994 habeas petition. Harper contends that this was error because the
    Parole Commission’s 2009 decision qualifies as a “new judgment” consistent with
    the Supreme Court’s holding in Magwood v. Patterson, 
    130 S. Ct. 2788
    , 2792 (2010),
    which established that a prisoner’s second habeas petition is not “second and
    successive” when challenging a new judgment. The government argues that
    Magwood applies only when a new sentence was imposed as a result of a first
    successful habeas proceeding and is thus inapplicable here because Harper’s first
    petition was denied. We review the district court’s legal conclusions in dismissing a
    § 2241 petition de novo. Palma-Salazar v. Davis, 
    677 F.3d 1031
    , 1035 (10th Cir.
    2012).
    At the outset, although the district court dismissed the claims for being
    secondary and successive, it must be clarified that the phrase “second or successive”
    as we have come to know it following the passage of the Antiterrorism and Effective
    Death Penalty Act of 1996 (“AEDPA”) is not at issue in this case. Post-AEDPA,
    “second or successive” is used in reference to § 2244(a). But § 2244(a)’s structure
    does not apply to federal prisoners challenging execution of their sentence under
    § 2241; instead, “the traditional doctrines governing successive and abusive writs
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    inform our application of that subsection’s bar.” Stanko v. Davis, 
    617 F.3d 1262
    ,
    1272 (10th Cir. 2010). Because this is a § 2241 petition, whether claims two through
    seven are second or successive is evaluated according to the principles governing
    successive and abusive writs prior to enactment of the AEDPA. See Stanko, 
    617 F.3d at 1268-69
    . One of these principles is that a court may “decline to consider a habeas
    petition presenting a claim that was previously raised and adjudicated in an earlier
    habeas proceeding, unless the court determined that hearing the claim would serve
    the ends of justice.” 
    Id. at 1269
    .
    On appeal, Harper does not dispute that claims two through seven are
    essentially the same challenges that he made in his earlier, already adjudicated
    § 2241 proceeding; rather, he relies on the application of the “new judgment” rule in
    Magwood to prevent his claims from being barred as successive.
    In Magwood, the district court conditionally granted the petitioner’s § 2254
    habeas application challenging his death sentence. The state trial court then
    conducted a new sentencing hearing and again sentenced the petitioner to death,
    whereupon he brought another habeas application challenging the new sentence. The
    district court again conditionally granted the petitioner’s application based on a new
    ineffective-assistance-of-counsel argument. But the Eleventh Circuit reversed,
    holding that the petitioner’s challenge to his new death sentence was an unreviewable
    “second or successive” challenge under 
    28 U.S.C. § 2244
    (b). The court reasoned that
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    the petitioner could have brought the same claims when he challenged his original
    death sentence.
    The Supreme Court reversed, holding that the petitioner’s application
    challenged a new judgment and was therefore not “second or successive” under
    § 2244(b). Magwood, 
    130 S. Ct. at 2801
     (“This is [petitioner’s] first application
    challenging that intervening judgment. The errors he alleges are new.”) (emphasis in
    original). Looking at the statutory context, the Court concluded that § 2254 is not a
    claims-focused statute but one that relies on whether the petitioner’s application
    challenges the same state-court judgment. Id. at 2790 (“Both § 2254(b)’s text and the
    relief it provides indicate that ‘second or successive’ must be interpreted with respect
    to the judgment challenged.”). As such, because abuse-of-the-writ rules—as
    modified by § 2244(b)(2)—did not apply at all to the petitioner’s application
    challenging the new sentence, his application could not have been “second or
    successive.”
    Here, the issue is whether the 2009 decision to deny Harper parole qualifies as
    a “new judgment” being challenged for the first time, and not a “second or
    successive” challenge of the Commission’s 1994 decision.
    The government argues that Harper’s claims are “second or successive”
    because the factual basis for the Commission’s 2009 decision was the same as its
    1994 decision, which Harper has already challenged unsuccessfully. Moreover, the
    government cites the Fifth Circuit case In re Lampton to show that Magwood applies
    -6-
    “only when a new sentence was imposed as a result of the first habeas proceeding.”
    
