Stumpf v. Houk ( 2011 )


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    Pursuant to Sixth Circuit Rule 206
    File Name: 11a0212p.06
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT
    _________________
    X
    -
    JOHN DAVID STUMPF,
    -
    Petitioner-Appellant,
    -
    -
    No. 01-3613
    v.
    ,
    >
    -
    Respondent-Appellee. -
    MARC C. HOUK, Warden,
    -
    N
    On Remand from the United States Supreme Court.
    No. 96-00668—George C. Smith, District Judge.
    Argued: July 26, 2007
    Decided and Filed: August 11, 2011
    Before: BOGGS, DAUGHTREY, and MOORE, Circuit Judges.
    _________________
    COUNSEL
    ARGUED: Alan M. Freedman, MIDWEST CENTER FOR JUSTICE, LTD., Evanston,
    Illinois, for Appellant. Stephen E. Maher, OFFICE OF THE OHIO ATTORNEY
    GENERAL, Columbus, Ohio, for Appellee. ON BRIEF: Alan M. Freedman, Carol R.
    Heise, MIDWEST CENTER FOR JUSTICE, LTD., Evanston, Illinois, for Appellant.
    Stephen E. Maher, Charles L. Wille, Carol Ann Ellensohn, OFFICE OF THE OHIO
    ATTORNEY GENERAL, Columbus, Ohio, for Appellee.
    DAUGHTREY, J., delivered the opinion of the court, in which MOORE, J.,
    joined. BOGGS, J. (pp. 19–26), delivered a separate dissenting opinion.
    _________________
    OPINION
    _________________
    MARTHA CRAIG DAUGHTREY, Circuit Judge. Recent polling results and
    statistical compilations support many of the economic and penological arguments that
    have long been raised in opposition to the imposition of the death penalty in the United
    1
    No. 01-3613            Stumpf v. Houk                                                        Page 2
    States.1 Other statistics bolster objections to a form of punishment that, possibly
    because of its finality, has been shown to have been misdirected. Such polemical
    discussions, while interesting, are, however, better suited for the deliberations in the
    chambers of our state and national legislatures. In this appeal, we are not asked to
    involve ourselves in those debates, or even in a discussion of the constitutionality of the
    death penalty. Instead, we are required to examine only the constitutional ramifications
    of court proceedings that are alleged to have infringed John David Stumpf’s right to be
    sentenced in accordance with longstanding principles of due process and fundamental
    fairness. We conclude that those principles were violated by the state in seeking to
    execute Stumpf even after it became clear that the basis for the imposition of the death
    penalty had been seriously compromised in the subsequent prosecution of Stumpf’s
    accomplice, as further explained below. Indeed, the facts of this case exemplify the
    arbitrariness that prior decisions of the United States Supreme Court and of this court
    have decried as violative of fundamental constitutional safeguards. As a result, we once
    again reverse the judgment of the district court and remand this matter for issuance of
    a writ of habeas corpus, unless the State of Ohio conducts a new sentencing hearing for
    Stumpf within 90 days of the issuance of this opinion.
    I. FACTUAL AND PROCEDURAL BACKGROUND
    This habeas case is now before the Sixth Circuit for the second time. Because
    of the lengthy procedural journey this litigation has taken, numerous state and federal
    courts have had an opportunity to delve into the facts that led to the conviction and
    sentencing of petitioner Stumpf. Rather than add yet another gloss to those facts, we
    reiterate the testimony and initial procedural history that the United States Supreme
    Court found relevant in its opinion in Bradshaw v. Stumpf, 
    545 U.S. 175
    (2005):
    On May 14, 1984, Stumpf and two other men, Clyde Daniel Wesley and
    Norman Leroy Edmonds, were traveling in Edmonds’[s] car along
    Interstate 70 through Guernsey County, Ohio. Needing money for gas,
    the men stopped the car along the highway. While Edmonds waited in
    the car, Stumpf and Wesley walked to the home of Norman and Mary
    1
    See, e.g., http://www.deathpenaltyinfo.org/documents/FactSheet.pdf (updated May 20, 2011).
    No. 01-3613      Stumpf v. Houk                                                     Page 3
    Jane Stout, about 100 yards away. Stumpf and Wesley, each concealing
    a gun, talked their way into the home by telling the Stouts they needed
    to use the phone. Their real object, however, was robbery: Once inside,
    Stumpf held the Stouts at gunpoint, while Wesley ransacked the house.
