Post v. Bradshaw ( 2005 )


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  •                              RECOMMENDED FOR FULL-TEXT PUBLICATION
    Pursuant to Sixth Circuit Rule 206
    File Name: 05a0319p.06
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT
    _________________
    X
    Petitioner-Appellant, -
    RONALD POST,
    -
    -
    -
    No. 03-4085
    v.
    ,
    >
    MARGARET BRADSHAW,                                       -
    Defendant-Appellee. -
    N
    Filed: July 29, 2005
    Before: SILER, BATCHELDER, and COLE, Circuit Judges.
    _________________
    ORDER
    _________________
    ALICE M. BATCHELDER, Circuit Judge. The district court entered an order based upon
    the procedure outlined in First Nat’l Bank of Salem, Ohio v. Hirsch, 
    535 F.2d 343
    (6th Cir. 1976),
    stating that it is inclined to grant Petitioner Post’s FED. R. CIV. P. 60(b) (“Rule 60(b)”) motion to
    vacate the judgment dismissing his habeas corpus petition in order to permit Post to undertake
    limited discovery. Following the entry of this order, Post filed a motion with this court seeking
    remand. Because the district court committed legal error by failing to recognize that the relief
    sought in the Rule 60(b) motion is barred by 28 U.S.C. § 2254(i), and because Post’s motion
    constitutes a second or successive habeas petition that the federal courts do not have the power to
    adjudicate, Post’s motion for remand must be DENIED.
    I.
    The facts in this case are set out in detail in Judge Wells’s order. The facts relevant to our
    inquiry are these. In November 1997, Mr. Post, assisted by the Ohio Public Defenders office and
    one court-appointed private attorney, filed a petition for a writ of habeas corpus in federal district
    court pursuant to 28 U.S.C. § 2254. Following the filing of the initial petition, Judge Wells granted
    in part and denied in part Post’s augmented motion to obtain discovery pursuant to Habeas Rule 6.
    Mr. Post’s case was then handed from attorney-to-attorney in the Public Defenders office, although
    the private attorney continued as counsel until he obtained permission from this court to withdraw
    in June 2004. None of Post’s counsel ever conducted the discovery, and in May 2003, the district
    court denied his petition for habeas corpus on the merits.
    After appealing the district court’s denial of a certificate of appealability for certain claims,
    Post’s attorneys filed a Rule 60(b)(6) motion for partial relief from the judgment denying habeas
    relief. The district court issued an order stating that counsel’s failure to pursue discovery was
    “inexcusable neglect” cognizable under Rule 60(b)(6), and stating its intention to grant the motion.
    Post’s attorneys then filed in this court a motion for remand.
    1
    No. 03-4085            Post v. Bradshaw                                                           Page 2
    II.
    At the time that the Rule 60(b) motion was filed in the district court, Post already had an
    appeal pending in this court which deprived the district court of jurisdiction to issue a final ruling
    on the motion. See Lewis v. Alexander, 
    987 F.2d 392
    , 394 (6th Cir. 1993). Accordingly, the district
    court provisionally granted a Rule 60(b) motion pursuant to the procedure this court prescribed in
    First Nat’l Bank of Salem, Ohio v. Hirsch, 
    535 F.2d 343
    (6th Cir. 1976).
    Under the rule in Hirsch, where a party wishes to file a Rule 60(b) motion but already has
    an appeal pending in this court, “the proper procedure is for him to file his motion in the District
    Court. If that court indicates that it will grant the motion, the appellant should then make a motion
    in this court for a remand of the case in order that the District Court may grant the motion . . . .” 
    Id. at 346
    (citation omitted). On Hirsch review, we may not simply grant such motions for remand as
    a matter of course—particularly where, as here, the basis for remand cited by the district court is
    predicated on legal error. It would be odd indeed if the Hirsch procedure—which is intended to
    promote judicial efficiency—nonetheless required this court to rubberstamp remand motions arising
    from Rule 60(b) claims that cannot succeed as a matter of law.
    As an initial matter, we note that the district court issued its provisional order without the
    benefit of relevant case law that was subsequently handed down. In In re Abdur’Rahman, 
    392 F.3d 174
    (6th Cir. 2004) (en banc), we held that in cases filed after the effective date of the Antiterrorism
    and Effective Death Penalty Act (“AEDPA”), Pub. L. No. 104-132, 110 Stat. 1214 (1996), “[in]
    which the factual predicate in support of the motion attacks the manner in which the earlier habeas
    judgment was procured and is based on one or more of the grounds enumerated in Rule 60(b),” this
    court may consider the claim as a motion under Rule 60(b) instead of dismissing it as a second or
    successive habeas petition. 
    Abdur’Rahman, 392 F.3d at 177
    . In Gonzalez v. Crosby, 
    125 S. Ct. 2641
    (2005), decided after Abdur’Rahman, the Supreme Court held that Rule 60(b) remains viable
    in the habeas context only to the extent it is “not inconsistent with” AEDPA and other applicable
    federal statutory provisions and rules. 
    Gonzalez, 125 S. Ct. at 2646
    . Gonzalez also held that a
    habeas petitioner’s filing that “seeks vindication of” a federal habeas claim is, if not in substance
    a habeas corpus application, “at least similar enough that failing to subject it to the same
    requirements would be ‘inconsistent with’” the AEDPA-amended habeas statutes. 
    Id. at 2647.
    Finally, Gonzalez held that “[i]f neither the [Rule 60(b)] motion itself nor the federal judgment from
    which it seeks relief substantively addresses federal grounds for setting aside the movant’s state
    conviction, allowing the motion to proceed as denominated creates no inconsistency with the habeas
    statute or rules.” 
    Id. at 2648.