    667 F.3d 585
    , 589 (5th Cir. 2012). Although the majority in Magwood did not make
    that specific distinction, all the cases cited in support of its holding involved habeas
    applicants whose first petition was granted.
    In those cases, however, there could not have been a new judgment without a
    successful challenge to the original judgment. Here, on the other hand, Harper had
    the opportunity for a parole hearing in 1994 and, after being denied, had another
    opportunity for a parole hearing 15 years later in 2009. The occurrence of the 2009
    parole hearing—and subsequent judgment—did not depend upon the success of
    Harper’s habeas petition challenging his 1994 parole denial; a new hearing and
    decision was scheduled to occur independent of the outcome of the 1994 proceeding.
    Harper thus argues that the Commission was mandated to give a full reassessment of
    his case without any deference to previous rulings by the Commission or the courts,
    making 
    28 U.S.C. § 2244
    (a) inapplicable because it is a new judgment.
    Harper’s argument that Magwood’s “new judgment” rule should apply to his
    § 2241 petition is ultimately unavailing. The Court in Magwood specifically declined
    to address or constrain the scope of habeas petitions challenging parole. 
    130 S. Ct. at
    2800 n.12 (“We address only an application challenging a new state-court
    judgment for the first time.”). Indeed, the Court noted that its ruling does not
    constrain the scope of § 2254 as applied to state prisoners challenging the execution
    of their sentences—which are equivalent to § 2241 petitions in the Tenth Circuit—as
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    the Court has previously defined it. Id.; see also Martin v. Bartow, 
    628 F.3d 871
    ,
    878 (7th Cir. 2010) (noting that Magwood “left undisturbed precedent concerning the
    scope of habeas review for challenges to parole decisions.”). Nor has any other court
    applied Magwood to § 2241 petitions or § 2254 petitions challenging parole
    decisions. The district court did not err when it found claims two through seven
    second or successive.
    B. Claim Eleven
    Harper next argues the district court erred when it found the Parole
    Commission’s determination that his misdemeanor conviction for “providing or
    possessing contraband in prison” under 
    18 U.S.C. § 1791
     was akin to “trafficking in
    contraband cigarettes” under 
    18 U.S.C. § 2342
    —for purposes of determining his
    salient factor score—was not arbitrary and capricious. When offense behavior is not
    listed in the Commission’s regulations, “the proper [offense severity] category may
    be obtained by comparing the severity of the offense behavior with those of similar
    offense behaviors” that are listed. 
    28 C.F.R. § 2.20
    , Chapter Twelve. The offense to
    which Harper pled guilty is not listed in the regulations. Thus, the Commission
    decided Harper’s § 1791 violation was similar to § 2342, a listed offense, which is
    graded as tax evasion pursuant to Guideline 501(e) (providing that if the amount of
    tax evaded is between $2,000 and $40,000, it should be graded as a category three
    offense). As a consequence, the Commission reduced Harper’s salient factor score
    from nine (“very good” parole prognosis) to a six (“good” parole prognosis).
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    Harper contends the Commission’s decision was arbitrary and capricious for
    two reasons. First, Harper asserts that even though the two offenses are similar in
    nature, § 1791 and § 2342 are “grossly incomparable in severity” because § 1791 is a
    class B misdemeanor with a maximum sentence of six months while § 2342 is a class
    E felony with a maximum sentence of 60 months. Since the two offenses are not
    reasonably comparable, Harper argues that the Commission was required to grade his
    offense according to the formula outlined in 
    28 C.F.R. § 2.20
    , Chapter 12, which
    would dictate grading § 1791 as category one instead of category three.
    Second, Harper argues that even if comparing his offense to § 2342 was
    reasonable, the Commission still acted arbitrarily and capriciously when it graded his
    offense based on evading at least $2,000 in taxes even though he only evaded $1,233
    in taxes.1 The difference is notable because under § 2.20, Chapter Five, Subchapter
    A, 501(f), if the amount of tax evaded is less than $2,000, the offense should be
    graded as category one instead of category three, as Harper’s offense was graded.
    We review the Commission’s decisions under the rational-basis standard, and
    review de novo the district court’s decision to deny habeas relief. Curtis v. Chester,
    
