Vega v. Johnson ( 1998 )


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  •                        Revised August 19, 1998
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE FIFTH CIRCUIT
    _______________
    No. 97-50875
    _______________
    MARTIN SAUCEDA VEGA,
    Petitioner-Appellant,
    VERSUS
    GARY L. JOHNSON, Director,
    Texas Department of Criminal Justice,
    Institutional Division,
    Respondent-Appellee.
    _________________________
    Appeal from the United States District Court
    for the Western District of Texas
    _________________________
    July 30, 1998
    Before SMITH, WIENER, and DeMOSS, Circuit Judges.
    JERRY E. SMITH, Circuit Judge:
    Martin Vega, who confessed to a murder-for-hire, seeks habeas
    corpus relief from a sentence of death.     The federal district court
    denied relief. Because most of Vega’s claims are entirely meritless
    and the others are barred by Teague v. Lane, 
    489 U.S. 288
     (1989),
    we affirm.
    I.
    In July 1985, after receiving a report of a homicide, Sheriff
    Mike Bading discovered the body of James Mims lying alongside a
    road.    Bading   and   other   officers   arriving   at    the   same   time
    recovered several items belonging to Mims, including a comb, a
    screwdriver-type key chain, a pocket knife, and some change.             They
    also found three spent .22 caliber cartridges.
    Mims’s skull had been hit with a blunt object, possibly a
    handgun, and he had been shot eight times; his shirt was saturated
    with blood, and the rest of his clothes were wet from a source
    other than blood.   One of the bullets had passed through his            lung,
    aorta, and heart, probably causing his death.              Two .22 caliber
    bullets were removed from his body and analyzed.
    Vega confessed to the murder in January 1988.          He stated that
    Linda Mims had encouraged him to murder her husband, promising to
    marry him afterward and to give him $30,000 of the $150,000 life
    insurance proceeds.       Vega did in fact marry her and enjoyed
    substantial sums of money obtained from insurance proceeds.
    In one of his statements, Vega revealed the location of the
    alleged murder weapon, a .22 caliber handgun.         This weapon, along
    with the cartridges allegedly fired by the handgun but not found at
    the murder scene, were at the specified location and presented at
    trial.   Vega also explained that the victim was wet because of a
    failed attempt to drown him.        Vega insisted that Linda Mims be
    arrested immediately upon his confession.
    2
    Vega made one statement in his handwriting and signed it in
    the presence of two officers; subsequently he made other statements
    containing details of the events relating to the murder.        He
    received Miranda warnings before confessing.
    II.
    A.
    Vega was indicted for capital murder in February 1988, charged
    with shooting Mims for the promise of remuneration.        William
    Rugeley was appointed to represent Vega.    The trial court found
    that Vega's confession and related statements were made voluntarily
    and were legally admissible at trial.
    Vega apparently disagreed with Rugeley about his defense, so
    in August 1988 he filed a pro se motion to dismiss Rugeley because
    they did “not agree with each other and [could] not see eye to
    eye”; Vega claimed he had funds to hire his own attorney who would
    better serve his interests.    At a hearing held in October, the
    court informed Vega that Rugeley would continue to represent him
    until he retained counsel of his own, at which time Rugeley would
    be removed.   At no time thereafter did Vega indicate that he had
    employed counsel.
    In January 1989, eleven days before trial, Rugeley filed a
    motion to withdraw, stating that Vega had refused to communicate
    with him.   The court allowed Vega to state his position, which at
    3
    that time was that Rugeley had told him to plead guilty even though
    he was innocent. Rugeley stated that Vega would not cooperate with
    him, which would cause him to be unprepared for trial.                  The court
    refused to remove Rugeley at that late date.
    B.
    The   jury   found    Vega   guilty.         He   testified    only     at   the
    punishment    phase,   at    which     the     state    introduced    evidence     of
    previous    extraneous      offenses      as    aggravating    factors.        These
    offenses included the alleged forcible detention and rape at
    gunpoint of one Shirley Barnard in 1984.                 Although in that case
    Vega was indicted on a sexual assault charge, the charge was
    subsequently dropped when the government was unable to locate the
    victim to testify.       Instead, the government proceeded to trial on
    a felon-in-possession charge based on Vega’s supposed use of a gun
    in the alleged rape.        Vega was acquitted of this charge and of the
    lesser included offense of unlawful possession of a handgun.