    Because it is a Supreme Court case decided subsequent to
    Abdur’Rahman, Gonzalez controls our analysis of Post’s Rule 60(b) motion.
    III.
    The threshold issue we must decide is whether the district court has jurisdiction to grant
    Post’s motion, even if it purports to be based on a ground enumerated in Rule 60(b). In determining
    that Post’s motion falls within one of the grounds enumerated in Rule 60(b)—specifically, Rule
    60(b)(6)—the district court relied upon Fuller v. Quire, 
    916 F.2d 358
    (6th Cir. 1990). In Fuller, we
    held that the district court properly granted a Rule 60(b)(6) motion for “inexcusable neglect” where
    the petitioner’s attorney defaulted the petitioner’s civil case by failing to appear at a docket call, and
    where the attorney admitted that he had no cause for his negligence. 
    Id. at 361.
    The district court
    failed to take into account, however, that unlike Fuller’s case, Post’s case is a post-conviction
    collateral attack brought pursuant to 28 U.S.C. § 2254, as amended by AEDPA § 104. Relevant to
    this case, § 2254 specifically mandates that “[t]he ineffectiveness or incompetence of counsel during
    Federal or State collateral post-conviction proceedings shall not be a ground for relief in a
    proceeding arising under section 2254.” 28 U.S.C. § 2254(i). If Post’s Rule 60(b) motion “arises
    No. 03-4085                Post v. Bradshaw                                                                         Page 3
    under” § 2254, then it is precluded by the explicit provisions of § 2254(i). We conclude that this
    motion is thus precluded.
    Post’s motion seeks relief from the judgment entered in his habeas proceeding brought under
    28 U.S.C. § 2254. The motion seeks relief based on the failure of Post’s counsel to pursue the
    discovery for which Post had sought and obtained the district court’s approval. We think it is clear
    that, whatever appellation we might apply to counsel’s neglect, the ground on which Post seeks
    relief in this Rule 60(b) motion is the incompetent and ineffective representation he received during
    that federal post-conviction collateral review. But relief on that ground is not permitted under
    AEDPA.
    Section 2254 is expansive in its prohibition here: “The ineffectiveness or incompetence of
    counsel during Federal or State collateral post-conviction proceedings shall not be a ground for relief
    in a proceeding arising under section 2254.” 28 U.S.C. § 2254(i). The language of this statute is
    clear. It expressly bars relief grounded on claims of incompetent or ineffective counsel in federal
    post-conviction proceedings. See Duncan v. Walker, 
    533 U.S. 167
    , 172-73 (2001) (highlighting the
    term “federal” in 28 U.S.C. § 2254(i) to illustrate that Congress deliberately included “federal” in
    several sections of AEDPA to denote the applicability of provisions—such as the rule against
    ineffective assistance claims—to federal collateral post-conviction proceedings). And it bars
    “relief,” not simply particular kinds of relief, such as a writ of habeas corpus. We        conclude,
    therefore, that the relief Post seeks is explicitly barred by the provisions of § 2254(i).1
    It is well settled that the Federal Rules of Civil Procedure “do not extend or limit federal
    jurisdiction, but they implement the exercise of existing jurisdiction, which has been conferred by
    statute.” Edwards v. E.I. Du Pont De Nemours & Co., 
    183 F.2d 165
    , 168 (5th Cir. 1950); see also
    Sibbach v. Wilson & Co., 
    312 U.S. 1
    , 10 (1941) (noting that the federal jurisdiction created by
    statute may not be extended or restricted by court-enacted rules). It is equally “well established that
    federal courts are courts of limited jurisdiction, possessing only that power authorized by the
    Constitution and statute, which is not to be expanded by judicial decree.” Hudson v. Coleman, 
    347 F.3d 138
    , 141 (6th Cir. 2003) (internal citations omitted). The jurisdiction of federal courts to
    entertain Rule 60(b) challenges to judgments entered in habeas proceedings brought under AEDPA,
    therefore, must be predicated on the very same jurisdiction granted to the federal courts by AEDPA.
    Gonzalez makes clear that, post-AEDPA, Rule 60(b) continues to have “an unquestionably valid role
    to play in habeas cases.” 
    Gonzalez, 125 S. Ct. at 2649
    . But Gonzalez also makes it clear that when
    the AEDPA-amended habeas statutes conflict with Rule 60(b), AEDPA controls. See 
    id. at 2646;
    see also Callihan v. Schneider, 
    178 F.3d 800
    , 802 (6th Cir. 1999) (“[A] statute passed after the
    effective date of a federal rule repeals the rule to the extent of the actual conflict.”) (citing Autoskill
    1
    We are puzzled by the dissent’s argument that § 2254(i) “merely codifies the long held view that alleged
    constitutional errors during collateral attack of a state court conviction cannot be grounds for issuance of a writ of habeas
    corpus.” See Dissent at 9. If Congress had meant to codify the ineffectiveness standard of Strickland v. Washington,
    
    466 U.S. 668
    (1984), one would expect Congress to have confined itself to the precise language of the Supreme Court’s
    opinion; however, neither “incompetent” nor “incompetence” is ever used by the Strickland majority. But more
    fundamentally, in order to obtain federal habeas relief, a petitioner must establish that he is “in custody pursuant to the
    judgment of a State court . . . in violation of the Constitution or laws or treaties of the United States.” 28 U.S.C.
