Banks v. Dretke ( 2003 )


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  •                                                      United States Court of Appeals
    Fifth Circuit
    F I L E D
    UNITED STATES COURT OF APPEALS
    FOR THE FIFTH CIRCUIT                August 20, 2002
    Charles R. Fulbruge III
    No. 01-40058                         Clerk
    DELMA BANKS, JR.,
    Petitioner-Appellee-Cross-Appellant,
    versus
    JANIE COCKRELL, DIRECTOR, TEXAS DEPARTMENT OF CRIMINAL JUSTICE,
    INSTITUTIONAL DIVISION,
    Respondent-Appellant-Cross-Appellee.
    _________________________________________________________________
    Appeal from the United States District Court
    for the Eastern District of Texas
    (5:96-CV-353)
    _________________________________________________________________
    Before HIGGINBOTHAM, BARKSDALE, and DENNIS, Circuit Judges.
    PER CURIAM:*
    For the capital murder conviction of Delma Banks, Jr., the
    State of Texas contests the partial habeas relief for the death
    sentence, the issues being:   whether, in violation of Brady vs.
    Maryland, 
    373 U.S. 83
     (1963), the State withheld evidence that one
    of its witnesses was a paid police informant; whether, for the
    penalty phase, Banks’ trial counsel was ineffective; and whether
    cumulative error is a basis for relief.
    *
    Pursuant to 5TH CIR. R. 47.5, the court has determined that
    this opinion should not be published and is not precedent except
    under the limited circumstances set forth in 5TH CIR. R. 47.5.4.
    Concerning the denial of habeas relief for his conviction,
    Banks seeks a certificate of appealability (COA), claiming:                      two
    other Brady violations; ineffective-assistance at the guilt phase;
    violation of Swain v. Alabama, 
    380 U.S. 202
     (1965) (prosecutors’
    purposeful,       systematic,     discriminatory         exclusion        of   venire
    members); and insufficient evidence.
    COA    and     HABEAS   RELIEF   DENIED;         therefore,     REVERSED    and
    RENDERED.
    I.
    The murder at issue occurred 22 years ago.                 Court proceedings
    since then have included the direct appeal, three state habeas
    petitions with evidentiary hearings, and an extensive evidentiary
    hearing for the federal petition at issue.
    A.
    On Monday morning, 15 April 1980, Richard Whitehead was found
    dead in a park near Nash, Texas, in Bowie County.                    See Banks v.
    State, 
    643 S.W.2d 129
     (Tex. Crim. App. 1982), cert. denied, 
    464 U.S. 904
     (1983).      (Nash is near Texarkana.)             He had been shot twice
    in the head and once in the upper back.           Fisher, who lived near the
    park,   reported     being     awakened    by   two    gunshots     the    preceding
    Saturday, 12 April, at approximately 4:00 a.m..                     And, Hicks and
    Bungardt,     two     female     acquaintances         of     the   victim,     told
    investigators he was last seen alive the preceding Friday evening,
    11 April,   with a black male, whom they later identified as Banks.
    2
    As a result, Bowie County Deputy Sheriff Huff, the lead
    investigator, contacted police informant Farr and told him he would
    pay Farr $200 if he could obtain Banks’ gun.        On 23 April, eight
    days after the victim was found, Farr, Banks, and Marcus Jefferson
    drove to Dallas to obtain a gun.
    Bowie and Dallas County authorities monitored the trip and
    observed Farr’s automobile, driven by Banks, stop at a south Dallas
    house; Banks go to the door and soon return; and the automobile
    drive away.   
    Id.
       Officers stopped the automobile and seized a .22
    caliber pistol;     it was not the murder weapon.
    Banks was arrested.      Farr and Jefferson were detained but
    released the next morning.
    In addition, that next morning, Officers returned to the south
    Dallas house and interviewed an occupant, Cook, who provided the
    following in a statement (April 1980 statement): Banks stayed with
    him the weekend of 12 April (weekend of the murder);        Banks was
    driving an automobile matching the description of the victim’s;
    during the weekend, Banks admitted to Cook he had killed a “white
    boy”; prior to Banks’ returning to Texarkana after that 12 April
    weekend, he left the automobile and a .25 caliber pistol with Cook
    to discard; and Cook abandoned the automobile in west Dallas and
    sold the pistol to a neighbor.
    3
    Deputy Huff seized the pistol from the neighbor and submitted
    it for forensic testing.      The state forensics lab reported it was
    the murder weapon.
    B.
    At a 21 May 1980 examining trial, Deputy Huff summarized the
    State’s case and recounted the events leading to Banks’ arrest.
    The Deputy did not disclose, however, that payments were made to
    Farr.      He did disclose that Hicks and Bungardt reported the
    victim’s automobile     was   having        alternator    problems   (discussed
    infra).
    The following day, Banks was indicted for capital murder.
    C.
    Prior to trial that Fall, the Bowie County District Attorney’s
    office advised Cooksey, Banks’ attorney, there would be no need to
    litigate discovery issues:           “We will, without the necessity of
    motions[,]    provide   you   with    all     discovery    to   which   you   are
    entitled”.    That August, Cooksey filed several standard pretrial
    motions, including for discovery; he did not seek a pre-trial
    hearing.
    The first day of jury selection, Cooksey reported to the trial
    judge that he had not seen the State’s witness list.              (It had been
    provided to him the previous week.)            Nor did Cooksey object when,
    in selecting the jury, the prosecution peremptorily struck the four
    qualified black potential jurors.            After jury selection, prior to
    4
    further proceedings, Cooksey complained the State had not provided
    a list of the prior convictions of the State’s witnesses.
    Hicks and Bungardt testified that Banks was with the victim on
    Friday, 11 April, and that the victim’s automobile required a
    battery-jump in order to start.
    Fisher testified he heard the two gunshots at approximately
    4:00 a.m. on Saturday morning, 12 April.
    Farr testified:   he accompanied Banks to Dallas to secure a
    pistol; they stopped at Cook’s; and Banks reported the .22 caliber
    pistol he secured from Cook was not his, because his pistol was “in
    west Dallas”.    Farr admitted using illegal drugs, but denied being
    a paid informant and speaking with any police officers.
    Cook testified:   Banks arrived at approximately 8:30 a.m. on
    12 April in a green Mustang and stayed with him for two days; Banks
    admitted to killing a white man in Texarkana; at Banks’ request,
    Cook sold a pistol Banks had left with him and abandoned Banks’
    car.
    Cook’s sister testified she met Banks when he arrived with
    Cook in a green Mustang.
    Cook’s neighbor confirmed he purchased a .25 caliber pistol
    (later identified as the murder weapon) and other items from Cook
    approximately    one   week   before   authorities   seized   the   pistol.
    Dr. DiMaio, the State’s medical examiner, testified the victim
    5
    died from three gunshot wounds but did not testify as to the time
    of death.
    Firearms examiner Jones testified the bullets recovered from
    the victim and the crime scene had been fired from the pistol
    retrieved from Cook’s neighbor.
    Banks did not present any evidence.   The jury found him guilty
    of capital murder.   Id. at 132.
    At the penalty phase, the State presented two witnesses: Farr
    and Vetrano Jefferson. Vetrano Jefferson was the brother of Banks’
    common-law wife and the older brother of Marcus Jefferson (who had
    accompanied Banks and Farr to Dallas eight days after the victim
    was found).
    Vetrano Jefferson testified that, one week before the victim’s
    death, Banks struck him (Vetrano Jefferson) with a pistol and
    threatened to kill him.
    Farr testified he, Banks, and Marcus Jefferson drove to Dallas
    so that Banks could reclaim his pistol to commit armed robberies
    and take care of any trouble that might arise during one.
    As part of Banks’ evidence, two witnesses testified in order
    to discredit Farr:    Kelley testified he recently drove Farr to
    several doctors’ offices to fill false prescriptions; and, a former
    Arkansas police officer testified Farr served as a paid informant
    in that State and was known to be unreliable.
    6
    Banks’ parents and several acquaintances testified that Banks
    was a respectful, churchgoing young man.
    And, Banks testified.       Among other things, he stated it was
    his idea to obtain a gun so that Farr could commit an armed
    robbery.    And, he admitted striking Vetrano Jefferson with a gun
    and threatening to kill him.
    In October 1980, after the jury found the requisite special
    issues, the judge imposed the death penalty.
    D.
    In 1982, on direct appeal, the Texas Court of Criminal Appeals
    affirmed the conviction and sentence.         Banks v. State, 
    643 S.W.2d 129
    .    The Supreme Court of the United States denied certiorari in
    1983.    Banks v. Texas, 
    464 U.S. 904
    .
    E.
    Banks filed three state habeas petitions.
    1.
    Banks’ first raised, inter alia, a jury discrimination claim
    based on Swain, 
    380 U.S. 202
    , and a sufficiency of the evidence
    claim with regard to the second special sentencing issue — future
    dangerousness.      After an evidentiary hearing, at which Banks
    offered no live testimony, the trial court recommended denial on
    the     merits;   the     Court   of   Criminal   Appeals   accepted   this
    recommendation.         Ex parte Banks, No. 13,568-01 (Tex. Crim. App.
    1984) (unpublished).
    7
    2.
    Banks’   second      petition,    inter    alia,   again   raised    the
    sufficiency claim. After another evidentiary hearing, the petition
    was again rejected on the merits.            Ex parte Banks, 
    769 S.W.2d 539
    ,
    540 (Tex. Crim. App. 1989).
    3.
    Banks’ third petition presented, inter alia, each claim raised
    in this federal proceeding:             ineffective-assistance; systematic
    exclusion of blacks; withholding material impeachment evidence on
    Cook   and    Farr;   and    insufficient     evidence    to   support   future
    dangerousness.        The trial court did not conduct an evidentiary
    hearing and recommended denial.
    The Court of Criminal Appeals remanded for an evidentiary
    hearing on the Swain and juror bias claims (the latter is not at
    issue).      Ex parte Banks, No. 13,568-03 (Tex. Crim. App. 
    3 Mar. 1993
    ) (unpublished).         Following the hearing, and concerning the
    Swain claim, the trial court concluded:            the evidence established
    a prima facie case of discrimination; it was rebutted, however, by
    the State’s non-discriminatory reasons for the strikes.              The Court
    of Criminal Appeals denied relief, based on the trial court’s
    findings and conclusions.          Ex parte Banks, No. 13,568-03 (Tex.
    Crim. App. 11 Jan. 1996) (unpublished).
    8
    F.
    Banks filed his federal petition after contacting Farr and
    Cook.   Farr revealed he had been a paid informant.                    And, Cook
    stated: significant portions of his testimony were false and given
    under pressure from authorities; Deputy Huff and others assured him
    that, in exchange for favorable testimony, a pending charge in
    Dallas County would be dismissed; and his testimony had been
    rehearsed on several occasions.
    1.
    On the basis of several affidavits, the magistrate judge
    granted Banks limited discovery and an evidentiary hearing on his
    ineffective-assistance, Brady, and Swain claims.
    As of the hearing, Farr resided in California and feared
    returning   to   Texarkana    because       of   his   poor   health   and   prior
    informant activities. Therefore, Banks submitted Farr’s affidavit.
    The State did not seek to depose Farr and limited its objection
    pursuant to Keeney v. Tamayo-Reyes, 
    504 U.S. 1
     (1992) (if failed to
    factually develop claim during state court proceedings, petitioner
    must establish cause and prejudice to be entitled to federal
    evidentiary hearing).
    Farr’s affidavit stated:       he was paid $200 by Deputy Huff “to
    set Delma [Banks] up”;       he convinced Banks that he (Farr) wanted a
    gun to rob a pharmacy for drugs; and it was Farr’s idea to drive to
    Dallas to retrieve Banks’ gun. At the federal hearing, Deputy Huff
    9
    confirmed that Farr had been a paid informant.                     And, Marcus
    Jefferson, who accompanied Banks and Farr to Dallas, testified Farr
    initiated conversations with Banks about securing a gun so that
    Farr could commit robberies.
    Pursuant to the discovery order, the Bowie County District
    Attorney’s office disclosed an undated, 74-page transcript of
    Cook’s September 1980 pretrial interview, conducted by Bowie County
    law enforcement officers and prosecutors.           (This transcript is the
    subject of a Brady claim COA request, discussed in part II.B.1.a.)
    At the evidentiary hearing, Assistant District Attorney (ADA)
    Elliot   confirmed:    at   trial,    his    co-counsel,    Raffaelli      (the
    District Attorney during Banks’ trial, who died prior to the
    evidentiary hearing), was in possession of the transcript and
    several pages of handwritten notes; prior to trial, they had not
    been disclosed   to   Banks.      Only    Cook’s    April   1980    statement,
    provided   approximately    two   weeks     after   the   murder,    had   been
    disclosed at the conclusion of Cook’s trial testimony on re-direct.
    Concerning the alleged deal for Cook’s testimony (the subject
    of a Brady claim COA request, discussed in part II.B.1.b.), ADA
    Elliot testified:     he did not arrange one, but it was possible
    Raffaelli did so without his knowledge; Deputy Huff and another
    investigator had contact with Dallas authorities that he (Elliot)
    was not privy to, but Deputy Huff had no authority to make a deal;
    and, following Banks’ trial, he (Elliot) accompanied Deputy Huff
    10
    and Cook to Dallas and told an ADA there that, in a capital murder
    case, Cook gave helpful testimony for the prosecution. Deputy Huff
    similarly testified that, although he discussed the pending arson
    charges with Cook, he did not tell Cook that, in exchange for
    favorable testimony, they would be dismissed.