    When Mr. Stout moved toward Stumpf, Stumpf shot him twice in the
    head, causing Mr. Stout to black out. After he regained consciousness,
    Mr. Stout heard two male voices coming from another room, and then
    four gunshots – the shots that killed his wife. Edmonds was arrested
    shortly afterward, and his statements led the police to issue arrest
    warrants for Stumpf and Wesley. Stumpf, who surrendered to the police,
    at first denied any knowledge of the crimes. After he was told that Mr.
    Stout had survived, however, Stumpf admitted to participating in the
    robbery and to shooting Mr. [Stout]. But he claimed not to have shot
    Mrs. Stout, and he has maintained that position ever since.
    The proceedings against Stumpf occurred while Wesley, who had been
    arrested in Texas, was still resisting extradition to Ohio. Stumpf was
    indicted for aggravated murder, attempted aggravated murder, aggravated
    robbery, and two counts of grand theft. With respect to the aggravated
    murder charge, the indictment listed four statutory “specifications” --
    three of them aggravating circumstances making Stumpf eligible for the
    death penalty. See App. 117-118; Ohio Rev. Code Ann. § 2929.03
    (Anderson 1982). The case was assigned to a three-judge panel in the
    Court of Common Pleas.
    Rather than proceed to trial, however, Stumpf and the State worked out
    a plea agreement: Stumpf would plead guilty to aggravated murder and
    attempted aggravated murder, and the State would drop most of the other
    charges; with respect to the aggravated murder charge, Stumpf would
    plead guilty to one of the three capital specifications, with the State
    dropping the other two. The plea was accepted after a colloquy with the
    presiding judge, and after a hearing in which the panel satisfied itself as
    to the factual basis for the plea.
    Because the capital specification to which Stumpf pleaded guilty left him
    eligible for the death penalty, a contested penalty hearing was held before
    the same three-judge panel. Stumpf’s mitigation case was based in part
    on his difficult childhood, limited education, dependable work history,
    youth, and lack of prior serious offenses. Stumpf’s principal argument,
    however, was that he had participated in the plot only at the urging and
    under the influence of Wesley, that it was Wesley who had fired the fatal
    shots at Mrs. Stout, and that Stumpf’s assertedly minor role in the murder
    counseled against the death sentence. See § 2929.04(B)(6) (directing the
    sentencer to consider as a potential mitigating circumstance, “[i]f the
    offender was a participant in the offense but not the principal offender,
    the degree of the offender’s participation in the offense”). The State, on
    No. 01-3613      Stumpf v. Houk                                                     Page 4
    the other hand, argued that Stumpf had indeed shot Mrs. Stout. Still,
    while the prosecutor claimed Stumpf’s allegedly primary role in the
    shooting as a special reason to reject Stumpf’s mitigation argument, the
    prosecutor also noted that Ohio law did not restrict the death penalty to
    those who commit murder by their own hands – an accomplice to murder
    could also receive the death penalty, so long as he acted with the specific
    intent to cause death. As a result, the State argued, Stumpf deserved
    death even if he had not personally shot Mrs. Stout, because the
    circumstances of the robbery provided a basis from which to infer
    Stumpf’s intent to cause death. The three-judge panel, agreeing with the
    State’s first contention, specifically found that Stumpf “was the principal
    offender” in the aggravated murder of Mrs. Stout. App. 196.
    Determining that the aggravating factors in Stumpf’s case outweighed
    any mitigating factors, the panel sentenced Stumpf to death.
    Afterward, Wesley was successfully extradited to Ohio to stand trial. His
    case was tried to a jury, before the same judge who had presided over the
    panel overseeing Stumpf’s proceedings, and with the same prosecutor.
    This time, however, the prosecutor had new evidence: James Eastman,
    Wesley’s cellmate after his extradition, testified that Wesley had admitted
    to firing the shots that killed Mrs. Stout. The prosecutor introduced
    Eastman’s testimony in Wesley’s trial, and in his closing argument he
    argued for Eastman’s credibility and lack of motive to lie. The
    prosecutor claimed that Eastman’s testimony, combined with certain
    circumstantial evidence and with the implausibility of Wesley’s own
    account of events, proved that Wesley was the principal offender in Mrs.
    Stout’s murder – and that Wesley therefore deserved to be put to death.
    One way Wesley countered this argument was by noting that the
    prosecutor had taken a contrary position in Stumpf’s trial, and that
    Stumpf had already been sentenced to death for the crime. Wesley also
    took the stand in his own defense, and testified that Stumpf had shot Mrs.
    Stout. In the end, the jury sentenced Wesley to life imprisonment with
    the possibility of parole after 20 years.
    After the Wesley trial, Stumpf, whose direct appeal was still pending in
    the Ohio Court of Appeals, returned to the Court of Common Pleas with
    a motion to withdraw his guilty plea or vacate his death sentence.