    § 2254(a). Section 2254(i)’s “ineffectiveness or incompetence of counsel during Federal or State collateral post-
    conviction proceedings” does not address the legality of the state court judgment, and, as the dissent concedes, does not
    even identify a federal constitutional violation–since a petitioner does not have a constitutional right to habeas counsel,
    much less a right to effective habeas counsel. See Dissent at 9. The dissent’s interpretation of § 2254(i) therefore
    requires us to believe that Congress enacted the provision to bar only a type of habeas relief that is clearly not a valid
    form of habeas relief independent of § 2254(i). Our interpretation of § 2254(i) as prohibiting more than just habeas relief
    for constitutionally ineffective counsel is not only a commonsense reading of § 2254(i)’s text, but also avoids an
    interpretation that renders the provision entirely superfluous. See Broadcast Music, Inc. v. Roger Miller Music, Inc., 
    396 F.3d 762
    , 769 (6th Cir. 2005) (“Courts are to make every effort to interpret provisions so that other provisions in the
    statute are not rendered inconsistent, superfluous, or meaningless.”).
    No. 03-4085           Post v. Bradshaw                                                         Page 4
    Inc. v. National Educ. Support Sys., Inc., 
    994 F.2d 1476
    , 1485 (10th Cir.), cert. denied, 
    510 U.S. 916
    (1993)). Here, of course, AEDPA has made it explicit that a claim of “ineffectiveness or
    incompetence of counsel during Federal or State collateral post-conviction proceedings” is not a
    ground for relief in a proceeding arising under § 2254. The bringing of such a claim is therefore not
    a valid role for Rule 60(b), and AEDPA denies the federal courts the power to entertain Post’s
    motion in the instant case.
    IV.
    Post’s motion is clearly a second or successive habeas petition that is forbidden by the
    AEDPA-amended provisions of 28 U.S.C. § 2244(b). A Rule 60(b) motion is a second or successive
    habeas petition when it “seeks vindication of” or “advances” one or more “claims.” 
    Gonzalez, 125 S. Ct. at 2647-48
    . A “claim” is “an asserted federal basis for relief from a state court’s judgment
    of conviction,” and “[a] motion can . . . be said to bring a ‘claim’ if it attacks the federal court’s
    previous resolution of a claim on the merits.” 
    Id. “On the
    merits” refers “to a determination that
    there exist or do not exist grounds entitling a petitioner to habeas corpus relief under 28 U.S.C.
    §§ 2254(a) and (d),” and a motion does not attack a determination on the merits when the motion
    “merely asserts that a previous ruling which precluded a merits determination was in error–for
    example, a denial for such reasons as failure to exhaust, procedural default, or statute-of-limitations
    bar.” 
    Id. at 2648
    n.4.
    Post’s Rule 60(b) motion seeks to advance, through new discovery, claims that the district
    court previously considered and dismissed on substantive, constitutional grounds: i.e., on the merits.
    The motion is therefore a second or successive habeas petition. It makes no difference that the
    motion itself does not attack the district court’s substantive analysis of those claims but, instead,
    purports to raise a defect in the integrity of the habeas proceedings, namely his counsel’s
    failure—after obtaining leave to pursue discovery—actually to undertake that discovery; all that
    matters is that Post is “seek[ing] vindication of” or “advanc[ing]” a claim by taking steps that lead
    inexorably to a merits-based attack on the prior dismissal of his habeas petition. See 
    id. at 2647-48.
    In fact, Gonzalez makes explicit that a Rule 60(b) motion is in effect a successor petition if it
    “seek[s] leave to present ‘newly discovered evidence’ in support of a claim previously denied,” 
    id. at 2647
    (internal citation omitted); and that “an attack based on the movant’s own conduct, or his
    habeas counsel’s omissions, ordinarily does not go to the integrity of the proceedings, but in effect
    asks for a second chance to have the merits determined favorably.” 
    Id. at 2648
    n.5 (internal citation
    omitted). Through his Rule 60(b) motion, Post seeks discovery that might provide new evidence
    that he could present in support of claims previously denied, and his theory of “inexcusable neglect”
    constitutes an attack based on his habeas counsel’s omissions. The Rule 60(b) motion, therefore,
    is in effect a second or successive habeas petition that seeks to present claims that have already been
    adjudicated in a previous petition. Because AEDPA denies federal courts the jurisdiction to
    adjudicate such a petition, see 
    id. at 2646-48;
    28 U.S.C. § 2244(b)(1), we must deny Post’s motion.
    V.
    That we must deny the relief Post seeks does not vindicate the egregious conduct of the Ohio
    Public Defenders Office in this case—conduct which the district court held and the Ohio Public
    Defenders Office not only admits but now, in an apparent attempt to circumvent the law,
    affirmatively argues was “inexcusable neglect.” Perhaps Congress had in mind exactly this kind of
    “representation” by counsel when it removed “ineffectiveness or incompetence of counsel during
    Federal or State collateral post-conviction proceedings” as a ground for relief in proceedings arising
    under § 2254. In any event, we are curious as to the justification for the public funds paid to the
    Ohio Public Defenders office and the outside counsel for Mr. Post’s habeas proceeding. Based on
    the district court’s recounting of the facts, there is scant evidence of competent legal work being
    accomplished by counsel in Mr. Post’s case between the time that the augmented motion for
    No. 03-4085           Post v. Bradshaw                                                        Page 5
    discovery was filed and the time that the COA appeal and Rule 60(b) motion were filed. And yet
    the record reflects that William Mooney of the Ohio Public Defenders Office was paid at least
    $15,637, William Lazarow of the Ohio Public Defenders Office was paid at least $6,165.60, and
    Henry Hilow, Post’s outside counsel, was paid at least $15,260.10, all out of monies provided under
    the Criminal Justice Act.
    VI.