    Cook’s evidentiary hearing testimony sharply contradicted the
    State’s. Cook claimed:    when authorities arrived at his home on 24
    April 1980, Deputy Huff threatened to charge him with being an
    accessory to murder if he failed to cooperate; he gave a statement
    (April 1980 statement) that was, in many respects, incomplete and
    untruthful;   he   was   fearful   of   Deputy   Huff   throughout   the
    investigation and trial and continued to fear him; a month prior to
    Banks’ trial, habitual offender papers were filed in the pending
    case (arson) which would have significantly lengthened his (Cook’s)
    maximum sentence; he understood Deputy Huff’s remarks concerning
    cooperation to mean he needed to testify consistent with his April
    1980 statement; while he was waiting to testify, Deputy Huff
    transported him to his wife’s hotel to have conjugal visits (Cook’s
    former wife gave consistent testimony); portions of his trial
    testimony were untruthful; and the day Deputy Huff and Elliot
    returned him to Dallas, the arson charges were dismissed.
    Cook’s sister, Carol Cook, testified:       Deputy Huff threatened
    to “lock [her] brother up for the rest of his life” if she refused
    to testify at Banks’ trial; Deputy Huff directed her to change her
    11
    testimony concerning the automobile she saw Banks driving during
    the 12 April weekend; although she was sure the automobile was red,
    Deputy Huff insisted it was green; and although she initially told
    the jury the automobile was red, she corrected herself and said it
    was green.
    Regarding     ineffective-assistance,    witnesses    testified
    concerning   the     time-of-death    evidence,   Cooksey’s    trial
    preparedness, and the defense function in capital trials.
    Concerning time of death, although Fisher’s trial testimony
    was that he heard what sounded like gunshots at 4:00 a.m. on
    Saturday, 12 April, his federal testimony was:     he knew nothing
    about guns; the noises could have been firecrackers, car backfires,
    or rifle shots; and the noises could have occurred between 3:00 and
    5:00 a.m.    Dr. Riddick, a medical examiner for the State of
    Alabama, testified that several factors led him to conclude the
    victim died late on the evening of 12 April (Saturday) or early
    Sunday morning, 13 April.   He conceded, however, that, consistent
    with the State’s theory, including the effect of the weather, it
    was possible the victim was killed around 4:00 a.m. on Saturday, 12
    April.
    Concerning assistance of counsel, Banks’ parents testified
    that, prior to trial, Cooksey met with them only briefly, with
    meetings lasting “no longer than 10 to 15 minutes”.       Mrs. Banks
    testified Cooksey asked her to testify Banks was at home with her
    12
    on Friday evening, 11 April;         she refused.    Although both parents
    had testified during the penalty phase, Cooksey had not spoken with
    them about the information he wanted communicated to the jury.
    Kelley, who testified concerning Farr’s bogus prescription
    scheme: was unaware that Cooksey planned to call him as a witness;
    had several drinks earlier on the morning of his trial testimony;
    and “was drunk” when he testified.
    Vetrano Jefferson, who testified at trial for the State,
    testified:    his fight with Banks he described at trial began
    because he (Jefferson) was drunk and was threatening his sister
    (Banks’ common law wife); Banks defended her; Jefferson started the
    fight; and he never spoke with Banks’ counsel, but would have been
    willing to do so.
    Dr. Cunningham, an expert in forensic psychology, testified he
    conducted a thorough psychological evaluation of Banks (including
    nine hours with Banks, interviews with his family, and review of
    the trial transcript and his school, medical, and prison records)
    and   concluded   that,   at   the   time   of   trial,   there   was   little
    likelihood of additional acts of violence from Banks.
    Goldstein testified Cooksey was ineffective in:               pretrial
    investigation, cross-examination of State’s witnesses, presentation
    of penalty phase witnesses, and failing to utilize a mental health
    expert.
    In rebuttal, the State called Waters, hired by Cooksey as an
    investigator for Banks’ trial.         Waters testified he:       interviewed
    13
    a number of witnesses, but could not recall their names; visited
    and photographed the crime scene; and did not believe Banks’ claim
    that he hitchhiked to Dallas, because, for example, Banks could not
    describe the vehicle he rode in.
    2.
    The magistrate judge recommended habeas relief be granted in
    part (sentence) and denied in part (conviction).           The recommended
    relief was based on the State’s failure to disclose Farr’s paid
    informant status and ineffective-assistance at the penalty phase.
    Banks   v.   Johnson,   No.   5:96-CV-353   (E.D.   Tex.    11   May   2000)
    (unpublished) (Banks-USDC).
    3.
    With minor modifications, the district court accepted the
    recommendations.    Banks v. Johnson, No. 5:96-CV-353 (E.D. Tex. 18
    Aug. 2000) (unpublished) (Banks-USDC II). The district court later
    denied Banks’ Rule 59 motion to modify the judgment.               It also
    denied Banks a COA.
    II.
    Banks’ third state habeas petition was denied approximately 15
    years after his conviction. Because his federal petition was filed
    shortly before the 1996 effective date of the Antiterrorism and
    Effective Death Penalty Act (AEDPA), it is not applicable to the
    claims for which habeas relief was granted.         See Lindh v. Murphy,
    14
    
    521 U.S. 320
    , 336-37 (1997).        But, as discussed in part II. B., it
    is applicable to Banks’ COA requests.
    A.
    Relief    was   granted   on    two    bases:   (1)   information    being
    withheld in violation of Brady, 
    373 U.S. 83
    ; and (2) ineffective-
    assistance at the penalty phase.
    Under pre-AEDPA law, we “generally accord a presumption of
    correctness to any state court factual findings”.             Mann v. Scott,
    
    41 F.3d 968
    , 973 (5th Cir. 1994), cert. denied, 
    514 U.S. 1117
    (1995).    In addition, we “review the district court’s findings of
    fact for clear error, but decide issues of law de novo”.                 Id.
    1.
    Relief was granted under Brady because the State failed to
    disclose   Farr,     a   penalty    phase   witness,   was    a   paid   police
    informant.    Banks-USDC, at 44.      This claim was not raised in either
    the first or second state petitions.           In his third, Banks claimed
    the State violated Brady by failing to disclose “information that
    would have revealed ... Farr as a police informant and ... Banks’
    arrest as a ‘set-up’”.         The trial court’s denial recommendation
    did not specifically address this Brady claim; and the Court of
    Criminal Appeals, after remanding for an evidentiary hearing solely
    on Banks’ unrelated Swain and juror bias claims, accepted the trial
    court’s recommendation and denied relief.              Ex parte Banks, No.
    13,568-03 (Tex. Crim. App. 11 Jan. 1996) (unpublished).
    15
    To establish a Brady claim, Banks must prove:          (1) the
    “evidence was suppressed”; (2) it “was favorable to the accused”;
    and (3) it “was material either to guilt or punishment”.     United
    States v. Ellender, 
    947 F.2d 748
    , 756 (5th Cir. 1991).          The
    district court ruled:     the substance of Farr’s penalty-phase
    testimony was that he, Banks, and Marcus Jefferson traveled to
    Dallas to retrieve Banks’ gun so that Banks could commit armed
    robberies; and the purpose of that testimony was to demonstrate
    future dangerousness.   Banks-USDC, at 43-44.
    In holding Brady had been violated, the district court relied
    on Deputy Huff’s testimony at the federal hearing that Farr was a
    paid informant.   Id. at 43.   Also in the record are two affidavits
    in which Farr admits being a paid informant.
    The State maintains: that the affidavits and Farr’s testimony
    are unexhausted, and the federal hearing at which Deputy Huff
    testified was improperly granted; and that, alternatively, the
    Brady claim fails on the merits.
    a.
    The procedural issues are: whether the federal hearing should
    not have been held; and whether the evidence relied on by the
    district court is unexhausted.
    16
    i.
    The State contends Banks was not entitled to the hearing in
    the light of his failure, during the state proceedings, to develop
    the factual bases of his Brady claim.            A petitioner is “entitled to
    [a federal] evidentiary hearing if he can show cause for his
    failure to develop the facts in state-court proceedings and actual
    prejudice resulting from that failure”.                 Keeney, 
    504 U.S. at 11
    (emphasis   added).          An    exception    to   this     cause-and-prejudice
    requirement exists if a petitioner “can show that a fundamental
    miscarriage of justice would result from failure to hold a federal
    evidentiary hearing”.         
    Id. at 12
    .
    With   regard      to    Banks’    Brady    claim,     however,   the    order
    establishing the issues to be considered at the federal hearing
    never mentions either this cause-and-prejudice requirement or this
    miscarriage-of-justice exception.                 Nevertheless, the district
    court ordered the hearing based on Banks’ offering proof that “he
    could not have had the information regarding this issue prior to
    any of his three state evidentiary hearings” because he asked the
    state court for aid in developing Cook’s testimony, and the “state
    court   never   acted    on       [Banks’]    request   for    assistance”.     In
    addition, the district court ruled Banks had “demonstrated ... he
    did not have a full and fair opportunity to present his evidence on
    [the Brady] issue to the state court, primarily because [Farr and
    17
    Deputy Huff] did not come forward until after the state court
    evidentiary hearings”.      (Emphasis added.)
    Concerning   the   witnesses’    not    coming   forward,   the    State
    contends there was no evidence this was due to its interference.
    See Johnson v. Puckett, 
    176 F.3d 809
    , 816 (5th Cir. 1999) (“a
    showing of ‘interference by officials’ is sufficient to show cause
    for a procedural default”). The State next contends that the state
    courts did not prevent Banks from developing the Brady claim.
    Instead, according to the State, there is nothing in the record
    that demonstrates Banks was prevented from exploring this issue
    during the state habeas proceedings.          As for the district court’s
    observation that the state courts did not respond to Banks’ request
    for investigative-assistance, the State contends such requests were
    limited to assistance to investigate whether there had been a
    failure to disclose Brady information regarding Cook, not Farr.
    Banks does not specifically address the challenge to holding
    a   federal   evidentiary   hearing.       Instead,    he   responds    to   the
    exhaustion contention, discussed infra.
    As for no evidence being presented at the state evidentiary
    hearing because the state court never acted on Banks’ request for
    assistance, Banks’ request was limited, as acknowledged by the
    district court,     to   “investigative      assistance     regarding   Cook’s
    testimony”, not Farr’s.      (Emphasis added.)         Banks had stated he
    “need[ed] the aid of an investigator in order to develop fully his
    18
    allegation that the Bowie County District Attorney’s office had not
    disclosed that a favorable deal had been arranged for ... Cook, the
    State’s   chief   witness,   in   exchange   for   his   testimony....”
    (Emphasis added.) (Again, this alleged deal is the subject of a
    Brady claim COA request, discussed in part II.B.1.b.)
    Obviously, the state court’s refusal concerning Cook is of no
    relevance to the Brady claim regarding Farr.         Accordingly, not
    being provided investigative assistance is not cause for not
    developing this Brady issue in state court, in the light of Banks’
    never asking for assistance with regard to Farr.
    As for witnesses not coming forward until after the state
    court evidentiary hearing, Banks has not demonstrated that he
    attempted, even if unsuccessfully, to explore this issue, or any
    other issue, with those witnesses.       Farr states in one of his
    affidavits:   “I would not have revealed the information in this
    declaration to [Banks’ representatives], or to anyone else, before
    I elected to do so in the fall of 1996”.      (Emphasis added; Banks’
    third — and final — state habeas request was denied much earlier,
    in January 1996.) Even accepting Farr’s statement as true, it does
    not justify Banks’ not attempting to speak with Farr prior to the
    conclusion of the (three) State habeas proceedings.
    Accordingly, Banks has not shown cause for not attempting in
    state court to factually develop this Brady issue.        In addition,
    neither the district court nor Banks in this appeal attempts to
    19
    demonstrate the applicability of the fundamental-miscarriage-of-
    justice exception.     Accordingly, the district court erroneously
    granted an evidentiary hearing regarding this Brady issue.
    As a result, habeas relief cannot be granted based on the
    evidence presented at the federal hearing: Deputy Huff’s testimony
    that Banks was a paid informant.            Banks-USDC, at 42-44.       The
    district   court’s   holding,    however,    is    predicated   upon   that
    testimony.   Without it, the Brady claim must fail.             It is true
    that, in Farr’s affidavits presented to the district court, he
    admits his paid informant status.           But, for the reasons stated
    infra, that evidence is not exhausted and, as a result, cannot
    establish a Brady claim.
    ii.
    Assuming arguendo the evidentiary hearing was granted properly
    for this Brady claim, next at issue is the State’s contention that
    Deputy   Huff’s   testimony,    as   well   as   Farr’s   above-referenced
    affidavits, were not exhausted.           As a prerequisite to federal
    habeas relief, a petitioner must exhaust “the remedies available in
    the courts of the State”.        
    28 U.S.C. § 2254
    (b) (1994).           Such
    remedies are not exhausted where the petitioner “presents material
    additional evidentiary support to the federal court that was not
    presented to the state court”.       Graham v. Johnson, 
    94 F.3d 958
    , 968
    (5th Cir. 1996).      “[N]ew factual allegations in support of a
    previously asserted legal theory” must also be exhausted, even
    20
    though such “factual allegations came into existence after state
    habeas relief had been denied”.      Joyner v. King, 
    786 F.2d 1317
    ,
    1320 (5th Cir.), cert. denied, 
    479 U.S. 1010
     (1986).     “There is,
    however, a ‘cause and prejudice’ exception to the bar for failure
    to exhaust.”   Beazley v. Johnson, 
    242 F.3d 248
    , 264 (5th Cir.),
    cert. denied, 
    122 S. Ct. 329
     (2001).