    During the punishment phase of the 1989 capital murder trial,
    the   state   called     Barnard     to       testify   to   the    alleged    rape,
    emphasizing Vega's future dangerousness. The jury apparently found
    this information significant, because it asked to re-examine the
    evidence of the firearm trial and Barnard’s testimony.                      Vega was
    convicted and appealed to the Texas Court of Criminal Appeals,
    submitting pro se briefs and motions in addition to those filed by
    4
    Rugeley.
    III.
    Vega argues that the state violated his due process rights by
    allowing the prosecution to employ, at the appellate stage of the
    litigation only, Charles Kimbrough, an attorney who had represented
    Vega during his felon-in-possession trial.          Although Kimbrough
    apparently played no role until after that conviction was obtained,
    and was limited to the trial record in his briefs and arguments,
    Vega asks us to find that Kimbrough’s involvement made the murder
    trial fundamentally unfair and that he is entitled to habeas
    relief.    Because such a holding would be an extension of prior law
    about which reasonable minds could disagree, Teague bars the relief
    Vega requests.
    In Teague, the Court held that federal courts may not create
    new constitutional rules of criminal procedure on habeas review.
    A new rule is one which was not “dictated by precedent existing at
    the time the petitioner’s conviction became final.”            
    489 U.S. at 301
    .    A new rule is created if the rule is, “in light of this
    Court’s precedent, 'susceptible to debate among reasonable minds.'”
    O’Dell v. Netherland, 
    117 S. Ct. 1969
    , 1974 (1997) (citing Butler
    v. McKellar, 
    494 U.S. 407
    , 415 (1990)).           Accordingly, we must
    examine    existing   precedent   and    decide   whether,   under   that
    precedent, relief is required. If reasonable minds could differ on
    5
    whether current law requires relief, we may not grant relief
    without creating a “new rule” barred by Teague.
    No court of which we are aware has considered the fact
    scenario    presented     here.      In   general,     our    jurisprudence     has
    considered     two   relevant     types   of    conflict-of-interest      claims:
    “multiple     representation”       and       “switching     sides.”     Multiple
    representation occurs when an attorney represents multiple parties
    with conflicting interests, possibly influencing him to reject a
    strategy that would produce optimal results for one client, in
    order to improve results for another.                   See, e.g., Cuyler v.
    Sullivan, 
    446 U.S. 335
     (1980). Switching sides occurs when an
    attorney starts out representing one party, then represents an
    adverse party in the same or related litigation.                  The extent to
    which     jurisprudence     developed     in    the   multiple    representation
    context may be applied to the switching sides context is currently
    unresolved.1
    This is a case of switching sides, but not of doing so in the
    course of a single litigation matter.             In such a case, the ethical
    duty of loyalty prevents Kimbrough from acting against Vega's
    interests. That duty lasted only as long as the litigation matter,
    however, and then ceased to restrict Kimbrough's options.                     See,
    1
    See Hernandez v. Johnson, 
    108 F.3d 554
    , 559 (5th Cir.), cert. denied, 
    118 S. Ct. 447
     (1997) (noting that this circuit “has limited Cuyler to actual conflicts
    resulting from a lawyer’s representation of multiple criminal defendants,” and
    assuming arguendo that Cuyler could apply where a criminal defendant’s lawyer had
    previously served as district attorney when cases were pending against the defendant
    in that district).
    6
    e.g., McNeil v. Wisconsin, 
    501 U.S. 171
    , 175 (1991).               Once the
    matter ended, Kimbrough's only duty was to protect confidential
    information he received in his capacity as attorney.
    If Kimbrough had represented Vega in the possession case and
    then prosecuted him at the trial level here, we would have to ask
    only whether the matters were substantially related.              If so, the
    potential for abuse of confidential information obtained through
    the prior representation would be high, and Vega’s trial likely
    would be deemed fundamentally unfair if Vega had called this
    conflict to the trial court’s attention, or the conflict was
    obvious to the court.      See Holloway v. Arkansas, 
    435 U.S. 475
    , 490
    (1978).    Because neither this circuit nor the Supreme Court has
    considered a situation in which a prosecutor formerly represented
    the defendant, however, even this might require a new rule.
