Hoffler v. Bezio ( 2013 )


Menu:
  • 11-5281-pr
    Hoffler v. Bezio
    UNITED STATES COURT OF APPEALS
    FOR THE SECOND CIRCUIT
    August Term, 2012
    (Argued: December 5, 2012       Decided: August 8, 2013)
    Docket No. 11-5281-pr
    MICHAEL HOFFLER,
    Petitioner-Appellant,
    —v.—
    NORMAN R. BEZIO, Superintendent of Great Meadow Correctional Facility, ERIC T.
    SCHNEIDERMAN, Attorney General of the State of New York,
    Respondents-Appellees.
    Before:
    CABRANES, RAGGI, and CARNEY, Circuit Judges
    On this appeal from a judgment entered in the United States District Court for the
    Northern District of New York (McAvoy, J.) denying a writ of habeas corpus sought
    pursuant to 
    28 U.S.C. § 2241
    , petitioner maintains that the State of New York cannot retry
    him for the murder of a prosecution witness in another case because (1) the evidence at his
    first trial was insufficient as a matter of law to support the jury’s guilty verdict; (2) the
    Double Jeopardy Clause bars retrial in the face of such insufficiency; and (3) the failure of
    1
    the New York Appellate Division, Third Department, to address his sufficiency challenge
    before ordering retrial cannot be excused by its subsequent ruling that the error warranting
    retrial—a failure properly to swear the venire panel—meant that petitioner had never been
    placed in jeopardy at the initial trial. We conclude that a certificate of appealability is a
    jurisdictional prerequisite to a state prisoner’s appeal of the denial of a § 2241 petition.
    Because that has not previously been clear in this circuit, we hereby grant petitioner such a
    certificate nunc pro tunc. On the merits of petitioner’s appeal, we conclude that jeopardy did
    attach at petitioner’s first trial, but that petitioner is not entitled to habeas relief because his
    sufficiency challenge is meritless, thereby rendering harmless any possible error in the state
    court’s failure to address sufficiency when ordering retrial.
    AFFIRMED.
    RAY KELLY, ESQ., Albany, New York, for Petitioner-Appellant.
    LISA ELLEN FLEISCHMANN, Assistant Attorney General, of Counsel (Barbara
    D. Underwood, Solicitor General, Roseann B. MacKechnie, Deputy
    Solicitor General for Criminal Matters, on the brief), for Eric T.
    Schneiderman, Attorney General of the State of New York, New York,
    New York, for Respondents-Appellees.
    REENA RAGGI, Circuit Judge:
    Petitioner Michael Hoffler appeals from a judgment entered on November 17, 2011,
    in the United States District Court for the Northern District of New York (Thomas J.
    McAvoy, Judge), denying him a writ of habeas corpus. See Hoffler v. Bezio, 
    831 F. Supp.
                                                    2
    2d 570 (N.D.N.Y. 2011). Hoffler sought the writ pursuant to 
    28 U.S.C. § 2241
     to prevent
    New York State from retrying him on murder charges arising out of the December 30, 2003
    killing of Christopher Drabik, a prosecution witness scheduled to testify against Hoffler a
    few days later at a trial on drug charges.
    Although a jury found Hoffler guilty of first-degree witness-elimination murder in
    violation of 
    N.Y. Penal Law §§ 20.00
     and 125.27(1)(a)(v), the New York Appellate Division,
    Third Department, reversed the conviction on direct appeal and remanded the case for a new
    trial because of a mistake in swearing the venire panel from which the trial jury was selected.
    Specifically, the oath administered to the venire panel was that prescribed by New York law
    for empaneled jurors rather than the oath prescribed for prospective jurors. See People v.
    Hoffler, 
    53 A.D.3d 116
    , 120–21, 
    860 N.Y.S.2d 266
    , 269–70 (3d Dep’t 2008) (citing 
    N.Y. Crim. Proc. Law § 270.15
    (1)(a)). Hoffler here asserts that New York cannot retry him for
    the Drabik murder because (1) the evidence at his first trial was insufficient as a matter of
    law to support the jury’s guilty verdict; (2) the Double Jeopardy Clause bars retrial where the
    evidence at a first trial was legally insufficient to support conviction, see U.S. Const.
    amend. V; and (3) the Appellate Division’s failure to rule on his sufficiency challenge before
    ordering retrial cannot be excused by its subsequent determination that the error in swearing
    the venire panel meant that petitioner had never been placed in jeopardy at his first trial, see
    Hoffler v. Jacon, 
    72 A.D.3d 1183
    , 
    897 N.Y.S.2d 755
     (3d Dep’t 2010).
    3
    At the outset, we conclude that our jurisdiction to hear an appeal brought by a state
    prisoner from the denial of a § 2241 petition requires the issuance of a certificate of
    appealability. Because our case law has not previously made that requirement clear, we
    excuse Hoffler’s failure to seek a certificate within the time prescribed by our Local Rules,
    entertain his belated application, and grant him a certificate nunc pro tunc.
    With our jurisdiction thus established, we conclude that Hoffler was placed in
    jeopardy at the initial Drabik murder trial because the empaneled jury was properly sworn
    to return a verdict based on impartial consideration of the evidence and the applicable law.
    No different conclusion is warranted by the fact that the venire panel was not sworn in
    accordance with New York law, because that error rendered the judgment of conviction
    voidable but not void.
    Insofar as Hoffler faults the Appellate Division for not ruling on his sufficiency
    challenge before ordering retrial, we need not here decide whether such a ruling is
    constitutionally required by the Double Jeopardy Clause because, even if it is, any error in
    this case would be harmless beyond a reasonable doubt in light of record evidence sufficient
    to support a guilty verdict against Hoffler for first-degree witness-elimination murder.
    Accordingly, we affirm the judgment of the district court denying Hoffler’s § 2241
    petition for a writ of habeas corpus to prevent New York State from retrying him for murder.
    4
    I.     Background
    A.     The Murder of Christopher Drabik
    After his own arrest on drug charges in April 2003, Christopher Drabik agreed to
    cooperate with Albany police in making controlled drug purchases from identified
    traffickers, including an individual known to Drabik by the street name, “Murder.” Police
    subsequently identified “Murder” as petitioner Michael Hoffler who, based on a license he
    produced in the course of a traffic stop, also used the name “Ernest Hoffler.” On May 1,
    2003, and again on May 6, 2003, Drabik made controlled purchases of cocaine from Hoffler.
    Police recorded the men’s initial telephone conversation leading to these transactions, and
    they videotaped their face-to-face drug transactions. On May 14, 2003, in the course of a
    third controlled drug purchase by a different cooperator, police arrested Hoffler.
    At Hoffler’s July 1, 2003 arraignment—at which he was released on bail—the
    prosecution revealed the dates, times, and locations of the charged drug sales. Subsequently,
    the prosecutor provided defense counsel with police reports detailing the transactions, and
    at a November 2003 pretrial hearing, a police detective testified as to the surrounding
    circumstances. On none of these occasions did authorities identify Drabik as an informant
    or explicitly reveal that he would be called as a prosecution witness at the trial scheduled to
    begin on January 5, 2004. Nor were Hoffler’s recorded conversation and videotaped
    meetings with Drabik provided to defense counsel before Drabik’s murder.
    5
    The week prior to trial, on December 30, 2003, Drabik was found shot dead in front
    of 478 Sixth Avenue in Troy, New York. Even without Drabik’s testimony, a jury found
    Hoffler guilty on the pending drug charges, and the trial court sentenced him to an aggregate
    prison term of 17 to 34 years. See People v. Hoffler, 
    41 A.D.3d 891
    , 892, 
    837 N.Y.S.2d 750
    ,
    752 (3d Dep’t 2007).
    B.    Hoffler’s Initial Conviction for Drabik’s Murder
    On March 19, 2004, a grand jury indicted Hoffler on homicide charges stemming from
    the Drabik murder. On May 19, 2005, the trial jury found Hoffler guilty of the most serious
    charge, first-degree witness-elimination murder, see 
    N.Y. Penal Law §§ 20.00
    ,
    125.27(1)(a)(v), for which crime the court sentenced him to life imprisonment without
    parole.
    The prosecution theory at trial, which it supported largely through circumstantial
    evidence, was that Hoffler murdered Drabik—with the assistance of Albany confederate
    Lance Booker and Brooklyn gunman Gregory Heckstall—by luring Drabik to 478 Sixth
    Avenue in Troy, New York where, early on the morning of December 30, 2003, Heckstall
    shot Drabik dead.1 To facilitate our discussion of Hoffler’s sufficiency claim, we summarize
    some of the pertinent evidence.
    1
    Booker and Heckstall were tried separately and apart from Hoffler, with each
    convicted of two counts of first-degree murder and one count of conspiracy in the second
    degree. See People v. Booker, 
    53 A.D.3d 697
    , 698, 
    862 N.Y.S.2d 139
    , 140 (3d Dep’t 2008)
    (affirming conviction); People v. Heckstall, 
    45 A.D.3d 907
    , 908, 
    845 N.Y.S.2d 488
    , 489 (3d
    Dep’t 2007) (same).