    Again, Banks’ third (final) state petition was denied in
    January 1996. Neither of Farr’s affidavits — dated 4 November 1996
    and 21 May 1999 — was presented in state court.    A district court
    should not consider an affidavit that was not offered to the state
    court where no cause for failure to exhaust has been shown.   Woods
    v. Johnson, 
    75 F.3d 1017
    , 1029 n.16 (5th Cir.), cert. denied, 
    519 U.S. 854
     (1996); see Hogue v. Johnson, 
    131 F.3d 466
    , 505 (5th Cir.
    1997) (holding federal court should not consider affidavits not
    presented to state court), cert. denied, 
    523 U.S. 1014
     (1998).
    As for cause, in his brief here, Banks contends:
    [Banks] pleaded that Farr was an informant in
    his third state habeas proceeding.      Candor
    required the state to respond truthfully and
    admit his true status.         Instead, [the
    attorney] who was then representing the
    state’s interest, ignored the claim and made
    no response. It was only after this matter
    was filed in federal court that ... Banks
    located and gained access to ... Farr, who for
    the first time revealed his informant status
    in this matter.
    (Emphasis added.)   In this light, it is clear that, at the time of
    Banks’ third state habeas proceeding, he believed Farr had been a
    21
    paid informant.     Nevertheless, Banks offers no reason why he did
    not attempt to locate Farr and ascertain his true status.               If Banks
    had sought Farr’s testimony, and Farr had been uncooperative, then,
    arguably, Banks would have shown cause.                 Instead, because it
    appears he made no such effort, the “cause” for Banks’ failure to
    obtain Farr’s information was Banks’ lack of diligence.
    Along   this   line,     Banks   maintains   the    State   should    have
    responded to his state habeas Farr-was-an-informant contention.
    But, when the State did not respond, this should have prompted him
    to further investigate this claim, i.e., speak with Farr, rather
    than do nothing.
    Concerning Deputy Huff’s federal testimony that Farr was a
    paid informant, and as for cause, Banks contends:              “[I]t was only
    because of the [federal] ... hearing that [he] had the opportunity
    to put [the State’s attorney] and [Deputy] Huff under oath and
    directly inquire about ... Farr’s true status”.                This does not
    demonstrate cause.    As of his third state petition, Banks believed
    Farr had been an informant.           Accordingly, Banks should have at
    least attempted to interview the investigating officers, such as
    Deputy Huff, to ascertain Farr’s status.
    Therefore,     neither    Farr’s      affidavits    nor   Deputy    Huff’s
    testimony are exhausted, and Banks has not shown cause for his
    failure to do so.    Federalism concerns demand that state courts be
    given an opportunity to consider a claim on the same evidence as do
    22
    federal courts.       Because this evidence is procedurally barred, and
    is the only evidence Banks offers in support of this Brady claim,
    it fails.
    b.
    Assuming both that the federal hearing concerning this claim
    was proper and that the evidence was exhausted, at issue are the
    merits of the Brady claim.                Again, Banks must satisfy each of
    Brady’s     three    prongs:        the   State     withheld   evidence;    it   was
    favorable to him; and it was material.                See Ellender, 
    947 F.2d at 756
    .
    i.
    The State maintains Banks has not presented evidence that it
    withheld     Farr’s       status.    Noticeably       absent   from   the   record,
    according to the State, is any statement from Banks’ trial counsel
    (Cooksey) that he did not know Farr’s status.                   The State raised
    this issue in district court, asserting in its summary judgment
    motion: “defense counsel [Cooksey] was obviously aware of evidence
    that Farr was a police informant”; and “Banks has failed to allege
    or prove exactly what evidence the prosecution purportedly knew
    about that the defense did not”.                The district court disagreed:
    “At    no   time    did    the   State    correct    Farr’s    erroneous    [trial]
    testimony [that he was not paid for his testimony] or announce
    Farr’s paid informant status”.             Banks-USDC, at 44.
    23
    Banks responds that the evidence does demonstrate Farr’s
    informant identity was never provided to him.   According to Banks:
    “Although the Brady doctrine required the trial prosecutors to
    formally advise counsel of Farr’s status, there is no pleading or
    oral reference to Farr’s status as an informant anywhere in the
    trial record”.
    Banks also asserts that, at the pre-indictment examining
    trial, Deputy Huff refused to disclose the informant’s identity.
    And, at trial, when Banks’ counsel asked Farr whether he was paid
    for his testimony, Farr denied he was.    According to Banks, given
    his counsel’s strategy to discredit Farr, had he known he was a
    paid informant, he surely would have challenged Farr’s response.
    Finally, Banks points to Deputy Huff’s inquiry to Banks’ counsel at
    the federal hearing on whether it was permissible to identify Farr
    as an informant:
    Q.     In this particular case, you received the
    aid from an informant, did you not?
    A      Yes, sir.
    Q      And who was that?
    A      His name is Robert Farr. I don’t know if
    it’s procedurally regular –
    Q      We’ve inquired. Mr. Farr has no problem
    with revealing his identity.
    A      Robert Farr.
    24
    The State responds that it had no duty to disclose Farr’s
    informant status or that he was paid; and that Banks was not
    diligent in seeking disclosure.
    In   the    light   of   Banks’      failure   to    exhaust     the   evidence
    supporting this Brady claim, as well as our holding, infra, that
    Farr’s status was not material to the jury’s penalty phase finding,
    we need not decide whether the State had a duty to disclose Farr
    was a paid informant and, if so, whether it did so.                     Instead, we
    will assume this information was withheld.
    ii.
    At issue, therefore, is whether the withheld evidence was
    favorable    to    Banks.      In    the    report   and       recommendation,      the
    magistrate judge stated that Farr testified that he, Banks, and
    Marcus Jefferson “traveled to Dallas to retrieve [Banks’] gun so
    that Banks could commit several armed robberies”.                     Banks-USDC, at
    43-44 (emphasis added).            The State notes Farr instead testified:
    “We   were   going   to     pull    some    robberies     on    the   way    back   [to
    Texarkana]”.      (Emphasis added.)
    Farr states in his affidavits that he never intended to commit
    an armed robbery; that he only told Banks that so that he would
    retrieve Banks’ gun.         According to the State, the jury
    was presented with a scenario in which two
    people were acting together for an illegal
    purpose.   It would hardly be favorable to
    Banks’ case for the jury to be told that Farr
    only made up the story about the robbery so
    that Banks would ... get his gun. This set of
    25
    facts would have had only one of the two men –
    Banks – believing the gun would be used in an
    armed robbery.
    Banks does not respond to this contention, focusing instead on
    the third Brady prong — materiality.           In any event, the State’s
    contention misses the mark.      The withheld evidence was Farr’s paid
    informant status.       Such information, obviously, has a bearing on
    his credibility; Farr’s being a paid informant would certainly be
    favorable to Banks in attacking Farr’s testimony.            Accordingly,
    Banks has satisfied the second Brady prong.
    iii.
    For the final Brady prong, evidence is
    material only if there is a reasonable
    probability that, had the evidence been
    disclosed to the defense, the result of the
    proceeding would have been different.      A
    reasonable  probability  is  a   probability
    sufficient to undermine confidence in the
    outcome.
    Ellender, 
    947 F.2d at 756
     (emphasis added; internal quotation marks
    omitted). The State contends Farr’s status is not material because
    his   testimony   was    corroborated     by   other   witnesses   and    the
    information’s impeachment value would have been cumulative.
    During the penalty phase, Farr testified that he, Banks, and
    Marcus Jefferson traveled to Dallas to “pick up a pistol”.               When
    they arrived at Cook’s house, Banks went to the front porch and
    returned with a gun that was not his, stating Cook had given his
    (Banks’) gun to a woman in west Dallas.            As stated, concerning
    26
    their intent, Farr testified: “We were going to pull some robberies
    on the way back [to Texarkana]”.
    According   to   the   State,   Marcus    Jefferson’s   guilt   phase
    testimony was consistent with Farr’s.         Jefferson testified:    when
    he, Farr and Banks reached Dallas, they drove around looking for a
    house; when they reached it, Banks went to the front porch,
    returned with a pistol, and stated that the person who had given
    him that pistol, Cook, did not have his (Banks’) gun because he had
    given it to someone else.
    The State also relies on Cook’s trial testimony:         while Banks
    was staying in his house one day after the murder, he (Cook) took
    Banks’ gun and sold it; Banks later came to his house and told him
    he needed a pistol; and Banks asked him where his (Banks’) was.
    The State also contends that Banks’ own trial testimony
    corroborates many of Farr’s statements.        During the penalty phase,
    Banks testified:   Farr planned to commit “some robberies”;          and it
    was his (Banks’) idea “to go get the gun”.         On cross-examination,
    Banks testified that, when he arrived at Cook’s house, Cook did not
    have Banks’ gun and gave him (Banks) another.          Ultimately, Banks
    admitted he was “going to supply [Farr] the means and possible
    death weapon in an armed robbery”.
    In its second contention concerning materiality, the State
    maintains that the impeachment value of Farr’s paid informant
    status is low because of other impeachment evidence used against
    27
    him.    During Farr’s penalty phase cross-examination, he denied:
    (1)    going   to   Arkansas   the   previous   week   to   obtain   false
    prescriptions and getting into an altercation with a doctor who
    refused to provide him with one; (2) being a “snitch” for Owens, an
    Arkansas narcotics officer; and (3) that his wife shot him.
    During the penalty phase, however, defense witness Kelly
    contradicted Farr’s denial of an altercation with a doctor in
    Arkansas. According to Kelly, when he went into the hospital where
    Farr was located, the doctor and Farr were “fussing” and the doctor
    told Farr “to get his ass out of there”.          Kelly also testified
    that, after unsuccessfully attempting to obtain prescription drugs
    from other hospitals in Arkansas, Farr stated “he was going to get
    what he was after [prescription drugs] before we got back to
    Texarkana”.
    The above-referenced Arkansas officer, Owens, testified for
    the defense at the penalty phase and contradicted Farr’s assertion
    that he never was an informant for him and that he had not been
    shot by his (Farr’s) wife.      Owens testified he had used Farr as an
    informant once or twice and that, because his “information was not
    correct”, he no longer used him.
    Banks does not respond to these assertions by the State.
    Instead, Banks’ argument is two-fold.       First, he contends:
    As the state had little other evidence to
    demonstrate that [he] would be a danger in the
    future, the result at the penalty phase likely
    would have been different had the jury known
    that Farr had every reason to testify as he
    28
    did to protect his business relationship with
    law enforcement and to avoid prosecution.
    Second, Banks maintains that, because the prosecution failed
    to correct Farr’s untruthful testimony during the guilt phase, the
    standard for materiality is less onerous. The referenced testimony
    occurred when, on questioning by Banks’ attorney, Farr denied “ever
    tak[ing] any money from some police officers”.
    For this second contention, Banks relies upon Kirkpatrick v.
    Whitley, 
    992 F.2d 491
    , 497 (5th Cir. 1993), which held that, “if
    the prosecutor has knowingly used perjured testimony or false
    evidence,    the    standard     is   considerably   less   onerous:      the
    conviction ‘must be set aside if there is any reasonable likelihood
    that the false testimony could have affected the jury’s verdict’”.
    (Quoting United States v. Bagley, 
    478 U.S. 667
    , 679 n.9 (1985)
    (citing Napue v. Illinois, 
    360 U.S. 264
    , 269 (1959) (Fourteenth
    Amendment violation if “the State, although not soliciting false
    evidence, allows it to go uncorrected when it appears”))); see also
    Giglio v. United States, 
    405 U.S. 150
    , 153-55 (applying Napue
    standard where the Government did not correct a witness’ false
    testimony concerning an agreement not to prosecute in exchange for
    his testimony).
    Kirkpatrick, however, does not hold that the Brady materiality
    standard is lessened because of false testimony. Instead, Kirkland
    delineates    the    Brady     materiality   standard   from   that    for   a
    29
    Giglio/Napue claim.         
    992 F.2d at 497
     (“We observe that different
    standards of materiality apply to Brady claims and claims that the
    prosecution    has     knowingly     used       perjured    testimony     or    false
    evidence.”).       In short, Kirkpatrick makes clear that a Brady claim
    and   a   Giglio/Napue      claim    are    separate     and    distinct.       E.g.,
    Barrientes    v.    Johnson,   
    221 F.3d 741
    ,   752-53    (5th    Cir.   2000)
    (analyzing    Brady    claim    separately        from     Giglio   claim),     cert.
    dismissed,    
    531 U.S. 1134
        (2001).        Accordingly,        whether   the
    prosecution failed to correct Farr’s testimony is irrelevant to
    Banks’ Brady claim and its materiality standard.
    To the extent Banks attempts to establish a Giglio/Napue
    claim, the State maintains it must fail for several reasons:                    Banks
    never raised it in his federal petition; the district court did not
    grant relief based on it; and, even if Banks had presented it, it
    should be denied on the merits.
    No Giglio/Napue claim is presented in Banks’ federal petition.
    He does, however, make such an assertion in his federal post-
    hearing brief and in his proposed findings and conclusions.                        We
    need not decide whether Banks sufficiently raised this claim; the
    district court granted relief under Brady, not Giglio/Napue.                       It
    did recognize that, at “no time did the State correct Farr’s
    erroneous testimony or announce Farr’s paid informant status”; it
    granted relief, however, on the basis of withheld impeachment
    evidence.    Banks-USDC, at 44.
    30
    Assuming Banks raised a Giglio/Napue claim in district court,
    we cannot consider it, because Banks does not seek a COA based on
    the   district    court’s    not    granting   relief   on     this   basis.
