Albert Garza v. Warden Allenwood USP ( 2022 )


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  •                                                                 NOT PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    ____________
    No. 19-2111
    ______
    ALBERT GARZA,
    Appellant
    v.
    WARDEN ALLENWOOD USP
    ____________
    On Appeal from the United States District Court
    for the Middle District of Pennsylvania
    (D.C. Civ. No. 3-15-cv-02482)
    District Judge: Honorable Matthew W. Brann
    ____________
    Argued on May 26, 2022
    ____________
    Before: KRAUSE and PHIPPS, Circuit Judges, and STEARNS,* District Judge.
    (Opinion filed: October 14, 2022)
    ____________
    Thomas S. Jones
    David I. Kelch
    Carrie R. Garrison [ARGUED]
    Porter Wright Morris & Arthur LLP
    6 PPG Place
    Third Floor
    Pittsburgh, PA 15222
    Counsel for Appellant
    *
    Honorable Richard G. Stearns, United States District Court for the District of
    Massachusetts, sitting by designation.
    D. Brian Simpson [ARGUED]
    Office of United States Attorney
    Middle District of Pennsylvania
    228 Walnut Street, P.O. Box 11754
    220 Federal Building and Courthouse
    Harrisburg, PA 17108
    Counsel for Appellee
    ____________
    OPINION†
    ____________
    PHIPPS, Circuit Judge.
    In appealing the denial of his § 2241 habeas petition, an inmate serving a federal
    life sentence claims that the United States Parole Commission unconstitutionally denied
    him parole in 2013 and 2015. He argues that a layer of administrative review for parole
    determinations, added to the federal parole regime in the 1970s, after he committed his
    initial offenses, violates the Ex Post Facto Clause. The inmate also contends that the
    decisions denying him parole violate the Due Process Clause because they relied on
    disciplinary sanctions expunged from his prison file.
    Both of those claims fail. As applied to the inmate, the additional layer of
    administrative review is not an ex post facto law because it played no role in the denial of
    his parole, and regardless, it did not create a significant risk that he would be imprisoned
    for a longer period. Also, the parole determinations did not rely on expunged records.
    Thus, as elaborated below, in reviewing the District Court’s legal conclusions de novo
    and its factual findings for clear error, see Mickens-Thomas v. Vaughn, 
    321 F.3d 374
    , 376
    n.2 (3d Cir. 2003), the judgment of the District Court will be affirmed.
    †
    This disposition is not an opinion of the full Court and pursuant to I.O.P. 5.7 does not
    constitute binding precedent.
    2
    BACKGROUND
    The morning of May 1, 1973, Albert Garza approached the Border City Bank in El
    Paso, Texas, with the intent to rob it. As Garza entered, he shot the bank president, who
    was fleeing the scene and who later died from the gunshot wounds. While driving away
    from the bank, Garza was intercepted by police, who after a shootout, apprehended him.
    A federal grand jury indicted Garza on several counts, and he pled guilty to two of those.
    The District Court for the Western District of Texas sentenced Garza to life in prison for
    one count and a twenty-five-year consecutive sentence for the other. Garza later pursued
    collateral review, see 
    28 U.S.C. § 2255
    , and the Fifth Circuit upheld the life sentence but
    vacated the additional twenty-five-year sentence. See Garza v. United States, 
    498 F.2d 1066
    , 1068 (5th Cir. 1974).
    At the time of Garza’s 1973 offense, federal law permitted the possibility of parole
    for prisoners serving life sentences after fifteen years of incarceration. See 
    18 U.S.C. § 4202
     (1970). By statute, the United States Parole Board had discretion to grant parole
    to eligible prisoners after finding that two conditions were satisfied: (i) to a “reasonable
    probability,” the prisoner would not violate the law after release; and (ii) the release of
    the prisoner would not be “incompatible with the welfare of society.” 
    Id.
     § 4203(a).
    Before making a parole determination, the Board would receive a report and a
    recommendation from an “examiner designated by the Board.” 
    28 C.F.R. § 2.15
     (1973).