    Stumpf argued that Eastman’s testimony, and the prosecution’s
    endorsement of that testimony in Wesley’s trial, cast doubt upon
    Stumpf’s conviction and sentence. The State (represented again by the
    same prosecutor who had tried both Wesley’s case and Stumpf’s original
    case) disagreed. According to the prosecutor, the court’s first task was
    to decide whether the Eastman testimony was sufficient to alter the
    court’s prior determination that Stumpf had been the shooter. 
    Id. at 210.
          Contrary to the argument he had presented in the Wesley trial, however,
    the prosecutor now noted that Eastman’s testimony was belied by certain
    No. 01-3613            Stumpf v. Houk                                                                  Page 5
    other evidence (ballistics evidence[2] and Wesley’s testimony in his own
    defense) confirming Stumpf to have been the primary shooter. In the
    alternative, the State noted as it had before that an aider-and-abettor
    theory might allow the death sentence to be imposed against Stumpf even
    if he had not shot Mrs. Stout.
    Although one judge speculated during oral argument that the court’s
    earlier conclusion about Stumpf’s principal role in the killing “may very
    well have had an effect upon” the prior sentencing determination, ibid.,
    the Court of Common Pleas denied Stumpf’s motion in a brief summary
    order without explanation. That order was appealed together with the
    original judgment in Stumpf’s case, and the Ohio Court of Appeals
    affirmed, as did the Ohio Supreme Court. See State v. Stumpf, 
    32 Ohio 2
              Interestingly, the ballistics evidence clearly did not necessarily implicate Stumpf in the shooting
    of Mrs. Stout. We detailed that ballistics testimony in our prior decision in this case as follows:
    Of the two bullets that struck [Mr.] Stout, only pieces of each were recovered. Part of
    the bullet that struck him between the eyes was recovered during surgery, while a
    second fragment was found in the second bedroom. A portion of the bullet that struck
    Stout in the top of the head was recovered during surgery, but part of it had to be left in
    place. Another bullet was recovered from the mattress of the second bedroom.
    Stout’s wife was shot four times in the first bedroom. She died from three gunshots to
    the left side of her head. The fourth bullet went through her left wrist and struck her
    chest without penetrating the skin of her chest. A fifth bullet was recovered from the
    wall of that bedroom, above the headboard of the bed.
    The chrome Raven[, Edmonds’s handgun that Stumpf and Wesley had carried into the
    home along with Wesley’s black .25 caliber pistol,] was never recovered by the police,
    and Stumpf admitted that he had thrown it out of the car window after he and Wesley
    had left the Stout residence. The black .25 caliber pistol was recovered by the police
    after the men sold it, along with one of Stout’s guns, to an individual in Washington,
    Pennsylvania. Ronald Dye, a ballistics expert from the Ohio Bureau of Criminal
    Identification and Investigation, a division of the Ohio Attorney General’s office,
    testified at Stumpf’s factual basis hearing as to the forensic findings regarding bullets
    and cartridge cases recovered from the murder scene. Dye testified that there were eight
    spent cartridges found at the scene, that seven of them had been fired by one gun, and
    one was fired by a different gun. Dye also said that the black pistol, which had been
    recovered by the police, fired one bullet, while the other seven bullets were all fired by
    the same gun. That gun could have been the chrome Raven, or one of several other
    types of guns.
    At Stumpf’s plea proceeding, the prosecutor argued that the ballistics evidence
    supported the conclusion that Stumpf had shot Mrs. Stout, since she was apparently shot
    with the same weapon used against her husband, saying, “There’s ample evidence to
    conclude that this defendant fired all shots that hit anybody, because the same gun fired
    all of those shots.” However, during Wesley’s trial, the same prosecutor put Eastman,
    Wesley’s cellmate, on the witness stand, to repeat Wesley’s confession to him.
    According to Eastman, Wesley told him that after Stumpf had shot Stout in the face, he
    dropped the chrome Raven and ran, at which point Wesley picked up the pistol and shot
    Mrs. Stout. This version of the crime was also supported by the ballistics evidence that
    the black pistol had a tendency to jam after firing just one round, which may have led
    Wesley to discard it after shooting it only once.
    Stumpf v. Mitchell, 
    367 F.3d 594
    , 597-98 (6th Cir. 2004).
    No. 01-3613         Stumpf v. Houk                                                  Page 6
    St.3d 95, 
    512 N.E.2d 598
    (1987), cert. denied, 
    484 U.S. 1079
    , 
    108 S. Ct. 1060
    , 
    98 L. Ed. 2d 1022
    (1988).