    Still more divorced from existing precedent is the scenario
    presented here.      Not only have we never held that a defendant’s
    former    attorney   may   not   handle   an   appeal   against   him   in   a
    subsequent case, but we would be unlikely to do so without applying
    a harmless error standard.         Unlike the multiple representation
    standard addressed in Holloway, where prejudice is both likely and
    difficult to identify, the situation here presents little risk of
    harm to Vega’s interests, and there is an easy way to spot abuse
    should it occur.
    Kimbrough was limited to the trial record on appeal and could
    7
    not supplement it with facts or observations taken from his prior
    representation. The only way to abuse his confidential information
    would be to introduce such extraneous information and hope that the
    appellate court, while pretending to ignore it as outside the
    record, would be influenced.           Yet Vega fails to point out any
    instances in which information outside the record was introduced on
    appeal.      Because     we    could   easily    identify    such   a   use   of
    confidential information were it present, the argument against
    harmless error set forth in Holloway does not apply.2
    Vega points to Aetna Life Ins. Co. v. Lavoie, 
    475 U.S. 813
    ,
    828 (1986),       for   the   proposition    that   even   the   appearance   of
    impropriety requires reversal.         That case involved the reversal of
    a state supreme court decision written by a justice whose opinion
    would have provided precedent favorable to him in a lawsuit he had
    pending at the time of writing.             The Court held that the justice
    had a conflict of interest and should have been disqualified; its
    statement that “the 'appearance of justice' will best be served by
    vacating the decision and remanding for further proceedings” in no
    way suggested that a decision should be reversed on the basis of a
    speculative conflict merely in order to maintain the appearance of
    justice.    
    Id.
        To the contrary, the Court suggested otherwise in
    Cuyler, where it held that a defendant who fails to object to
    2
    See 
    id.
     (“In the normal case where a harmless-error rule is applied, the
    error occurs at trial and its scope is readily identifiable . . . .”).
    8
    multiple representation must show more than a “mere possibility of
    a conflict of interest” in order to obtain relief.                  See Cuyler, 
    446 U.S. at 350
    .
    Vega    makes   no   effort   to     explain       how   the   possession    of
    confidential information could have helped the prosecutor’s office,
    and harmed him, at the appeals stage.                   Even assuming he could
    demonstrate some possibility of prejudice, however, reasonable
    minds could differ as to whether current precedent supported
    relief.     Under Teague, we are barred from creating a new rule of
    law in order to grant relief on this issue.
    IV.
    Vega contends that collateral estoppel prevented the state
    from introducing, at the penalty phase, evidence of his possession
    of a handgun and sexual assault.            He points out that the sexual
    assault and felon-in-possession charges were brought together, that
    the sexual assault charge was dropped, that the alleged sexual
    assault was     nevertheless   discussed          at    his   felon-in-possession
    trial, and that he was acquitted of being a felon in possession.
    Because evidence     of   prior    acts     may    be    introduced     despite   an
    acquittal if the standard of proof in the second prosecution is
    lower, Vega’s claim must fail.
    In Ashe v. Swenson, 
    397 U.S. 436
     (1970), the Court held that
    collateral estoppel is a requirement of due process under the
    9
    double jeopardy doctrine.         In Dowling v. United States, 
    493 U.S. 342
    , 349 (1990), however, the Court held that “an acquittal in a
    criminal case does not preclude the Government from relitigating an
    issue when it is presented in a subsequent action governed by a
    lower standard of proof.”3           Extraneous offenses offered at the
    punishment phase of a capital trial need not be proven beyond a
    reasonable doubt.4
    Even assuming, therefore, that the state would have been
    collaterally estopped from prosecuting Vega for the sexual assault
    charge, introducing evidence of the offense at the punishment phase
    of his capital murder trial was not improper.             Similarly, although
    the felon-in-possession charge certainly could not have formed the
    basis of a new prosecution, it could be introduced as evidence of
    Vega’s future dangerousness, because the jury decided only that the
    government had not proven the elements of the felon-in-possession
    offense beyond a reasonable doubt, and had not considered the
    evidence under any lower standard of proof.