    6
    Several witnesses placed Hoffler and an armed Heckstall together in Albany during
    the last week of December 2003. One such witness, who stated that Hoffler introduced
    Heckstall to her as his “cousin,”2 reported seeing the two men on December 28, 2003, parked
    near her house in a gray SUV. That same day, an individual who identified himself as
    “Ernest Hoffler” had rented a gray Ford Escape SUV from Budget in Albany.
    Another woman testified that she too had met Heckstall and Hoffler sometime during
    the last week in December when the two men were sitting with her neighbor, Booker, in a
    dark-colored SUV parked on her street. Heckstall spent the night with the woman and, when
    he undressed, she saw that he was carrying a firearm, which he indicated to her was loaded.
    Early the next morning, Hoffler arrived at the woman’s home and spoke quietly with
    Heckstall, after which Heckstall quickly dressed, collected his gun, and left with Hoffler.
    Telephone records showed that at 7:48 p.m. on December 29, 2003, a call was placed
    to Drabik’s cell phone from a cell phone registered to Hoffler’s residence and used by him
    on a regular basis. While it is not clear that this particular call connected, Drabik’s parents
    recalled overhearing their son speaking on his cell phone sometime between 7:45 and 8:00
    p.m. on December 29 to someone whom he agreed to meet the following day to discuss a
    possible construction job.
    2
    Other evidence showed that the two men had been neighbors in Brooklyn some years
    earlier.
    7
    Telephone records showed that over the next several hours and into the early morning
    of December 30, there were frequent calls between Hoffler’s cell phone and a phone number
    assigned to the residence of Pamela White, Booker’s then girlfriend. In the early morning
    on December 30, Hoffler arrived at White’s residence and waited while Booker dressed, after
    which the men left in a dark-colored SUV.
    At about this same time, Drabik received a 6:09 a.m. call on his cell phone from an
    unidentified incoming number. His mother overheard Drabik agree to meet the caller in 20
    minutes at 478 Sixth Avenue in Troy, New York, an address he wrote down on a piece of
    paper received into evidence at trial. A subsequent forensic examination of computers seized
    from Hoffler’s home would show that, on the night of December 29, 2003, one computer
    accessed an online real estate listing for 478 Sixth Avenue in Troy.
    At 6:37, 6:45, and 6:54 a.m. on December 30, Drabik called a number assigned to a
    “Trac Fone”—a prepaid phone with no named subscriber—that had been activated only the
    day before. Soon thereafter, at approximately 7:00 a.m., Drabik was fatally shot once in the
    chest in front of 478 Sixth Avenue in Troy, which is near the intersection of 112th Street and
    Sixth Avenue.
    Andrew Bridgers testified that early on the morning of December 30, while delivering
    newspapers in Troy, he was slowing his car to a stop on Sixth Avenue near 112th Street
    when he spotted two men and heard a gunshot. Bridgers then saw one of the men fall to the
    ground while the other walked in the direction of Bridgers’ vehicle, affording Bridgers a
    8
    view of the man’s face. Bridgers testified that the man who fell to the ground was Drabik;
    the one who walked away was Heckstall.3
    Mary Ann Fath, who lived on the corner of 113th Street and Sixth Avenue, a short
    distance from the murder scene, testified that, early on the same morning, through the
    window of her home, she saw an unfamiliar tan or “taupey”-colored SUV parked on 113th
    3
    Because no hearsay objection was raised as to how Bridgers learned Heckstall’s
    name, we view this evidence, like the rest of the record, in the light most favorable to the
    prosecution in assessing a sufficiency challenge.
    Booker’s role in the Drabik murder was less clearly established at Hoffler’s trial than
    at his own. As summarized by the Appellate Division in affirming Booker’s conviction,
    [I]n early December 2003, Hoffler showed [Booker Drabik’s] driver’s license,
    drove [Booker] to [Drabik’s] house to show him where [Drabik] lived, and
    offered to pay [Booker] to kill [Drabik]. . . . When [Booker] failed to commit
    the crime, Hoffler enlisted Heckstall to kill [Drabik]. The day before the
    murder, Hoffler, after informing [Booker] that he needed a cellular “TRAC
    phone” to call [Drabik] without calls being traced back to him, was provided
    one by [Booker]. The evidence revealed that the TRAC phone was used to call
    [Drabik] and lure him to the site of the murder. . . . Later that evening,
    [Booker] received a phone call from Hoffler, who informed him that he had
    found a location to which he could lure [Drabik].
    Between 5:30 and 6:00 a.m. the following morning, [Booker] received two
    telephone calls from Hoffler, who, accompanied by Heckstall, picked him up
    shortly thereafter in a rental car. . . . Hoffler, Heckstall and [Booker] then
    drove to [478 Sixth Avenue]. [Booker] recounted that, shortly after Heckstall
    got out of the car, he heard a gunshot and Heckstall ran back to the car and got
    in. Hoffler immediately asked Heckstall if [Drabik] was dead and, after
    Heckstall responded that he had shot [Drabik] in the chest, Hoffler complained
    that Heckstall had not shot the victim in the head.
    People v. Booker, 
    53 A.D.3d at
    702–03, 
    862 N.Y.S.2d at
    143–44. To the extent this
    evidence was not received at Hoffler’s trial, however, it plays no role in our resolution of this
    appeal.
    9
    Street with its headlights on. Soon after, she saw someone enter the SUV from a passenger
    side door, whereupon the vehicle pulled away.
    Telephone records showed that between 7:19 and 7:45 on the morning of December
    30, six telephone calls were placed between Hoffler’s cell phone and a landline registered
    to his residence. Approximately three hours later, at 10:58 a.m., a New York City police
    officer wrote a ticket for a vehicle illegally parked in Brooklyn: the gray SUV rented from
    Budget under the name “Ernest Hoffler.” Later that same day, the vehicle was back in
    Albany, where it was returned to Budget at 6:17 p.m., having been driven a total of 640 miles
    during “Ernest Hoffler’s” three-day rental. On December 30, Budget debited $432.11 from
    Michael Hoffler’s bank account to cover the cost of the rental, and subsequent forensic
    analysis would locate Hoffler’s DNA in the rented SUV.
    Meanwhile, when Heckstall arrived at his sister-in-law’s Brooklyn home between
    1:00 and 1:30 p.m. on December 30, he had several hundred dollars in cash.
    C.     Post-Conviction State Court Proceedings
    1.     Direct Appeal
    In challenging his murder conviction on direct appeal, Hoffler argued that the trial
    evidence was insufficient to support his conviction and that the venire panel had not been
    sworn in accordance with New York law.
    As to the latter point, New York law requires that two oaths be administered during
    the jury selection process. The first, administered to the venire panel before voir dire, is
    10
    intended to ensure that prospective jurors provide truthful answers to questions about their
    qualifications to serve. See 
    N.Y. Crim. Proc. Law § 270.15
    (1)(a) (providing that venire
    panel “shall be immediately sworn to answer truthfully questions asked them relative to their
    qualifications to serve as jurors in the action”). The second oath, administered to persons
    selected to serve as trial jurors, is intended to ensure that these jurors will be impartial and
    that they will return a verdict based on the law and the evidence. See 
    id.
     § 270.15(2) (stating
    that selected jurors “must be immediately sworn . . . to try the action in a just and impartial
    manner, to the best of their judgment, and to render a verdict according to the law and the
    evidence”).
    In Hoffler’s case, the venire panel was mistakenly sworn in accordance with
    § 270.15(2), i.e. the trial oath, rather than § 270.15(1)(a), i.e. the voir dire oath. Thereafter,
    the trial jurors were again sworn in accordance with § 270.15(2). The Appellate Division
    concluded that the failure to administer the § 270.15(1)(a) oath to the venire panel was a
    fundamental error that “invalidated the entire trial,” requiring reversal of Hoffler’s conviction
    without regard to prejudice. People v. Hoffler, 
    53 A.D.3d at 124
    , 
    860 N.Y.S.2d at 272
    . In
    remanding the case for a new trial, the appeals court did not address Hoffler’s sufficiency
    claim. See id.
    2.     State Proceedings Challenging Retrial
    On remand, Hoffler moved the trial court to dismiss the indictment against him,
    arguing that, in the absence of an appellate determination that the evidence at the first trial
    11
    was sufficient to support conviction, he could not be retried without violating the Double
    Jeopardy Clause. The trial court denied the motion, concluding that the Appellate Division
    was not obliged by either state or federal law to review the sufficiency of the evidence in
    ordering retrial based on a trial error that did not implicate guilt or innocence. The trial court
    also declined to conduct its own assessment of sufficiency in the absence of any authority
    for it to do so on remand where the Appellate Division had not. The trial court nevertheless
    observed that it had already rejected Hoffler’s sufficiency challenge when raised prior to the
    entry of the now reversed judgment of conviction.
    Hoffler next attempted to prevent his retrial by pursuing his double
    jeopardy/sufficiency challenge in an Article 78 petition to the Third Department. See N.Y.