    Furthermore,     again   assuming   the   federal   petition    included   a
    Giglio/Napue claim, Banks’ first and second state habeas petitions
    did not.   In his third petition, while he does cite Giglio, he does
    so only in connection with the Brady claim concerning Cook, not
    Robert Farr:
    As extensively detailed elsewhere in this
    Petition, the prosecutors concealed promises
    of leniency and favorable treatment made to
    key State’s witness Cook. Had this evidence
    been disclosed to the defense, as required by
    Giglio v. United States, 
    405 U.S. 150
     (1972),
    and Brady v. Maryland, 
    373 U.S. 83
     (1963), the
    jury likely would have rejected Cook’s
    testimony and acquitted Mr. Banks.
    In contrast, in Banks’ third state petition, in the section
    presenting his Brady claim concerning Farr’s paid informant status,
    there is no mention of a Giglio/Napue violation.
    To exhaust, a petitioner must have fairly
    presented the substance of his claim to the
    state courts. It is not enough that all the
    facts necessary to support the federal claim
    were before the state courts....       Indeed,
    where petitioner advances in federal court an
    argument based on a legal theory distinct from
    that relied upon in the state court, he fails
    to satisfy the exhaustion requirement.
    Wilder v. Cockrell, 
    274 F.3d 255
    , 259 (5th Cir. 2001) (internal
    quotation marks and citations omitted).
    31
    Accordingly, because Banks seeks relief on a legal theory
    distinct from that relied on in state court, any Giglio/Napue claim
    is unexhausted.       Therefore, under the materiality standard for
    Brady, not Giglio/Napue, we must determine whether there is a
    reasonable probability that, had the jury been informed of Farr’s
    status, it would not have assessed the death penalty.
    As detailed above, much of Farr’s penalty phase testimony was
    corroborated, even by Banks.        Obviously, although such testimony
    was crucial to the State’s position on future dangerousness, Farr’s
    paid informant status would not have directly contradicted his
    testimony regarding Banks’ intent.        Instead, evidence of his true
    status would only have directly impeached his testimony that he was
    not an informant.
    Furthermore,     even   assuming    it   was   not    Banks’    intent   to
    actually participate in the planned robberies, it was certainly his
    intent to provide Farr with a weapon to do so.                   Neither Farr’s
    affidavits nor Deputy Huff’s testimony disputes this.
    And, to the extent Farr’s informant status would have been
    useful   as   other   impeachment   evidence,       Farr   had    already   been
    impeached on three bases:      that he did not get into an altercation
    regarding false prescriptions; that he was not an informant for
    Arkansas law enforcement; and that he had not been shot by his
    wife.
    32
    Accordingly, Farr’s paid informant status, when considered
    against the other impeachment evidence about him, and the fact that
    much of his testimony concerning the trip to Dallas to retrieve
    Banks’ pistol was corroborated, does not present a reasonable
    probability that the jury would have found differently concerning
    Banks’ future dangerousness.         See Drew v. Collins, 
    964 F.2d 411
    ,
    419   (5th    Cir.    1992)   (holding       evidence    of    an    “incremental
    impeachment value” not material), cert. denied, 
    509 U.S. 925
    (1993).   Therefore, the district court erroneously granted relief
    based on Brady.
    2.
    Relief was also granted on Banks’ ineffective-assistance claim
    for the penalty phase.         He did not raise it in his first state
    petition; in his second, he claimed only appellate counsel was
    ineffective.       In his third state petition, however, he claimed
    trial counsel was ineffective for both phases.                 In recommending
    denial, the state trial court stated:               Banks received effective
    assistance    at     all   trial   stages;    and    counsel    adequately    and
    effectively     investigated        “matters        relevant    to     both   the
    guilt/innocence and punishment phases”.                 Again, after remanding
    for an evidentiary hearing concerning Banks’ Swain and juror bias
    claims, the Court of Criminal Appeals accepted the trial court’s
    recommendation and denied habeas relief.                 Ex parte Banks, No.
    13,568-03 (Tex. Crim. App. 11 Jan. 1996) (unpublished).
    33
    To    prevail    on   ineffective-assistance,             Banks    must    prove
    deficient-performance        and    resulting         prejudice.      Strickland      v.
    Washington, 
    466 U.S. 668
    , 687 (1984).                   Performance is deficient
    when the representation falls “below an objective standard of
    reasonableness”.       
    Id. at 688
    .
    Prejudice occurs if counsel’s errors “were so serious as to
    deprive the defendant of a fair trial, a trial whose result is
    reliable”.     
    Id. at 687
    .      Accordingly, Banks must show “there is a
    reasonable    probability       that,     but    for    counsel’s     unprofessional
    errors, the result of the proceeding would have been different”.
    
    Id. at 694
    .    “When a defendant challenges a death sentence ..., the
    question is whether there is a reasonable probability that, absent
    the errors, the sentencer ... would have concluded that the balance
    of aggravating and mitigating circumstances did not warrant death”.
    
    Id. at 695
     (emphasis added).
    The   district    court      held   counsel’s       performance     “deficient
    [because he] fail[ed] to investigate or prepare for the punishment
    phase,     despite    ...   available     mitigating       evidence     relating      to
    Banks’s background” and “fail[ed] to interview or prepare the
    witnesses he ... called and examined” at that phase.                     Banks-USDC,
    at   24.     Concerning      prejudice,         the    court   held   there     was   “a
    reasonable probability that[,] but for the errors and omissions of
    trial counsel at the punishment phase, combined with the State’s
    failure to disclose Farr as a paid informant, the outcome of
    34
    Banks’s punishment phase would have been different”.         Id. at 24-25
    (emphasis added; cumulation of error discussed infra).
    The district court first found deficient-performance because
    counsel did not “attempt[] to obtain a social history from Banks or
    his family”.     Id. at 22.       In addition, it found:    counsel never
    questioned Banks’ parents about his childhood; never informed them
    they would be called to testify at the penalty phase; and waited
    until the guilty verdict was returned to instruct Banks’ mother to
    “gather   witnesses   for    the   punishment   phase,   which   began   the
    following day”.    Id.
    The district court also based deficient-performance on Dr.
    Cunningham’s testimony at the federal hearing; the court stated:
    “Banks’s father abused alcohol and subjected Banks to repeated
    incidents of brutality and harsh discipline”; as a child, “Banks
    witnessed many episodes of cruelty directed at his mother”; and
    “Banks ... had no history of violence or alcohol abuse and seemed
    to possess a self-control that would suggest no particular risk of
    future violence”.     Id. at 23.       According to the district court,
    counsel never explored any of these issues and never presented this
    evidence to the jury.       Id.
    The district court also found that, prior to trial, counsel
    made no attempt to interview Vetrano Jefferson, the State witness.
    Id. at 22.     As noted, he was the second of the two penalty phase
    witnesses used to establish future dangerousness; he testified
    35
    Banks had hit him with a gun and threatened to kill him.
    According to the district court, if counsel had interviewed
    Vetrano Jefferson, he would have known that
    Jefferson, not Banks, was the aggressor in the
    fight between the two men which occurred the
    proceeding April [the month of the murder].
    The trial testimony of Jefferson and the
    prosecutor’s    argument   left   the    clear
    impression that Banks was the aggressor.
    Id. at 23.
    a.
    First at issue is whether counsel was ineffective for failing
    to obtain Banks’ social history and to investigate mitigating
    psychological evidence.
    i.
    The two failures are related. Obviously, to determine whether
    expert   assistance   was   needed,    counsel    needed       to   know   the
    circumstances of Banks’ past.    For example, was he abused;           did he
    have mental   deficiencies?     Failure   to     ask   these    and   similar
    questions of his parents and others, a failure the State does not
    dispute, falls below an objective standard of reasonableness.
    Banks has demonstrated deficient-performance.
    ii.
    Regarding prejudice, in his brief here, Banks relies on Dr.
    Cunningham’s testimony:
    Dr. Cunningham’s testimony showed that [Banks’
    father’s] chronic abuse of alcohol nearly tore
    his family apart, caused ... Banks to endure
    36
    repeated incidents of undeserved brutality and
    harsh   discipline,   and  to   witness   many
    instances of extreme cruelty directed at his
    mother and siblings.
    Dr. Cunningham testified:                  (1) Banks was physically and
    mentally abused by his father; (2) he witnessed his father’s abuse
    of his mother; (3) his father discharged firearms in the house; (4)
    his father was an alcoholic; (5) Banks had a learning disability;
    (6) he suffered from a chronic skin disease; and (7) there was a
    low risk Banks would commit future acts of violence.
    The       State    maintains    Dr.     Cunningham’s      testimony       is    not
    exhausted, because it was not presented in the state proceedings.
    There, Banks submitted the affidavits of Dr. Pina, which stated:
    his   observations         indicated      Banks     suffered   brain    damage;       and,
    ultimately, Banks did “not understand much of what was happening at
    his trial, [and] he also did not understand much of what his lawyer
    was saying”.         In his amended affidavit, Dr. Pina discussed, inter
    alia, Banks’ skin condition and his conclusion that Banks was
    “beaten and terrorized by his alcoholic father; at least one such
    beating involved young Delma’s being tied to a tree and whipped”.
    He    also       stated   that    “some   of      the[]    features   of   ...    Banks’
    psychological profile accurately would have predicted that he would
    prove        a     ‘safe,’       nonviolent       inmate     during     his      present
    incarceration”.
    Banks does not address the exhaustion issue.                    He also stated
    that “some of the[] features of ... Banks’ psychological profile
    37
    accurately would have predicted that he would prove a ‘safe,’
    nonviolent inmate during his present incarceration”.
    He fails to show cause for not presenting Dr. Cunningham’s
    testimony to the state courts.   This testimony is not exhausted; it
    is a significant expansion of the facts and opinions presented in
    state court through Dr. Pina’s affidavits.    See Beazley, 
    242 F.3d at 264
    . Accordingly, the only exhausted evidence for this claim is
    through Dr. Pina’s affidavits.
    As discussed supra, those affidavits addressed, inter alia,
    Banks’ father’s “beating” and “terrorizing” him, including the
    tying-whipping incident. Dr. Pina concluded: “[These] experiences
    alone would be enough to account for a large part of Mr. Banks’
    psychological impairment”.   As for Banks’ skin condition, Dr. Pina
    concluded: “[This] illness, compounding the trouble in his parents’
    marriage from his father’s alcoholism, impaired the development of
    normal and supportive bonding relationships between [Banks] and his
    mother and father”.   Accordingly, Dr. Pina concluded:
    Banks learned to see himself as he thought the
    world saw him:     as a ghastly, frightful,
    monstrous eyesore. He understandably went to
    great lengths to hide himself from public view
    throughout life.... His fears of rejection,
    confirmed by his classmates, only led to lower
    self esteem.
    This psychological information, while possibly mitigating,
    does not present a reasonable probability that, had the jury been
    presented with it, it would have not assessed the death penalty.
    38
    In other words, in the light of the nature of the murder, Banks’
    intent soon thereafter to retrieve a weapon to be used in future
    armed robberies, and Banks’ continued denial during the penalty
    phase that he committed the murder, there is not a reasonable
    probability that this evidence would have changed the outcome of
    the penalty phase.          Accordingly, the district court erred in
    granting relief on this basis.
    b.
    Next at issue is whether counsel was ineffective in failing to
    prepare penalty phase witnesses — in particular, Banks’ parents —
    to testify.
    i.
    Regarding deficient-performance, the State does not dispute
    the finding that Banks’ counsel never attempted to prepare Banks’
    parents or any of the other defense witnesses offered during the
    penalty phase.    We will assume deficient-performance.
    ii.
    Regarding prejudice, Banks’ father testified at the federal
    hearing that he had a drinking problem in his “younger days” and
    “used to get drunk every weekend”.        When asked “what would you have
    wanted to tell the jury about your son when they were going to go
    back   and   decide   the    sentence   in   this   case”,   Banks’   father
    responded: “I would’ve just [told] them to spare his life, because
    I know I raised him real nice.          He couldn’t [have done anything]
    39
    like that.     I still say that”.     In an affidavit submitted in the
    state habeas proceedings, Banks’ father stated that, when Banks was
    in elementary school, he tied him to a tree and “whipped him with
    a leather belt or strap” to discipline him for tricking other
    students out of their lunch money.
    Banks’ mother testified at the federal evidentiary hearing:
    Banks suffered from a skin disorder, as well as an inferiority
    complex; and her husband had a drinking problem while Banks was
    growing up. She testified during state habeas proceedings that her
    husband “would get drunk and he would get angry and holler at me”.
    Accordingly, at issue is whether, had Banks’ counsel prepared
    Banks’ parents to testify to the above described events (including:
    (1) the father’s drinking; (2) the tying-whipping incident; and (3)
    the skin disorder), there is a reasonable probability the jury
    would not have assessed the death penalty.                 There is not a
    reasonable probability that, had the jury been presented with this
    information,    it   would   not   have   assessed   the   death   penalty.
    Therefore, the district court erred in granting relief on this
    basis.
    As for the failure to prepare other penalty phase witnesses,
    the district court pointed to Kelly’s being intoxicated on the
    morning he testified at Banks’ trial and Banks’ counsel’s “speaking
    with Kelly for no more than one minute prior to testifying”.
    Banks-USDC, at 22.     The district court did not specify, nor does
    40
    Banks, what Kelly’s testimony would have been had counsel prepared
    him.    (In fact, Kelly’s testimony was quite helpful to Banks; it
    impeached Farr’s testimony concerning his attempts to illegally
    obtain prescription drugs.)       Likewise, for his other penalty phase
    witnesses, Banks does not state what their testimony would have
    been    had   they   been   prepared.         Accordingly,    there   is   not   a
    reasonable probability that, had counsel prepared them, the jury
    would not have sentenced Banks to death. Again, the district court
    erred in granting relief on this basis.
    c.
    Next at issue is whether Banks’ counsel was ineffective for
    failing to interview Vetrano Jefferson.
    i.
