Terrence Hyman v. Alvin Keller, Jr. ( 2011 )


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  •                             AMENDED OPINION
    UNPUBLISHED
    UNITED STATES COURT OF APPEALS
    FOR THE FOURTH CIRCUIT
    No. 10-6652
    TERRENCE LOWELL HYMAN,
    Petitioner – Appellee,
    v.
    ALVIN W. KELLER, JR.,
    Respondent – Appellant.
    Appeal from the United States District Court for the Eastern
    District of North Carolina, at Raleigh.   Terrence W. Boyle,
    District Judge. (5:08-hc-02066-BO)
    Argued:   May 13, 2011                        Decided:     July 21, 2011
    Amended Opinion Filed:   August 10, 2011
    Before WILKINSON, KING, and AGEE, Circuit Judges.
    Appeal stayed by unpublished per curiam opinion.
    ARGUED: Mary Carla Hollis, NORTH CAROLINA DEPARTMENT OF JUSTICE,
    Raleigh, North Carolina, for Appellant.        Nicholas Collins
    Woomer-Deters, NORTH CAROLINA PRISONER LEGAL SERVICES, INC.,
    Raleigh, North Carolina, for Appellee.    ON BRIEF: Roy Cooper,
    Attorney General of North Carolina, Raleigh, North Carolina, for
    Appellant. Paul M. Green, Durham, North Carolina, for Appellee.
    Unpublished opinions are not binding precedent in this circuit.
    2
    PER CURIAM:
    In    September       2003,     petitioner       Terrence     Hyman     was
    convicted      in     the    Superior       Court    of      Bertie    County,      North
    Carolina, for the murder of Ernest Lee Bennett, Jr; he was then
    sentenced      to     life     in    prison       without     parole.         Following
    unsuccessful direct appeals in the North Carolina courts, Hyman
    sought a writ of habeas corpus pursuant to 
    28 U.S.C. § 2254
     in
    the   Eastern       District   of    North       Carolina.      The    district     court
    awarded habeas relief to Hyman, ruling that he had been denied
    his Sixth Amendment right to counsel, due to his trial lawyer’s
    conflict as a potential exculpatory witness (the “exculpatory
    witness component” of Hyman’s Sixth Amendment claim).                         See Hyman
    v.    Beck,    No.     5:08-hc-02066        (E.D.N.C.        Mar.     31,   2010)   (the
    “District Court Order”). 1
    This appeal is pursued by respondent Alvin W. Keller,
    Jr., who serves as Secretary of North Carolina’s Department of
    Correction (the “State”).              The State asserts that the district
    court erred by ruling that the exculpatory witness component had
    been exhausted in the state courts and in awarding habeas relief
    on the merits thereof.              As explained below, because the North
    Carolina courts have never explicitly resolved the exculpatory
    1
    The District Court Order is found at J.A. 456-71.
    (Citations herein to “J.A. __” refer to the contents of the
    Joint Appendix filed by the parties in this appeal.)
    3
    witness component, on either procedural or substantive grounds,
    the interests of federalism and comity compel us to stay this
    appeal pending further state court proceedings.
    I.
    A.
    At his murder trial, Hyman was represented by lawyers
    Teresa Smallwood and W. Hackney High; this appeal implicates
    Smallwood’s failure to withdraw from her representation of Hyman
    and testify on his behalf.            Smallwood had interviewed a key
    witness against Hyman, Derrick Speller, in her investigation of
    Hyman’s defense, and she had also briefly represented Speller in
    a probation violation hearing.              Smallwood’s interactions with
    Speller posed two separate conflicts underlying Hyman’s Sixth
    Amendment claim — a “dual representation conflict,” plus the
    “exculpatory    witness   conflict”       before   us   on   appeal.     As   the
    Court of Appeals of North Carolina concluded on direct review,
    the   dual    representation    conflict      emanated       from   Smallwood’s
    representation    of   both   Hyman   and    Speller.        By   contrast,   the
    exculpatory witness conflict arose because Speller admitted to
    Smallwood, long before Hyman’s trial, that he had seen a man
    named Demetrius Jordan shoot and kill Bennett.
    In his first state court appeal (“Hyman I”), Hyman
    asserted his Sixth Amendment claim and discussed both conflict
    4
    of interest issues.          Nevertheless, the Court of Appeals of North
    Carolina      addressed        only    the       dual        representation        conflict,
    remanding the matter for a hearing.                     On remand, the trial court
    concluded     that     Smallwood’s       representation              of    both    Hyman   and
    Speller    had      not    adversely     affected        Hyman’s          defense.      Hyman
    challenged that ruling before the state court of appeals (“Hyman
    II”),   but    the     trial    court’s      judgment          was    affirmed.          Hyman
    thereafter petitioned for certiorari in the Supreme Court of
    North     Carolina,       seeking      to    have       that     court       consider      the
    exculpatory      witness       component      of    his       Sixth       Amendment     claim.
    Certiorari       was      denied,       however,         on     December          22,    2008.
    Accordingly,        the    North      Carolina     courts        have      never     directly
    confronted the exculpatory witness conflict.
    1.