    In addition, Dowling allows the introduction of evidence in a
    subsequent prosecution “if the prior acquittal did not determine an
    ultimate issue in the present case.”          
    493 U.S. at 348
    .      In Dowling,
    3
    See also United States v. Brackett, 
    113 F.3d 1396
    , 1401 (5th Cir.), cert.
    denied, 
    118 S. Ct. 341
     (1997) (evidence admissible if second proceeding does not
    require proof beyond a reasonable doubt).
    4
    See Harris v. Johnson, 
    81 F.3d 535
     (5th Cir.), cert. denied, 
    517 U.S. 1227
    (1996); Turner v. Johnson, 
    106 F.3d 1178
    , 1189 (5th Cir.), petition for writ of
    habeas corpus denied, 
    118 S. Ct. 27
     (1997); Huddleston v. United States, 
    485 U.S. 681
     (1988); United States v. Mir, 
    919 F.2d 940
    , 943 (5th Cir. 1993).
    10
    evidence of a prior robbery was appropriately introduced, because
    the former alleged victim had seen the defendant and could testify
    as to his identity.     This information could have been relevant to
    the jury, even if it did not believe that the defendant committed
    the crime previously charged.       
    Id.
        Moreover, we held in Brackett
    that evidence of intent to possess marihuana could be offered at a
    subsequent trial for conspiracy to possess with intent, despite a
    prior acquittal at the actual-possession trial.              In Brackett,
    although the government reintroduced evidence of the defendant’s
    actual possession, it did so only as evidence to support his
    agreement to engage in a conspiracy; because the actual possession
    was not necessary to a conspiracy conviction, the prior acquittal
    did not determine an ultimate fact in the conspiracy trial.             See
    Brackett, 
    113 F.3d at 1400-01
    .
    In this case, therefore, the evidence is obviously admissible.
    Not only did the prior acquittal fail to determine the ultimate
    fact   at   issue   hereSSwhether   Vega    posed   a   threat   of   future
    dangerousness to societySSand not only did the prior acquittal fail
    to resolve any questions with respect to the sexual assault, but
    the evidence was admissible also because the standard of proof at
    the punishment hearing was lower than that at the original criminal
    trial.
    V.
    11
    Vega claims the trial court erred by failing to appoint new
    counsel when Vega called to the court's attention a conflict with
    his appointed counsel.          This claim is meritless, because the court
    had no duty to appoint new counsel.
    Vega’s stated conflict was that his attorney recommended he
    plead   guilty,      whereas    Vega   wanted     to   continue    asserting   his
    innocence.     Had the attorney refused to allow him to enter a not
    guilty plea, he would have violated his ethical duty to allow Vega
    to choose the broad limits of the representation. See, e.g., Jones
    v. Barnes, 
    463 U.S. 745
    , 753 (1982).                     In fact, however, the
    attorney proceeded to trial on a not guilty plea, and although he
    expressed concerns that Vega refused to communicate with him,
    thereby reducing his efficacy, neither he nor Vega claimed any
    practical conflicts.         In addition, Vega and his counsel were often
    seen conferring at trial, and Vega points to no aspects of the
    representation that he asked to have done differently.
    Furthermore, Vega never asked the court to appoint another
    lawyer.    He did file a motion requesting leave to retain his own
    counsel, and the court stated that the request would be granted,
    and his appointed counsel removed, as soon as Vega informed the
    court he had retained counsel of his choosing.               Eleven days before
    trial, appointed counsel asked to withdraw, stating that no counsel
    had been appointed and that Vega had refused to communicate with
    him.      It   was    only     at   this   time   that    Vega    identified   the
    12
    philosophical differences between himself and his attorney.                          Even
    then, however, he failed to request the appointment of new counsel.
    The   court’s    inability     to    read       his   mind    certainly       does    not
    constitute a constitutional violation.