    Concerning deficient-performance, the State does not dispute
    that Banks’ counsel never interviewed Jefferson, one of only two
    penalty phase witnesses offered by the State.                This failure falls
    below    an   objective     standard     of    reasonableness.        Counsel’s
    performance was deficient.
    ii.
    Again, in holding there was prejudice, the district court
    determined that, based on Jefferson’s testimony at the evidentiary
    hearing, had Banks’ counsel interviewed him, counsel “would have
    known that Jefferson, not Banks, was the aggressor in the fight
    between the two men....       The trial testimony of Jefferson ... left
    41
    the clear impression that Banks was the aggressor”. Banks-USDC, at
    23 (emphasis added).        The State        maintains:     that Jefferson’s
    testimony    at   the   federal    hearing    is    unexhausted;     and   that,
    alternatively, no prejudice resulted from the failure to interview.
    (a)
    The State asserts, and Banks does not dispute, that Vetrano
    Jefferson’s post-trial testimony was never presented during the
    state habeas proceedings.         (The State points out that the unsigned
    affidavit of Demetra Jefferson, (Vetrano Jefferson’s sister and the
    mother of Banks’ children) was presented during those proceedings.
    The district court apparently did not rely on that affidavit, and
    Banks does not contend that we should consider it in determining
    exhaustion vel non.)
    Banks does not address exhaustion, much less show cause for
    why, in the state proceedings, he did not present Jefferson’s
    current version of the events.              Accordingly, his testimony is
    unexhausted;      without   it,    Banks    has    not   shown   a   reasonable
    probability that the outcome of the penalty phase would have been
    different, as there is no evidence to contradict Jefferson’s trial
    testimony.
    (b)
    Even assuming exhaustion, Banks has not shown prejudice.                 At
    the penalty phase, Banks admitted he hit Jefferson with a gun and
    threatened to kill him.
    42
    Although, at trial, Jefferson testified that Banks did so, he
    gave no background regarding the altercation.              Jefferson provided
    that aspect at the federal hearing:
    I was drunk one day I came over and I was
    threatening my sister and he [Banks] defended
    her. And when he told me to leave her alone,
    I told him I’ll whoop his ass. So we got into
    a fight. And he got a gun and hit me in the
    face with it.
    Jefferson testified that he started the fight.
    The only difference between Jefferson’s trial and federal
    hearing testimony is his stating Banks hit and threatened to kill
    him in response to his “threatening” his (Jefferson’s) sister and
    telling Banks that he would “whoop his ass”.               Thus, at issue is
    whether,   based    on   this   information,       there    is    a    reasonable
    probability   the    jury    would   not    have     answered         the   future
    dangerousness issue as it did.
    Needless to say, Banks’ assaulting and threatening to kill
    Jefferson is far from a proportional response to verbal threats of
    a non-lethal nature.        Based on Banks’ violent response, coupled
    with Farr’s testimony about Banks’ post-murder intent to commit, or
    at least assist in, armed robberies, had the jury been presented
    with Jefferson’s federal testimony, there is not a reasonable
    probability   it    would    not   have    found    future       dangerousness.
    Accordingly, the district court erred in granting relief on this
    basis.
    3.
    43
    As stated, relief should not have been granted on the basis of
    either ineffective-assistance or Brady error.   But, the magistrate
    judge seems to have grounded her recommendations with respect to
    both claims on cumulative error.
    For the Brady claim, the magistrate judge recommended that the
    withheld information was material because
    the State’s failure to disclose Farr’s
    informant status, coupled with trial counsel’s
    dismal performance during the punishment
    phase, undermined the reliability of the
    jury’s verdict regarding punishment. There is
    a reasonable probability that[,] but for the
    foregoing, the results of the punishment phase
    of the trial would have been different.
    Banks-USDC, at 44 (emphasis added).
    For the ineffective-assistance claim, regarding prejudice, the
    magistrate judge stated:
    This is not a case where the evidence
    presented by the State compels the conclusion
    that the specific evidence offered by Banks
    would not have made any difference in the
    outcome with respect to punishment. There is
    a reasonable probability that[,] but for the
    errors and omissions of trial counsel at the
    punishment phase, combined with the State’s
    failure to disclose Farr as a paid informant,
    the outcome of Banks’ punishment phase would
    have been different.
    Banks-USDC, at 24-25 (emphasis added).
    The State objected to the report and recommendation on the
    basis that the cumulative error doctrine had been improperly
    invoked.   The district judge overruled the objection, holding that
    44
    the magistrate judge “separately considered and analyzed” the Brady
    and ineffective-assistance claims.             Banks-USDCII, at 5.         The
    district judge also overruled the objection on the basis that the
    two claims are interrelated, because Banks “contend[ed] that the
    State failed   to   produce,      and   his   counsel,   due   to   inadequate
    preparation,   contrary      to    Strickland,      failed     to    discover,
    substantial evidence regarding Farr’s status”.             Id.      Ultimately,
    the district judge noted that
    federal habeas corpus relief may only be
    granted for cumulative errors in the conduct
    of a state trial where (1) the individual
    errors involved matters of constitutional
    dimension rather than mere violations of state
    law; (2) the errors were not procedurally
    defaulted for habeas purposes; and (3) the
    errors so infected the entire trial that the
    resulting conviction violates due process.
    Id. at 5-6 (quoting Derden v. McNeel, 
    978 F.2d 1453
    , 1454 (5th Cir.
    1992) (en banc), cert. denied, 
    508 U.S. 960
     (1993)).
    The magistrate judge did separately address the claims; but,
    each holding included the other as the basis of materiality or
    prejudice.   The district judge was also incorrect that the claims
    were interrelated.      In   discussing       ineffective-assistance,      the
    magistrate judge stated:
    The State had a clear duty to correct Farr’s
    untruthful testimony and failed to do so.
    While trial counsel cannot be faulted for
    failing to object on this basis, Farr’s
    inaccurate testimony compounded the otherwise
    inadequate efforts of trial counsel during the
    punishment phase of the trial.
    45
    Banks-USDC, at 24 (emphasis added).                Although this statement
    attempts to link the two claims through cumulative error, it is not
    a   conclusion   that   the   Brady       claim   is    related     to   deficient-
    performance.
    Instead, it is the opposite.             In fact, in his brief, Banks
    makes clear he does not claim counsel was ineffective regarding the
    Brady claim: “[Trial counsel’s] failure to impeach ... Farr’s most
    damaging sentencing testimony ... cannot be laid at his feet”.
    Accordingly, contrary to the district court’s holding that the
    claimed errors were related, the magistrate judge’s recommendation
    was instead based upon cumulative error.
    a.
    Banks, however, did not claim cumulative error in his federal
    petition, with the exception of asserting that the “cumulative
    effect of the prosecutors’ multifarious violations ... [denied him]
    a fundamentally fair trial”.          (Emphasis added.)            Furthermore, he
    did not claim cumulative error in any of his three state petitions.
    Accordingly the district court’s cumulative error holding is based
    on an unexhausted claim.
    b.
    Assuming   this   claim   is    exhausted        and   was   raised   in   the
    district court, the cumulative error holding fails on the merits.
    Such error is predicated upon the theory that, although
    certain errors, considered individually, do not mandate relief,
    46
    those errors, when considered in the aggregate, do.                      See United
    States    v.   Sepulveda,     
    15 F.3d 1161
    ,    1195-96    (5th      Cir.   1993)
    (“Individual errors, insufficient in themselves to necessitate a
    new trial, may in the aggregate have a more debilitating effect”.),
    cert. denied, 
    512 U.S. 1223
     (1994).
    It goes without saying that, for there to be cumulative error,
    there must first be error.           Likewise, where there is no error,
    there is nothing to cumulate.             See, e.g., Yohey v. Collins, 
    985 F.2d 222
    , 229 (5th Cir. 1993).             Banks has not established error
    either under Brady or for ineffective-assistance.                        Therefore,
    relief cannot be based on cumulative error.
    B.
    Notwithstanding that Banks filed pre-AEDPA for federal relief,
    he must obtain a COA, pursuant to AEDPA, in order to appeal a
    denied claim.     See Green v. Johnson, 
    116 F.3d 1115
    , 1120 (5th Cir.
    1997); 
    28 U.S.C. § 2253
    (c)(1)(A).              To receive a COA, he must make
    “a substantial showing of the denial of a constitutional right”.
    
    28 U.S.C. § 2253
    (c)(2) (emphasis added); see also Barefoot v.
    Estelle, 
    463 U.S. 880
    , 893 (1983). He must demonstrate: the issues
    are subject to debate among reasonable jurists; or a court could
    resolve   the   issues   in    a   different       manner;    or   the    questions
    presented are worthy of encouragement to proceed further. Slack v.
    McDaniel, 
    529 U.S. 473
    , 483 (2000); Estelle, 
    463 U.S. at
    893 n.4.
    47
    For    claims   denied     on    constitutional        grounds,    Banks     must
    “demonstrate    that    reasonable      jurists     would     find   the   district
    court’s    assessment    of   the     constitutional        claims   debatable     or
    wrong”.     Slack, 
    529 U.S. at 484
    .          For those denied on procedural
    grounds, Banks must show “jurists of reason would find it debatable
    whether the petition states a valid claim of the denial of a
    constitutional right and that jurists of reason would find it
    debatable whether the district court was correct in its procedural
    ruling”.    
    Id.
     (emphasis added).
    The claims for which he seeks a COA are:                Brady; ineffective-
    assistance at the guilt phase; Swain; and sufficiency of the
    evidence.
    1.
    Banks’ two Brady claims concern Cook:                   suppression of the
    earlier-described       transcript      (the      74-page    transcript     of     the
    prosecution’s    pretrial,      September      1980   interview      of    Cook   (as
    opposed to his April 1980 statement)); and suppression of the
    earlier-described alleged deal for his testimony.
    a.
    The    district    court    refused     to    consider    the     Brady    claim
    concerning the transcript.           The State maintains Banks never raised
    this issue in his petition; instead, he included the allegations in
    his proposed federal findings and conclusions, in his objection to
    the report and recommendation, and in his Rule 59 motion.                         That
    48
    motion to amend the judgment to discuss this claim was denied.
    Such denial is reviewed for an abuse of discretion.              Martinez v.
    Johnson, 
    104 F.3d 769
    , 771 & n.3 (5th Cir.), cert. denied, 
    522 U.S. 875
     (1997).     Consequently, Banks must show jurists of reason would
    find it debatable whether the court abused its discretion.
    Banks insists he pleaded the issue sufficiently by stating
    prosecutors “knowingly failed to turn over exculpatory evidence as
    required   by    Brady”,   mentioning   Cook   and   Farr   in    that   same
    paragraph.      Further, Banks contends the State acknowledged Brady
    materials include impeachment evidence.
    The State responds that the Brady claim in Banks’ petition
    focused entirely on suppression of evidence concerning another
    murder suspect; linking “Cook to Robert Farr and to Texarkana
    generally”; revealing Farr’s status as a police informant; and
    exposing Cook’s motivation to testify favorably for the State to
    avoid prosecution on the unrelated arson charge that could have
    resulted in his receiving a life sentence (this different Brady
    claim is discussed infra).     The State further asserts Banks should
    have sought leave to amend his petition under Federal Rule of Civil
    Procedure 15 because issues first raised in objections to a report
    and recommendation are not properly before the district court. See
    United States v. Armstrong, 
    951 F.2d 626
    , 630 (5th Cir. 1992);
    United States v. Colon-Padilla, 
    770 F.2d 1328
    , 1334 n.6 (5th Cir.
    49
    1985); see also United States v. Saenz, 
    282 F.3d 354
    , 356 (5th Cir.
    2002) (Rule 15 appropriate for amending habeas petition).
    Banks contends, however, that discovery and declarations from
    Cook and Farr demonstrated their extensive discussions with the
    prosecutors,    leading   to   the    production    of   the   transcript.
    Following this production, the magistrate judge ruled that one
    issue for which evidence would be received concerned, inter alia,
    the State’s     “withholding   exculpatory    and   impeachment    evidence
    concerning at least two important witnesses — Charles Cook and
    Robert Farr”.
    The transcript was introduced at the federal hearing to
    establish the Brady claim of suppression of material impeachment
    evidence.   Instead of objecting because Banks either was expanding
    his due process claim or failed to exhaust his claims in state
    court, the State, according to Banks, signaled to the court in pre-
    trial submissions that it intended to utilize the transcript and to
    call Bowie County ADA Elliot and Deputy Huff to defend against
    Banks’ due process claim.
    Accordingly, Banks contends Rule 15(b) applies: “When issues
    not raised by the pleadings are tried by express or implied consent
    of the parties, they shall be treated in all respects as if they
    had been raised in the pleadings”.        FED. R. CIV. P. 15(b).    “[O]nce
    issues are presented and argued without objection by opposing
    counsel, such issues are tried by implied consent of the parties
    50
    and are treated as if they had been raised in the pleadings”.
    Apple Barrel Productions, Inc. v. Beard, 
    730 F.2d 384
    , 389 (5th
    Cir. 1984); see also Hardin v. Manitowoc-Forsythe Corp., 
    691 F.2d 449
    , 456 (5th Cir. 1982)(“The test of consent is whether the
    opposing party had a fair opportunity to defend and whether he
    could have presented additional evidence....”).
    Because of the discovery order, the discussion of the issue at
    the federal hearing, and Banks’ cross-examination of the State’s
    witnesses, Banks maintains the State had sufficient notice that
    suppression of the transcript was included within the Brady claim.
    Therefore, Banks asserts this claim was before the district court.
    See Mongrue v. Monsanto Co., 
    249 F.3d 422
    , 427-28 (5th Cir. 2001).