    The    prosecution’s       theory         at    Hyman’s       September      2003
    trial was that, on May 5, 2001, Bennett was shot and killed by
    Hyman in a bar fight at the L & Q Social Club, a nightclub in
    Bertie County.            Speller testified at trial that he saw Hyman
    enter the club with a handgun and shoot Bennett, who was seeking
    to flee.       Speller said that he then saw Hyman shoot Bennett
    again outside the club.               Demetrius Jordan was also outside the
    club, according to Speller, but he only fired gunshots into the
    air.
    5
    When     the     prosecutor      asked      Speller     whether    he    had
    discussed the case with anyone else, Speller acknowledged that
    he had spoken to “Teresa” — a reference to Teresa Smallwood, the
    lawyer then representing Hyman.                  See J.A. 62.       On November 20,
    2001, Smallwood interviewed Speller, who implicated Jordan and
    fully   exculpated         Hyman.     A    year     later,     in   2002,     Smallwood
    briefly represented Speller in a probation violation hearing.
    At Hyman’s trial in 2003, the details of the November
    2001 interview were prominently featured in Smallwood’s cross-
    examination of Speller, as Smallwood sought to establish that
    Speller had previously identified Jordan as the killer, but had
    later altered his story because he was afraid of Jordan.                              For
    example, Smallwood asked Speller whether he had previously told
    her that Jordan (rather than Hyman) had actually shot Bennett.
    After     Speller        disclaimed    any       such   conversation,         Smallwood
    inquired whether Speller had admitted to her that Jordan would
    “off him [Speller] in a minute.”                 J.A. 68.      Speller also denied
    that statement.
    Speller instead asserted at trial that, after his 2002
    probation    violation          hearing,   he     talked   with     Smallwood       about
    Hyman’s    case     in    the    parking   lot     of   her    office.       Speller’s
    account was that he told Smallwood that his evidence “would harm
    [Hyman] more than [it] could help him.”                       J.A. 72.      Faced with
    Speller’s intransigence, Smallwood requested the trial court to
    6
    allow her to confront Speller with the notes she made of the
    November   2001    interview.      This   was   Smallwood’s   only   request
    regarding her notes, and it was denied.
    Other than Speller, the only witness implicating Hyman
    in   Bennett’s    murder   was   Robert   Wilson,   another   club   patron.
    Smallwood and her co-counsel called two exculpatory eyewitnesses
    in their defense of Hyman.        First, Demetrius Pugh testified that
    he saw Demetrius Jordan shoot Bennett three times, twice while
    Bennett was fleeing from the club and a third time after Bennett
    had exited.       As Bennett lay on the ground outside the club,
    Jordan obtained another handgun and shot Bennett the third time.
    Pugh said that, although he saw Hyman at the club, he never saw
    Hyman with a firearm.       Pugh further testified that when Bennett
    was shot, Hyman had already left the club.
    Thereafter,     Hyman’s   lawyers     called   Lloyd   Pugh,   the
    nightclub’s owner (who was unrelated to Demetrius Pugh).              Lloyd
    Pugh testified to breaking up a fight between Telly Swain — once
    a co-defendant of Hyman — and Swain’s brother.             While doing so,
    Lloyd Pugh saw Hyman leave the club.            Although Lloyd Pugh later
    heard gunshots outside the club, Hyman was by then back inside.
    On September 12, 2003, Hyman was found guilty by the
    jury of the offense of first-degree murder.               On September 16,
    2003, the jury recommended a sentence of life without parole,
    7
    which the court dutifully imposed.              Hyman’s state court appeal
    proceedings then ensued.
    2.
    a.
    In the Hyman I appeal, Hyman sought relief from his
    conviction     and   sentence    in    the    Court    of   Appeals   of    North
    Carolina.      He initially presented ten assignments of error, two
    of    which   (Assignments   9   and    10)   are     relevant   to   his   Sixth
    Amendment claim. 2    Assignment of Error 9 specified the following:
    The trial court erred in failing to conduct a voir
    dire when it became aware of a conflict of interest on
    the part of one of the Defendant’s attorneys, who had
    previously represented Derrick Speller, one of the
    State’s witnesses.
    J.A. 248.     Assignment 10 stated:
    Defendant was denied the assistance of counsel because
    his attorney failed to withdraw from representation
    when it became apparent that she had a conflict of
    interest.
    
    Id.
    2
    Although the North Carolina Rules of Appellate Procedure
    have been amended so that a party is no longer required to set
    out assignments of error, see N.C. R. App. P. 10 (2010), the
    amended Rules did not become effective until 2009. When Hyman’s
    notice of appeal was filed in 2003, the applicable Rules,
    including Rule 10, required “[p]roposed issues that the
    appellant intends to present on appeal [to] be stated without
    argument at the conclusion of the record on appeal in a numbered
    list.” Assignments of Error 9 and 10 were on the Rule 10 list
    in Hyman I.
    8
    In   his   appellate        brief          in   Hyman      I,    Hyman      combined
    Assignments of Error 9 and 10 for briefing purposes.                                  Addressing
    the    dual    representation         conflict,           Hyman    explained         that    “[a]n
    actual      conflict     of     interest            exists       where        defense     counsel
    represents both the defendant and a State’s witness, even if
    that    representation         is    in   an    unrelated          matter.”           J.A.    268.