    We understand that Mr. Post was failed by his attorneys. However, because there is no
    constitutional right to counsel in habeas proceedings, see Coleman v. Thompson, 
    501 U.S. 722
    , 752-
    53 (1991); because Congress has forbidden relief for ineffective or incompetent representation in
    post-conviction collateral review; and because Congress has barred relief for claims adjudicated in
    a previous habeas petition, the district court cannot grant Post’s Rule 60(b) motion, and we therefore
    have no basis upon which to remand the case. Accordingly, we DENY the Motion to Remand.
    No. 03-4085           Post v. Bradshaw                                                        Page 6
    R. GUY COLE, JR., Circuit Judge, dissenting. Since the majority ignores the Supreme
    Court’s clear mandate in the recent decision Gonzalez v. Crosby, — S.Ct. —, 
    2005 WL 1469516
    (2005), and gives an unwarranted interpretation of the relationship between the Antiterrorism and
    Effective Death Penalty Act, Pub. L. No. 104-132, 110 Stat. 1214 (1996) (“AEDPA”), and Rule
    60(b), I respectfully dissent.
    I.
    During the robbery of a motel, Ronald Post murdered Helen Vantz. Post pleaded guilty to
    aggravated murder in the Lorain County Court of Common Pleas, Ohio, and was sentenced to death.
    In June of 1997, Post was appointed two attorneys from the Ohio Public Defender’s Office, and one
    private attorney, to assist him in filing a petition for a writ of habeas corpus pursuant to 28 U.S.C.
    § 2254. In January of 1999, the district court allowed Post to conduct limited discovery under
    Habeas Rule 6. See FED. R. GOVERNING § 2254 CASES 6 (outlining procedure for granting discovery
    to a habeas petitioner.) Such discovery was to include depositions of a jailhouse informant, a
    polygraph examiner, and various members of the Lorain County Prosecutor’s Office, and document
    requests relating to the same.
    Post’s attorneys failed to perform the discovery. The state attorney initially assigned to the
    matter, Kathryn Sandford, left the Ohio Public Defender’s Office around the time the district court
    granted the discovery. Her successor, William Mooney, failed to follow through and conduct the
    discovery. The case was then transferred to the Chief Counsel of the Death Penalty Division,
    Gregory Myers. Myers assigned the case to another attorney, William Lazarow, in May of 1999.
    However, neither Myers nor Lazarow performed the discovery. Nor did Post’s private attorney,
    Henry Hilow, perform the discovery. In statements to the district court, none of Post’s attorneys
    offered any adequate explanation or reason for failing to conduct discovery.
    Post began to seek additional assistance given his attorneys’ lapses. In April of 2000, Post
    wrote a letter to the Ohio Public Defender, as well as to his current and former counsel, stating he
    was receiving inadequate representation, and that his attorneys were not conducting discovery. In
    July of 2000, Post wrote a letter seeking the district court’s aid in obtaining a response from his
    attorneys. The district court scheduled a conference call with the various parties in August of 2000.
    Shortly thereafter, Post sought additional help from the American Bar Association and Professor
    James Liebman of Columbia University. Both declined representation as the Ohio Public Defender
    was still representing Post.
    Sometime thereafter, Lazarow resigned from the office of the Ohio Public Defender. The
    resignation left the office “short-handed,” D. Ct. Op. at 4, and in February 2002, the Ohio Public
    Defender informed Post that he “must expect to be in a holding period without access to counsel for
    several months.” 
    Id. Post continued
    to write letters to various attorneys seeking additional
    assistance.
    In May of 2003, the district court denied Post’s petition for habeas relief. The Ohio Public
    Defender then assigned new attorneys, Timothy Payne and Rachel Troutman, to represent Post on
    appeal. During their review of Post’s file, Payne and Troutman became aware that Post had been
    granted additional discovery that had never been conducted.
    No. 03-4085              Post v. Bradshaw                                                                   Page 7
    Consistent with the procedures announced in First Nat’l Bank of Salem v. Hirsch, 
    535 F.2d 343
    (6th Cir. 1976), Post moved for Rule 60(b) relief in the district court. The district court
    indicated it would grant the Rule 60(b) motion, noting that the Ohio Public Defender’s actions in
    failing to conduct discovery amounted to “inexcusable neglect” under Fuller v. Quire, 
    916 F.2d 358
    (6th Cir. 1990).
    Post thereupon asked this Court to remand the matter to the district court. Our order today
    deals with this motion to remand.
    II.
    In Hirsch, this Court set forth “the proper procedure which a party should follow when it
    seeks to make a motion under Rule 60(b) to vacate the judgment of the district court, after a notice
    of appeal has been filed.” 
    Hirsch, 535 F.2d at 345
    . Since a notice of appeal divests the district court
    of jurisdiction except for matters in aid of appeal, see Inland Bulk Transfer Co. v. Cummins Engine
    Co., 
    332 F.3d 1007
    , 1013 (6th Cir. 2003), a district court lacks jurisdiction to grant relief from
    judgment pursuant to Rule 60(b). However, the authority to grant relief from judgment rests with
    the trial court, and not with the court of appeals. See 
    Hirsch, 535 F.2d at 345
    (citing Herring v.
    Kennedy-Herring Hardware Co., 
    261 F.2d 202
    , 204 (6th Cir. 1958)). Accordingly, Hirsch requires
    that a party pressing a Rule 60(b) motion follow this procedure:
    [W]e think that the party seeking to file a Rule 60(b) motion . . . should have filed that
    motion in the district court. If the district court is disposed to grant the motion, he may enter
    an order so indicating and the party may then file a motion to remand in this court.
    
    Id. at 346
    .
    Here, the district court indicated it was inclined to grant Rule 60(b) relief, and in particular,
    relief under subsection (6), on the grounds that Post’s attorneys’ failure to conduct discovery was
    “inexcusable neglect.” Accordingly, under the procedure described in Hirsch, we are required to
    determine whether remand is appropriate.