    The State counters: a federal evidentiary hearing is not a
    trial for Rule 15 purposes; it opposed Banks’ hearing request,
    maintaining, pursuant to Keeney, 
    504 U.S. at 5-6
     (if petitioner
    fails   to   develop   claim   in   state   court,   must   show   cause   and
    prejudice to receive federal evidentiary hearing), he was not
    entitled to one; no authority exists to suggest an evidentiary
    hearing waives exhaustion or procedural default defenses or the
    requirement that Banks must amend his petition to assert additional
    claims; and Banks’ questioning witnesses at an evidentiary hearing
    does not substitute for his not amending his petition.
    On this issue, the district court correctly determined:               in
    his petition, Banks did not state a Brady claim concerning the
    51
    transcript, because Banks did not learn of it until three years
    after it was filed; Banks should have sought leave to amend his
    petition to add this claim; and issues first raised in objections
    to a report and recommendation are not properly before the district
    court.     See Armstrong, 
    951 F.2d at 630
    .               Further, Banks has not
    pointed to any authority supporting his contention that, for Rule
    15 purposes, an evidentiary hearing equates with a trial.                      Banks
    has    failed    to   demonstrate     “jurists      of   reason   would   find    it
    debatable whether the district court was correct” in denying his
    Rule 59 motion.         Slack, 
    529 U.S. at 484
    .
    b.
    Also denied was the Brady claim of suppression of assurances
    to Cook that, in exchange for favorable testimony, prosecutors
    would arrange for dismissal of the pending arson charge.                       Banks
    asserts:       the charge was discussed by Deputy Huff and Cook; the
    Deputy informed Cook of the filing of habitual offender papers
    (life imprisonment); prior to trial, Cook was provided daily
    conjugal visits with his wife; and the charge was dismissed the day
    after Cook’s testimony because ADA Elliot and Deputy Huff traveled
    to Dallas with Cook, where Elliot spoke to the prosecutor there.
    Banks    bases    error   on   the   district     court’s:       relying   on
    “misleading evidence” submitted in state court proceedings; and
    finding the Dallas County prosecutor stated by affidavit there was
    no    prearranged     plea   bargain.       Banks    contends,    and    the   State
    52
    concedes, that the affidavit shows the prosecutor was involved in
    an unrelated forgery prosecution against Cook more than a year
    after Banks’ trial. Banks contends the evidence sufficiently shows
    the denial of a constitutional right, citing Giglio (suppression of
    a deal with prosecution’s witness).
    The State counters that the evidence submitted during the
    state habeas proceedings was not misleading. In those proceedings,
    in its response to this claim, the State provided affidavits from
    Deputy Huff, ADA Elliot, and former Dallas County ADA Byrne.
    Byrne’s 12 May 1992 affidavit states in relevant part: he was
    a Dallas County ADA in June 1981 (eight months after Banks’ trial);
    he was the prosecuting attorney in State of Texas v. Charles Edward
    Cook, No. F81-2140-P; and he had no recollection of any deal in
    exchange for Cook’s testimony in Banks’ trial.     Banks explained in
    his state court reply that Byrne was the prosecutor for the forgery
    conviction following Banks’ trial.      The state habeas court found
    “no agreement between the State and ... Cook”.         As noted, state
    court   factual   findings   are   entitled   to   a   presumption   of
    correctness. See Green, 
    116 F.3d at 1120
     (applying pre-AEDPA law);
    
    28 U.S.C. § 2254
    (d) (1994).
    Further, the State maintains the district court’s ruling was
    not based solely on Byrne’s affidavit but considered all the
    evidence:   the arson occurred on 7 May 1980, 13 days after Cook’s
    April 1980 statement; Bowie County District Attorney Raffaelli
    53
    stated at trial no deal had been made in exchange for Cook’s
    testimony; ADA Elliott denied any discussions with Cook prior to
    Banks’   trial     but,    following     it,   discussed    Cook’s     favorable
    testimony   with    a     Dallas    County   prosecutor    when   he   (Elliott)
    returned Cook there; the discussion with that prosecutor was not a
    reward for Cook, but was done because Elliot wanted that prosecutor
    to know Cook had cooperated with law enforcement and hoped the same
    would be done for him in cases he was handling.
    The magistrate judge recommended that Cook’s testimony at the
    federal hearing provided Banks’ only evidence of a deal between the
    State and Cook or of threats to compel his testimony.                    Citing
    Spence v. Johnson, 
    80 F.3d 989
     (5th Cir.), cert. denied, 
    519 U.S. 1012
     (1996), the magistrate judge recommended denying relief on
    this claim because “the evidence and testimony presented by Cook in
    this matter [are] not credible”.             (Emphasis added.)     Needless to
    say, testimony from recanting witnesses is properly viewed with
    suspicion, because it:             upsets the finality of convictions; is
    often unreliable, given suspect motives; and often serves to
    impeach cumulative evidence, rather than undermine the accuracy of
    the conviction.         Dobbert v. Wainwright, 
    468 U.S. 1231
     (1984)
    (Brennan, J., dissenting); May v. Collins, 
    955 F.2d 299
    , 314 (5th
    Cir.), cert. denied, 
    504 U.S. 901
     (1992); see also Olson v. United
    States, 
    989 F.2d 229
    , 231 (7th Cir.), cert. denied, 
    510 U.S. 895
    54
    (1993); United States v. Provost, 
    969 F.2d 617
    , 620 (8th Cir.
    1992), cert. denied, 
    506 U.S. 1056
     (1993).
    Banks     disagrees     with   the       district     court’s        credibility
    determinations.    It goes without saying that we “accept magistrate
    judge’s findings [adopted by the district judge] unless they are
    clearly erroneous”.        United States v. Breeland, 
    53 F.3d 100
    , 103
    (5th Cir. 1995) (“Clear error is especially rigorous when applied
    to credibility determinations because the trier of fact has seen
    and judged the witnesses.”          (Emphasis added; internal quotation
    marks omitted.)).
    The   findings    with   respect         to   Cook   and       ADA   Elliot   were
    “plausible in light of the record viewed in its entirety”.                          
    Id.
    (internal quotation marks omitted).                And, again, the state habeas
    court’s    identical   finding      is    entitled        to    a    presumption     of
    correctness.     See Green, 
    116 F.3d at 1120
    .                  Banks has failed to
    demonstrate the district court’s assessment of this Brady claim was
    debatable or wrong.     See Slack, 
    529 U.S. at 484
    .
    2.
    For the COA requested for ineffective-assistance at the guilt
    phase, see Strickland, 
    466 U.S. at 668
    , Banks claims failure: to
    investigate; to prepare for trial; and to effectively cross-examine
    witnesses.     (In addition, in the heading of one section of his
    brief here, Banks states counsel was ineffective for failing “To
    Object to Prosecutor’s Repeated Vouching for [Farr’s and Cook’s]
    55
    Credibility”.     Because of the contemporaneous objection rule, this
    failure-to-object prevented Banks from raising a prosecutorial
    misconduct claim.        See Jackson, 194 F.3d at 652.                But, because
    counsel was unaware of Farr’s paid-informant status and Cook’s
    prior   statements,      there    was   no    deficient-performance        in   this
    regard. Further, this claim was never raised in district court and
    is not properly before us.          See, e.g., Dowthitt v. Johnson, 
    230 F.3d 733
    , 741 n.3 (5th Cir. 2000), cert. denied, 
    532 U.S. 915
    (2001); Puckett, 
    176 F.3d at 814
    ; Hallmark, 118 F.3d at 1079 n.3;
    Yohey, 
    985 F.2d at 226
    .)
    Obviously, a reasonable attorney engages in “a reasonable
    amount of pretrial investigation”, including interviewing potential
    witnesses and making an independent investigation of the facts and
    circumstances, Bryant v. Scott, 
    28 F.3d 1411
    , 1415 (5th Cir. 1994),
    and adequately and independently searching for available defense
    evidence.    See Moore v. Johnson, 
    194 F.3d 586
    , 608 (5th Cir. 1999)
    (lack of investigation into evidence in state’s file and evidence
    used to counter defendant’s alibi defense).
    Banks also contends an ineffective-assistance claim involves
    consideration of the strength of the State’s case.                     Restated, a
    weak case for the State means counsel’s ineffective performance has
    a much greater impact on the trial’s outcome.                      For example, in
    Bryant,   the    court   noted    that       the   lack    of   physical   evidence
    connecting      the   defendant    to    the       crime   scene    increased    the
    56
    importance of pre-trial investigation of eyewitnesses; something a
    reasonable lawyer would have realized and acted upon.               
    28 F.3d at 1418
    .
    Banks contends that, in the light of the evidence at the
    examining hearing four months before trial, his counsel should have
    investigated the following:         Banks’ claim he hitchhiked to Dallas,
    which contrasted with the State’s contention he drove the victim’s
    vehicle there; the victim’s time of death; and Cook’s credibility.
    First, the State’s theory was that, after shooting the victim,
    Banks drove his automobile to Dallas.            Investigating the identity
    of the individual who (according to Banks) allegedly picked Banks
    up and drove him to Dallas or finding ways to attack the State’s
    view    that   Banks   drove   an   automobile     with   serious   electrical
    problems to Dallas would have been important to Banks’ defense.
    Second, concerning the claimed time of death, Banks arrived in
    Dallas    by   8:30    a.m.    on   Saturday.      The    victim    was   killed
    approximately 180 miles from Dallas.            Therefore, evidence that the
    victim was shot after 5:00 a.m. on Saturday would have been
    exculpatory.
    And third, Cook was the only witness to testify that Banks
    made incriminating statements.         Obviously, Cook’s credibility and
    the reliability of his account of the events of the 12 April
    weekend were critical.
    57
    Additionally, Banks contends that, other than his counsel’s
    (Cooksey’s) speaking to witnesses identified by Banks’ common-law
    wife a few days after Cooksey was retained, Cooksey did little
    else.      He filed several pretrial motions but did not ask to be
    heard pre-trial.     Further, his remarks on the record demonstrate
    his lack of preparation:      on the first day of jury selection, “I’m
    not   in   possession   of   any   information    on   any   of   the   State’s
    witnesses”; after jury selection, prior to further proceedings, “I
    don’t have [a list of prosecution witnesses’ prior convictions] yet
    and I can not effectively cross-examine these people without it”;
    and during those subsequent proceedings,          I’ve “never been to the
    [crime scene] ... I don’t even know where it is” and “I haven’t
    seen the ballistics report”.
    Banks cites other claimed ineffective-assistance.                 During
    trial, in cross-examining two persons who were with the victim on
    Friday night, 11 April, Hicks and Bungardt (he didn’t cross-examine
    the latter), Cooksey failed to develop the full extent of the
    problems with the victim’s automobile.           Counsel made no effort to
    attack Fisher’s recollection of two gunshots as unreliable because
    of Fisher’s groggy state, with Fisher’s testimony being the State’s
    only evidence of time of death.            (In closing arguments, Cooksey
    stated:     Fisher “certainly told you [the jury] the truth, without
    a doubt”.)     He did not cross-examine Deputy Huff.         And, his cross-
    58
    examination of the medical examiner pertained only on the amount of
    alcohol consumed by the victim prior to his death.
    Banks contends: had Cooksey reasonably prepared for trial, he
    could have demonstrated the autopsy report and crime scene evidence
    suggested time of death was 12 to 24 hours after Fisher reported
    hearing the gunshots.       In support, Banks notes:           rigor mortis
    appears very soon after death, usually rendering the body stiff
    within 12 to 24 hours and usually waning about 36 hours following
    death; nevertheless, Deputy Huff and Dr. DiMaio observed full rigor
    mortis in the body, even though Deputy Huff did not observe the
    victim until approximately 54 hours after Fisher heard the loud
    noises and Dr. DiMaio observed him roughly 24 hours after Deputy
    Huff.   Banks also notes:    72 hours after death, DiMaio should have
    observed a drying of the lips, a graying discoloration of the lower
    abdomen, and clouding of the corneas; however, although DiMaio
    looked for these symptoms, he found none.
    Likewise, Banks contends reasonable preparation would have
    resulted in:   having a mechanic testify about the unreliability of
    the victim’s automobile; exposing the difference between Hicks’ and
    Bungardt’s testimony about a defective car and Cook’s testimony
    never   mentioning   any   problems    with   it   (in   the   state   habeas
    proceedings, the court concluded it was highly unlikely the vehicle
    described by Hicks and Bungardt could have been driven to Dallas
    59
    without major repair work); and adequately cross-examining arguably
    non-hostile prosecution witnesses.
    Accordingly, Banks contends he has shown deficient-performance
    and prejudice considering his counsel’s approach to the entire
    trial, including the witnesses and readily available evidence that
    could have provided the jury with reasonable doubt.
    In countering these sweeping assertions, the State reminds
    that, on the merits, Banks must show “counsel made errors so
    serious that [he] was not functioning as the ‘counsel’ guaranteed
    the defendant by the Sixth Amendment”.     Strickland, 
    466 U.S. at 687
    ; see also Bell v. Cone, 
    122 S. Ct. 1843
     (2002); Lackey v.
    Johnson, 
    116 F.3d 149
    , 152 (5th Cir. 1997). Judicial scrutiny must
    be “highly deferential”.    Strickland, 
    466 U.S. at 689
    ; see also
    Bell, 
    122 S. Ct. at 1852
    .   Again, for prejudice, Banks must (on the
    merits) demonstrate to a reasonable probability that, but for
    counsel’s errors, the result of the proceeding would have been
    different.   Williams v. Taylor, 
    529 U.S. 362
    , 391 (2000) (citing
    Strickland, 
    466 U.S. at 694
    ).   (Of course, to obtain a COA, he must
    make only a substantial showing of ineffective assistance.)