    Hyman maintained         that       the   trial          court    had    erred      when,    after
    being made aware of the dual representation conflict, it failed
    to conduct an appropriate hearing to render Hyman fully advised
    of    the   conflict     and    give      him       an    opportunity         to    express   his
    views.
    Hyman’s appellate brief in Hyman I further asserted,
    in an argument geared to the exculpatory witness conflict, that
    “[d]efense counsel Smallwood had a conflict of interest in that
    she was in possession of information which could be used to
    impeach       Derrick    Speller,         one       of     the    State’s          most   crucial
    witnesses.”        J.A. 269.        The brief explained this point further:
    Although [Smallwood] chose to remain as counsel and
    used    the   information   she   acquired    in   her
    representation of Speller to impeach his testimony,
    rather than withdrawing as counsel and testifying as a
    witness, it is not at all clear that this was the
    correct decision.   It is certainly arguable that the
    information she had to impart would have carried more
    weight had she been on the stand testifying under
    oath.
    
    Id.
    9
    Hyman’s     primary       authority        for   his    Sixth     Amendment
    claim was State v. Green, 
    500 S.E.2d 452
     (N.C. Ct. App. 1998),
    in which the Court of Appeals of North Carolina relied heavily
    on its earlier decision in State v. James, 
    433 S.E.2d 755
     (N.C.
    Ct.   App.    1993).       In     James,          the   defendant’s     attorney        was
    simultaneously representing a prosecution witness on unrelated
    criminal charges.         The James court recognized a Sixth Amendment
    conflict     of   interest      issue    and       invoked    the    Supreme      Court’s
    precedent in Cuyler v. Sullivan, 
    446 U.S. 335
     (1980).                             When a
    Sixth Amendment ineffective assistance claim is premised on an
    actual conflict of interest, Cuyler requires a showing that (1)
    petitioner’s lawyer operated under a “conflict of interest” and
    (2) such conflict “adversely affected his lawyer’s performance.”
    
    446 U.S. at 348
    .        Applying Cuyler in James, the Court of Appeals
    of North Carolina recognized that the “representation of the
    defendant as well as a prosecution witness (albeit in another
    matter)    creates      several    avenues         of   possible    conflict      for    an
    attorney.”        
    433 S.E.2d at 758
    .              And, the court concluded that
    the James lawyer “did actively represent conflicting interests
    and this adversely affected defendant herein.”                      
    Id.
     (explaining,
    inter alia, that “the overlap of representation prior to and at
    the    time        of      trial        of         both       parties        by    [the]
    attorney . . . resulted           in     an       unavoidable       conflict      as     to
    confidential communications, and affected counsel's ability to
    10
    effectively           impeach     the    credibility       of   [the     prosecution]
    witness . . . , thus compromising defendant’s representation”).
    Finally, the court instructed that,
    in a situation of this sort, the practice should be
    that the trial judge inquire into an attorney’s
    multiple representation once made aware of this fact.
    If the possibility of conflict is raised before the
    conclusion of trial, the trial court must take control
    of the situation.    A hearing should be conducted to
    determine whether there exists such a conflict of
    interest that the defendant will be prevented from
    receiving advice and assistance sufficient to afford
    him the quality of representation guaranteed by the
    sixth amendment.
    
    Id.
     (internal quotation marks omitted).                     The court deemed “the
    failure of the trial judge to conduct an inquiry” in James to be
    reversible error “in and of itself.”                
    Id. at 759
    .
    Thereafter, in Green, the court of appeals assessed a
    situation        where    a   defense    lawyer    “had    to   decide       whether    to
    pursue      a    line    of     impeachment    questioning      with    a     particular
    witness”        and     his   choice    “could     have    required     the    attorney
    himself to testify and thus could have created the possibility
    that the attorney would have to withdraw from the case.”                               
    500 S.E.2d at 460
    .           The trial judge in Green readily recognized the
    lawyer’s conflict and questioned the defendant to confirm that
    he understood the conflict and why his lawyer was abandoning a
    line   of       impeachment       questioning.       Proceeding       carefully,       the
    trial court appointed separate counsel to inform and advise the
    defendant        on     the   conflict    issue.          Although     the    defendant
    11
    ultimately waived his right to conflict-free counsel, he later
    pursued      a    Sixth   Amendment    ineffective       assistance    claim    on
    appeal.      The court of appeals recognized that a defense lawyer
    who decides not to pursue a trial strategy that may require him
    to    testify     thereby     jeopardizes    his   client’s   Sixth     Amendment
    right to conflict-free counsel.              
    Id.
        Nevertheless, the court
    concluded        that   the   Green   defendant    had    plainly     waived   the
    conflict during trial, and it thus declined to award any relief.
    
    Id.
    b.
    In its Hyman I decision of August 2, 2005, the Court
    of Appeals of North Carolina recognized that Smallwood had a
    conflict of interest that arose from her dual representation of
    both Hyman and Speller, and it remanded for the trial court to
    conduct an evidentiary hearing on whether Hyman’s defense had
    been adversely affected thereby.              See State v. Hyman, No. 04-
    1058 (N.C. Ct. App. Aug. 2, 2005) (the “Hyman I Opinion”). 3                   The
    court of appeals recited that, under Cuyler, a defendant who
    fails to timely object to a conflict of interest on the part of
    his lawyer must show that the conflict adversely affected the
    lawyer’s trial performance.           See 
    446 U.S. at 348
    .          The court of
    3
    The Hyman I Opinion is found at J.A. 107-13.