    C.P.L.R. 7801 et seq.4 In denying relief, the Appellate Division concluded that, as a result
    of the failure to administer the proper oath to the jury, Hoffler was never placed in jeopardy
    at the Drabik murder trial. See Hoffler v. Jacon, 
    72 A.D.3d at 1185
    , 
    897 N.Y.S.2d at
    757–58.
    The court explained its conclusion as follows:
    [U]nder New York’s statutory double jeopardy scheme, a person is considered
    to have been “prosecuted” on an offense after the action proceeds to trial and
    the jury has been impaneled and sworn ([
    N.Y. Crim. Proc. Law § 40.30
    (1)(b)]). Thus, in a trial on an indictment, the constitutional protection
    against double jeopardy is not implicated—and jeopardy does not attach—in
    the absence of a duly impaneled and sworn jury. . . . [B]ecause it has been
    4
    “In an Article 78 proceeding, New York state courts are empowered to issue
    common law writs of certiorari to review, mandamus, and prohibition.” New York State
    Nat’l Org. for Women v. Pataki, 
    261 F.3d 156
    , 168 (2d Cir.2001) (internal quotation marks
    omitted).
    12
    established [in this case] that the jury was never properly sworn pursuant to
    [N.Y. Crim. Proc. Law §] 270.15(1)(a) and that such failure “invalidated the
    entire trial,” the trial was a nullity and petitioner was never “prosecuted” under
    the indictment.
    Id. at 1184–85, 
    897 N.Y.S.2d at
    757–58 (citations omitted). In these circumstances, the state
    court concluded that it was not required to address Hoffler’s sufficiency claim on direct
    appeal before ordering his retrial. See 
    id.
     at 1185–86, 
    897 N.Y.S.2d at 758
    .
    The New York Court of Appeals denied both Hoffler’s application for leave to appeal,
    see Hoffler v. Jacon, 
    15 N.Y.3d 768
    , 
    906 N.Y.S.2d 812
     (2010), and his subsequent motion
    for reconsideration, see Hoffler v. Jacon, 
    15 N.Y.3d 872
    , 
    912 N.Y.S.2d 561
     (2010).
    D.      Federal Habeas Petition
    On April 11, 2011, Hoffler petitioned the district court pursuant to 
    28 U.S.C. § 2241
    for a writ of habeas corpus. The district court denied the petition on November 17, 2011,
    observing that, in light of the Appellate Division’s identification of an error that “invalidated
    the entire trial, it is patent that petitioner was never placed in jeopardy at his original trial,”
    eliminating any double jeopardy concern with respect to retrial. Hoffler v. Bezio, 831 F.
    Supp. 2d at 579 (citation and internal quotation marks omitted).
    Even if Hoffler had been placed in jeopardy at the Drabik murder trial, however, the
    district court identified a “sound reason” for the Appellate Division not to reach his
    sufficiency challenge. See id. at 578 n.6 (internal quotation marks omitted) (construing
    United States v. Bruno, 
    661 F.3d 733
    , 743 (2d Cir. 2011), to permit court ordering retrial not
    to consider sufficiency of the evidence where sound reason warranted). “Since the Appellate
    13
    Division determined that no trier of fact could properly consider the evidence offered at
    Hoffler’s trial, any discussion regarding the evidence presented to that improperly empaneled
    body may well have been viewed by that court to be advisory in nature,” and it is
    “well-settled that the giving of [advisory] opinions is not the exercise of the judicial function
    of New York appellate courts.” Id. at 577 (alteration and emphasis in original; internal
    quotation marks omitted).
    In any event, the district court concluded that any error in the Appellate Division’s
    failure to rule on Hoffler’s sufficiency challenge before ordering retrial was necessarily
    harmless because the record evidence was sufficient to establish the elements of first-degree
    witness-elimination murder. See id. at 578 n.7.
    This timely appeal followed.
    II.    Discussion
    We review de novo a district court’s denial of a habeas petition brought pursuant to
    § 2241. See Maldonado v. Scully, 
    86 F.3d 32
    , 35 (2d Cir. 1996).5 Insofar as it is unsettled
    in this circuit whether, on a § 2241 petition, a challenged state court decision is subject to de
    novo review or is afforded deference under the Antiterrorism and Effective Death Penalty
    Act of 1996 (“AEDPA”), Pub. L. No. 104–132, 
    110 Stat. 1214
     (1996) (codified at 28 U.S.C.
    5
    Respondents do not challenge the district court’s ruling that Hoffler’s pretrial habeas
    petition is properly considered under 
    28 U.S.C. § 2241
     rather than 
    28 U.S.C. § 2254
    . See
    Hoffler v. Bezio, 831 F. Supp. 2d at 574–75. Accordingly, we do not here decide whether
    pretrial habeas petitions can only be brought pursuant to § 2241.
    14
    § 2254(d)), see Marte v. Vance, 480 F. App’x 83, 84 (2d Cir. 2012) (noting that question is
    unsettled), we need not conclusively answer that question in this case because respondents
    do not challenge the application of de novo review, and Hoffler’s claims fail even under that
    more rigorous standard, see generally Perkins v. Herbert, 
    596 F.3d 161
    , 176 (2d Cir. 2010)
    (citing precedent that court need not decide which review standard applies where result is
    same under either test).6
    Hoffler submits that the district court erred in concluding both that the Double
    Jeopardy Clause did not require the Appellate Division to resolve his sufficiency challenge
    before ordering retrial, and that, in any event, the evidence at Hoffler’s first murder trial was
    sufficient to support a guilty verdict for first-degree murder. Respondents defend the district
    court’s rulings and further assert that this court lacks jurisdiction over Hoffler’s appeal
    because Hoffler failed to obtain a certificate of appealability (“COA”) as required by
    
    28 U.S.C. § 2253
    (c)(1)(A). Hoffler responds that no COA is required where habeas relief
    is sought pursuant to § 2241. Nevertheless, at oral argument, Hoffler moved for a COA to
    be granted nunc pro tunc should this court determine that a certificate is necessary to reach
    the merits of his appeal.
    6
    Several of our sister courts of appeals have concluded that AEDPA deference does
    not apply “to habeas petitions brought by pretrial detainees under § 2241.” Martinez v.
    Caldwell, 
    644 F.3d 238
    , 242 (5th Cir. 2011) (citing decisions by First, Ninth, and Tenth
    Circuits in reaching that conclusion).
    15
    We proceed to consider these arguments in turn, starting with the question of
    jurisdiction.
    A.       A Certificate of Appealability Is a Jurisdictional Prerequisite to Appellate
    Review of the Denial of a § 2241 Petition Brought by a State Prisoner
    While the “Privilege of the Writ of Habeas Corpus” is constitutionally protected from
    suspension except in limited circumstances, U.S. Const. art. I, § 9, cl. 2, once a final ruling
    has been made, the jurisdiction of appellate courts to review a habeas decision is delineated
    by statute, specifically 
    28 U.S.C. § 2253
    . That jurisdictional grant is cabined by certain
    conditions, including the COA requirement detailed in § 2253(c)(1):
    Unless a circuit justice or judge issues a certificate of appealability, an appeal
    may not be taken to the court of appeals from--
    (A) the final order in a habeas corpus proceeding in which the detention
    complained of arises out of process issued by a State court; or
    (B) the final order in a proceeding under section 2255.
    In circumstances where § 2253(c)(1) applies, “until a COA has been issued[,] federal courts
    of appeals lack jurisdiction to rule on the merits of appeals from habeas petitioners.”
    Miller-El v. Cockrell, 
    537 U.S. 322
    , 336 (2003); accord Gonzalez v. Thaler, 
    132 S. Ct. 641
    ,
    649 (2012).
    There is no doubt that a state prisoner challenging his sentence under 
    28 U.S.C. § 2254
    (a), which permits a federal judge to grant a writ of habeas corpus to a prisoner who
    is “in custody pursuant to the judgment of a State court,” must obtain a COA to appeal a
    district court judgment, since such a prisoner is challenging detention arising out of process
    issued by a state court. See Richardson v. Greene, 
    497 F.3d 212
    , 217 (2d Cir. 2007). We
    16
    have also held that a federal prisoner seeking habeas relief under 
    28 U.S.C. § 2241
     is not
    required to obtain a certificate of appealability to take an appeal, inasmuch as he is neither
    challenging detention arising out of process issued by a state court, nor proceeding under
    § 2255. See Murphy v. United States, 
    199 F.3d 599
    , 601 n.2 (2d Cir. 1999). The question
    here is whether a state prisoner proceeding under 
    28 U.S.C. § 2241
    (c)(3), which permits a
    federal judge to grant a writ of habeas corpus to a prisoner who “is in custody in violation
    of the Constitution or laws or treaties of the United States,” must obtain a COA to appeal.
    In other words, we are asked whether a state petitioner seeking to prevent retrial under
    § 2241 is challenging detention “aris[ing] out of process issued by a State court,” 
    28 U.S.C. § 2253
    (c)(1)(A), thereby triggering the COA requirement.