    Concerning time of death, the State contends that, at the
    evidentiary hearing, Banks’ expert conceded (as discussed supra) it
    was possible the victim was killed at the time the State theorized.
    Accordingly, the State asserts Banks failed to prove the result of
    the trial would have been different.
    60
    Concerning the victim’s automobile, the State contends Banks
    failed to sufficiently plead these claims with specificity and to
    show what evidence such investigations would have revealed.                         Banks
    must state with specificity what the investigation would have
    revealed and how it would have altered the outcome.                          See United
    States v. Green, 
    882 F.2d 999
    , 1003 (5th Cir. 1989).
    The     State    contends     Banks       merely       makes     conclusory     and
    speculative     allegations        which        do     not     sufficiently         raise
    constitutional       issues   to   justify         relief.      See    Blackledge     v.
    Allison, 
    431 U.S. 63
    , 74 (1977); Barnard v. Collins, 
    958 F.2d 634
    ,
    643 n.11 (5th Cir. 1992), cert. denied, 
    506 U.S. 1057
     (1993); Ross
    v. Estelle, 
    694 F.2d 1008
    , 1012 (5th Cir. 1983).                             The State
    maintains the district court also implicitly rejected these claims
    because they were improperly raised in Banks’ proposed findings and
    conclusions rather than in his habeas claim; and, considering
    Banks’ conclusory claims, this implicit rejection was not an abuse
    of discretion. See United States v. Cervantes, 
    132 F.3d 1106
    , 1111
    (5th Cir. 1998) (refusal to consider claims raised by unauthorized
    amendments reviewed for abuse of discretion) (citing United States
    v. Armstrong, 
    951 F.2d 626
    , 630 (5th Cir. 1992); Barksdale v. King,
    
    699 F.2d 744
    , 747 (5th Cir. 1983)).
    For   purposes      of   obtaining        a     COA,    Banks    does    not   show
    reasonable    jurists    would     find    it      debatable    whether       Cooksey’s
    performance was deficient.         Cooksey did not personally investigate
    61
    certain aspects of the case; but, his investigator did conduct an
    investigation,   which   included    visiting    the    crime    scene    and
    interviewing witnesses.     Further, although Banks can speculate
    about Cooksey’s cross-examination techniques, Cooksey has never
    been asked to explain these aspects of his trial strategy (even
    though, in state habeas proceedings, he did provide testimony
    concerning Banks’ Swain claim).
    Moreover, for purposes of obtaining a COA, and assuming
    deficient-performance in investigation, trial preparation, and
    cross-examination, Banks has failed to show, for the prejudice
    prong, that “reasonable jurists would find the district court’s
    assessment ... debatable or wrong”.      Slack, 529 U.S. at 484.         Banks
    has not made a substantial showing that the trial-result would be
    different.   His expert conceded the time of death could have been
    as the State suggested; Banks does not show that the alleged errors
    would have changed the jury’s consideration of Cook’s testimony
    concerning   Banks’   confession    to   him;   and    Banks’   allegations
    concerning problems with the victim’s automobile are too conclusory
    and do not show how that evidence could have provided reasonable
    doubt.
    3.
    Near the end of jury selection, Banks passed Cooksey a note:
    “[W]e need[] black[s]”. Cooksey responded: “State will strike all
    blacks”.   Indeed, the State used four peremptory strikes to remove
    62
    all qualified blacks from the jury pool.                 Accordingly, Banks
    presents a Swain claim.
    As noted, concerning this claim, no contemporaneous objection
    was made at trial.      Banks contends it is not procedurally barred by
    counsel’s failure to raise it at trial because it was rejected on
    the merits in state habeas proceedings and because the State waived
    the defense by not raising it in a timely manner and by electing to
    resolve the claim on the merits.              Further, Banks asserts:         we
    should not defer to the state court’s ruling; and he has made a
    substantial showing of the denial of a constitutional right, namely
    that Bowie County prosecutors engaged in the systematic exclusion
    of black jurors continuing through Banks’ trial.
    In his first state habeas application, Banks pleaded a Swain
    claim.      The State did not claim untimeliness; and the court
    recommended its denial on the merits, finding “no systematic
    exclusion    by   the   State   of   any    black   veniremen   or   jurors   in
    contravention of [Banks’] rights”. On appeal, the State again made
    no waiver or procedural default assertion; the claim was denied
    based on the trial court’s findings.          Ex Parte Banks, No. 13,568-01
    (Tex. Crim. App. 1984) (unpublished).
    In his third state application, Banks again raised his Swain
    claim; the State urged denial on the merits; and the trial court
    recommended denial.       On appeal, the State claimed, for the first
    63
    time, that Banks defaulted his Swain claim because Cooksey failed,
    at trial, to make a contemporaneous objection.
    On remand to the trial court for an evidentiary hearing on,
    inter alia, the Swain claim, that court found Cooksey failed to
    raise the    claim   because   he   did   not    believe   the   prosecutors’
    practices showed a Swain violation, and consequently, the claim was
    procedurally barred.    In addition, the court reached the merits of
    the claim.   As discussed supra, although it concluded the evidence
    showed a prima facie case of systematic exclusion, it found the
    peremptorily-struck four black jurors were removed for non-racial
    reasons.    On appeal, the claim was denied for the reasons given by
    the trial court.     Ex Parte Banks, No. 13,568-03 (Tex. Crim App.
    1996) (unpublished).
    Banks contends the district court incorrectly found Texas’
    contemporaneous objection rule is an adequate and independent
    ground for procedural default, claiming the rule was not “firmly
    established and regularly followed” at the time of the default.
    Ford v. Georgia, 
    498 U.S. 411
    , 423-24 (1991) (quoting James v.
    Kentucky, 
    466 U.S. 341
    , 348 (1984)).            The inquiry is whether the
    rule “is strictly or regularly applied evenhandedly to the vast
    majority of similar claims”, Amos v. Scott, 
    61 F.3d 333
    , 339 (5th
    Cir.) (emphasis removed), cert. denied, 
    516 U.S. 1005
     (1995), or
    “identical claims”, id. at 343; see also           Finley v. Johnson, 243
    
    64 F.3d 215
    , 218 (5th Cir. 2001); Martin v. Maxey, 
    98 F.3d 844
    , 847-48
    (5th Cir. 1996).
    Banks asserts that, although Texas courts regularly apply the
    contemporaneous objection rule to other types of claims, they have
    not strictly and regularly applied it to Swain claims.         See, e.g.,
    Hogue v. Johnson, 
    131 F.3d 466
     (5th Cir. 1997) (applying rule to
    unobjected-to introduction of prior convictions), cert. denied, 
    523 U.S. 1014
     (1998); Clark v. Collins, 
    19 F.3d 959
     (5th Cir.) (Batson
    v. Kentucky, 
    476 U.S. 79
     (1986), claim), cert. denied, 
    513 U.S. 1036
     (1994); Harris v. Collins, 
    990 F.2d 185
    , 187 (5th Cir.)
    (Batson claim), cert. denied, 
    509 U.S. 933
     (1993).         Banks contends
    the court in Ex Parte Haliburton, 
    755 S.W.2d 131
    , 135 n.5 (Tex.
    Crim. App. 1988), reached the merits of a Swain claim even though
    the defendant failed to show he timely objected at trial; and, in
    Chambers v. State, 
    568 S.W.2d 313
     (Tex. Crim. App. 1978), cert.
    denied, 
    440 U.S. 928
     (1979), although it was unclear the issue was
    preserved because it was not raised in the new trial motion, the
    court   addressed   the   merits   of   a   claim   that    blacks   were
    systematically excluded from jury service.      Banks also contends a
    Batson claim is not a “similar claim” because Batson claims solely
    consider a prosecutor’s use of peremptory strikes in individual
    trials and depend on contemporaneous credibility determinations to
    explain a discriminatory pattern of strikes; on the other hand,
    65
    Swain claims look at prosecutors’ historical, systematic, and
    continued discriminatory jury selection practices.
    Banks also contends:         the Supreme Court has never held its
    procedural default jurisprudence applies to Swain claims; they are
    unlike any other a defendant might raise at trial because the claim
    requires collection of extensive historical material which is hard
    to collect prior to trial; and, indeed, the reason the Court
    rejected Swain for Batson was because the facts necessary to
    support a Swain claim were not reasonably available at trial.
    The    State   correctly     contends    federal     habeas    relief     is
    precluded   when    the   last   state   court   judgment    relies    upon    an
    independent   and    adequate    state    procedural      bar.      Coleman    v.
    Thompson, 
    501 U.S. 722
    , 729-30 (1991); Harris v. Reed, 
    489 U.S. 255
    , 264 & n.10 (1989) (even if the state court reaches the merits
    of the claim); Buxton v. Collins, 
    925 F.2d 816
    , 821 (5th Cir.),
    cert. denied, 
    498 U.S. 1128
     (1991).
    Banks’   contention     that   Texas    does   not    firmly    apply    the
    contemporaneous objection rule to Swain claims is undermined by
    case law.     See Trevino v. Texas, 
    503 U.S. 562
    , 566-67 (1992)
    (failure to challenge in some form the exclusion of black jurors
    implicates contemporaneous objection rule); Teague v. Lane, 
    489 U.S. 288
    , 297 (1989).      Texas courts regularly applied the rule in
    the pre-Batson, Swain era. Williams v. State, 
    773 S.W.2d 525
    , 534-
    66
    35 (Tex. Crim. App. 1988), cert. denied, 
    493 U.S. 900
     (1989)
    Mathews v. State, 
    768 S.W.2d 731
    , 733 (Tex. Crim. App. 1989).
    In response to the cases cited by Banks, the State contends
    Chambers assumed, without deciding, that the issue was properly
    before it, see 
    568 S.W.2d at 328
    ,          but stated the failure to object
    waives the right and bars consideration on appeal.                 
    Id. at 319
    .
    Also, Ex Parte Halliburton merely stated:                “[W]e could not say
    prior to applicant’s evidentiary hearing that he needed to object
    at trial in order to preserve Swain error”.             
    755 S.W.2d at
    135 n.5.
    Further,    “an   occasional   act   of    grace   by    the   Texas   court   in
    entertaining the merits of [a] claim that might have been viewed as
    waived by procedural default” does not constitute failure to
    regularly apply the rule.            Hogue, 
    131 F.3d at 487
     (internal
    quotation marks omitted); Bass v. Estelle, 
    705 F.2d 121
    , 122-23
    (5th Cir.), cert. denied, 
    464 U.S. 865
     (1983).
    Additionally, the State asserts the contemporaneous objection
    rule is applied to substantially similar claims because Batson
    merely changed the quantum of proof rather than the type claim
    asserted.    See, e.g., Andrews v. Collins, 
    21 F.3d 612
    , 621 (5th
    Cir. 1994) (Batson claim), cert. denied, 
    513 U.S. 1114
     (1995);
    Harris v. Collins, 
    990 F.2d 185
    , 187 (5th Cir.) (same), cert.
    denied,    
    509 U.S. 933
     (1993); Jones v. Butler, 
    864 F.2d 348
    , 369-70
    (5th Cir. 1988) (pre-Batson, Swain provided a means to raise a
    67
    Batson-type claim.), cert. denied, 
    490 U.S. 1075
     (1989); see also
    Wright v. Hopper, 
    169 F.3d 695
    , 709 (11th Cir.) (Swain claim
    procedurally defaulted for failure to object), cert. denied, 
    528 U.S. 934
     (1999).
    Finally,    Banks       contends    the      State   waived       the    procedural
    default defense by not timely raising it.                  (Banks also asserts the
    State’s failure to raise this defense shows the contemporaneous
    objection rule is not a firmly established rule for Swain claims.)
    “[P]rocedural default is normally a ‘defense’ that the State is
    ‘obligated to raise’ and ‘preserv[e]’ if it is not to ‘lose the
    right to assert the defense thereafter.’”                  Trest v. Cain, 
    522 U.S. 87
    , 89 (1997) (quoting Gray v. Netherland, 
    518 U.S. 152
    , 166
    (1996)); see also Engle v. Isaac, 
    456 U.S. 107
    , 124 n.26 (1982)
    (“[A]   State’s        plea   of    default        may   come     too    late     to    bar
    consideration of the prisoner’s constitutional claim”.).                           In the
    exhaustion context, the Supreme Court rejected a rule allowing, or
    even encouraging, “the State to seek a favorable ruling on the
    merits in the district court while holding the exhaustion defense
    ...   for   use   on    appeal      [because       the   rule   might]        prolong   the
    prisoner’s    confinement          for   no    other     reason   than    the     State’s
    postponement of the [] defense....” Granberry v. Greer, 
    481 U.S. 129
    , 132 (1987).
    A State waives a procedural bar defense by failing timely to
    raise it.    Fisher v. Texas, 
    169 F.3d 295
     (5th Cir. 1999)(waiver for
    68
    failure to raise the defense in district court); Emery v. Johnson,
    
    139 F.3d 191
    , 195 n.4 (5th Cir. 1997) (waiver for failure “to plead
    procedural bar in the district court”) (citing United States v.
    Marcello, 
    876 F.2d 1147
    , 1153 (5th Cir. 1989)), cert. denied, 
    525 U.S. 969
     (1989); see also Cooper v. State, 
    791 S.W.2d 80
     (Tex.
    Crim. App. 1990) (en banc) (state’s obligation to raise the issue
    before the appellate court); Tallant v. State, 
    742 S.W.2d 292
    , 294
    (Tex. Crim. App. 1987) (en banc) (“[T]he State must call to the
    attention of the court of appeals in orderly and timely fashion
    that an alleged error was not preserved.”).                On the other hand,
    waiver is averted if the State raises the default “at any point in
    the district court proceedings”.            Wiggins v. Procunier, 
    753 F.2d 1318
    , 1321 (5th Cir. 1985) (emphasis added).              It is undisputed the
    State then raised the issue; therefore, in this regard, Banks’
    assertion fails.