    12
    appeals emphasized that, even absent an objection, when a trial
    court      becomes     aware     of     a    lawyer’s        potential     conflict      of
    interest, it is obliged to conduct an appropriate hearing.                              See
    James, 
    433 S.E.2d at 758
    .              Based on that precedent, the court of
    appeals       observed        that,     “[l]ike       the      attorney     in    James,
    [Smallwood] had also previously represented a witness for the
    State    on    an    unrelated      charge.”         Hyman    I   Opinion   5.     Thus,
    according to the court of appeals, the trial court erred by
    failing       to    comply     with    the    hearing        requirement     of   James.
    Nonetheless, the court of appeals was not convinced that Hyman
    was entitled to relief, explaining:
    Despite finding error in this case, we cannot find
    from   the   face of   the  record  that   defendant’s
    attorney’s prior representation of Speller affected
    her representation of defendant.    As a result, we
    remand for an evidentiary hearing to determine if the
    actual conflict adversely affected the attorney’s
    performance.
    Id.   at    5-6.       In    sum,     the    court    of    appeals   concluded        that
    Smallwood had a conflict of interest when she defended Hyman at
    trial,     but      only    because    she    had    represented      Speller     in    the
    probation violation hearing.                 The court did not acknowledge the
    exculpatory witness conflict.
    3.
    On November 2, 2005, the trial court conducted the
    hearing directed by the court of appeals in Hyman I.                              At the
    13
    outset of the hearing, the prosecution set forth its view to the
    trial court that the court of appeals had
    basically order[ed] that the trial judge make a
    finding or do an inquiry as to whether or not Ms.
    Smallwood,   who   is    present    and  represented the
    defendant at trial, whether there was conflict of her
    prior representation of Derrick Speller, who was a
    State’s witness in this case, whether there was a
    conflict   and   whether    it   adversely  affected her
    representation of Mr. Hyman.
    J.A.       117-18.        The    court     accepted    the      prosecution’s
    characterization of the scope of the Hyman I remand hearing, and
    thus addressed and disposed of the dual representation conflict
    issue only. 4        The sole witness at the hearing was Smallwood
    herself.      She explained that her representation of Speller in
    the    probation     violation   hearing   occurred   on   a   single   day   in
    2002, more than a year before the Hyman trial.                  According to
    4
    Hyman appeared at the remand hearing with attorney Jackson
    Warmack, who had represented former co-defendant Telly Swain
    throughout the original murder proceedings.    The court enlisted
    Warmack’s assistance after it “discussed this matter with the
    prosecution” and “decided in the best interest of all that Mr.
    Hyman have a new attorney appointed to represent him.”       J.A.
    115-16. Notwithstanding his prior involvement adverse to Hyman,
    Warmack agreed to the appointment, explaining that he “contacted
    the State bar and determined there would be no conflict there.”
    Id. at 116.   Warmack then represented to the court that he met
    with Hyman and “explained the situation and told him that if he
    had any problems with it this would be the time.”             Id.
    Following these representations, the court asked Hyman whether
    he had any objection to being represented by Warmack, and Hyman
    responded in the negative. See id.
    14
    Smallwood, she represented Speller for only five to ten minutes,
    during which there was no discussion of Hyman or the Bennett
    shooting.      Smallwood     also    asserted     (incorrectly)        that   her
    representation    of       Speller     did      not    overlap        with    her
    representation of Hyman and that she was not even sure whether
    Hyman had been charged with Bennett’s murder at the point she
    represented    Speller.        Smallwood      maintained       that    she    had
    discussions    with    Speller      about    Hyman’s       defense    after   her
    representation   of    Speller      concluded.        On    cross-examination,
    Smallwood was asked whether she had any records regarding her
    representation of Speller.           She replied that she did not, but
    that “[m]ore likely than not I was operating from my hip, which
    is what I have done for twenty years.”           J.A. 128.
    After Smallwood’s testimony, the trial court located
    its records regarding Smallwood’s representation of Speller and
    Hyman.   Those records revealed that Smallwood had appeared in
    Speller’s probation violation hearing on September 26, 2002, and
    that Smallwood had actually been appointed to represent Hyman on
    the murder charge more than a year earlier, on May 14, 2001.                   At
    the conclusion of the remand hearing, the court ruled from the
    bench that
    [a]t this time I’m going to find and order that there
    was    nothing   about   Ms.   Smallwood’s   previous
    representation of Mr. Derrick Speller, a witness in
    this case, that adversely affected her performance or
    15
    her representation of Mr. Terrence Hyman in the trial
    of his case.
    J.A. 133.
    On November 28, 2005, the trial court issued an order
    consistent with its oral ruling.              See State v. Hyman, 01-CRS-
    50423 (N.C. Sup. Ct. Nov. 28, 2005) (the “Remand Ruling”). 5                 The
    Remand Ruling addressed only the dual representation conflict
    and explained that
    [t]his matter comes . . . pursuant to an opinion of
    the North Carolina Court of Appeals . . . remanding
    the case to this Court to conduct an evidentiary
    hearing to determine if the actual conflict between
    the defendant’s trial attorney Teresa Smallwood and a
    State’s witness Derrick Speller adversely affected Ms.