    Generally, when the district court follows the Hirsch procedure and indicates that it would
    grant Rule 60(b) relief, we grant a motion to remand as a matter of course. See, e.g., Hadix v.
    Johnson, 64 Fed. Appx. 531 (6th Cir. May 29, 2003); Hamm v. Fed. Express Corp., 30 Fed. Appx.
    594 (6th   Cir. March 12, 2002); Zerla v. Mohr, No. 99-3071, 
    1999 WL 313900
    (6th Cir. May 3,
    1999).1 However, the majority notes that a remand pursuant to Hirsch would be inappropriate if the
    district court lacked authority to grant relief from judgment under Rule 60(b). In particular, the
    majority believes that 28 U.S.C. § 2254(i), which states that “The ineffectiveness or incompetence
    of counsel during Federal or State collateral post-conviction proceedings shall not be a ground for
    relief in a proceeding arising under section 2254,” restricts the jurisdiction of the district court vis-a-
    vis Rule 60(b). The majority then holds that the “inexcusable neglect” of habeas counsel is nothing
    more than a claim for ineffective assistance of counsel on collateral attack. Since such relief is
    barred by AEDPA, the majority holds that the district court lacks jurisdiction to grant the motion,
    and therefore, remand from this Court would be inappropriate.
    1
    This is especially true where the party losing a motion for a Hirsch remand could again appeal the district
    court’s eventual grant of a Rule 60(b) motion for relief from judgment.
    No. 03-4085           Post v. Bradshaw                                                              Page 8
    III.
    I disagree. The majority’s reading of § 2254(i) is inconsistent with a straightforward reading
    of the Supreme Court’s recent landmark ruling on Rule 60(b) in habeas proceedings, Gonzalez v.
    Crosby, — S.Ct. —, 
    2005 WL 1469516
    (June 23, 2005).
    Gonzalez dealt with whether AEDPA’s restrictions on a second or successive habeas petition
    categorically barred a petitioner’s Rule 60(b) motion seeking post-judgment relief. See Gonzalez,
    — S.Ct. —, 
    2005 WL 1469516
    , at *3. The Supreme Court unanimously held that it does not. See
    
    id. at *8
    (Scalia, J. for the Court); 
    id. (Breyer J.
    , concurring separately); 
    id. at *9
    (“The most
    significant aspect of today’s decision is the Court’s unanimous rejection of the view that all
    postjudgment motions under Federal Rule of Civil Procedure 60(b) except those alleging fraud under
    Rule 60(b)(3) should be treated as second or successive habeas petitions.”) (Stevens, J., dissenting).
    In particular, the Supreme Court noted the following test for determining whether a Rule 60(b)
    motion is to be considered a second or successive habeas petition:
    In most cases, determining whether a Rule 60(b) motion advances one or more
    “claims” [for habeas relief] will be relatively simple. A motion that seeks to add a
    new ground for [habeas] relief . . . will of course qualify. A motion can also be said
    to bring a “claim” if it attacks the federal court’s previous resolution on the merits,
    since alleging that the court erred in denying habeas relief on the merits is effectively
    indistinguishable from alleging that the movant is, under the substantive provisions
    of the statutes, entitled to habeas relief. That is not the case, however, when a Rule
    60(b) motion attacks, not the substance of the federal court’s resolution of a claim
    on the merits, but some defect in the integrity of the federal habeas proceedings.
    Gonzalez, — S.Ct. —, 
    2005 WL 1469516
    , at *5 (emphasis in original). In determining whether a
    claim was “on the merits,” the Supreme Court referred “to a determination that there exist or do not
    exist grounds entitling a petitioner to habeas corpus relief under 28 U.S.C. §§ 2254(a) and (d).” 
    Id. at *5
    n.4. The Supreme Court noted that “if neither the motion itself nor the federal judgment from
    which it seeks relief substantially addresses federal grounds for setting aside the movant’s state
    conviction, allowing the motion to proceed as denominated creates no inconsistency with the habeas
    statute or rules.” 
    Id. at *5
    .
    Despite this language, the majority believes that Gonzalez somehow precludes review of the
    Rule 60(b) motion in this case. The majority first notes that, under Gonzalez, “Rule 60(b) remains
    viable in the habeas context only to the extent it is ‘not inconsistent with’ AEDPA and other
    applicable federal statutory provisions and rules.” Majority Op. at 2 (citing Gonzalez, — S.Ct. —,
    
    2005 WL 1469516
    , at *3). The majority then makes the unwarranted inference that § 2254(i)
    somehow prevents review of the Rule 60(b) motion in this case. Such a view is clearly incompatible
    with the reasoning of Gonzalez regarding the proper interplay between AEDPA and Rule 60(b).
    In Gonzalez, the Supreme Court analyzed the language of § 2244(b)(1) concerning whether
    “a ‘claim presented in a second or successive habeas corpus application’ was also ‘presented in a
    prior application.’” Gonzalez, — S.Ct. —, 
    2005 WL 1469516
    , at *4 (citing 28 U.S.C § 2244(b)(1))
    (emphasis added). Though the noun “claim” in § 2244(b)(1) contains no immediate modifying
    language—such as, for example, “habeas claim”—the Supreme Court nevertheless determined that
    given applicable statutes and case law, such unmodified language did not encompass all possible
    and generic legal “claims.” The Supreme Court noted that, under the express terms of § 2244(b)(1),
    the restricted “claims” are those found in an “application” for habeas relief. 
    Id. (citing Woodford
    v. Garceau, 
    538 U.S. 202
    , 207 (2003)). Accordingly, “These statutes, and our decisions, make clear
    that a ‘claim’ as used in § 2244(b) is an asserted federal basis for relief from a state court’s judgment
    of conviction.” 