    This court has not yet specifically ruled on whether a state prisoner must procure a
    COA to appeal a denial of habeas relief sought pursuant to 
    28 U.S.C. § 2241
    . Every other
    court of appeals to have considered the issue, however, has concluded that § 2253(c)(1)(A)
    requires a COA in such circumstances. See Evans v. Circuit Court, 
    569 F.3d 665
    , 666–67
    (7th Cir. 2009); Wilson v. Belleque, 
    554 F.3d 816
    , 824–25 (9th Cir. 2009); Greene v. Tenn.
    Dep’t of Corr., 
    265 F.3d 369
    , 372 (6th Cir. 2001); United States v. Cepero, 
    224 F.3d 256
    ,
    264 (3d Cir. 2000), abrogated on other grounds by Gonzalez v. Thaler, 
    132 S. Ct. at
    647 n.1;
    Montez v. McKinna, 
    208 F.3d 862
    , 869 (10th Cir. 2000); Stringer v. Williams, 
    161 F.3d 259
    ,
    262 (5th Cir. 1998). We now join our sister courts of appeals in reaching that same
    conclusion based on the statutory text and structure.
    17
    In § 2253(c)(1), Congress established a COA requirement in two distinct
    circumstances, the first applying to state prisoners, the second applying to federal prisoners.
    Section 2253(c)(1)(B) imposes a COA requirement on federal prisoners only with respect to
    appeals from final orders in proceedings arising under a single federal statute: 
    28 U.S.C. § 2255
    . By contrast, § 2253(c)(1)(A) does not limit the COA requirement for state prisoners
    to proceedings under any particular statute but, rather, imposes a COA requirement on final
    orders “in a habeas corpus proceeding” in which the challenged detention “arises out of
    process issued by a State court.” The phrase “habeas corpus proceeding” speaks generally
    and, thus, cannot reasonably be construed to reference only habeas proceedings arising under
    
    28 U.S.C. § 2254
    , while excluding habeas proceedings arising under § 2241. As the Ninth
    Circuit has observed, “had Congress intended to restrict the COA requirement for state
    detainees to petitions brought pursuant to § 2254, it would have simply employed the same
    straightforward language that it used in § 2253(c)(1)(B)” to limit the COA requirement to
    § 2255 proceedings. Wilson v. Belleque, 
    554 F.3d at 825
    . Thus, we conclude that, even if
    federal prisoners need obtain a COA only when appealing the denial of § 2255—and not
    § 2241—relief, a state prisoner is statutorily required to procure a COA to appeal from a final
    order in any habeas proceeding, without regard to whether that proceeding arose under
    § 2254, § 2241, or some other provision of law.7
    7
    Cases cited by Hoffler addressing the COA requirements for federal prisoners,
    see, e.g., Jeffers v. Chandler, 
    253 F.3d 827
    , 830 (5th Cir. 2001); Sugarman v. Pitzer, 
    170 F.3d 1145
    , 1146 (D.C. Cir. 1999), are simply inapposite and, therefore, warrant no
    discussion.
    18
    Here, Hoffler awaits retrial by order of New York’s Appellate Division, Third
    Department, the same court that also rejected Hoffler’s Article 78 argument that retrial
    violates double jeopardy. In these circumstances, a § 2241 petition complaining that Hoffler
    is “in custody in violation of the Constitution,” 
    28 U.S.C. § 2241
    (c)(3), necessarily initiates
    “a habeas corpus proceeding in which the detention complained of arises out of process
    issued by a State court,” 
    id.
     at § 2253(c)(1)(A).8 Accordingly, for Hoffler to appeal the
    district court’s denial of habeas relief pursuant to § 2241, he was required to obtain a COA.
    See Wilson v. Belleque, 
    554 F.3d at 825
     (holding COA required where petitioner appealed
    denial of § 2241 petition seeking to bar state retrial on double jeopardy grounds).
    To secure a COA, a petitioner must make “a substantial showing of the denial of a
    constitutional right.” 
    28 U.S.C. § 2253
    (c)(2). Construing this requirement, the Supreme
    Court has instructed that a federal court should not deny a COA “merely because it believes
    the applicant will not demonstrate an entitlement to relief.” Miller-El v. Cockrell, 
    537 U.S. 8
    Respondents do not dispute that Hoffler is in “custody” for purposes of § 2241, and
    Hoffler does not contend that his § 2241 claim is anything but a challenge to “detention” for
    purposes of § 2253(c)(1)(A). Thus, we need not here delineate the precise boundaries of
    those requirements. We note only that the Supreme Court has broadly construed “custody”
    for purposes of habeas corpus, so as to reach restraints on liberty even when a defendant is
    not in “actual, physical custody,” Jones v. Cunningham, 
    371 U.S. 236
    , 239 (1963), as for
    example when he is subject to the court’s criminal jurisdiction though released on bail, see
    Lefkowitz v. Newsome, 
    420 U.S. 283
    , 286 n.2, 291 n.8 (1975), or on his own recognizance,
    see Hensley v. Mun. Court, 
    411 U.S. 345
    , 351 (1973). Moreover, as the Ninth Circuit
    observed in Wilson v. Belleque, “[t]here is no analytically sound way to conclude that
    petitioners” incarcerated for one crime while fighting retrial on another are “‘in custody’ for
    purposes of § 2241(c)(3) but not challenging a ‘detention’ under § 2253(c)(1)(A).” 
    554 F.3d at 825
    .
    19
    at 337. Rather, a COA should issue if “jurists of reason would find it debatable whether the
    petition states a valid claim of the denial of a constitutional right.” Slack v. McDaniel, 
    529 U.S. 473
    , 478 (2000). For the reasons set forth in section II.B. infra, we conclude that
    Hoffler has made the requisite “substantial showing” with respect to his claim that the
    Appellate Division could not, consistent with the constitutional prohibition on double
    jeopardy, order his retrial for the Drabik murder without first deciding whether the evidence
    at his initial trial was sufficient to support the jury verdict of guilty for first-degree
    witness-elimination murder. At the same time, we conclude that he has not made such a
    showing with respect to the other habeas claims he seeks to pursue on appeal.9 Accordingly,
    we need consider only the former claim in deciding whether to grant Hoffler a COA.
    In making that determination, we recognize that Hoffler’s request for a COA at oral
    argument was untimely under Second Circuit Local Rule 22.1, which requires that COA
    motions be made within 28 days of the later of the district court’s denial of a COA or the
    9
    Hoffler purports to identify error in the district court’s conclusions that (1) jeopardy
    did not terminate when he was first convicted for Drabik’s murder; and (2) New York’s
    nullified proceeding law, see 
    N.Y. Crim. Proc. Law § 40.30
    (3), does not violate the Double
    Jeopardy Clause. These arguments admit no reasoned debate as to their merits. The
    Supreme Court has held that a conviction does not terminate jeopardy if appealed. See
    Sattazahn v. Pennsylvania, 
    537 U.S. 101
    , 106 (2003). Moreover, New York’s nullified
    proceeding law, which permits retrial of a defendant where jeopardy has not terminated, see
    
    N.Y. Crim. Proc. Law § 40.30
    (3); Peter Preiser, Practice Commentaries, 
    N.Y. Crim. Proc. Law § 40.30
     (McKinney 2013), is consistent with the Double Jeopardy Clause, see Sattazahn
    v. Pennsylvania, 
    537 U.S. at 106
    .
    Insofar as Hoffler does not appeal the district court’s denial of an evidentiary hearing,
    we deem that claim abandoned. See Jackler v. Byrne, 
    658 F.3d 225
    , 233 (2d Cir. 2011).
    20
    filing of a notice of appeal. That rule, however, is not jurisdictional. See 
    28 U.S.C. § 2253
    (c) (prescribing no time limitation for issuance of COA); see also Gonzalez v. Thaler,
    
    132 S. Ct. at
    648–49 (holding that § 2253(c)(1)’s requirement that COA must issue before
    appeal may be taken is jurisdictional, but that remaining § 2253(c) requirements as to when
    COA may issue are non-jurisdictional); see generally Henderson ex rel. Henderson v.
    Shinseki, 
    131 S. Ct. 1197
    , 1203 (2011) (identifying claim-processing rules, such as filing
    deadlines, as non-jurisdictional in absence of clear congressional intent to contrary). Thus,
    we can, and here do, exercise our discretion to excuse Hoffler’s failure to make a timely
    COA application. See Fed. R. App. P. 26(b) (stating that, for good cause, courts may grant
    extension of time prescribed under rules or permit an act to be done after that time expires).
    Not only has our precedent failed previously to make clear that a state prisoner must obtain
    a COA to appeal from the denial of a § 2241 petition, but also court actions may have
    confused the issue in this case.10 Insofar, however, as this opinion now makes clear that a
    state petitioner appealing from the denial of § 2241 relief must first secure a COA, we will
    not be inclined to grant future untimely applications for COAs in § 2241 cases.
    10
    It appears that the court originally docketed Hoffler’s case as an appeal from a
    § 2254 petition and thus issued an order directing Hoffler to move for a COA. See Dkt. No.
    23. Upon notice that the appeal was, in fact, from the denial of a § 2241 petition, the court
    vacated its order requiring Hoffler to move for a COA. See Dkt. No. 25. Hoffler’s counsel
    also represents that he was advised orally by a court staff member that no COA motion was
    necessary when a habeas petitioner sought relief under § 2241. See March 8, 2012 Decl. of
    Ray Kelly, Dkt. No. 35, ¶ 2.