    After a subsequent request for state postconviction relief was denied by
    the state courts, Stumpf filed this federal habeas petition in the United
    States District Court for the Southern District of Ohio in November 1995.
    The District Court denied Stumpf relief, but granted permission to appeal
    on four claims, including the two at issue here. The United States Court
    of Appeals for the Sixth Circuit reversed, concluding that habeas relief
    was warranted on “either or both” of “two alternative grounds.” Stumpf
    v. Mitchell, 
    367 F.3d 594
    , 596 (2004). First, the court determined that
    Stumpf’s guilty plea was invalid because it had not been entered
    knowingly and intelligently. More precisely, the court concluded that
    Stumpf had pleaded guilty to aggravated murder without understanding
    that specific intent to cause death was a necessary element of the charge
    under Ohio law. See Ohio Rev. Code Ann. §§ 2903.01(B) and (D).
    Noting that Stumpf had all along denied shooting Mrs. Stout, and
    considering those denials inconsistent with an informed choice to plead
    guilty to aggravated murder, the Court of Appeals concluded that Stumpf
    must have entered his plea out of ignorance. Second, the court concluded
    that “Stumpf’s due process rights were violated by the state’s deliberate
    action in securing convictions of both Stumpf and Wesley for the same
    crime, using inconsistent 
    theories.” 367 F.3d, at 596
    . This violation, the
    court held, required setting aside “both Stumpf’s plea and his sentence.”
    
    Id., at 616.
    One member of the panel dissented.
    Bradshaw v. 
    Stumpf, 545 U.S. at 178-82
    (footnote omitted).
    After examining the transcript of Stumpf’s plea hearing, the Supreme Court
    disagreed with our analysis regarding the knowing and voluntary nature of the
    petitioner’s admission of guilt. Thus, finding that we “erred in concluding that Stumpf
    was uninformed about the nature of the charge he pleaded guilty to, [the Court]
    reverse[d] that portion of the judgment . . . .” 
    Id. at 186.
    The Court determined that we were “also wrong to hold that prosecutorial
    inconsistencies between the Stumpf and Wesley cases required voiding Stumpf’s guilty
    plea.” 
    Id. at 186-87.
    Nevertheless, the majority opinion noted that “[t]he prosecutor’s
    use of allegedly inconsistent theories may have a more direct effect on Stumpf’s
    sentence, . . . for it is at least arguable that the sentencing panel’s conclusion about
    Stumpf’s principal role in the offense was material to its sentencing determination.” 
    Id. No. 01-3613
            Stumpf v. Houk                                                    Page 7
    at 187. Because it was not clear to the Court whether we “would have concluded that
    Stumpf was entitled to re-sentencing had [we] not also considered the conviction
    invalid,” 
    id., the majority
    vacated that second portion of our opinion and remanded the
    matter to us “to consider . . . the question of how Eastman’s testimony and the
    prosecutor’s conduct in the Stumpf and Wesley cases relate to Stumpf’s death sentence
    in particular.” 
    Id. at 187-88.
    We now undertake to comply with that directive.
    II. DISCUSSION
    A. Standard of Review
    Stumpf filed his original habeas corpus petition in federal district court in
    November 1995. The provisions of the Antiterrorism and Effective Death Penalty Act
    of 1996, Pub.L. No. 104-132, 110 Stat. 1214 (1996), effective April 24, 1996, do not,
    therefore, apply to this case. See Lindh v. Murphy, 
    521 U.S. 320
    , 336 (1997).
    Consequently, we review the district court’s denial of the writ of habeas corpus de novo
    and its factual findings for clear error. See McQueen v. Scroggy, 
    99 F.3d 1302
    , 1310
    (6th Cir. 1996), overruled on other grounds in In re Abdur’Rahman 
    392 F.3d 174
    (6th
    Cir. 2004), judgment vacated in Bell v. Abdur’Rahman, 
    545 U.S. 1151
    (2005). We
    accord some deference to state-court factual findings, which may be rebutted only by
    “clear and convincing evidence.” 
    Id. Such deference,
    however, applies only to “basic,
    primary facts” found by a state court, not to mixed questions of fact and law, which we
    also review de novo. See 
    id. Because Stumpf’s
    due process claim is just such a mixed
    question, we subject it to de novo review. See Stumpf v. 
    Mitchell, 367 F.3d at 616
    (citing
    Williams v. Coyle, 
    260 F.3d 684
    , 706-07 (6th Cir. 2001)).