    Smallwood’s performance in the representation of the
    defendant Terrence Hyman.
    Id. at 1.         The Remand Ruling made several findings of fact,
    including     the    finding   that,   during    her   five-   to     ten-minute
    representation of Speller on September 26, 2002, Smallwood did
    not obtain any information about Speller that could have been
    used to impeach him.        Id. at 2.       The Remand Ruling denied relief
    on    the     dual      representation       conflict,      specifying      that
    “Smallwood’s representation of Terrence Hyman was not adversely
    affected     by   her   previous   representation      of   Derrick    Speller.”
    Id.
    5
    The Remand Ruling is found at J.A. 135-36.
    16
    4.
    After the Remand Ruling, Hyman again appealed to the
    Court of Appeals of North Carolina.          In Hyman II, Hyman raised
    only three assignments of error, the third being that
    [t]he trial court’s conclusion of law that defense
    counsel’s   representation   of   Defendant  was  not
    adversely affected by her prior representation of
    Derrick Speller is not supported by the trial court’s
    findings of fact or by competent evidence in the
    record, and is erroneous as a matter of law.
    J.A. 341.    Hyman’s brief responded to the trial court’s findings
    of fact and asserted that the court had erred in ruling on the
    dual representation conflict.        Hyman’s brief argued that,
    [a]lthough Speller was cross-examined by Smallwood to
    some extent about these matters, it is apparent given
    the damaging nature of what she was told, that Ms.
    Smallwood’s cross-examination would have been more
    vigorous, and certainly more illuminating.
    Id. at 356-57.      Hyman thus contended in Hyman II that the trial
    court erred in concluding that he was not adversely affected by
    Smallwood’s prior representation of Speller.
    On April 3, 2007, the court of appeals affirmed the
    Remand Ruling as to the dual representation conflict, and it
    accepted    the   trial   court’s   conclusion   that   Smallwood’s   prior
    representation of Speller had not adversely affected Hyman.            See
    State v. Hyman, No. 06-939 (N.C. Ct. App. Apr. 3, 2007) (the
    17
    “Hyman II Opinion”). 6          The court of appeals characterized Hyman’s
    contention thusly:         “Defendant argues the trial court erred when
    it    concluded     Smallwood’s     representation              of   him   had    not    been
    adversely affected by her prior representation of Speller, a
    State’s      witness.”      Id.    at    3.         The    court     of    appeals      again
    emphasized that “‘[t]he right to effective assistance of counsel
    includes the right to representation that is free from conflicts
    of interest.’”        Id. (quoting State v. Bruton, 
    474 S.E.2d 336
    ,
    343 (N.C. 1996)).          Nonetheless, the court of appeals explained
    that,      under   State   v.     James,      the    trial       court     had    correctly
    concluded that       Smallwood’s        previous      representation             of   Speller
    had   not    adversely     affected     Hyman:            “As   distinct     from      James,
    there was no overlap of representation prior to and at the time
    of trial between Smallwood’s prior representation of Speller at
    his     probation    violation      hearing         and     her      representation        of
    defendant at his first degree murder trial.”                         
    Id. at 5
     (internal
    quotation marks omitted). 7             Furthermore, the court of appeals
    observed:
    6
    The Hyman II Opinion is found at J.A. 137-41.
    7
    As   established            at  the   remand  hearing,  Smallwood
    represented Speller at             his probation violation hearing on
    September 26, 2002.   She           had by then already been representing
    Hyman since May 2001.              Hyman’s trial did not commence until
    September 2003.
    18
    No   evidence    was   shown that   Smallwood’s   prior
    representation of Speller affected her ability to
    effectively    impeach   the credibility   of   witness
    Speller.    The record on appeal contains no evidence
    that Smallwood obtained any information about either
    Speller or defendant during her representation of
    defendant that Smallwood could have used to impeach
    Speller during trial.
    
    Id.
     (internal quotation marks omitted).                       Again, as in Hyman I,
    the court did not acknowledge the exculpatory witness conflict.
    5.
    Thereafter,     on    May     31,       2008,     Hyman    petitioned      for
    certiorari    in     the   Supreme   Court       of     North    Carolina.         In   his
    petition, Hyman presented only one contention, specifying that
    his
    Sixth Amendment right to the effective assistance of
    conflict-free counsel was violated by defense attorney
    Smallwood’s position as a witness to a highly material
    prior inconsistent statement by a key state’s witness
    (her former client), directly contradicting his trial
    testimony and exonerating petitioner of this crime.
    J.A. 201.      Thus, Hyman refined his Sixth Amendment claim to
    encompass     only     the   exculpatory             witness     component,       and   he
    underscored        that    the    court         of     appeals         “didn’t     mention
    Smallwood’s conflicted position as a witness to Speller’s highly
    material inconsistent prior statement.”                      