    21
    Accordingly, we grant Hoffler a COA nunc pro tunc with respect only to his double
    jeopardy/sufficiency challenge to retrial, and we proceed to discuss the merits of that
    argument.
    B.     Hoffler’s Retrial Will Not Violate Double Jeopardy
    The Constitution states that no person shall “be subject for the same offence to be
    twice put in jeopardy of life or limb.” U.S. Const. amend. V. “Under this Clause, once a
    defendant is placed in jeopardy for an offense, and jeopardy terminates with respect to that
    offense, the defendant may neither be tried nor punished a second time for the same offense.”
    Sattazahn v. Pennsylvania, 
    537 U.S. 101
    , 106 (2003).
    Hoffler contends that if he is retried for the Drabik murder after having already been
    tried once for that crime on a record that he maintains was legally insufficient to support
    conviction, he will be placed in double jeopardy. See Burks v. United States, 
    437 U.S. 1
    , 18
    (1978) (holding that Double Jeopardy Clause bars retrial where appellate court finds
    evidence at first trial insufficient to support conviction). He submits that the New York State
    courts violated his right not to be placed in double jeopardy by mistakenly concluding that
    he was never in jeopardy at his first trial and by failing to rule on his sufficiency challenge
    to the evidence supporting his first conviction. We conclude that Hoffler was placed in
    jeopardy when he was first tried for the Drabik murder, but that his double jeopardy claim
    fails nonetheless because jeopardy never terminated with respect to that offense, and the trial
    22
    evidence was not insufficient as a matter of law to support a conviction for first-degree
    witness-elimination murder.
    1.      Attachment of Jeopardy
    In rejecting Hoffler’s double jeopardy challenge to retrial, the Appellate Division
    concluded that Hoffler had not been placed in jeopardy at his first trial because the petit jury
    that returned a guilty verdict had not been properly sworn to participate in voir dire, a
    fundamental error that invalidated the entire trial. See Hoffler v. Jacon, 
    72 A.D.3d at 1185
    ,
    
    897 N.Y.S.2d at
    757–58. On de novo review of whether jeopardy attached at an initial state
    criminal proceeding, neither the state court’s decision, nor the state law on which it relies,
    binds this court. As we stated in Boyd v. Meachum, 
    77 F.3d 60
     (2d Cir. 1996), “[t]he
    contours of the Fifth Amendment’s guarantee against double jeopardy are indisputably
    federal,” and “a federal constitutional right, to have any constant and discernible substance,
    cannot turn on the vagaries of state procedural definitions,” 
    id. at 65
     (internal quotation
    marks omitted). Here, two strands of federal law prompt us to conclude that Hoffler was
    placed in jeopardy at his initial state trial for first-degree witness-elimination murder.
    The first strand derives from the Supreme Court’s decision in Serfass v. United States,
    
    420 U.S. 377
     (1975), and this court’s decision in United States v. Wedalowski, 
    572 F.2d 69
    (2d Cir. 1978). In Serfass, the Supreme Court observed that, for purposes of reviewing
    double jeopardy challenges, “courts have found it useful to define a point in criminal
    proceedings at which the constitutional purposes and policies are implicated by resort to the
    23
    concept of attachment of jeopardy.” 420 U.S. at 388 (internal quotation marks omitted). In
    the case of a jury trial, that point is when a jury is “empaneled and sworn.” Id.; accord
    United States v. Razmilovic, 
    507 F.3d 130
    , 136 (2d Cir. 2007).
    In Wedalowski, this court held that Serfass’s use of “the word ‘sworn’ refers, of
    course, to the trial jury oath and not to the voir dire oath.” 
    572 F.2d at 74
    . We reached that
    conclusion in rejecting a defendant’s claim that he was already in jeopardy when a trial court
    granted a motion to dismiss after jurors had been selected from a venire but before they had
    sworn the trial jury oath. See 
    id.
     at 74–75. What is significant for our review of Hoffler’s
    claim is that Wedalowski construed the word “sworn” to refer only to the trial jury oath and
    “not to the voir dire oath.” 
    Id. at 74
     (emphasis added). It notably did not hold that “the word
    ‘sworn’ refers, of course, to the trial jury oath [as well as] the voir dire oath.” 
    Id.
    Here, there is no question that the jurors empaneled to hear the evidence and return
    a verdict in Hoffler’s case swore to the required trial jury oath. Thus, whatever state law
    error may have occurred in the administration of a voir dire oath to the venire panel from
    which trial jurors were selected does not alter the fact that Hoffler was tried before a jury
    “empaneled and sworn” to the trial jury oath. That was sufficient to place Hoffler once in
    jeopardy and to afford him the constitutional protection against being so placed a second
    time.
    A second strand of precedent distinguishing between void and voidable judgments in
    the double jeopardy context reinforces that conclusion. Generally, a judgment is “void”
    24
    where a court “usurp[s] a power without jurisdiction,” while a judgment is “voidable” where
    a court commits error while properly exercising jurisdiction. Dennison v. Payne, 
    293 F. 333
    ,
    341 (2d Cir. 1923). In Ball v. United States, 
    163 U.S. 662
     (1896), the Supreme Court held
    that only in the former, narrowly confined circumstance does jeopardy fail to attach, see 
    id.
    at 669–70. The government there argued that double jeopardy did not bar it from retrying
    a defendant acquitted of murder because a defect in the indictment had deprived the trial
    court of jurisdiction ab initio, thereby precluding jeopardy from attaching. See 
    id.
     at 664–67.
    Rejecting the government’s broad view of jurisdictional error, the Supreme Court stated:
    An acquittal before a court having no jurisdiction is, of course, like all the
    proceedings in the case, absolutely void, and therefore no bar to subsequent
    indictment and trial in a court which has jurisdiction of the offense. But,
    although the indictment was fatally defective, yet, if the court had jurisdiction
    of the cause and of the party, its judgment is not void, but only voidable by
    writ of error.
    
    Id.
     at 669–70 (emphasis added; citations omitted); see 6 Wayne R. LaFave et al., Criminal
    Procedure § 25.1(d) (3d ed. 2012) (noting that Ball rejected broad view of jurisdictional
    error, instead holding that court needs only “authority . . . to render judgment” for jeopardy
    to attach). Having concluded that the defective indictment rendered the judgment voidable,
    but not void, the Court held that jeopardy attached at trial and that the government could not
    retry the defendant for murder. See Ball v. United States, 
    163 U.S. at 670
    ; accord Kepner
    v. United States, 
    195 U.S. 100
    , 130 (1904) (“It is, then, the settled law of this court that
    former jeopardy includes one who has been acquitted by a verdict duly rendered, although
    no judgment be entered on the verdict, and it was found upon a defective indictment.”);
    25
    Illinois v. Somerville, 
    410 U.S. 458
    , 467–69 (1973) (concluding jeopardy attached in state
    trial on defective indictment).
    Significantly, for purposes of our review here, when in Benton v. Maryland, 
    395 U.S. 784
     (1960), the Supreme Court held that the Double Jeopardy Clause applied fully to the
    states, it reiterated the distinction between void and voidable judgments in the context of a
    jury selection error, see 
    id.
     at 795–97. In Benton, a defendant convicted of burglary but
    acquitted of larceny was granted a new trial by the state because a constitutionally
    impermissible oath had been administered to both the grand jury that returned the original
    indictment and the petit jury that rendered the trial verdict. See 
    id.
     at 785–86. The state
    retried the defendant, however, on both the burglary and larceny counts, maintaining that the
    jury error rendered the initial indictment “absolutely void,” and that a defendant “cannot be
    placed in jeopardy by a void indictment.” 
    Id. at 796
     (internal quotation marks omitted). The
    Supreme Court rejected that argument in holding that the defendant could not be retried for
    larceny. It concluded that “at worst the indictment would seem only voidable at the
    defendant’s option, not absolutely void.” 
    Id. at 797
    ; see also 
    id. at 796
     (characterizing state’s
    voidness argument as “a bit strange . . . since petitioner could quietly have served out his
    sentence under this ‘void’ indictment had he not appealed his burglary conviction”). In so
    stating, the Court reiterated Ball’s holding that “‘if the court had jurisdiction of the cause and
    of the party, its judgment is not void, but only voidable by writ of error.’” 
    Id. at 797
     (quoting
    Ball v. United States, 
    163 U.S. at
    669–70). The Court grounded this conclusion in the
    26
    common law roots of the Double Jeopardy Clause, specifically Blackstone’s reference to a
    “plea of autrefoits acquit” or former acquittal. 
    Id. at 795
     (internal quotation marks omitted).