    B. State of Ohio’s Affirmative Defenses
    In its brief before this court on remand, the State of Ohio first insists that we may
    not reach the merits of Stumpf’s due process claim that the Supreme Court directed us
    to address. The state offers three rationales for its position: (1) Stumpf failed to present
    in the district court a claim that his death sentence was imposed in violation of due
    process principles; (2) Stumpf also failed to present this claim to the Ohio state courts,
    No. 01-3613         Stumpf v. Houk                                                    Page 8
    thus procedurally defaulting the issue; and (3) the due process claim seeks application
    of a new rule of constitutional law that is barred by the holding of Teague v. Lane, 
    489 U.S. 288
    (1989). Notably, although this case has already been reviewed by the district
    court, by this court, and by the Supreme Court, the State of Ohio has not seen fit to raise
    these procedural arguments before now. See Bradshaw v. 
    Stumpf, 545 U.S. at 190
    (Thomas, J., concurring) (“the State has not argued that Teague v. Lane, 
    489 U.S. 288
    ,
    
    109 S. Ct. 1060
    , 
    103 L. Ed. 2d 334
    (1989), forecloses Stumpf’s claim that the
    prosecution’s presentation of inconsistent theories violated his right to due process”); see
    also 
    id. at 191
    (Thomas, J., concurring) (“[t]he State also has not argued that Stumpf
    procedurally defaulted his due process claim”).
    1. Failure to Present Sentencing Claim
    The state’s belated contention that the petitioner did not fully litigate in the
    district court the due process claim at issue on remand is baseless. In his habeas corpus
    petition, Stumpf included, under the heading “seventh claim for relief,” the following
    paragraphs:
    76) The trial court’s denial of a motion to vacate a sentence, or to
    withdraw a plea of guilty which is based upon evidence that did not exist
    at the time of trial and which the petitioner could not have presented at
    trial, violated the petitioner’s protections under the Fifth, Eighth and
    Fourteenth Amendments to the United States Constitution.
    77) The trial court would not allow the defense to present a cellmate of
    the co-defendant to testify that he heard the co-defendant confess to
    being the principal offender. The confession transpired after the
    sentencing of the petitioner. The court erroneously ruled that the
    confession was not newly discovered evidence.
    78) The Ohio Fifth District Court of Appeals erroneously held that it was
    not error even though the state of Ohio tried the co-defendant as the
    principal in the co-defendant’s trial. The court found the petitioner to be
    “one of the principal slayers.” Ohio law defines the principal as the
    actual killer. All evidence points to the co-defendant as the principal.
    It is no doubt true, as claimed by the state, that the habeas petition sought redress
    for the failure of the trial court to allow certain evidence, not for the actions of the
    No. 01-3613         Stumpf v. Houk                                                     Page 9
    prosecution in pursuing conflicting criminal convictions. Nevertheless, the district court
    invited briefing and argument and actually ruled upon the very issue that the state now
    argues was not before that court. In fact, in a February 2001 opinion, the district judge
    specifically addressed Stumpf’s argument that “the testimony of Wesley’s cellmate
    implicating Wesley as the actual shooter, entitled petitioner . . . to have a new sentencing
    hearing.” Three months later, in overruling Stumpf’s motion to alter or amend the
    judgment denying him habeas corpus relief, the district judge again alluded to the fact
    that he “was ‘troubled’ by the possibility that the state might have secured petitioner’s
    death sentence by arguing that he was the actual shooter, while later arguing during
    Wesley’s trial that Wesley was the actual shooter.” It is patently clear to us, therefore,
    even if not to the state, that Stumpf did not fail to present this issue to the district court.
    The State of Ohio’s waiver argument is meritless.
    2. Procedural Default
    We next conclude that the state has waived its claim that Stumpf procedurally
    defaulted his due process argument by failing to raise it in Ohio state court. Justices
    Thomas and Scalia, concurring in the judgment in Bradshaw v. Stumpf, conceded that
    the state did not raise procedural default as a defense in a timely manner. See Bradshaw
    v. 
    Stumpf, 545 U.S. at 191
    . Those two justices continued, however, by noting that “[t]he
    Court’s opinion does not preclude the State from advancing [such a] procedural
    defense[] on remand.” 
    Id. True, but
    we also have the authority to decline to exercise our
    discretion to entertain that argument at this stage of the litigation and, instead, rely upon
    the Court’s earlier pronouncement in Banks v. Dretke, 
    540 U.S. 668
    , 705 (2004), that
    “under pre-AEDPA law, exhaustion and procedural default defenses could be waived
    based on the State’s litigation conduct.” In fact, “[i]f the . . . claim was addressed at
    some stage of federal proceedings, the [State] would have been obligated to raise
    procedural default as a defense, or lose the right to assert the defense thereafter.” Gray
    v. Netherland, 
    518 U.S. 152
    , 166 (1996) (emphasis added) (citations omitted).