    In 1976, Congress significantly revised the parole regime for federal inmates. See
    Parole Commission and Reorganization Act, 
    Pub. L. No. 94-233, 90
     Stat. 219 (1976)
    (originally codified at 
    18 U.S.C. §§ 4201
    –18 (1976)). Some of the changes were
    structural. Congress created a new administrative agency within the Department of
    Justice, the United States Parole Commission, to make parole determinations. See
    
    18 U.S.C. § 4202
     (1976). By regulation, the Commission established a parole review
    3
    system in which hearing examiners would make parole recommendations. See Paroling,
    Recommitting and Supervising Federal Prisoners, 
    42 Fed. Reg. 39,808
    , 39,815 (Aug. 5,
    1977) (promulgating 
    28 C.F.R. § 2.23
    (b) (1977)). Under that system, two hearing
    examiners typically composed a parole review panel. See 
    28 C.F.R. § 2.23
    (b) (1977). If
    the panel members disagreed about a parole recommendation, then a third hearing
    examiner, known as the Regional Administrative Hearing Examiner, would cast the
    deciding vote. See 
    id.
     But once two panel members agreed, either initially or with the
    involvement of a third hearing examiner, then without further action, that
    recommendation would become a determination by the Commission. See 
    id.
     §§ 2.23(d),
    2.24(a) (providing that a panel recommendation becomes a final determination unless the
    Regional Commissioner reviews it and refers the matter to the Commission). Also, the
    Commission could make parole determinations by exercising “original jurisdiction” over
    parole petitions at any point during the parole review process. Id. § 2.17; see also
    Paroling, Recommitting, and Supervising Federal Prisoners, 
    45 Fed. Reg. 33,604
    , 33,604
    (May 20, 1980). Before 2021, as a matter of practice, the Commission exercised original
    jurisdiction over “high profile or complex cases.” Paroling, Recommitting, and
    Supervising Federal Prisoners: Prisoners Serving Sentences Under the United States and
    District of Columbia Codes, 
    86 Fed. Reg. 56,645
    , 56,645 (Oct. 12, 2021).
    The 1976 legislation also modified the prior system of discretionary parole to
    create an additional, separate system of mandatory parole. See 
    18 U.S.C. § 4206
    (d)
    (1976). Under that system, the Commission would identify a presumptive mandatory
    release date for parole for a prisoner. See 
    id.
     (setting the presumptive parole date as the
    date that a prisoner has served “two-thirds of each consecutive term” or “thirty years of
    4
    each consecutive term . . . including any life term”). But even with a presumptive
    mandatory release date, parole was not automatic; it was subject to a proviso:
    [T]he Commission shall not release such prisoner if it determines that he
    has seriously or frequently violated institution rules and regulations or that
    there is a reasonable probability that he will commit any Federal, State, or
    local crime.
    
    Id.
    In 1979, after these changes to the parole regime, Garza and another inmate
    escaped from the United States Penitentiary in Marion, Illinois. After a three-day search,
    law enforcement discovered them hiding in a nearby church basement. That prompted a
    shootout resulting in Garza’s apprehension, as well as state and federal criminal charges
    and convictions. In Illinois state court, Garza was convicted for attempted murder and
    sentenced to twenty-five years’ imprisonment, to run consecutively to his federal
    sentence. At the federal level, Garza pled guilty to escape, in violation of 
    18 U.S.C. § 751
    (a), and unlawful use of a deadly weapon, in violation of 
    18 U.S.C. §§ 111
     and 2.
    The District Court for the Southern District of Illinois sentenced Garza to a fifteen-year
    sentence, to run consecutively to his initial federal sentence. By statute, Garza’s
    additional fifteen-year federal sentence extended his presumptive mandatory parole date
    by ten years – from May 2, 2003, to May 2, 2013. See 
    18 U.S.C. § 4206
    (d) (1976).
    Garza spent the next few months in the hospital, recovering from wounds he
    sustained during the shootout. During that time, the Marion Penitentiary Institution
    Discipline Committee held a disciplinary hearing in his absence. The Committee found
    that Garza had violated the penitentiary’s internal rule against escape and imposed
    sanctions, including increased custody, disciplinary segregation, and a recommended re-
    assignment to the dangerous inmate unit.
    5
    Garza successfully challenged those prison sanctions through a habeas corpus
    petition in the Southern District of Illinois.1 A Magistrate Judge concluded that the
    Committee deprived Garza of due process by holding the hearing in his absence. As a
    remedy, the Magistrate Judge ordered that all references to the Committee’s disciplinary
    actions be removed from Garza’s prison record.
    Approximately twenty years later, in 1998, Garza had his first parole hearing.2
    The assigned hearing examiner recommended continuing the matter for a fifteen-year
    reconsideration hearing. He also recommended that the Commission exercise original
    jurisdiction over Garza’s case. The Commission then heard the matter, denied parole,
    and scheduled Garza for a reconsideration hearing fifteen years later in February 2013.3
    The Commission later advanced Garza’s fifteen-year reconsideration hearing one year,
    such that it occurred in February 2012.