    626 F.3d 540
    , 544 (10th Cir. 2010). It is true that 
    28 C.F.R. § 2.20
     instructs the
    Commission to compare the severity of the unlisted offense behavior with those of
    listed behaviors, not just the nature of the behavior itself. Accordingly, it is not
    1
    As Harper correctly notes, the roughly $11,000 he earned as a result of the
    offense behavior was his gross income, not amount of tax evaded.
    -9-
    insignificant that the Commission compared Harper’s offense to an offense with a
    maximum sentence more than 10 times the maximum of Harper’s. However, this
    court need only find the Commission had a rational basis to compare the two
    offenses, and in spite of the wide gap in maximum sentences, the language of § 2342
    (“It shall be unlawful for any person knowingly to…receive, possess, sell, distribute,
    or purchase contraband cigarettes…”) aligns closely with Harper’s conduct.
    As to Harper’s tax argument, the Commission apparently did use Harper’s
    gross income to grade his offense instead of the amount of tax evaded only.
    However, Harper failed to raise this issue in the district court, and generally “we do
    not review matters raised for the first time on appeal.” Shell Rocky Mountain Prod.,
    LLC v. Ultra Res., Inc., 
    415 F.3d 1158
    , 1164 (10th Cir. 2005). In any event, under
    the Commission’s guidelines, aggravating circumstances may justify a departure
    from the severity rating listed. Because the Commission found there were indeed
    aggravating factors, departing from the listed severity rating was within the
    Commission’s discretion. Thus, the district court did not err in concluding the
    Commission’s treatment of Harper’s 2007 offense was not arbitrary and capricious.
    C. Claim Twelve
    Lastly, Harper contends that there was no rational basis in the record to
    support the Commission’s conclusion that he is willing to violate the law for personal
    profit and would thus be unlikely to abide by the law if released. The crux of
    Harper’s argument is that the aggravating factors the Commission used to come to its
    - 10 -
    conclusion—that he was paid over $11,000 to participate in a tobacco distribution
    conspiracy—were “discrete” actions that had already been considered as part of his
    salient factor score and parole prognosis, which still graded him as a “good” parole
    risk even after considering his 2007 infraction. Harper asserts that this amounted to
    improper “double-counting,” and that the Commission should have instead followed
    the parole prognosis consistent with his salient factor score of six by granting him
    parole. As the district court noted in its order, however, the Commission denied
    parole for “the same reasons” Harper was previously denied parole, which did not
    include consideration of his later-committed § 1791 violation. Order Den. Appl. for
    a Writ of Habeas Corpus Brought Pursuant to 
    28 U.S.C. § 2241
     at 29. Moreover, the
    fact that Harper’s original conviction was for selling classified documents for
    financial gain and his 2007 offense involved outlawed activity for financial gain
    provided the Commission at least a rational basis in deciding he would be unlikely to
    abide by the law if released. The district court did not err in concluding the
    Commission acted without caprice.
    The judgment of the district court is AFFIRMED.
    Entered for the Court
    David M. Ebel
    Circuit Judge
    - 11 -
    

Document Info

Docket Number: 11-1439

Citation Numbers: 503 F. App'x 564

Judges: Hartz, Anderson, Ebel

Filed Date: 11/27/2012

Precedential Status: Non-Precedential

Modified Date: 11/6/2024