    Stumpf has argued throughout his habeas proceedings that his death sentence
    must be overturned as a result of the state’s duplicitous theories of culpability. Not until
    No. 01-3613            Stumpf v. Houk                                                              Page 10
    the Supreme Court remanded the matter to this court, however, has the State of Ohio
    deemed it necessary to allege any procedural irregularities in responding to and litigating
    that claim. Such transparent attempts at gamesmanship at this late date should not be
    indulged.
    3. Teague v. Lane Bar
    Nor does the bar fashioned in Teague v. Lane, 
    489 U.S. 288
    (1989), restrict our
    review of Stumpf’s constitutional claim. In Teague, the Supreme Court held that
    “[u]nless they fall within an exception to the general rule, new constitutional rules of
    criminal procedure will not be applicable to those cases which have become final before
    the new rules are announced.” 
    Id. at 310.
    In their concurring opinion, Justices Thomas
    and Scalia correctly quoted Horn v. Banks, 
    536 U.S. 266
    , 271 (2002), for the proposition
    that “if the State does argue that the defendant seeks the benefit of a new rule of
    constitutional law, the court must apply Teague before considering the merits of the
    claim.” Bradshaw v. 
    Stumpf, 545 U.S. at 190
    -91 (Thomas, J., concurring) (first
    emphasis added). In this case, however, the State of Ohio “has not argued [until this
    remanded review] that Stumpf’s habeas claims were barred as requiring announcement
    of a new rule.” Bradshaw v. 
    Stumpf, 545 U.S. at 182
    (emphasis added).
    “The Teague bar to the retroactive application of new rules is not . . .
    jurisdictional.”      Schiro v. Farley, 
    510 U.S. 222
    , 228 (1994) (citing Collins v.
    Youngblood, 
    497 U.S. 37
    , 40-41 (1990)). Consequently, “a State can waive the Teague
    bar by not raising it.” 
    Id. at 229;
    see also Godinez v. Moran, 
    509 U.S. 389
    , 397 n.8
    (1993). Given the State of Ohio’s conscious abandonment of any possible Teague
    argument here,3 we, like the Supreme Court, “do not apply the rule of Teague v. Lane
    3
    Although the State of Ohio does not dispute its failure to raise an explicit Teague defense
    previously, it argues on remand that such an affirmative defense can be inferred from its argument in the
    district court that “Stumpf failed to set forth an actionable federal claim.” We need not devote much time
    to such a proposition that, had it been advanced by the petitioner in a different context, would rightfully
    have been subject to a state motion to dismiss on the basis of the claim’s unworkably general nature.
    Furthermore, we note that the state was presented with numerous opportunities to advance a Teague
    defense yet chose not to do so. Even after Stumpf explicitly argued to the district court that Teague did
    not bar review of his argument that his due process rights were violated by the prosecution’s use of
    inconsistent theories, (JA 1463) the state failed to suggest Teague’s applicability. Even in its supplemental
    brief and its reply brief to the district court on the validity of Stumpf’s due process and inconsistent-
    No. 01-3613             Stumpf v. Houk                                                                Page 11
    . . . to this case.” Bradshaw v. 
    Stumpf, 545 U.S. at 182
    . Instead, according Stumpf’s
    serious allegations of constitutional deprivation the respect they deserve, we choose to
    address the merits of those charges.4
    C. Due Process Claim
    The Supreme Court has directed us on remand to clarify whether Stumpf is
    entitled to re-sentencing even if his convictions are constitutionally valid. See Bradshaw
    v. 
    Stumpf, 545 U.S. at 187
    . In making that determination, we must decide whether the
    petitioner’s due process rights were abrogated by the prosecution’s insistence on
    arguing, during Stumpf’s sentencing hearing, that Stumpf was the sole gunman who
    killed Mrs. Stout and, during Wesley’s sentencing hearing, that Wesley was the sole
    gunman who murdered Mrs. Stout.
    The principle is beyond dispute, both legally and logically, that there exists a
    “heightened ‘need for reliability in the determination that death is the appropriate
    punishment in a specific case.’” Caldwell v. Mississippi, 
    472 U.S. 320
    , 323 (1985)
    (quoting Woodson v. North Carolina, 
    428 U.S. 280
    , 305 (1976) (plurality opinion)). See
    also Oregon v. Guzek, 
    546 U.S. 517
    , 525 (2006) (same); Deck v. Missouri, 
    544 U.S. 622
    ,
    632-33 (2005) (“stress[ing] the ‘acute need’ for reliable decisionmaking when the death
    penalty is at issue”) (citing Monge v. California, 
    524 U.S. 721
    , 732 (1998) (citing
    Lockett v. Ohio, 
    438 U.S. 586
    , 604 (1978))). An erroneously-imposed prison sentence
    may always be commuted or otherwise shortened to ameliorate sentencing error. A
    sentence of death, once carried out, may not, of course, be undone. Basic principles of
    theories arguments, the state did not discuss or even mention Teague. See JA 1444-50; 1472-77. Even
    in its brief on the same issue to this court, even after we held that the state’s inconsistent theories violated
    Stumpf’s due process rights and that such a violation “mandate[d] that Stumpf’s . . . sentence be set aside,”
    Stumpf v. 