    Although    he    attempts     to    put    the      onus   on    the   court    to
    investigate     the     potential    conflict         by   citing      Holloway,     Vega
    confuses “conflict” in its generic sense with the term of art
    “conflict of interest.”        When an attorney labors under a conflict
    of interest, he is prevented, by his own self interest or by his
    interest   in    another’s    welfare,         from    vigorously       promoting     the
    welfare of his client.        Vega does not allege that his counsel was
    so burdened.
    Rather, he alleges that his counsel gave him advice he did not
    want to hear. Given that the attorney accepted Vega’s decision not
    to take that advice, the existence of any “conflict” worth mention
    is dubious.      At most, Vega and his attorney had a “conflict” with
    respect    to   trial    strategy,    a     problem        with   no   constitutional
    significance as long as Vega's wishes were respected on ultimate
    issues such as pleading guilty and testifying.
    VI.
    Vega claims he was denied the right to present his own defense
    under Faretta v. California, 
    422 U.S. 806
     (1975), because the trial
    court refused to investigate his allegations that conflicts existed
    13
    between himself and Rugeley.         He claims it is “well documented
    before, during and after trial that Petitioner’s desired defense
    was not being pursued.”       He offers no facts from the record to
    support this contention, however; it appears his only expression of
    discontent was a complaint that Rugeley recommended he plead
    guiltySSa   recommendation    that   was   not    followed,    as    the   case
    proceeded to trial. Vega’s claim fails, because he did not provide
    sufficient notice to the court that his desired defense was not
    being pursued, and because to grant relief we would have to extend
    the   Faretta   right   of   self-representation      beyond   its    current
    boundary as established by the Supreme Court and by this court,
    creating a new rule of law barred by Teague.
    Vega relies primarily on Moreno v. Estelle, 
    717 F.2d 171
     (5th
    Cir. 1983), yet in that case we denied relief under facts similar
    to these.   Moreno told the court on the day of trial that he wanted
    his retained attorney to withdraw from the case because “[s]he
    isn’t helping me.       I have asked her to do things for me and
    everything and I can’t get her to do anything.          My people pay her
    and I don’t want her.”        
    Id. at 174
    .        We denied relief because
    Moreno made no attempt to request that he be able to proceed pro se
    and did not explicitly inform the court of the defenses his
    attorney had allegedly refused to investigate or present.              
    Id. at 174-76
    .
    Furthermore, despite Vega’s characterization to the contrary,
    14
    Moreno did not establish that a defendant has a right to force his
    attorney to present his defenses.     At most, we suggested that once
    the court is notified that counsel refuses to present a defendant’s
    preferred defenses, Faretta may require the court to ensure that
    the defendant knows of his option to represent himself rather than
    continue to accept the services of his uncooperative attorney. 
    Id. at 175
    .   Even there, our statement was too weak to establish a rule
    of law about which reasonable minds would not disagree:           “If the
    defendant can state particular instances of disagreement . . . as
    to viable defenses, the defendant’s Sixth Amendment rights as
    defined in Faretta are arguably implicated.”      
    Id.
    Moreover, neither this court nor the Supreme Court has held
    that a defendant may force his attorney to present a defense with
    which the attorney does not agree or acquire new court-appointed
    counsel until he finds an attorney who agrees with him.        See Jones
    v. Barnes, 463 U.S. at 753 (counsel need not present every non-
    frivolous argument suggested by the defendant).         In United States
    v. Moore, 
    706 F.2d 538
     (5th Cir. 1983), a conscientious district
    court allowed Moore to replace his court-appointed counsel with
    different   court-appointed   counsel   three   times    before   finally
    finding that he had waived his right to counsel.            We rejected
    Moore’s contention that he had a right to an attorney who agreed
    with him and would present his case in the way Moore thought
    proper:   “A defendant is entitled to an attorney who will consider
    15
    the defendant’s views and seek to accommodate all reasonable
    requests    with    respect    to    trial   preparation      and   trial    tac-
    tics . . . .    [He] has no right to an attorney who will docilely do
    as he is told.”      
    Id. at 540
    .