    By that time, the Commission had further refined the hearing process. Under
    these reforms, a panel recommendation still required the concurrence of two hearing
    examiners, but the two hearing examiners no longer had to sit together as a two-person
    panel. See Paroling, Recommitting, and Supervising Federal Prisoners: Parole Hearings
    Conducted by Single Hearing Examiners, 
    59 Fed. Reg. 45,624
    , 45,624 (Sept. 2, 1994).
    Also, the concurrence of two hearing examiners could no longer become a final decision
    due to Commission inaction; the Commission had to approve the recommended
    1
    Garza also unsuccessfully pursued a § 1983 action based on the same events. See
    Garza v. Henderson, 
    779 F.2d 390
     (7th Cir. 1985).
    2
    In the intervening period, Congress abolished the parole system for persons who
    committed federal crimes after November 1, 1987. See Sentencing Reform Act of 1984,
    
    Pub. L. No. 98-473, § 235
    , 
    98 Stat. 1987
    , 2031 (1984). Persons who committed federal
    crimes before then – such as Garza – remained eligible for parole. See 
    id.
    3
    By statute, Garza could also seek parole approximately every two years, which he did
    unsuccessfully in 2000, 2002, 2004, 2006, and 2009. See 
    18 U.S.C. § 4208
    (h)(2); 
    28 C.F.R. § 2.14
    (a)(1)(ii).
    6
    disposition for it to become final. See Paroling, Recommitting, and Supervising Federal
    Prisoners, 
    45 Fed. Reg. 84,052
    , 84,052 (Dec. 22, 1980). Relatedly, an Executive Hearing
    Examiner, who was a re-titled Regional Administrative Hearing Examiner, could also
    serve as one of the two hearing examiners needed for a panel concurrence. See Paroling,
    Recommitting, and Supervising Federal Prisoners: Hearing Examiner Review Function,
    
    60 Fed. Reg. 51,348
    , 51,349 (Oct. 2, 1995) (re-titling and clarifying the role of Executive
    Hearing Examiner); 59 Fed. Reg. at 45,625 (permitting Executive Hearing Examiner to
    serve as one of the two hearing examiners).
    At his fifteen-year reconsideration hearing, two hearing examiners disagreed about
    parole for Garza. One recommended Garza’s release on parole later that year. The other,
    who held the title of Executive Reviewer, disagreed and recommended denial of parole.
    The Commission then exercised original jurisdiction and denied parole based on the
    seriousness of Garza’s conviction for murder, his escape and attempted murder of a
    police officer, and his twenty-six other serious prison infractions.
    Garza, who was incarcerated at United States Penitentiary Allenwood at the time,
    disputed that decision through a § 2241 habeas petition in the Middle District of
    Pennsylvania. He challenged several aspects of the denial of his parole: the extension of
    his mandatory parole date from 2003 to 2013, the lack of an in-person parole hearing, and
    the retroactive application of the new parole guidelines.
    That petition was pending at the time of Garza’s presumptive mandatory parole
    date and hearing in 2013. At that mandatory parole hearing, as with the fifteen-year
    reconsideration hearing, the hearing examiners were divided on the outcome – one
    recommended in favor of Garza’s parole, the other (again, an Executive Reviewer)
    7
    recommended against it. The Commission again exercised original jurisdiction over the
    matter, and denied parole, again due to the seriousness of Garza’s past misconduct:
    The Commission finds your acts of escaping from a secure institution,
    arming yourself with a firearm and firing shots at law enforcement officers
    when they attempted to detain you remain serious violations of the
    institution rules and the law even 34 years after their occurrence.
    Commission Order Denying Parole (June 7, 2013) (App. 81).
    Although Garza filed his habeas petition before that ruling, he submitted an
    addendum to challenge the denial of mandatory parole at his 2013 hearing. The District
    Court considered Garza’s challenges, and then rejected each of them. See Garza v. Holt,
    
    2013 WL 6731044
    , at *2–4 (M.D. Pa. Dec. 19, 2013). Yet in doing so, the District Court
    left open the possibility that Garza could bring ex post facto or due process challenges at
    hearings subsequent to his 2012 fifteen-year reconsideration hearing. 
    Id.
     at *4 n.6, *5
    n.7.