    Id. No. 03-4085
              Post v. Bradshaw                                                           Page 9
    Despite this reasoning, the majority believes that a Rule 60(b) motion is precluded by
    § 2254(i). The majority’s sole reason for this assertion is as follows: “[Section 2254(i)] bars ‘relief,’
    not simply particular kinds of relief, such as a writ of habeas corpus. We conclude, therefore, that
    the relief Post seeks is explicitly barred by the provisions of § 2254(i).” Majority Op. at 3.
    Such reasoning is inconsistent with the plain language of the statute. Section 2254(i)
    prohibits “ineffectiveness or incompetence of counsel during Federal or State collateral post-
    conviction proceedings” from being “a ground for relief in a proceeding arising under section 2254.”
    Like the Supreme Court in Gonzalez, I believe such language clearly indicates the term “relief”
    encompasses only relief from a state court’s judgment of conviction—that is, habeas relief.
    First, the language of § 2254(i) is explicitly limited to prevent the type of expansive reading
    that the majority believes appropriate. The term “ineffectiveness or incompetence of counsel” is a
    term of art that specifically refers to constitutionally deficient counsel. See Strickland v.
    Washington, 
    466 U.S. 668
    , 686-96 (1984). Ineffective assistance of counsel requires that “counsel
    made errors so serious that counsel was not functioning as the ‘counsel’ guaranteed the defendant
    by the Sixth Amendment.” Riggs v. United States, 
    209 F.3d 828
    , 831 (6th Cir. 2000) (quoting
    
    Strickland, 466 U.S. at 687
    ). In other words, the constitutional dimension of the phrase
    “ineffectiveness or incompetence of counsel” merely codifies the long held view that alleged
    constitutional errors during collateral attack of a state court conviction cannot be grounds for
    issuance of a writ of habeas corpus. Indeed, the Supreme Court has never held that prisoners have
    any right to counsel, let alone effective counsel, on collateral attack. See Pennsylvania v. Finley,
    
    481 U.S. 551
    , 555 (1987); Johnson v. Avery, 
    393 U.S. 483
    , 488 (1969).
    Second, this view is buttressed by specific language that relief “arising under section 2254”
    applies to habeas relief. 28 U.S.C. § 2254(i). As noted by the actual terms of the statute, the express
    purpose of a federal proceeding under § 2254 is to challenge “the judgment of a State court only on
    the ground that [the petitioner] is in custody in violation of the Constitution or the laws or treaties
    of the United States.” 28 U.S.C. § 2254(a). Accordingly, any relief “arising under section 2254”
    concerns the constitutionality of a state court conviction—that is, habeas relief—and does not
    concern various intermediary rulings of a district court during the adjudication of such a petition.
    This view is perfectly consistent with the notion that constitutionally ineffective counsel during
    collateral attack cannot be a ground for habeas relief. Since habeas relief is concerned with
    constitutional error by the state court, any alleged constitutional error during collateral attack is not
    an appropriate ground for relief.
    Third, the majority’s expansive reading of § 2254(i) defies common sense. According to the
    majority, because the term “relief” is arguably unspecified, it apparently extends to any kind of
    ruling that might favor the habeas petitioner. Accordingly, if the petitioner’s habeas counsel misses
    a deadline for filing a discovery response or a reply brief and offers no adequate justification, an
    extension of time or new deadline could not be granted by the district court. As the majority would
    have it, such a “jurisdictional” bar would occur without regard to how small the extension of time,
    or even whether such extension is unopposed by the state. Such a view leads to the absurd
    conclusion that AEDPA was designed to interfere with the mundane functions and day-to-day
    management properly left to the inherent discretion of the district court—such as briefing schedules,
    discovery deadlines, hearing dates, and the admission of defense counsel pro hac vice.
    Fourth, it is unclear how an appellate grant of jurisdiction to the district court pursuant to the
    Hirsch procedure constitutes “relief” under § 2254. Here, petitioner merely seeks, under Rule 60(b),
    No. 03-4085              Post v. Bradshaw                                                                   Page 10
    to perform the discovery that was previously granted by the district court. Such a remand does not
    affect the underlying state court conviction at issue in a § 2254 proceeding.2
    Fifth, by its terms, § 2254(i) is not even applicable here. As noted by the majority, Post’s
    claim on a Rule 60(b) motion is for “inexcusable neglect” under Fuller, 
    916 F.2d 358
    , not
    ineffective assistance of counsel. In his pleadings on the instant motion to remand, Post specifically
    notes he does not seek to establish an additional constitutional claim for ineffective assistance of
    counsel. Nor does Post seek to satisfy the familiar two-prong test for ineffective assistance of
    counsel. See, e.g., 
    Strickland, 466 U.S. at 687
    (noting that to establish ineffective assistance of
    counsel, claimant must establish deficient performance and prejudice).
    Nor does the majority here deal with the policy considerations enumerated in Gonzalez
    supporting the continued viability of Rule 60(b) motions under AEDPA. Like the Supreme Court,
    I believe that determination of whether a Rule 60(b) motion seeks habeas relief, as opposed to some
    other kind of relief, is “relatively simple.” Gonzalez, — S.Ct. —, 
    2005 WL 1469516
    , at *5. Where
    a Rule 60(b) motion “confines itself not only to the first federal habeas petition, but to a nonmerits
    aspect of the first federal habeas proceeding,” 
    id., the motion
    does not seek the habeas relief
    prohibited by § 2254(i). Furthermore, the continued use of Rule 60(b) motions under AEDPA
    allows both parties—the petitioner as well as the state—to revisit judgments erroneously or
    improvidently granted on procedural or jurisdictional grounds. 
    Id. at *6.