    Id. at 200
    .         According
    to Hyman, his Sixth Amendment right to counsel had been abridged
    in that “it is part of clearly established federal law that a
    Sixth    Amendment     violation     may    arise       not     only    from     conflicts
    19
    between    the     interests      of    counsel’s       clients,    but     also   from
    conflicts    between       the   client’s       and    counsel’s   own    interests.”
    
    Id. at 202
    .       Hyman      maintained          that    Smallwood’s      conflict
    adversely affected him in that “it would be impossible for any
    attorney to make an objective assessment of her own importance
    as    a    witness,        independent      of     personal       and     professional
    considerations      arising      from    her     likely      inability    to   continue
    serving as counsel.”             
    Id. at 208
    .          On December 11, 2008, the
    Supreme     Court     of     North     Carolina       summarily     denied     Hyman’s
    petition for certiorari.               See State v. Hyman, No. 245P08 (N.C.
    Dec. 11, 2008).
    B.
    On May 8, 2008, Hyman turned to the federal courts,
    petitioning for habeas corpus relief in the Eastern District of
    North Carolina, pursuant to 
    28 U.S.C. § 2254
    . 8                         In his § 2254
    petition, Hyman contended that
    8
    Hyman filed his § 2254 petition in the district court
    prior to seeking certiorari in the Supreme Court of North
    Carolina. As a result, on October 15, 2008, the district court
    stayed Hyman’s § 2254 petition pending a ruling on the petition
    for certiorari.    On January 19, 2009, after the state supreme
    court denied the certiorari petition, the district court lifted
    its stay.    Notably, Hyman has never sought state collateral
    review of his conviction and sentence.      See N.C. Gen Stat.
    § 15A-1414 (specifying that defendant may pursue motion for
    appropriate   relief   (“MAR”)  —  North   Carolina’s statutory
    procedure for collateral review — within ten days of entry of
    (Continued)
    20
    the state court unreasonably failed to recognize that
    Smallwood’s conflict arose not merely from having
    previously served as Speller’s attorney, but from
    Smallwood’s position as the only person able to
    testify that Speller made a highly inconsistent prior
    statement identifying the shooter as Demetrius Jordan,
    not Hyman.
    J.A. 23.     By its Order of March 31, 2010, the district court
    granted    the   writ.      The    District   Court   Order    addressed     and
    disposed of two issues:            (1) whether the exculpatory witness
    component of Hyman’s Sixth Amendment claim had been exhausted in
    the North Carolina courts; and (2) whether Hyman was entitled to
    relief under the Sixth Amendment.
    Appropriately,        the   district    court    began    with   the
    exhaustion issue.        In its motion for summary judgment, the State
    maintained   that   Hyman    had    failed    to   exhaust    the    exculpatory
    witness component, in that he did not fairly present it to the
    Court of Appeals of North Carolina.            The State pointed out that
    Hyman did not proffer any evidence or examine Smallwood at the
    remand hearing regarding the possibility that she could have
    withdrawn and testified, nor did he argue the issue in his Hyman
    criminal judgment).    But see id. § 15A-1415(b)(3) (providing
    that defendant may file MAR more than ten days after entry of
    judgment if “[t]he conviction was obtained in violation of the
    Constitution of the United States”); State v. Goodson, 
    600 S.E.2d 519
    , No. COA03-834, 
    2004 WL 1920948
    , at *4 (N.C. Ct. App.
    July 6, 2004) (unpublished table decision) (“[An MAR] based on
    [Sixth Amendment] grounds may be filed any time after the
    verdict is announced.”).
    21
    II brief.       Moreover, according to the State, if Hyman were to
    return to the state courts and attempt to raise the exculpatory
    witness component anew, he would be procedurally barred from
    doing so.      As such, the State contended, Hyman had procedurally
    defaulted     the   exculpatory     witness      component      for    purposes   of
    federal court review.         The district court disagreed with the
    State, premised on its determination that there was no failure
    to exhaust because both the Court of Appeals and the Supreme
    Court    of    North    Carolina     “were       given     a   ‘full     and   fair
    opportunity’     to    consider    the   substance       of    [Hyman’s]   claim.”
    District Court Order 10 (quoting Larry v. Branker, 
    552 F.3d 356
    ,
    366 n.10 (4th Cir. 2009)).
    Turning next to the merits of Hyman’s Sixth Amendment
    argument, the district court, guided by Cuyler, reasoned that
    “[o]nce a petitioner shows an actual conflict adversely affected
    his representation by counsel, prejudice is presumed, and he is
    entitled to relief.”       District Court Order 12.             Furthermore, “if
    during   pretrial      representation         counsel    becomes   a    witness   to
    events at issue in the client’s case, there is a conflict with
    great potential for adverse effect.”              
    Id.
     at 14 (citing Rubin v.
    Gee, 
    292 F.3d 396
    , 401-02 (4th Cir. 2002)).                     Here, the court
    observed, Smallwood “chose to continue as counsel” rather than
    “testify herself and proffer impeaching testimony,” even though
    her evidence would have corroborated the testimony of Demetrius
    22
    Pugh that Jordan had actually murdered Bennett.                               Id. at 15.9
    “Smallwood’s         actual    conflict       of    interest       [thereby]       adversely
    affected       her    performance,”       and       Hyman    was     denied       his     Sixth
    Amendment right to counsel.               Id.       The implicit conclusion of the
    North      Carolina     courts    to    the    contrary      was,    according          to   the
    district       court,    “an     objectively         unreasonable          application        of
    clearly established federal law to the facts of [Hyman’s] case.”