    Mitchell, 367 F.3d at 616
    , even in its brief petitioning for rehearing of our decision, even in its
    petition for certiorari to the Supreme Court, even in its substantive brief before the Supreme Court, the
    state did not take the opportunity even to cite to Teague. Presented with such a scenario, we conclude
    without hesitation that the State of Ohio knowingly and purposefully waived its right to avail itself of a
    Teague defense and may not now walk away from its history of conscious inaction with a twelfth-hour
    gambit designed to forestall review of the merits of the habeas claim in this case. The stakes are simply
    too high.
    4
    Given our resolution of the state’s Teague claim, we need not now decide whether a
    determination that a due process violation has occurred in this instance implicates a “new constitutional
    rule[ ] of criminal procedure.”
    No. 01-3613         Stumpf v. Houk                                                   Page 12
    justice and fairness thus mandate that every effort be undertaken to ensure the reliability
    of the capital-sentencing process. As Justice Brennan noted in his separate opinion in
    Strickland v. Washington, federal courts “have consistently required that capital
    proceedings be policed at all stages by an especially vigilant concern for procedural
    fairness and for the accuracy of factfinding.” 
    466 U.S. 668
    , 704 (1984) (Brennan, J.,
    concurring in part and dissenting in part).
    The Due Process Clause of the federal constitution guarantees to every criminal
    defendant the right to a fair trial. See, e.g., Lassiter v. Dep’t of Soc. Servs., 
    452 U.S. 18
    ,
    25 (1981). Indeed, “[a] fair trial in a fair tribunal is a basic requirement of due process.”
    Turner v. Louisiana, 
    379 U.S. 466
    , 472 (1965) (quoting In re Murchison, 
    349 U.S. 133
    ,
    136 (1955)).
    In our earlier decision in this matter, we joined with other circuits “in finding that
    the use of inconsistent, irreconcilable theories to convict two defendants for the same
    crime is a due process violation.” Stumpf v. 
    Mitchell, 367 F.3d at 611
    . In doing so, we
    cited with approval Smith v. Groose, 
    205 F.3d 1045
    (8th Cir. 2000), for the proposition
    that such inconsistencies “render[ ] convictions unreliable, given that ‘[the s]tate’s duty
    to its citizens does not allow it to pursue as many convictions as possible without regard
    to fairness and the search for truth.’” Stumpf v. 
    Mitchell, 367 F.3d at 612
    (quoting 
    Smith, 205 F.3d at 1051
    ). We also quoted the following portion of the Ninth Circuit’s decision
    in Thompson v. Calderon, 
    120 F.3d 1045
    , 1059 (9th Cir. 1997) (en banc), vacated on
    other grounds, 
    523 U.S. 538
    (1998), which in turn quoted from a special concurring
    opinion by Judge Clark of the Eleventh Circuit in Drake v. Kemp, 
    762 F.2d 1449
    , 1479
    (11th Cir. 1985) (Clark, J., concurring):
    [T]he prosecutor’s theories of the same crime in the two different trials
    negate one another. They are totally inconsistent. This flip[-]flopping
    of theories of the offense was inherently unfair. Under the peculiar facts
    of this case the actions by the prosecutor violate the fundamental fairness
    essential to the very concept of justice. . . . The state cannot divide and
    conquer in this manner. Such actions reduce criminal trials to mere
    gamesmanship and rob them of their supposed search for the truth.
    No. 01-3613           Stumpf v. Houk                                                           Page 13
    The Supreme Court disagreed with our conclusion that the due process violation
    undermined Stumpf’s conviction because, under Ohio law, “the precise identity of the
    triggerman was immaterial to Stumpf’s conviction for aggravated murder.” Bradshaw
    v. 
    Stumpf, 545 U.S. at 187
    . As a result, the conflicting theories presented to the Stumpf
    factfinders and to the Wesley factfinders regarding which of the two men shot and killed
    Mrs. Stout on that fateful May 1984 day in no way affected the reliability of the
    determination that Stumpf was guilty of aggravated murder in her death.