    And as amply noted by
    the Supreme Court and our case law, relief under Rule 60(b) is highly circumscribed by the language
    of the rule, undermining fears that federal courts will be exposed “to an avalanche of frivolous
    postjudgment motions.” Id.; see also Blue Diamond Coal Co. v. Trs. of the UMWA Combined
    Benefit Fund, 
    249 F.3d 519
    , 523-24 (6th Cir. 2001) (noting express and implied limits on relief
    under Rule 60(b)).
    Given these policy considerations, the majority’s continued insistence that AEDPA
    categorically prohibits the operation of Rule 60(b) in habeas cases rests on an unsound reading of
    the statute. Gonzalez, — S.Ct. —, 
    2005 WL 1469516
    , at *6 n.7 (noting that the “near-absolute bar”
    on Rule 60(b) motions was based on an a less than sound reading of AEDPA). In short, the majority
    seeks to invent a “conflict” between Rule 60(b) and AEDPA, Majority Op. at 5-6, where none need
    exist. Such a reading violates our general presumption against reading conflicts into a statute. See,
    e.g., Ruckelshaus v. Monsanto Co., 
    467 U.S. 986
    , 1018 (1994) (“[W]here two statutes are capable
    of co-existence, it is the duty of the courts, absent a clearly expressed congressional intention to the
    contrary, to regard each as effective.”). As noted by the Supreme Court, a “claim” is “on the merits”
    if it refers to a “determination there exist or do not exist grounds entitling a petitioner to habeas
    corpus relief . . . .” See Gonzalez, — S.Ct. —, 
    2005 WL 1469516
    , at *5 n.4. That the majority can
    conclude that the petitioner’s motion, based entirely on the conduct of his attorneys during the
    hearing of his federal habeas petition, is somehow “on the merits” under the Supreme Court’s clear
    definition in Gonzalaz, defies logic. Such an interpretation plainly ignores the mandate of Gonzalez,
    which we cannot do.
    Accordingly, I would hold that AEDPA, and specifically § 2254(i), does not preclude the
    district court from hearing petitioner’s Rule 60(b) motion, nor does it preclude us from issuing a run-
    of-the-mill Hirsch remand in this case.
    2
    Accordingly, even if one agrees with the majority’s broader interpretation of 2254(i)’s language regarding
    “ineffectiveness or incompetence of counsel”, see Majority Op. at 3 n.1, this section simply does not preclude a grant
    of the Rule 60(b) motion sought by the petitioner. In other words, a Hirsch remand, or the provisional grant of a Rule
    60(b) motion seeking to perform the discovery previously granted, cannot be considered “relief” under § 2254(i).
    No. 03-4085           Post v. Bradshaw                                                        Page 11
    IV.
    The majority is also incorrect in believing that petitioner’s Rule 60(b) motion can be
    construed as a “second or successive habeas petition” under 28 U.S.C. § 2244(b). In Gonzalez, the
    Supreme Court made it clear that a Rule 60(b) “attack based on the movant’s own conduct, or his
    habeas counsel’s omissions [] ordinarily does not go to the integrity of the proceedings, but in effect
    asks for a second chance to have the merits determined favorably.” Gonzalez, — S.Ct. —, 
    2005 WL 1469516
    , at *5 n.5. Such a view does not undermine the propriety of granting Rule 60(b) relief in
    this case. As specifically noted by the Court, the aforementioned prohibits situations where: (1) “a
    movant’s habeas petition had omitted a claim of constitutional error, and [sought] leave to present
    the claim”; (2) “a motion might seek leave to present newly discovered evidence”; and (3) “a motion
    might contend that a subsequent change in substantive law is a reason justifying relief.” 
    Id. at *4
    (interior quotes and citations omitted). Here, none of these situations apply. Petitioner’s Rule 60(b)
    motion seeks merely to perform discovery previously granted pursuant to pre-existing habeas claims,
    and cannot be considered either a novel and omitted claim for habeas relief (example (1)) or a
    subsequent change in decisional law (example (3)).
    Nor is completion of the previously granted discovery properly considered “newly
    discovered evidence” justifying relief from the state court’s conviction. Under either Rule 60(b)(2)
    or § 2254(b)(2)(B)(i), such evidence must not have been discoverable previously by the exercise of
    due diligence. Section 2254(b)(2)(B)(ii) makes the additional requirement that such evidence must
    establish by clear and convincing evidence that “but for constitutional error, no reasonable factfinder
    would have found the applicant guilty of the underlying offense.” Here, the petitioner’s Rule 60(b)
    motion does not seek to present any new evidence at all. The petitioner does not wish to present
    new evidence that was previously undiscoverable through due diligence that indicates that a prior
    federal judgment was somehow wrong, see FED R. CIV. P. 60(b)(2); nor does he wish to present new
    evidence that supports a claim for actual innocence, see 28 U.S.C. § 2254(b)(2)(B). In other words,
    the petitioner’s motion does not attempt to present “new” evidence that would undermine a prior
    habeas judgment in the sense that the district court was unaware of the existence of the evidence at
    the time of judgment. Such a situation presents a challenge to the finality of judgment by
    introducing wholly new and unexpected evidence. Rather, the petitioner merely seeks to conduct
    the discovery that was previously granted, thereby complying with the district court’s prior orders.
    In conflating petitioner’s Rule 60(b) motion with a habeas claim for newly discovered
    evidence, the majority effectively ignores the essential mandate of Gonzalez. As noted previously,
    determining whether a Rule 60(b) motion is a second or successive habeas petition is “relatively
    simple.” Gonzalez, — S.Ct. —, 
    2005 WL 1469516
    , at *5. “A motion . . . bring[s] a [habeas] ‘claim’
    if it attacks the federal court’s previous resolution of the claim on the merits . . . .” 