    In short, it is the law’s longstanding opposition to retrying an acquitted defendant that
    demands that only a narrow category of judgments be recognized as void rather than
    voidable. See 
    id.
     at 795–97.11
    We think the same conclusion that the Supreme Court reached in Benton with respect
    to a constitutional error in the oath administered to grand and trial juries necessarily applies
    to a state law error in the oath administered to a venire panel. As long as the trial court has
    jurisdiction of the cause and the party, such jury oath errors render ensuing judgments
    voidable but not void. Indeed, the conclusion is particularly apt here, where there is no
    question that the petit jurors empaneled from a mistakenly sworn venire were nevertheless
    properly sworn according to the trial jury oath. See United States v. Wedalowski, 
    572 F.2d at 74
    .12
    11
    The distinction between void and voidable judgments is of less significance to a
    defendant initially found guilty because a reversal on either ground will generally result in
    his retrial, either because jeopardy never attached, in the rare case of a void judgment, or
    because it never terminated, in the more common case of a voidable judgment. See infra at
    [31–32]. Thus, the question of whether Hoffler’s reversed judgment of conviction was void
    or voidable is pertinent only insofar as it bears on the issue of whether a reviewing court was
    obliged to rule on his sufficiency challenge before ordering retrial.
    12
    Batson jurisprudence also supports the conclusion that jury selection errors
    generally render trial judgments voidable but not void. See Batson v. Kentucky, 
    476 U.S. 79
     (1986). Insofar as lack of jurisdiction is what renders a judgment void, see Ball v. United
    States, 
    163 U.S. at
    669–70, such a defect cannot be waived and may be raised at any time
    while a case is pending, see Fed. R. Crim. P. 12(b)(3)(B). But courts, including this one,
    27
    The conclusion that few errors will render a judgment void is bolstered by United
    States v. Sabella, 
    272 F.2d 206
     (2d Cir. 1959). There, the government defended against a
    double jeopardy challenge to a conviction secured on retrial by arguing that a defect in the
    statute supporting defendants’ original conviction—specifically, the absence of any
    sentencing authority—deprived the trial court of jurisdiction to enter the original judgment.
    See 
    id. at 207, 209
    . In rejecting this argument, Judge Friendly, writing for the court,
    explained that Ball referenced “jurisdiction” in the “basic sense,” asking only whether a
    “cause of action under our law was asserted,” and whether “the court had power to determine
    whether it was or was not well founded in law and effect.” 
    Id. at 209
     (internal quotation
    marks omitted); see LaFave § 25.1(d) (stating that “concept of judicial competency or
    jurisdiction acting as a prerequisite for double jeopardy protection” is “quite narrow”
    (internal quotation marks omitted)). These “basic” jurisdiction questions required affirmative
    answers in Sabella because the district court, in addition to having personal jurisdiction over
    defendants and territorial jurisdiction over their alleged actions, had jurisdiction to try the
    charged conduct and “to render a judgment convicting the defendants, despite the fact that
    require that Batson equal protection challenges be raised during jury selection and deem them
    waived once the jury is sworn. See McCrory v. Henderson, 
    82 F.3d 1243
    , 1248–49 (2d Cir.
    1996) (collecting cases); see also United States v. Sammaripa, 
    55 F.3d 433
    , 434–35 (9th Cir.
    1995) (holding that prosecution’s failure to raise Batson challenge during jury selection
    precluded court from declaring mistrial based on defendant’s Batson error in exercising
    peremptory challenge). Thus, a Batson jury selection error, which if preserved will warrant
    reversal even without a showing of prejudice, see Tankleff v. Senkowski, 
    135 F.3d 235
    , 248
    (2d Cir. 1998), nevertheless does not deprive a court of its “fundamental power” to hear a
    case, Boyd v. Meachum, 
    77 F.3d at 65
    , so as to render the judgment void.
    28
    it could not lawfully impose a penalty.” 
    272 F.2d at 209
    . Thus, despite the statutory lack of
    authority to impose sentence, the original vacated judgment was voidable rather than void,
    and the defendants were indeed placed in jeopardy.
    More recently, this court clarified that, in making a double jeopardy assessment of a
    state court’s initial exercise of jurisdiction, a federal court may consider, but is not bound by,
    state law. See Boyd v. Meachum, 
    77 F.3d at 65
     (stating that question whether “state court
    had sufficient jurisdiction for jeopardy to attach . . . is necessarily one of federal law”).
    Moreover, Boyd emphasized that a party claiming lack of jurisdiction to defeat a double
    jeopardy claim carries a particularly heavy burden. Thus, a party asserting that a state court
    judgment is void for lack of personal jurisdiction “must show that, in a larger sense, the state
    court was without fundamental power to exercise jurisdiction over his person.” 
    Id.
     (emphasis
    added). In other words, it must demonstrate “not merely that the criminal court did not
    properly exercise jurisdiction over [defendant’s] person as a matter of state law, but rather
    that the court could not exercise personal jurisdiction over him without violating the
    Constitution, or perhaps other federal law depriving the state court of personal jurisdiction.”
    
    Id.
     Absent such a showing, a judgment may be voidable, but it is not void so as to preclude
    jeopardy from attaching. See 
    id. at 66
     (rejecting defendant’s argument that jeopardy did not
    attach, because there was “no claim that he was tried in the wrong court, or was tried in
    absentia, or was otherwise denied due process,” or that trial court exercised jurisdiction over
    him in violation of Constitution or federal law).
    29
    Consistent with these precedents, we here conclude that the state trial court did not
    lack the fundamental power or basic jurisdiction to try Hoffler for Drabik’s murder. See
    Boyd v. Meachum, 
    77 F.3d at 65
    ; United States v. Sabella, 
    272 F.2d at 209
    . Rensselaer
    County Court undoubtedly had jurisdiction to try the charged offense of first-degree murder,
    as well as lesser homicide crimes. See 
    N.Y. Crim. Proc. Law §§ 10.10
    (2)(b), 10.20(1)(a)
    (stating that county courts have jurisdiction to try felonies). That court also had territorial
    jurisdiction over Drabik’s homicide, see 
    id.
     § 20.40(1) (stating that criminal court of
    particular county has jurisdiction if conduct constituting an element of the offense occurred
    within county), and personal jurisdiction over Hoffler, see People v. Stirrup, 
    91 N.Y.2d 434
    ,
    439, 
    671 N.Y.S.2d 433
    , 437 (1998) (citing 
    N.Y. Crim. Proc. Law § 1.20
    (9)) (stating that
    criminal court obtains personal jurisdiction over defendant upon filing of accusatory
    instrument and defendant’s appearance in court).13 Moreover, the state court’s exercise of
    jurisdiction at Hoffler’s first trial does not raise any constitutional or federal law concerns.
    In these circumstances, even if New York, in applying its own law, treats the failure
    to administer the proper voir dire oath to the venire as an error that “invalidate[s] the entire
    trial,” People v. Hoffler, 
    53 A.D.3d at 124
    , 
    860 N.Y.S.2d at 272
    , for purposes of the Fifth
    Amendment protection against double jeopardy, this is the sort of non-jurisdictional trial
    13
    We need not here decide whether, for purposes of double jeopardy, it is New York
    State rather than particular New York courts that must have jurisdiction over the cause and
    person. See generally 
    N.Y. Crim. Proc. Law § 40.30
    (2)(a) (stating that New York’s double
    jeopardy statute does not bar retrial where first prosecution “occurred in a court which lacked
    jurisdiction over the defendant or the offense”).
    30
    error that rendered the initial judgment voidable, but not void. Thus, consistent with Ball,
    Benton, Sabella, and Boyd, we conclude that, even though the first judgment of conviction
    was voidable, Hoffler was placed in jeopardy at the initial Drabik murder trial.
    2.     Review of Insufficiency Claims on Direct Appeal
    Where a defendant placed in jeopardy at trial is acquitted, jeopardy terminates with
    the judgment of acquittal, and the Double Jeopardy Clause bars retrial. See, e.g., Boyd v.
    Meachum, 
    77 F.3d at 63
    . But where jeopardy has attached and a defendant is convicted,
    retrial on the same charges is not constitutionally barred where it results from a reversal of
    conviction based on the defendant’s own successful demonstration of trial error on appeal.
    See 
    id.
     In such circumstances, the law does not view jeopardy as terminating or the retrial
    as putting a defendant in jeopardy a second time. See 
    id.
     Rather, it views the retrial as “a
    facet of the original jeopardy.” 
    Id.
     (observing that “first jeopardy does not end with
    conviction, but rather continues through the appeal, and if successful, the remand and retrial
    are part of the original jeopardy”).
    This conclusion does not apply, however, where an appellate court finds the evidence
    at the first trial insufficient to support conviction. In such circumstances, “[t]he Double
    Jeopardy Clause forbids a second trial for the purpose of affording the prosecution another
    opportunity to supply evidence which it failed to muster in the first proceeding.” Burks v.
    United States, 
    437 U.S. at 11
    . As Burks explained, a reversal for insufficient evidence
    “means that the government’s case was so lacking that it should not have even been
    31
    submitted to the jury” a first time. 