    Assuming he defaulted on his Swain claim, Banks contends:                he
    has shown sufficient cause and prejudice.             See, e.g., Harris v.
    Reed,   
    489 U.S. 255
       (1989).     He    maintains     ineffectiveness    of
    counsel, Murray      v.    Carrier,   
    477 U.S. 478
    ,    488-89   (1986),   or
    conflict of interest, Cuyler v. Sullivan, 
    446 U.S. 335
     (1980),
    provide sufficient cause.        Banks contends his trial counsel was
    ineffective for: failing to object; failing to conduct a reasonable
    investigation; and misunderstanding his burden of proof.
    69
    Failure     to     make      a   contemporaneous            Swain     objection       may
    constitute deficient-performance, providing cause for procedural
    default in the light of the evidence supporting the Swain claim.
    Jackson    v.   Herring,         
    42 F.3d 1350
    ,       1358     (11th    Cir.),       cert.
    dismissed, 
    515 U.S. 1189
     (1995).               In the state habeas proceedings,
    Cooksey testified he “probably would have” raised a Swain objection
    had he possessed historical evidence of a practice of systematic
    exclusion of black venire members and would have raised the claim
    if there had been even a “scintilla of success”.                           Banks contends
    Cooksey, as the former District Attorney, was uniquely aware of the
    practice.
    During the last four years of Cooksey’s tenure as District
    Attorney, 94% of black venire members were struck compared with
    approximately     20%       of   whites.          In    this    regard,    at     the    state
    evidentiary     hearing,         Cooksey     conceded      the     District       Attorney’s
    striking    practice,        including        at       Banks’    trial,     was    racially
    disproportionate        –    over     92%    of    black        venire    members       struck
    peremptorily compared to less than 20% of whites.                         Given Cooksey’s
    knowledge, Banks contends Cooksey’s failure to object was not a
    reasonable tactical decision.
    Banks further contends Cooksey failed to conduct a “reasonable
    investigation” into the viability of a Swain claim.                             Strickland,
    466 U.S. at 691.      The state habeas court found Cooksey:                        was aware
    of Swain; evaluated his chances for a successful challenge; and
    70
    concluded he could not prevail.              On the other hand, it also found
    the statistics presented “a prima facie case” of exclusion.                    Banks
    contends:      the record is devoid of any evidence of investigation
    into the merits of a Swain claim; and Cooksey’s testimony was that
    he did not raise a Swain claim                 because, in an earlier case
    prosecuted by Raffaelli, he (Cooksey) noticed two blacks were on
    the jury, even though he conceded on cross-examination that Swain
    required an examination of the striking practice over a series of
    cases.      Banks    maintains       these    inconsistencies,       coupled   with
    counsel’s assurance, during jury selection, that the “State will
    strike all blacks”, suggests Cooksey’s failure to investigate was
    not sound trial strategy and fell below “the range of competence
    demanded of attorneys in criminal cases”.                   Cook v. Lynaugh, 
    821 F.2d 1072
    , 1078 (5th Cir. 1987) (quoting McMann v. Richardson, 
    397 U.S. 759
    , 771 (1970)).
    Again, counsel “must have a firm command of the facts of the
    case as well as the governing law before he can render reasonably
    effective assistance”. Ex Parte Welborn, 
    785 S.W.2d 391
    , 393 (Tex.
    Crim. App. 1990).          Cooksey had an erroneous view of the Swain
    burden of proof.          He believed statistical proof was not useful
    under the circumstances; and that, beyond establishing a prima
    facie    case,      the    defendant         must   prove     the     prosecutor’s
    discriminatory intent.         Establishing a prima facie case, however,
    shifts   the    burden    to   the    State    to   rebut    the    presumption   of
    71
    discrimination.     Willis v. Zant, 
    720 F.2d 1212
    , 1220-21 (5th Cir.
    1983), cert. denied, 
    467 U.S. 1256
     (1984).
    Because the failure to object resulted in an all-white jury,
    Banks contends Cooksey’s deficient-performance prejudiced him.
    Systematic    exclusion   of   blacks    from   petit   juries   slants      the
    judicial process unfairly against black defendants.            See Hollis v.
    Davis, 
    941 F.2d 1471
    , 1482 (11th Cir. 1991) (“[W]e would have
    greater confidence in the [result reached by a racially mixed
    jury], finding much less probability that racial bias had affected
    it”.), cert. denied, 
    503 U.S. 938
     (1992); see also Cassell v.
    Texas, 
    339 U.S. 282
     (1950) (Jackson, J. dissenting).
    The State responds:        the state habeas court found Cooksey
    evaluated his chances of success and determined a Swain claim would
    have been frivolous; and, because Texas courts have repeatedly
    rejected Swain claims, see Andrews, 
    21 F.3d at 623
    ; Evans v. State,
    
    622 S.W.2d 866
     (Tex. Crim. App. 1981), deciding to forgo the Swain
    claim   was   not   constitutionally     deficient,     see   id.;   Wiley    v.
    Puckett, 
    969 F.2d 86
    , 102 (5th Cir. 1992); Koch v. Puckett, 
    907 F.2d 524
    , 526 (5th Cir. 1990).          Because Texas courts repeatedly
    reject Swain claims, the State also contends any objection would
    have been unsuccessful, which prevents Banks from demonstrating
    prejudice.
    Also, Banks claims Cooksey had a conflict of interest because
    a Swain claim would implicate him in his prior role as District
    72
    Attorney.   To warrant relief from procedural default, however, the
    conflict must have been actual, not merely speculative. Barrientos
    v. United States, 
    668 F.2d 838
    , 841 (5th Cir. 1982).               Actual
    conflict exists when “a defense attorney owes duties to a party
    whose interests are adverse to those of the defendant”.        Zuck v.
    Alabama, 
    588 F.2d 436
    , 439 (5th Cir.), cert. denied, 
    444 U.S. 833
    (1979); see also United States v. Martinez, 
    630 F.2d 361
     (5th Cir.
    1980) (previous   representation    of   prosecution   witness),    cert.
    denied, 
    450 U.S. 922
     (1981); Stephens v. United States, 
    595 F.2d 1066
     (5th Cir. 1979) (concurrent representation of prosecution
    witness).   Banks contends the conflict in this case was exposing a
    practice that Cooksey had engaged in for years.
    The State responds that Banks has failed to show a conflict of
    interest under Cuyler, 
    446 U.S. at 348
    .     See Hernandez v. Johnson,
    
    108 F.3d 554
    , 559-60 (5th Cir.) (assuming without deciding the
    Cuyler standard applies when a former district attorney represents
    a defendant), cert. denied, 
    522 U.S. 984
     (1997).       Banks must show:
    trial counsel’s situation was “inherently conducive to divided
    loyalties”, Perillo v. Johnson, 
    205 F.3d 775
    , 801 (5th Cir. 2000)
    (internal quotation marks omitted); and counsel did not pursue the
    strategy because of the conflict,        Hernandez, 
    108 F.3d at 560
    .
    Because mere conclusory allegations are insufficient, Perillo, 
    205 F.3d at 802
    , Banks has failed to show any evidence in the record
    that Cooksey failed to make the Swain objection because of his
    73
    former position.      See also Mickens v. Taylor, 
    122 S. Ct. 1237
    (2002).
    For COA purposes, the Swain claim was procedurally defaulted.
    Texas courts regularly apply the contemporaneous objection rule to
    Swain, as well as to similar Batson, claims.              As for cause and
    prejudice to overcome the default, although it may be that counsel
    was deficient in not contemporaneously raising this claim, Banks
    has failed to show prejudice sufficient to overcome the bar.             In
    the light of the state court’s finding of a prima facie Swain
    violation, the State proved that, for Banks’ trial, no black venire
    member was excluded because of his or her race.           Consequently, for
    his Swain claim, Banks fails to make a substantial showing of the
    denial of a constitutional right.
    4.
    Banks    contends      the   evidence   fails   to   establish   future
    dangerousness beyond a reasonable doubt.         Jackson v. Virginia, 
    443 U.S. 307
     (1979).      At trial, the State relied upon the underlying
    facts   of   the   crime,   Vetrano   Jefferson’s    testimony   of   Banks’
    unprovoked assault with a pistol, and Farr’s testimony that Banks
    sought to reclaim his pistol in Dallas in order to commit armed
    robbery and, if necessary, eliminate witnesses.            Banks maintains
    evidence revealed in this appeal establishes: Jefferson’s testimony
    as to who was the aggressor was misleading; Farr’s testimony was
    74
    false; and, without their testimony, the evidence did not establish
    future dangerousness.
    Although Banks contested sufficiency of the evidence in each
    of his three state habeas petitions, he did not do so on direct
    appeal.   The last state court judgment on this issue (third state
    habeas proceeding) held his claim meritless and expressly and
    unambiguously applied a procedural bar:
    The evidence is sufficient to support an
    affirmative answer to the second [future
    dangerousness] special issue. This claim is
    procedurally barred. Sufficiency of evidence
    may not be raised in collateral attack. Ex
    parte Brown, 
    757 S.W.2d 367
     (Tex. Crim. App.
    1988); Ex parte Williams, 
    703 S.W.2d 6
    [74]
    (Tex. Crim. App. 1986).
    Ex Parte Banks, No. 80-F-86-102-C (D. Ct. Bowie County 22 Feb.
    1993) (unpublished)(emphasis added). The Court of Criminal Appeals
    summarily accepted the findings and conclusions.      See Ex Parte
    Banks, No. 13,568-03 (Tex. Crim. App. 11 Jan. 1996) (unpublished).
    Accordingly, the district court held the claim defaulted. See
    Coleman, 
    501 U.S. 739
    -30.   As discussed supra, even if the state
    court reaches the merits of a claim, federal courts must honor an
    independent and adequate procedural bar.   Harris, 
    489 U.S. at
    264
    n.10; Corwin v. Johnson, 
    150 F.3d 467
    , 473 (5th Cir.), cert.
    denied, 
    525 U.S. 1049
     (1998).   The state court’s invocation of the
    bar must be clear and express; and the bar must be followed
    regularly by state courts and applied to a majority of identical or
    75
    similar claims.   Finley, 243 F.3d at 218; Martin, 
    98 F.3d at
    847-
    48; Amos, 
    61 F.3d at 341
    .
    Texas courts regularly apply this bar to claims raised for the
    first time on collateral review.    See, e.g., Ex parte Sanchez, 
    918 S.W.2d 526
    , 527 (Tex. Crim. App. 1996).     And, as a bar to federal
    habeas review, our court has similarly acknowledged Texas courts’
    application of this bar.    E.g., Renz v. Scott, 
    28 F.3d 431
    , 432
    (5th Cir. 1994); Clark v. State of Texas, 
    788 F.2d 309
    , 310 (5th
    Cir. 1986).
    Nevertheless, Banks asserts: because “state courts repeatedly
    forgave [the failure to raise the claim on direct appeal] and
    reviewed the claim on its merits during [his] first and second
    [state] proceedings”, the state court’s default determination, in
    his third habeas proceeding, was actually a determination that the
    court would not again review the merits.     This contention ignores
    the clear language of the above-quoted last state court decision,
    applying the procedural bar.
    Banks further submits that, even if the claim is defaulted,
    given the record before the court, a miscarriage of justice will
    occur in the absence of review.    Calderon v. Thompson, 
    523 U.S. 538
    (1998); Schlup v. Delo, 
    513 U.S. 298
     (1995).     According to Banks,
    at the federal evidentiary hearing:      Farr testified his penalty
    phase testimony was a misrepresentation, because Banks had no plans
    to commit further crimes; Vetrano Jefferson testified his trial
    76
    testimony was misleading, because he was the aggressor and Banks
    acted primarily to protect his pregnant common-law wife; and Banks’
    unrebutted time of death evidence made it unlikely he could have
    committed the crime.         Banks contends the new evidence shows by
    clear and convincing evidence that, had the jury known of this
    evidence, he would not have been convicted or sentenced to death.
    See Reasonover v. Washington, 
    60 F. Supp. 2d 937
     (E.D. Mo. 1999)
    (key witness testimony fabricated and another witness received
    sentencing leniency); Richter v. Bartee, 
    973 F. Supp. 1118
     (D. Neb.
    1997) (new evidence that complainant fabricated sexual assault).
    As the State correctly observes, the miscarriage of justice
    exception   is    reserved    for   cases     of   factual    innocence.      See
    Rodriguez v. Johnson, 
    104 F.3d 694
    , 697 (5th Cir. 1997).                The State
    contends:   the testimony by Farr and Vetrano Jefferson had nothing
    to do with whether Banks murdered the victim; Banks failed to
    identify    recanted    testimony    from     Cook    showing    Banks’    actual
    innocence; and Banks’ expert admitted it was possible the victim
    was shot when Fisher reported hearing the loud noises.
    For COA purposes, the last state court to address Banks’
    sufficiency claim found it procedurally barred; Banks has failed to
    show   cause     and   prejudice    to    excuse     that    default;   and   the
    miscarriage of justice exception does not apply. In sum, Banks has
    not shown that jurists of reason would find it debatable that the
    district court was incorrect in ruling Banks defaulted this claim.
    77
    III.
    For the foregoing reasons, we DENY the COA requests; REVERSE
    and DENY   the   grant   of   habeas    relief;   and,   therefore,   RENDER
    judgment for Respondent.
    COA and HABEAS RELIEF DENIED; JUDGMENT REVERSED and RENDERED
    78