    Id. (emphasis in
    original). Accordingly, “If neither the motion itself nor the federal judgment from which it seeks
    relief substantively addresses federal grounds for setting aside the movant’s conviction, allowing
    the motion to proceed as denominated creates no inconsistency with the habeas statute or rules.”
    
    Id. As amply
    noted, the instant motion simply seeks to perform the discovery previously granted,
    and does not attack the state court conviction nor addresses the federal grounds for habeas relief.
    Of course, the eventual outcome of the petitioner’s Rule 60(b), after the performance of the
    discovery, might eventually result in a possible revisiting of the federal grounds for habeas relief.
    But this is no different from what might eventually occur with any motion filed during the pendency
    of a federal habeas petition. As this Court has previously noted:
    Although a Rule 60(b) motion is undoubtedly a step on the road to the ultimate
    objective of invalidating the judgment of conviction, the motion itself does not seek
    that relief . . . . [T]he fact that the Rule 60(b) motion contemplates ultimately the
    vacating of the conviction is shared with every motion the petitioner might make in
    No. 03-4085            Post v. Bradshaw                                                           Page 12
    the course of pursuing his habeas—motions to compel disclosure or quash the
    respondent’s discovery demands, motions for extension of time to answer the
    adversary’s motion, motions to be provided with legal assistance, motions for
    summary rejection of respondent’s contentions, and even motions for relief from
    judgment grounded in fraud . . . . But this fact does nothing to convert the motion
    into a second or successive habeas petition.
    See In re Abdur’Rahman, 
    392 F.3d 174
    , 181 (6th Cir. 2004) (en banc) (internal quotes and citations
    omitted). Though our opinion in Abdur’Rahman has been vacated and remanded pursuant to the
    Supreme Court’s decision in Gonzalez, see Bell v. Abdur’Rahman, — S.Ct. —, 
    2005 WL 689279
    (June 28, 2005), such reasoning is entirely consistent with the Supreme Court’s reasoning in
    Gonzalez that a Rule 60(b) motion is not a second or successive habeas petition so long as it does
    not attack the merits of the federal court’s previous resolution regarding the habeas claim. See
    Gonzalez, — S.Ct. —, 
    2005 WL 149516
    , at *5. To be clear, the petitioner’s motion concerns the
    failure of his attorneys to perform discovery previously granted by the district court, and thus
    determining whether to revisit the denial of habeas relief does not affect the underlying state court
    conviction. Rather, it addresses the “nonmerits aspect of the first federal habeas proceeding,” 
    id., and is
    therefore not barred by the restrictions of AEPDA, including the restriction on a second or
    successive habeas petition, 28 U.S.C. § 2244(b).
    Given these considerations, I would hold there is no jurisdictional bar preventing this Court
    from granting the Hirsch motion to remand, and allow the district court to adjudicate the petitioner’s
    Rule 60(b) motion.
    V.
    I believe several comments on the district court’s reliance on Fuller v. Quire, 
    916 F.2d 358
    (6th Cir. 1990), in provisionally granting petitioner’s Rule 60(b) motion are appropriate. In Fuller,
    we held that an attorney’s inexcusable neglect in failing to prosecute the case was a ground for Rule
    60(b)(6) relief. 
    Id. at 361.
    In so holding, we noted that “The lawyer responsible had no real excuse
    when confronted by the plaintiff. His response was ‘sue me.’” 
    Id. We further
    noted additional
    factors that supported the district court’s grant of Rule 60(b)(6) relief:
    The facts show that the suit was some distance from where the plaintiff lives, that the
    plaintiff repeatedly attempted to find out about his case, and that there is no showing
    of undue prejudice to the defendant. Clearly, the trial court did not err in exercising
    its power under the provisions of Rule 60(b)(6).
    
    Id. These factors
    also support a grant of relief in this case. Here, none of petitioner’s attorneys
    could offer an adequate explanation for failing to perform the discovery granted by the district court.
    The petitioner in this case also acted diligently to protect his rights, repeatedly contacting his
    appointed counsel, the Ohio Public Defender, and the district court in an attempt to discover why
    his attorneys had failed to perform the granted discovery. Such attempts were also complicated by
    the petitioner’s incarceration.
    As to prejudice of the adverse party, like the district court, I believe that the state’s interest
    in finality of judgment is leavened by the fact that this is a death-penalty case. See D. Ct. Op. at 12.
    Supreme Court cases routinely caution that in death-penalty cases, the balance of interests must
    weigh in favor of greater procedural safeguards for the condemned. See Gregg v. Georgia, 
    428 U.S. 153
    , 189 (1976); Reid v. Covert, 
    354 U.S. 1
    , 45-46 (1957) (Frankfurther, J., concurring). Given the
    other significant factors favoring a relief from judgment, the district court’s provisional grant of Rule
    60(b)(6) relief was not an abuse of discretion.
    No. 03-4085           Post v. Bradshaw                                                      Page 13
    VI.
    Finally, I note my disagreement with the majority’s characterization that “there is scant
    evidence of competent legal work being accomplished by counsel” in this case, and that the monies
    paid to counsel under the Criminal Justice Act were somehow unjustified. Majority Op. at 8-9. In
    this case, the attorneys represented the petitioner for several years, making numerous filings in the
    district court. Though they did not complete the discovery at issue in this case, these attorneys
    performed significant work in representing the petitioner. The record simply does not support the
    overly broad criticism of the entirety of the work by these defense counsel. In fact, it appears that
    much of their representation, not counting the failure to conduct discovery, was within expected
    norms.
    ENTERED BY ORDER OF THE COURT
    /s/ Leonard Green
    ________________________________
    Clerk