    Garza sought parole again in 2015 as part of his statutorily mandated biennial
    parole hearings. See 
    18 U.S.C. § 4208
    (h)(2) (1976); 
    28 C.F.R. § 2.14
    (a)(1)(ii) (1979).
    Garza’s case again divided the hearing examiners, with the Executive Reviewer voting
    against parole. The Commission exercised original jurisdiction over the matter and
    denied parole, again based on the seriousness of Garza’s past misconduct:
    The Commission finds that you seriously violated the rules of the
    institution and the law during this period of confinement. Specifically, you
    escaped from a federal penitentiary, armed yourself with a firearm and shot
    at law enforcement officers when they attempted to detain you. The
    seriousness of this behavior is not diminished by the passage of time.
    Commission Order Denying Parole (July 15, 2015) (App. 82).
    PROCEDURAL HISTORY
    Garza initiated this case in the Middle District of Pennsylvania to dispute his
    denials of parole in 2013 and 2015. Some of the arguments that Garza raised had already
    8
    been addressed by the District Court’s decision on Garza’s prior habeas petition. The
    District Court rejected those repackaged claims as abuses of the writ, and Garza disputes
    that ruling on appeal. Garza also challenges the 2013 and 2015 parole denials on the
    grounds expressly left open by the District Court’s prior decision – ex post facto and due
    process. The District Court considered these two claims and rejected them. See Garza v.
    Oddo, 
    2018 WL 2254786
    , at *2–4 (M.D. Pa. May 17, 2018); Garza v. Oddo, 
    2019 WL 1620058
    , at *1 (M.D. Pa. Apr. 16, 2019) (denying Garza’s motion to amend the
    judgment). Now through a timely appeal, Garza invokes this Court’s jurisdiction to
    dispute the District Court’s application of the abuse of the writ doctrine, as well as its
    rejection of his ex post facto and due process claims. See 
    28 U.S.C. §§ 1291
    , 2253.
    DISCUSSION
    At the outset, the parties disagree about whether the abuse of the writ doctrine bars
    any aspect of Garza’s present petition. Abuse of the writ prevents a habeas petitioner
    from making a challenge in a subsequent habeas petition that he raised or could have
    raised in an earlier petition. See Wise v. Fulcomer, 
    958 F.2d 30
    , 34 (3d Cir. 1992) (citing
    McClesky v. Zant, 
    499 U.S. 467
    , 493 (1991)); Benchoff v. Colleran, 
    404 F.3d 812
    , 817
    (3d Cir. 2005). Garza’s initial habeas petition and supplemental addendum provided him
    an opportunity to challenge many aspects of both his fifteen-year reconsideration hearing
    in 2012 and his mandatory parole hearing in 2013, and he attacked those hearings on
    several grounds.
    Due to the breadth of the arguments that Garza could have raised in that first
    petition, abuse of the writ bars several of the challenges in his second petition. That
    second petition argues that the Commission misapplied the mandatory parole statute. But
    Garza could have challenged the legal significance of the proviso in the mandatory parole
    9
    statute in his first petition, and he did so. Thus, abuse of the writ bars him from raising
    that same challenge in a subsequent petition, with respect to either his 2013 or his 2015
    parole denial. Garza’s second petition also contends that the passage of time mitigated
    any violation of institution rules that he committed in 1979. That argument could have
    been raised in the addendum to his first petition, but only with respect to the years
    between 1979 and 2013. Garza could not have argued about the effect of the additional
    passage of time between 2013 and 2015 in either his first petition or its addendum, which
    were filed in 2012 and 2013 respectively. Thus, abuse of the writ precludes his challenge
    to the denial of mandatory parole related to the passage of time between 1979 and 2013,
    but it does not preclude the portion of his challenge to the denial of mandatory parole
    related to the additional passage of time from 2013 to 2015. But even accounting for that
    incremental change, the Commission did not act unlawfully by reasoning that, even in
    2015, the severity of Garza’s violations of institution rules in 1979 – by attempting to
    escape and by shooting at a police officer – justified the denial of mandatory parole under
    the proviso. See Furnari v. United States Parole Comm’n, 
    531 F.3d 241
    , 254 (3d Cir.
    2008) (explaining that the Commission need only articulate a “rational basis” for denying
    parole).
    The government further contends that abuse of the writ bars Garza’s two
    remaining claims: ex post facto and due process. Garza counters that the District Court
    expressly permitted him to raise these claims in a second petition, see Garza, 
    2013 WL 6731044
    , at *4 n.6, *5 n.7, thereby altering the ordinary application of abuse of the writ.