    Id. at 16
     (emphasis in original). Hoffler argues that the
    Double Jeopardy Clause not only bars retrial when a conviction is reversed for insufficient
    evidence, but also compels a reviewing court to resolve any insufficiency claim before
    ordering retrial based on trial error. In support, he relies on Justice Brennan’s concurring
    opinion in Justices of Boston Municipal Court v. Lydon, 
    466 U.S. 294
     (1984). There, Justice
    Brennan, joined by Justice Marshall, stated as follows:
    [W]hen a defendant challenging his conviction on appeal contends both that
    the trial was infected by error and that the evidence was constitutionally
    insufficient, the court may not, consistent with the rule of Burks v. United
    States, 
    437 U.S. 1
     (1978), ignore the sufficiency claim, reverse on grounds of
    trial error, and remand for trial. . . . [I]f retrial is to be had, the evidence must
    be found to be legally sufficient, as a matter of federal law, to sustain the jury
    verdict.
    
    Id.
     at 321–22 (Brennan, J., concurring in part and concurring in the judgment) (internal
    quotation marks omitted). Hoffler submits that this court adopted Justice Brennan’s view as
    its own in United States v. Wallach, 
    979 F.2d 912
     (2d Cir. 1992), when it stated: “A reversal
    on the basis of insufficiency of evidence, like an acquittal, bars a retrial, see Burks v. United
    States, 
    437 U.S. at
    16–17, and a reversal of a conviction on grounds other than sufficiency
    does not avoid the need to determine the sufficiency of the evidence before a retrial may
    occur.” Id. at 917 (emphasis added; citation omitted).
    Wallach made the highlighted point in reviewing a federal conviction. Nowhere in
    the opinion, however, did we indicate whether we were identifying a prudential rule for the
    courts of this circuit or a generally applicable constitutional requirement. Insofar as Hoffler
    32
    urges the latter, he confronts a hurdle: the Supreme Court’s decision in Richardson v. United
    States, 
    468 U.S. 317
     (1984), decided only two months after Justices of Boston Municipal
    Court v. Lydon. In there ruling that jeopardy does not terminate when a court declares a
    mistrial based on a hung jury, the Supreme Court specifically held that an appellate court was
    not required to rule on the sufficiency of the evidence before ordering retrial. See 
    468 U.S. at 323
     (“Where, as here, there has been only a mistrial resulting from a hung jury, Burks
    simply does not require that an appellate court rule on the sufficiency of the evidence because
    retrial might be barred by the Double Jeopardy Clause.”).
    Hoffler submits that Richardson’s rejection of a sufficiency-ruling requirement for
    retrial does not apply outside the mistrial context. Our sister courts of appeals have divided
    on that question, as well as on the issue of whether sufficiency review before retrial is
    prudentially sound or constitutionally required. See LaFave § 25.4(c) (noting circuit split);
    compare United States v. Wiles, 
    106 F.3d 1516
    , 1518 (10th Cir. 1997) (identifying double
    jeopardy requirement to review preserved sufficiency claim before ordering retrial based on
    trial error); Palmer v. Grammer, 
    863 F.2d 588
    , 592 (8th Cir. 1988) (same); Vogel v.
    Pennsylvania, 
    790 F.2d 368
    , 376 (3d Cir. 1986) (same), with Foxworth v. Maloney, 
    515 F.3d 1
    , 4 (1st Cir. 2008) (adopting prudential rather than constitutional rule requiring review of
    preserved sufficiency challenges before ordering retrial); Patterson v. Haskins, 
    470 F.3d 645
    ,
    655–60 (6th Cir. 2006) (concluding, in case where appeals court erroneously failed to follow
    its own prudential rule to review sufficiency challenges before ordering retrial, that error did
    33
    not subject defendant to unconstitutional retrial; “what activates the Burks [double jeopardy]
    rule is not the abstract possibility that the evidence was insufficient, but the appellate court’s
    declaration to that effect. Absent such a declaration, jeopardy continues, and the defendant
    can be tried once again on the same charges.” (emphasis in original)); United States v. Bobo,
    
    419 F.3d 1264
    , 1268 (11th Cir. 2005) (citing circuit precedent that prudential rule requiring
    sufficiency review even when conviction reversed on other ground is not mandated by
    Double Jeopardy Clause); United States v. Recio, 
    371 F.3d 1093
    , 1104 (9th Cir. 2004)
    (referencing court’s “policy” to consider sufficiency claims on appeal from final judgment);
    United States v. Miller, 
    952 F.2d 866
    , 871–74 (5th Cir. 1992) (concluding that Richardson
    is not limited to mistrials but, rather, generally “refuses to extend Burks beyond instances in
    which the appellate court in fact reversed for insufficient evidence”; observing nevertheless
    that “[a]lthough not mandated by the double jeopardy clause, it is . . . clearly the better
    practice” for appellate court to dispose of preserved sufficiency challenge before ordering
    retrial (emphasis in original)); United States v. Douglas, 
    874 F.2d 1145
    , 1149–51 (7th Cir.
    1989) (stating “we are not convinced, in light of Richardson, that the Double Jeopardy
    Clause compels an appellate court to review the sufficiency of the evidence offered at trial
    anytime a defendant raises the question,” but “to accomplish the same purpose, [we are]
    prepared to adopt a policy in this circuit of routinely addressing evidentiary sufficiency in
    criminal cases when a defendant presents the issue on appeal”), abrogated on other grounds
    by United States v. Durrive, 
    902 F.2d 1221
    , 1226 (7th Cir. 1990).
    34
    In sum, while only a few courts of appeals have concluded that the Double Jeopardy
    Clause, as construed by the Supreme Court in Burks, compels sufficiency review before
    ordering retrial based on trial error, the courts of appeals, our own included, are unanimous
    in concluding that such review is warranted, at a minimum, as a matter of prudent policy.
    See United States v. Bruno, 
    661 F.3d at 743
     (stating that court should review sufficiency
    challenge absent “sound reason” for not doing so); United States v. Wallach, 
    979 F.2d at 917
    .
    In this respect the Seventh Circuit has explained that such a policy “need not” be
    “anchor[ed] . . . in the Double Jeopardy Clause” because a sufficient rationale lies in a proper
    “concern for the preservation of scarce and costly resources.” United States v. Douglas, 
    874 F.2d at 1150
    . This comports with our own practical observation that if a reviewing court
    were to order a new trial without addressing a sufficiency challenge, it “could result in the
    futility of a second conviction that would have to be reversed in a second appeal.” United
    States v. Allen, 
    127 F.3d 260
    , 264 (2d Cir. 1997).
    Thus, we easily identify in our own precedent at least a prudential rule generally
    requiring reviewing courts to consider preserved sufficiency challenges before ordering
    retrials based on identified trial error. We see no reason here to decide the more difficult
    question of whether such a rule is also constitutionally compelled by the Double Jeopardy
    Clause because, even if it were, any Appellate Division error in failing to review Hoffler’s
    sufficiency challenge would necessarily be harmless given that the challenge is meritless.
    35
    3.     Because Hoffler’s Sufficiency Challenge Is Meritless, Any Appellate
    Division Error in Failing To Review Sufficiency on Direct Appeal Was
    Necessarily Harmless Beyond a Reasonable Doubt
    a.      Harmless Error Standard
    The test for harmless constitutional error on direct appeal is whether the error at issue
    “was harmless beyond a reasonable doubt.” Corby v. Artus, 
    699 F.3d 159
    , 169 (2d Cir.
    2012) (citing Chapman v. California, 
    386 U.S. 18
    , 24 (1967)). On review of a habeas claim
    by a state prisoner, however, “because of the deference we afford to state courts, we ‘find an
    error harmless unless it had substantial and injurious effect or influence in determining the
    jury’s verdict.’” 
    Id.
     (quoting Fry v. Pliler, 
    551 U.S. 112
    , 116 (2007)). To the extent it is
    unsettled in this circuit what deference is owed a state court decision on § 2241 review,
    see supra at [15], it is also unclear which harmless error standard should apply in that
    context. We need not resolve this question here, however, because Hoffler’s sufficiency
    claim is meritless. Thus, any Appellate Division error in failing to conduct sufficiency
    review on direct appeal before ordering retrial is necessarily harmless even under the more
    rigorous reasonable doubt standard. See generally Perkins v. Herbert, 
    596 F.3d at 176
    .
    b.      The Evidence at Hoffler’s First Trial Was Sufficient To Support
    His Conviction for First-Degree Murder
    A defendant challenging the sufficiency of the evidence bears a heavy burden
    because, even when we consider the question de novo, we must view the evidence in the light
    most favorable to the prosecution, and doing so, must uphold the jury verdict as long as “any
    rational trier of fact could have found the essential elements of the crime beyond a reasonable
    36
    doubt.” Jackson v. Virginia, 
    443 U.S. 307
    , 319 (1979) (emphasis in original); accord United
    States v. Rojas, 
    617 F.3d 669
    , 674 (2d Cir. 2010).
    Under New York law, “[w]itness elimination murder is committed when a defendant
    intentionally kills a victim who ‘was a witness to a crime committed on a prior occasion and
    the death was caused for the purpose of preventing the intended victim’s testimony in any
    criminal action.’” People v. Cahill, 
    2 N.Y.3d 14
    , 56, 
    777 N.Y.S.2d 332
    , 353–54 (2003)
    (emphasis omitted) (quoting 
    N.Y. Penal Law § 125.27
    (1)(a)(v)). A defendant is liable for
    witness-elimination murder committed by another person when, acting with the intent to kill,
    the defendant “solicits, requests, commands, importunes, or intentionally aids such person
    to engage in such conduct.” 