    Id. at 16.        The court therefore granted Hyman a writ of habeas
    corpus.
    The    State    has      timely      appealed        from    the     district
    court’s judgment granting the writ, and we possess jurisdiction
    pursuant to 
    28 U.S.C. § 1291
    .
    II.
    We review de novo a district court’s decision to award
    habeas corpus relief.             See Bauberger v. Haynes, 
    632 F.3d 100
    ,
    103     (4th    Cir.     2011).         Our     analysis       is    tempered        by      the
    Antiterrorism and Effective Death Penalty Act of 1996 (“AEDPA”).
    In    accordance       with    AEDPA,    a    federal       court    may     grant      habeas
    9
    The district court recognized that Smallwood’s testimony
    would have been admissible at trial to impeach Speller and prove
    his prior inconsistent statement identifying Jordan as Bennett’s
    murderer, since the identity of the killer was the controlling
    material issue.    See Order 13-14 (citing State v. Green, 
    250 S.E.2d 197
    , 203 (N.C. 1978)); see also State v. Batchelor, 
    660 S.E.2d 158
    , 161 (N.C. Ct. App. 2008).
    23
    corpus relief only insofar as (1) the state court adjudication
    of the issue on its merits “resulted in a decision that was
    contrary to, or involved an unreasonable application of, clearly
    established Federal law, as determined by the Supreme Court of
    the   United     States”;        or     (2)    the    adjudication        “resulted    in    a
    decision that was based on an unreasonable determination of the
    facts in light of the evidence presented in the State court
    proceeding.”        
    28 U.S.C. § 2254
    (d).
    III.
    In      this     appeal,         the     State    not   only    continues       to
    contest   the       merits       of    the    exculpatory       witness     component       of
    Hyman’s     Sixth      Amendment             claim,     but     also      reiterates    the
    contention that Hyman failed to exhaust the exculpatory witness
    component      of    the     claim       in    the     North     Carolina     courts    and
    procedurally defaulted federal review.                        Section 2254(b)(1)(A) of
    Title 28 provides that a writ of habeas corpus shall not be
    granted     unless        “the        applicant       has     exhausted     the   remedies
    available    in     the    courts        of    the    State.”       Furthermore,       “[a]n
    applicant shall not be deemed to have exhausted the remedies
    available in the courts of the State . . . if he has the right
    under the law of the State to raise, by any available procedure,
    the question presented.”                 
    28 U.S.C. § 2254
    (c);              see O’Sullivan
    v. Boerckel, 
    526 U.S. 838
    , 844 (1999) (“Section 2254(c) requires
    24
    only that state prisoners give state courts a fair opportunity
    to act on their claim.”).
    As we explained in Breard v. Pruett, “[a] distinct but
    related   limit     on    the   scope    of    federal    habeas    review    is    the
    doctrine of procedural default.”                
    134 F.3d 615
    , 619 (4th Cir.
    1998).    One manner in which procedural default occurs is
    when a habeas petitioner fails to exhaust available
    state remedies and the court to which the petitioner
    would be required to present his claims in order to
    meet the exhaustion requirement would now find the
    claims procedurally barred.
    
    Id.
     (internal quotation marks omitted).                  Procedural default also
    occurs    “[i]f    a   state    court    clearly    and    expressly       bases    its
    dismissal of a habeas petitioner’s claim on a state procedural
    rule,    and    that     procedural     rule    provides    an     independent      and
    adequate ground for the dismissal.”              
    Id.
    Notably, the Supreme Court of the United States has
    recently instructed that,
    [w]hen a federal claim has been presented to a state
    court and the state court has denied relief, it may be
    presumed that the state court adjudicated the claim on
    the merits in the absence of any indication or state-
    law procedural principles to the contrary.
    Harrington v. Richter, 131 S. Ct 770, 784 (2011).                          The Court
    added, however, that “[t]he presumption may be overcome when
    there is reason to think some other explanation for the state
    court’s    decision       is    more    likely.”         
    Id.
         (citing     Ylst   v.
    Nunnemaker, 
    501 U.S. 797
    , 803 (1991)).
    25
    Here, the State contends that Hyman did not fairly
    raise the exculpatory witness component in the North Carolina
    courts and thereby “failed to exhaust his federal claim.”                           Br.
    of Appellant 11.          The State further maintains that, “[b]ecause
    Hyman cannot now return to state court and raise his § 2254
    claim anew, it is procedurally defaulted.”                   Id.        Of course, as
    heretofore      discussed,    neither     the     Court     of    Appeals     nor   the
    Supreme    Court   of   North     Carolina      has    directly     confronted      the
    procedural or substantive propriety of the exculpatory witness
    component.      Instead, the court of appeals decisions in Hyman I
    and Hyman II each focused on the dual representation conflict
    issue,    and   the   state   supreme      court      summarily     denied     Hyman’s
    petition for certiorari.