    Even if Garza is correct, those two claims fail on the merits, as explained below. See
    Thompson v. Mo. Bd. of Prob. & Parole, 
    39 F.3d 186
    , 190 n.3 (8th Cir. 1994) (declining
    to address abuse of the writ where the underlying claim for habeas relief lacked merit); cf.
    10
    Lamb v. Estelle, 
    667 F.2d 492
    , 496 (5th Cir. 1982) (declining to address a res judicata
    bar where the underlying claim for habeas relief lacked merit).
    A. The Challenged Reforms to the Parole System, As Applied Here, Do
    Not Offend the Ex Post Facto Clause.
    Garza argues that, as applied to him, the post-1976 intermediate reviewer scheme
    is an unconstitutional ex post facto law. The prior, pre-1976 regime did not permit
    hearing examiners to decide parole; they could make only initial recommendations, and
    the Board decided parole. See 
    18 U.S.C. § 4203
     (1970); 
    28 C.F.R. § 2.15
     (1970). But as
    modified between 1976 and Garza’s 2013 and 2015 hearings, a panel recommendation
    could become final without the Commission’s express approval. See 
    28 C.F.R. § 2.23
    (d)
    (1977). Also, that interstitial review process would involve an additional step when the
    hearing examiners disagreed. In that circumstance, an executive reviewer would cast the
    tiebreaking vote. Garza contends that such intermediate decision-making by persons
    other than the Commission itself is an ex post facto law because it is retroactive and poses
    a significant risk of increased punishment. See Holmes v. Christie, 
    14 F.4th 250
    , 258 (3d
    Cir. 2021) (citing Cal. Dep’t of Corr. v. Morales, 
    514 U.S. 499
    , 508 (1995) (explaining
    that an ex post facto violation requires retroactive application of a law that produces a
    significant risk of increased punishment)); Garner v. Jones, 
    529 U.S. 244
    , 250 (2000)
    (same). That argument fails for three reasons.
    First, Garza does not establish that an intervening change in law had any effect on
    the denial of his parole. He is incarcerated for two sets of offenses: his 1973 bank
    robbery and murder offenses, and his 1979 escape and unlawful use of a deadly weapon
    offenses. See United States ex rel. Forman v. McCall, 
    709 F.2d 852
    , 856 (3d Cir. 1983)
    (“[A]n ex post facto claim must focus upon the law in effect at the time of the offense for
    which a person is being punished.”). Because the 1979 offense provides a basis for his
    11
    present incarceration, Garza must establish that a change to the parole regime after 1979
    significantly increased his risk of increased punishment. See 
    18 U.S.C. § 4206
    (d) (1976);
    Garner, 
    529 U.S. at 247
     (applying the parole regime in effect when the inmate committed
    his second offense: escape from prison); United States v. Audinot, 
    901 F.2d 1201
    , 1202
    (3d Cir. 1990) (same).
    Yet Garza does not claim that a change in policy between 1979 and 2013 or 2015
    had such an effect. To the contrary, the revised regulations made the concurring
    recommendations of two hearing examiners less potent since they could no longer
    become final without any action by the Commission. Compare 
    28 C.F.R. §§ 2.23
    (d),
    2.24(a) (1977) (allowing a panel recommendation to become final without the
    Commission’s intervention), with 
    28 C.F.R. § 2.23
    (d) (2013) (providing that a hearing
    examiner panel recommendation becomes final only upon approval by the Regional
    Commissioner), and 
    28 C.F.R. § 2.23
    (d) (2015) (same).4 Without showing how that
    change in policy influenced his parole determinations, Garza fails to establish that the
    change was an ex post facto law. See Cal. Dep’t of Corr. v. Morales, 
    514 U.S. 499
    , 508
    (1995) (explaining that the Ex Post Facto Clause does not protect against “minor” and
    “mechanical” changes to a parole regime); Royster v. Fauver, 
    775 F.2d 527
    , 529, 533 (3d
    Cir. 1985) (recognizing that no ex post facto violation occurs where the old and new
    standards are “essentially the same”).
    Second, even using the 1973 offense as the comparator, the extra layer of
    administrative review added post-1976 had no effect on the Commission’s 2013 and 2015
    4
    Additionally, at all times within that period, an executive reviewer could break a
    deadlock between divergent recommendations by hearing examiners. Compare
    
    28 C.F.R. § 2.23
    (b) (1979) (providing that an executive reviewer can break a deadlock
    between hearing examiners), with 
    28 C.F.R. § 2.23
    (b) (2013) (same), and 
    28 C.F.R. § 2.23
    (b) (2015) (same).