    N.Y. Penal Law § 20.00
    ; see People v. Glanda, 
    5 A.D.3d 945
    ,
    949, 
    774 N.Y.S.2d 576
    , 580 (3d Dep’t 2004) (“[A]ccomplice liability pursuant to [
    N.Y. Penal Law § 20.00
    ], except as limited by Penal Law § 125.27(1)(a)(vii), applies to all other
    provisions of murder in the first degree”) (alteration and internal quotation marks omitted)).
    When we view the evidence at Hoffler’s first murder trial in the light most favorable to the
    prosecution, we easily conclude that a rational trier of fact could have found him guilty
    beyond a reasonable doubt of the charged first-degree witness-elimination murder.
    First, the evidence established that Hoffler had a strong motive to commit the charged
    murder. Drabik was, after all, an eyewitness to and participant in the drug transactions with
    which Hoffler was charged. Thus, he was in a position to provide powerful, direct evidence
    of Hoffler’s culpability. Moreover, Drabik was not a coincidental witness to Hoffler’s
    37
    criminal conduct. He had specifically identified Hoffler—or, as he knew him, “Murder”—as
    a drug dealer and was cooperating with authorities when he participated in the charged drug
    transactions.
    Second, the evidence established that Hoffler had the means to effect Drabik’s murder
    in the person of Brooklyn gunman Heckstall. An eyewitness account of Drabik’s murder
    indicated that Heckstall was the actual shooter. Not only had Heckstall and Hoffler been
    neighbors years before in Brooklyn, but several eyewitnesses also testified to seeing the two
    men together in Albany at and about the time of the Drabik murder. One eyewitness testified
    that Heckstall was in possession of a loaded firearm while in Albany, and that Heckstall
    brought this gun with him when Hoffler picked him up early one morning around the time
    of the Drabik killing. A number of witnesses testified that during this same time they saw
    Hoffler and Heckstall traveling together in a gray or dark SUV. Such a vehicle was spotted
    parked with its lights on at the time and near the site of the Drabik murder, and departing
    when a man entered the passenger side at about the same time as the shooter was seen fleeing
    the scene. Business, bank, and police records indicated that Hoffler rented such an SUV in
    Albany a few days before the Drabik murder and returned the vehicle, also in Albany, on the
    night of the murder—but only after driving the SUV to Brooklyn. These circumstances
    supported an inference that Hoffler drove Heckstall back to Brooklyn almost immediately
    after the Drabik murder. Moreover, when Heckstall appeared at a family member’s home
    38
    in Brooklyn later on the day of Drabik’s murder, he was in possession of a significant amount
    of money, which a rational jury could infer was his payment for the killing.
    Third, telephone and computer records strongly supported an inference that Hoffler
    lured Drabik to his death. Specifically, a cell phone registered to Hoffler’s residence called
    Drabik’s home the night before his death, at a time when Drabik’s mother recalled that her
    son received a telephone call from someone professing an interest in meeting Drabik the
    following morning to discuss a construction job. That same night, a computer in Hoffler’s
    home was used to access a realty site providing information on 478 Sixth Avenue in Troy,
    New York, the very location to which a caller would direct Drabik early the next
    morning—purportedly for a construction-job meeting, but actually for his death.
    From the totality of these circumstances, a reasonable jury could certainly draw the
    inferences necessary to find beyond a reasonable doubt not only that Hoffler and Heckstall
    agreed to kill Drabik, but also that Hoffler solicited Heckstall to commit the murder and then
    aided him in carrying it out.
    Hoffler nevertheless submits that the evidence was insufficient to find him guilty of
    first-degree witness-elimination murder because the prosecution failed to show how he would
    have learned that Drabik was a confidential informant. The point merits little discussion.
    Witness-elimination murder does not require proof that a defendant knew the victim was an
    informant. It requires only that the victim have been a witness to a crime and that a
    defendant murder the victim with the intent to prevent him from testifying in a criminal
    39
    proceeding. Here, although the authorities were careful not to disclose Drabik’s identity or
    his cooperator status, a rational jury could infer that, once Hoffler was provided with
    particulars as to the drug transactions with which he was being charged, he knew from his
    own participation in these transactions that he had provided the drugs at issue to Drabik and
    recognized the possibility that Drabik could provide inculpatory evidence against him at trial.
    Moreover, given the timing of Drabik’s murder—only days before Hoffler’s drug trial was
    to commence—and the strong circumstantial evidence of Hoffler’s involvement therein, a
    rational jury could conclude that Hoffler’s purpose in arranging for Drabik’s murder was to
    prevent Drabik from testifying against him at the forthcoming trial.
    Hoffler further asserts that the prosecution failed to adduce evidence sufficient to
    prove that the Gregory Heckstall who shot Drabik was the same Gregory Heckstall with
    whom Hoffler had a relationship. To the extent the prosecution evidence identified Heckstall
    by name rather than by photographic or other physical evidence, New York law requires
    something more to show identity of person. See People v. Reese, 
    258 N.Y. 89
    , 96, 
    179 N.E. 305
    , 306 (1932) (“Identity of name is not always sufficient in a criminal prosecution to show
    identity of person, but it may be accepted as sufficient if fortified by circumstances . . . .”
    (citation omitted)); People v. Rattelade, 
    226 A.D.2d 1107
    , 1108, 
    642 N.Y.S.2d 1
    , 1 (4th
    Dep’t 1996) (holding identity of name sufficient when supported by “further, connecting
    evidence” (internal quotation marks omitted)). Here, the requisite connecting evidence was
    varied and included, (1) the possession of a loaded firearm by the Heckstall seen with Hoffler
    40
    at and about the time of the Drabik murder and the use of a firearm by the Heckstall who shot
    Drabik, (2) the similarity between the SUV seen leaving the scene of the Drabik shooting and
    the SUV in which Hoffler and Heckstall were seen together in Albany at and about the same
    time, and (3) telephone and computer records indicating Hoffler’s involvement in luring
    Drabik to his death, making Hoffler himself the link between the Heckstall who shot Drabik
    dead at the site to which he was lured and the armed Heckstall with whom Hoffler was seen
    by various persons in Albany at and about the time of the murder.
    Insofar as Hoffler further argues that the evidence could not be sufficient to convict
    him in the absence of evidence excluding Michael Pearson, another drug confederate of
    Drabik, as the shooter, that argument is meritless. See United States v. Ogando, 
    547 F.3d 102
    , 107 (2d Cir. 2008) (stating that government is not “required to preclude every
    reasonable hypothesis which is consistent with innocence” (internal quotation marks
    omitted)).
    In sum, because the evidence at Hoffler’s first murder trial was sufficient as a matter
    of law to permit a rational jury to find him guilty beyond a reasonable doubt of first-degree
    witness-elimination murder, double jeopardy does not preclude his retrial. Thus, even if the
    Appellate Division erred in failing to rule on sufficiency before ordering retrial, the error was
    necessarily harmless beyond a reasonable doubt.
    41
    III.   Conclusion
    To summarize, we conclude as follows:
    1. Because 
    28 U.S.C. § 2253
    (c)(1)(A) requires a COA to appeal “the final order in
    a habeas corpus proceeding in which the detention complained of arises out of process issued
    by a State court,” without regard to the statutory section under which the habeas proceeding
    was filed, a state prisoner must secure such a certificate in order to appeal from the denial of
    habeas relief sought pursuant to 
    28 U.S.C. § 2241
    , 
    28 U.S.C. § 2254
    , or any other provision
    of law. Insofar as Hoffler’s habeas petition was brought pursuant to § 2241 and our
    precedent had not previously made the COA requirement plain with respect to such petitions,
    we excuse Hoffler’s failure to seek a COA within the time prescribed by our local rules and
    grant his belated COA request nunc pro tunc, limiting the grant to his double
    jeopardy/sufficiency challenge.
    2. Hoffler was placed in jeopardy at his first murder trial because the empaneled jury
    that returned a verdict of guilty was duly sworn in accordance with the jury trial oath. To the
    extent the Appellate Division reversed Hoffler’s conviction because of a failure to administer
    the correct voir dire oath to the venire panel from which the petit jury was selected, the error
    made the judgment voidable but not void, and thus did not prevent jeopardy from attaching.
    3. The evidence at Hoffler’s first trial was sufficient to permit a rational jury to find
    him guilty beyond a reasonable doubt of first-degree murder in violation of 
    N.Y. Penal Law §§ 20.00
    , 125.27(1)(a)(v), and thus the Double Jeopardy Clause does not bar his retrial
    42
    following reversal of his initial conviction based on the error in swearing the venire panel.
    In light of this determination, we need not here decide whether the Constitution, in addition
    to prudent policy, requires a reviewing court to address a sufficiency challenge before
    ordering retrial because any possible error by the Appellate Division in that regard was
    necessarily harmless beyond a reasonable doubt.
    The judgment of the district court denying Hoffler’s § 2241 petition to prevent New
    York State from retrying him for murder is AFFIRMED.
    43