    Unfortunately,        the     basis       for   the     North     Carolina
    courts’ lack of attention to the exculpatory witness conflict is
    unclear    —    perhaps    they   did     not   consider         that   component    of
    Hyman’s Sixth Amendment claim to be fairly presented, perhaps
    they meant to implicitly reject it on the merits, or perhaps
    they simply overlooked it.              Thus, we are uncertain whether, if
    Hyman seeks to resurrect the exculpatory witness component in
    the state courts, those courts will enforce a procedural bar.
    In these unusual circumstances, we are constrained to
    employ the “stay and abeyance procedure” approved by the Supreme
    Court in connection with unexhausted § 2254 claims.                         See Rhines
    26
    v.    Weber,    
    544 U.S. 269
    ,    275-78          (2005).      The    Rhines        Court
    assessed how the lower federal courts should deal with “mixed”
    habeas petitions (where certain constitutional claims have been
    exhausted but others have not) in a post-AEDPA setting.                           See 
    544 U.S. at 269
    .         Prior to AEDPA’s enactment, a district court could
    dismiss a mixed habeas petition without prejudice and permit the
    petitioner to return to state court on the unexhausted claims.
    AEDPA, however, imposed a time constraint that required a § 2254
    petitioner to seek federal habeas corpus relief within a year of
    a    final     adjudication     in    the    state       courts.         As     such,    the
    dismissal of a mixed petition without prejudice is no longer a
    feasible option for a federal court, in that the § 2254 petition
    could ultimately be adjudged time-barred under AEDPA.
    In recognizing an alternative to dismissal, the Rhines
    Court stressed the federalism and comity-related importance of
    permitting the state courts to assess constitutional claims in
    the first instance — before a federal court does so:
    “Because it would be unseemly in our dual system of
    government for a federal district court to upset a
    state court conviction without an opportunity to the
    state courts to correct a constitutional violation,
    federal courts apply the doctrine of comity.”
    
    544 U.S. at 274
       (quoting   Rose       v.    Lundy,   
    455 U.S. 509
    ,     518
    (1982)); see also Elmore v. Ozmint, No. 07-14 (4th Cir. Mar. 24,
    2008) (unpublished order staying appeal involving mixed § 2254
    petition       “in    the     interests      of        federalism        and     comity”).
    27
    Additionally, as the Rhines Court explained, the doctrine of
    comity counsels that a federal court
    should defer action on causes properly within its
    jurisdiction until the courts of another sovereignty
    with concurrent powers, and already cognizant of the
    litigation, have had an opportunity to pass on the
    matter.
    
    544 U.S. at 274
    .          With comity specifically in mind, the Court
    concluded that, in the proper circumstances, a § 2254 petition
    should be stayed for a reasonable time to enable the petitioner
    to return to state court and pursue his arguably unexhausted
    claim.    Id. at 277-78.        The Court has subsequently extended the
    Rhines rationale beyond mixed § 2254 petitions.                  See Pace v.
    DiGuglielmo,       
    544 U.S. 408
    ,   416   (2005);   see   also     Heleva    v.
    Brooks, 
    581 F.3d 187
    , 191-92 (3d Cir. 2009).
    In    its   Pace   decision,    the   Supreme    Court    pondered
    whether the filing of an untimely application for State post-
    conviction        or   collateral   review    tolls    the   AEDPA    time     bar
    established in 
    28 U.S.C. § 2244
    (d)(2). 10             The Court ruled in the
    negative, but went on to explain that
    [a] prisoner seeking state post-conviction relief
    might   avoid  this   predicament . . . by filing   a
    ‘protective’ petition in federal court and asking the
    10
    Section 2244(d)(2) of Title 28 provides that “[t]he time
    during which a properly filed application for State post-
    conviction or other collateral review with respect to the
    pertinent judgment or claim is pending shall not be counted
    toward any period of limitation under this subsection.”
    28
    federal court to stay and abey the federal                                  habeas
    proceedings until state remedies are exhausted.
    
    Id. at 416
    .       The stay and abeyance procedure was recommended by
    the Pace Court          without     any        discussion          of   whether     the    habeas
    petitioner    was       pursuing      a        mixed       § 2254       petition.         To    the
    contrary, the Pace decision appears to authorize use of the stay
    and   abeyance         procedure      under          any        circumstances     that         could
    warrant a state court resolution of a prisoner’s claims.
    Before we review the district court’s award of § 2254
    relief on the exculpatory witness component of Hyman’s Sixth
    Amendment     claim,       the     doctrines               of     federalism      and      comity
    constrain    us    to     provide      the       North          Carolina    courts      with     an
    opportunity       to    weigh    in       on     the       procedural       and   substantive
    issues.     We are therefore content to stay this appeal pending
    any appropriate state court proceedings. 11
    IV.
    Pursuant to the foregoing, we hereby stay this appeal
    pending such other and further state court proceedings as may be
    appropriate, or pending further order of this Court.                                During the
    11
    We take no position as to what, if any, procedural
    avenues may yet be available to Hyman in the Court of Appeals or
    Supreme Court of North Carolina.     We observe, however, that
    Hyman could have recourse by way of North Carolina’s statutory
    MAR process.   See supra note 8; N.C. Gen Stat. § 15A-1411 et
    seq.
    29
    pendency of the stay, we request that counsel — at least every
    ninety days — provide us with appropriate status reports.
    APPEAL STAYED
    30