    12
    denials of parole. Each time, the recommendations of the hearing examiners, including
    the Executive Reviewer, had no controlling force because the Commission exercised
    original jurisdiction over the parole determination. See, e.g., Bono v. Benov, 
    197 F.3d 409
    , 412 n.5 (9th Cir. 1999) (discussing the difference between original jurisdiction and
    non-original jurisdiction cases). Although it was possible that two hearing examiners or
    an executive reviewer could have issued a final decision, that did not occur here. See
    Richardson v. Pa. Bd. of Prob. & Parole, 
    423 F.3d 282
    , 291 (3d Cir. 2005) (explaining
    that ex post facto claims receive as applied analysis). Thus, due to the Commission’s
    exercise of original jurisdiction, the layer of review added post-1976 had no effect on the
    denial of Garza’s parole, and it certainly did not significantly enhance the risk of his
    increased punishment.
    Third, even in the absence of the Commission’s exercise of original jurisdiction,
    an adverse decision at the intermediate-review stage would still not be an ex post facto
    violation. The legal standard for granting parole remained the same. Cf. Mickens-
    Thomas, 
    321 F.3d at 392
     (recognizing that a change in the “substantive criteria for parole
    release” constitutes an ex post facto violation). The same types of information could be
    considered at a parole hearing. Cf. Holmes, 14 F.4th at 261 (explaining that an inmate
    plausibly alleged an ex post facto claim where the parole board enacted a new policy of
    considering “all-information” pertinent to parole). And the additional layer of review did
    not diminish any established rights held by an inmate. Cf. Lynce v. Mathis, 
    519 U.S. 433
    ,
    439 (1997) (explaining that retroactive cancellation of early release credits violated Ex
    Post Facto Clause). Thus, the additional administrative review did not significantly
    increase the risk that Garza would be denied parole. See Holmes, 14 F.4th at 258
    (explaining that a “minor” change to a parole regime does not violate the Ex Post Facto
    13
    Clause); Mickens-Thomas, 
    321 F.3d at 392
     (explaining that certain changes to the parole
    process can be “too minuscule to rise to a constitutional violation”); Garner, 
    529 U.S. at 259
     (Scalia, J., concurring) (explaining that the Ex Post Facto Clause does not “freeze in
    time” a parole board such that it cannot undertake measures “that promote fairness and
    consistency”).
    B. The Due Process Claim Rests on a Faulty Premise – The
    Commission Did Not Rely on Expunged Records to Deny Parole.
    Garza also argues that the Commission’s 2013 and 2015 parole denials relied on
    expunged prison records in violation of the Due Process Clause. But the factual predicate
    for that claim is missing. The Commission never indicated that it relied on such
    materials,5 which were not the only sources of information about Garza’s infractions in
    1979 – those were also apparent from his federal and state-court conviction records. See
    
    28 C.F.R. § 2.19
    (b) (2013) (allowing the Commission to consider additional information
    that “may be reasonably available”); 
    28 C.F.R. § 2.19
    (b) (2015) (same); Dufur v. U.S.
    Parole Comm’n, 
    34 F.4th 1090
    , 1100 (D.C. Cir. 2022) (recognizing that the Commission
    may consider “available and relevant” information (internal citation omitted)). Without
    the Commission’s reliance on expunged evidence, Garza’s due process claim fails.
    CONCLUSION
    For the foregoing reasons, the judgment of the District Court will be affirmed.
    5
    At most, the hearing examiner who recommended granting parole to Garza referenced
    the Incident Report related to Garza’s 1979 escape for the proposition that Garza violated
    prison rules by attempting escape. Even if that favorable recommendation could
    somehow prejudice Garza, it was not impermissible because only certain disciplinary
    actions, such as increased custody and disciplinary segregation, were expunged from
    Garza’s record, and those did not include the Incident Report itself. See Garza, 
    779 F.2d at 391
    . Furthermore, Garza fails to explain why this alleged evidentiary error would
    warrant the extraordinary remedy of release. See Marshall v. Lansing, 
    839 F.2d 933
    , 943
    (3d Cir. 1988) (holding that the district court appropriately remanded the matter back to
    the Commission for re-hearing when it violated its own regulations).
    14