    Vega’s citation to Henderson v. Sargent, 
    926 F.2d 706
    , 711
    (8th Cir. 1991), for the proposition that the choice not to present
    a defense is not part of trial strategy is inapposite:                   In that
    case, the defendant’s attorney failed to investigate a promising
    defense that the defendant did not allege he had suggested but
    which would have been discovered with proper trial preparation.
    While choosing among possible defenses is unquestionably part of
    trial strategy and therefore is subject to considerable deference,
    the failure properly to investigate possible defenses is part of
    adequate preparation and receives stricter examination.5                  Even if
    we were to find that Vega did present sufficient evidence to the
    trial court that his attorney refused to present his defenses,
    therefore, Teague would bar relief, because a constitutional right
    to relief under those circumstances has not been established.
    VII.
    Vega also argues that the state court erred by refusing his
    request to represent himself on appeal.              A defendant does have a
    5
    See Strickland v. Washington, 
    466 U.S. 668
    , 690-91 (1983) (noting that
    strategic choices based on reasonable investigation are “virtually unchallengeable”
    and that reasonable professional judgments must support limitations on
    investigation).
    16
    right to submit briefs pro se on appeal.                See Myers v. Collins,
    
    8 F.3d 249
    , 252 (5th Cir. 1993).              Because Myers was not decided
    until after      Vega’s    appeal    became    final,   however,     it   was    not
    available to the state court when ruling on Vega’s request.                     Pre-
    Myers caselaw did not mandate the result in that case, so Myers
    created a new rule of constitutional law, and we will not grant
    habeas relief      because     the   state    court   failed    to   predict     its
    creation.6
    Vega claims that the right to self-representation created by
    Faretta dictated that he be allowed to represent himself on appeal.
    More significantly, the Texas courts have repeatedly held that a
    criminal defendant has a right to submit pro se briefs on appeal,
    although he has no right to present oral argument.               See, e.g., Webb
    v. State, 
    533 S.W.2d 780
     (Tex. Crim. 1976).             Texas courts have also
    held, however, that the right to self-representation on appeal is
    protected where the defendant is permitted to submit pro se briefs
    and his motions to copy the record and receive notifications are
    granted.     See Hathorn v. State, 
    848 S.W.2d 101
    , 123 (Tex. Crim.
    1993).     Vega apparently made no attempt to copy the record or
    receive other information, but he did submit briefs and motions,
    some of which were granted, so the right to self-representation as
    6
    See Saffle v. Parks, 
    494 U.S. 484
    , 488 (1990) (the question is “whether a
    state court considering [the defendant’s] claim at the time his conviction became
    final would have felt compelled by existing precedent to conclude that the rule [he]
    seeks was required by the Constitution”).
    17
    developed by the Texas courts was not infringed.
    Because the extent and requirements of the right of self-
    representation on appeal have yet to be established in Texas or in
    this circuit, a rule holding that the right was violated in these
    circumstances would be a new rule of constitutional law barred by
    Teague.   Even assuming that the right to present pro se briefs on
    appeal is established for Teague purposes, we have not established
    a rule requiring the court to remove the defendant’s previous
    attorney from the case or spontaneously to provide him with the
    trial record and other documents he might find helpful in writing
    his briefs.     Nor have we established what relief is appropriate
    where the     defendant   is   permitted   to   exercise   his   right   only
    partially. Because the answers to both these questions remain open
    to debate among reasonable minds, Vega’s claim is barred by Teague.
    VIII.
    Vega’s claims of ineffective assistance are easily dismissed.
    He chastises his counsel for failing to move for a directed verdict
    at the close of the government’s evidence on the ground that his
    confession was not properly corroborated.            He also claims his
    counsel erred in failing to file a motion for new trial on the
    basis that the sexual assault evidence should have been barred by
    collateral estoppel.      Vega’s claims fail, because his counsel did
    not err in either of these respects, and because his second claim
    18
    is procedurally barred.
    Vega suggests that the state failed properly to corroborate
    his confession because it allegedly did not corroborate it with
    respect to each element of the “corpus delicti” of capital murder.
    Texas law appears to require that the state present evidence
    tending to prove that “a crime was committed” and that in the case
    of a confession to capital murder, the “corpus delicti” includes
    the crime making the murder capital, as well as the homicide
    itself. See Gribble v. State, 
    808 S.W.2d 65
    , 71 (Tex. Crim. App.
    1990).   The court stressed, however, that the evidence need not be
    sufficient to prove any element of the offense, but rather that the
    evidence must render the corpus delicti more probable than it would
    be without the evidence.       Id. at 72.          This is a low evidentiary
    standard, and counsel did not act unreasonably in concluding that
    the prosecution had met it.
    Testimony    established       that    Vega   and    Linda   Mims    began   a
    relationship     prior   to   the    murder    and       were   married   shortly
    thereafter; that Linda Mims received substantial life insurance
    proceeds and other moneys from the victim’s estate; and that Vega
    shared the benefits of this income.            A reasonable jury certainly
    could have found these facts sufficient to corroborate Vega’s
    detailed confession.
    Vega’s claim that counsel should have filed a motion for new
    trial on grounds of collateral estoppel was not presented in his
    19
    state    habeas    petitions.    It        is   therefore   unexhausted   and
    procedurally barred under Nobles v. Johnson, 
    127 F.3d 409
    , 423 (5th
    Cir. 1997), cert. denied, 
    118 S. Ct. 1845
     (1998), and Emery v.
    Johnson, 
    139 F.3d 191
    , 196 (5th Cir. 1997).          In addition, given the
    Court of Criminal Appeals's finding that the estoppel issue was
    without merit, Vega’s counsel could hardly have committed an
    egregious error in failing to make the argument before the trial
    court.
    IX.
    At trial, the state failed to disclose that Shirley Barnard,
    who testified that Vega brutally raped her at gunpoint, had a
    pending felony indictment.      Vega claims the failure to disclose
    this information deprived him of a fair trial.                His claim can
    succeed, however, only if the prosecution knew or should have known
    of this evidence, and if it was “material either to guilt or
    punishment.”      Brady v. Maryland, 
    373 U.S. 83
     (1963).
    To prevail on a Brady claim, the defendant must demonstrate
    that (1) the prosecution suppressed evidence; (2) the evidence was
    favorable to him; and (3) the evidence was “material either to
    guilt or punishment.”     Brady, 
    373 U.S. at 87
    .       When prosecutors are
    unaware of the information, the defendant must show that the
    prosecution could have obtained the information through “a routine
    check of FBI and state crime databases, including a witness' state
    20
    'rap sheet.'”      East v. Scott, 
    55 F.3d 996
    , 1003 (5th Cir. 1995).
    Vega’s argument fails, because the information was not material,
    exculpatory evidence and because he did not demonstrate that the
    prosecution knew, or should have known, of it.
    The existence of an indictment, as opposed to a conviction, is
    not   generally    admissible     to   impeach.7      Under    Texas   law,    the
    existence of the indictment becomes admissible only if the witness,
    on direct examination, misrepresents himself as having “no trouble
    with the law.”     See, e.g. Prescott v. State, 
    744 S.W.2d 128
    , 130-31
    (Tex. Crim. App. 1988).         Here, the statement was made on cross-
    examination.
    The only other exception, for witnesses whose testimony might
    be affected by the indictment, does not apply, because Vega has
    alleged no relationship between that prosecution and his case.
    See, e.g., Moore v. Kemp, 
    809 F.2d 702
     (11th Cir. 1987) (witness
    received a deal for testifying).              Accordingly, the information
    would not have been admissible and could not have been material
    information for the defense.
    Furthermore, the district court found that Vega had submitted
    insufficient evidence to support his claim that the prosecution
    knew or should have known of the pending indictment in another
    county.    Specifically, the court found that Vega had not alleged
    7
    See, e.g., Michelson v. United States, 
    335 U.S. 469
    , 482 (1948) (noting that
    “[o]nly a conviction [] may be inquired about to undermine the trustworthiness of
    a witness”); Bell v. State, 
    620 S.W.2d 116
    , 125 (Tex. Crim. App. 1980).
    21
    the prosecution knew about the indictment; had not demonstrated
    that the prosecution could have discovered the indictment with a
    routine state and FBI criminal history check; and had not produced
    evidence sufficient to demonstrate conclusively that the person
    named in the indictment was the same Shirley Barnard who testified
    at his trial.   We accord a presumption of correctness to these
    findings and see no reason to disturb them.         See 
    28 U.S.C. § 2254
    (d) (1997).
    X.
    Vega asserts that “because he is innocent of the unadjudicated
    extraneous aggravated sexual assault and the St. Louis murder
    alleged by the state during the capital punishment phase his
    conviction and death sentence need to be vacated.”     At best, he
    makes a claim that he is ineligible for the death penalty; the
    underlying conviction would be unaffected.   In addition, his claim
    of actual innocence fails because he does not   raise new evidence
    demonstrating his innocence of these alleged offenses, and we will
    not disturb the jury’s implicit finding that he committed these
    crimes.
    To support his claim that he is innocent of the sexual assault
    of Barnard, Vega offers the “rape report” held inadmissible at
    trial but considered at the evidentiary hearing in August 1994.
    This evidence was available for trial, but held inadmissible.   He
    22
    also    refers    to    a    report,     admitted    at   trial,   prepared     by
    criminologist J.R. Urbanovsky for the Texas Department of Public
    Safety.   Finally, he refers to alleged conflicts between Barnard’s
    testimony at his sentencing hearing and the testimony of Lindsey
    Thomas at the felon-in-possession trial.
    This information was available to Vega at trial.                    To the
    extent that any of this information could have affected the jury’s
    conclusion regarding the alleged sexual assault, it was either
    available or excluded as a matter of law.             Accordingly, we have no
    basis for setting aside the verdict.
    Vega also alleges that he is innocent of the St. Louis murder
    to which he had confessed.             As in the case of the sexual assault,
    any evidence on this subject was presumably available at trial; we
    cannot be certain of this, because Vega fails to specify what
    evidence he relies upon to prove his assertion.                 With neither a
    legal nor a factual basis for considering this contention, we
    reject it.
    Vega cites several cases to support his final claim, none of
    which offers him support.         In Johnson v. Mississippi, 
    486 U.S. 578
    (1988), the Court ordered habeas relief where, after the jury had
    imposed a death sentence, an assault conviction considered by the
    jury was vacated. This new evidence, the Court held, created doubt
    about the validity of the sentence.                  
    Id. at 585
    .         Here, in
    contrast,    no   new       evidence    suggests    Vega's   innocence    of   the
    23
    extraneous offenses.
    Vega relies on two other inapposite cases: Townsend v. Burke,
    
    334 U.S. 736
     (1948), which involved a guilty plea obtained through
    misrepresentation        by    the     prosecution       and/or   misreading       of
    information by the court, and Hance v. Zant, 
    696 F.2d 940
    , 950-53
    (11th Cir. 1983), which involved prosecutorial misconduct in the
    nature of inflammatory presentation of the evidence.                   Neither of
    these cases is remotely relevant.
    Meanwhile, Vega ignores Lucas v. Johnson, 
    132 F.3d 1069
    , 1074
    (5th Cir. 1998), cert. dismissed, 
    1998 U.S. LEXIS 4460
     (U.S.
    July    17,   1998)    (No.     97-9463),       in   which   we   stated    the    “-
    extraordinarily       high    threshold”       for   newly   discovered    evidence
    demonstrating actual innocence, which includes the requirement that
    the evidence be newly discovered and unknown to the defendant at
    the time of the trial and the requirement that the evidence be
    “material, not merely cumulative or impeaching.” Vega also alleges
    baldly   that   the    use    of    his   St.    Louis   murder   confession      was
    “unfair,”     ignoring       this    court’s     repeated    holding   that    such
    unadjudicated extraneous offenses may be admitted.8
    Vega   has   failed     to    offer      sufficient   factual   and    legal
    justification for any of his claims.                   We therefore AFFIRM the
    denial of habeas corpus relief.
    8
    See, e.g., Duff-Smith v. Collins, 
    973 F.2d 1175
    , 1184 (5th Cir. 1992);
    Williams v. Lynaugh, 
    814 F.2d 205
    , 207-08 (5th Cir. 1987).
    24