    But, our constitutional duty to ensure the reliability of capital sentencing – to
    ensure that all individuals are accorded due process before our state and federal judicial
    institutions – is not relieved by the Supreme Court’s limited ruling in Bradshaw v.
    Stumpf.      Indeed, the Supreme Court itself recognized in its opinion that “[t]he
    prosecutor’s use of allegedly inconsistent theories may have a more direct effect on
    Stumpf’s sentence . . . for it is at least arguable that the sentencing panel’s conclusion
    about Stumpf’s role in the offense was material to its sentencing determination.” 
    Id. Our examination
    of the voluminous appellate record leads us to the inescapable
    conclusion that it is much more than “arguable” that Stumpf’s sentencers were swayed
    by the ultimately-unreliable presentation by the representative of the State of Ohio. In
    fact, we are convinced that it would amount to nothing short of complete abdication of
    our sworn responsibilities to ensure the reliability of capital sentencing were we to
    presume that the state’s later-recanted argument that the petitioner was the triggerman
    in Mrs. Stout’s murder did not affect the panel’s sentencing decision. Our confidence
    in our conclusion is buttressed not only by common sense, but also by the words of the
    various individuals actually involved in the sentencing decision.
    For example, during Stumpf’s sentencing hearing, the panel of state-court judges
    found “beyond a reasonable doubt that the defendant was the principal offender in Count
    One of the Indictment.”5 App. 2182. In fact, when ruling upon Stumpf’s petition for a
    writ of habeas corpus, the district court explained that “the trial court cited its finding
    5
    Count One of Stumpf’s indictment alleged that Stumpf “did purposely cause the death of another
    person, to wit: Mary Jane Stout . . . .” App. 210.
    No. 01-3613        Stumpf v. Houk                                                 Page 14
    that petitioner was the actual shooter as a reason, and a very substantial reason, why the
    aggravating circumstance outweighed the mitigating factors.” Stumpf v. Anderson, No.
    C-1-96-668, 
    2001 WL 242585
    , at *48 (S.D. Ohio Feb. 7, 2001) (emphasis added). Of
    course, had the panel also had the opportunity to factor into its decision the certitude
    with which the State of Ohio argued during Wesley’s trial that Wesley was the principal
    offender, it would have been hard-pressed to reach such a doubt-free conclusion.
    Indeed, during the hearing on Stumpf’s motion to withdraw his guilty plea
    following his conviction and sentencing, one of the three judges who sentenced Stumpf
    to death noted, “[I]f we had not been satisfied that Stumpf was, in fact, the trigger man,
    the principal offender, and we were satisfied that he was, in fact, an aider and abettor,
    that may very well have had an effect upon this Court’s determination of whether the
    death penalty should follow. I’m not saying it would, but it’s possible.” App. 2600.
    Unfortunately, that uncertainty can never be dispelled because one of the three judges
    who served on Stumpf’s sentencing panel died prior to that hearing on the motion to
    withdraw the plea. See App. 2579-80. Because Ohio law requires unanimity when a
    three-judge panel determines whether aggravating circumstances outweigh mitigating
    factors beyond a reasonable doubt, see Ohio Rev. Code Ann. § 2929.03 (D)(3), if the
    missing judge in Stumpf’s case had shared that view with conviction, based on new
    information concerning the state’s theory of the case, it is evident that Stumpf would not
    have been sentenced to death.
    We are cognizant of the fact that, at the time of Stumpf’s trial, there was no
    evidence that the prosecutor was aware that Eastman’s testimony would implicate
    Wesley as the triggerman in Mrs. Stout’s murder. Nevertheless, although the state
    argued during Wesley’s trial in support of Eastman’s credibility and against the
    plausibility of Wesley’s account of the murder, during Stumpf’s motion to withdraw his
    guilty plea, the same prosecutor employed a much different tactic. In that later hearing,
    the state once again argued that Stumpf was the principal offender and this time sought
    to impugn the very testimony of Eastman on which it had relied during Wesley’s trial.
    No. 01-3613         Stumpf v. Houk                                                    Page 15
    If we are to take seriously the responsibility of ensuring reliable sentencing
    determinations in capital cases, we cannot allow the prosecution to play so fast and loose
    with the facts and with its theories. To allow a prosecutor to advance irreconcilable
    theories without adequate explanation undermines confidence in the fairness and
    reliability of the trial and the punishment imposed and thus infringes upon the
    petitioner’s right to due process.
    We are not alone in reaching such conclusions. In In re Sakarias, 
    106 P.3d 931
    ,
    944 (Cal. 2005), for example, the California Supreme Court held that the “use of
    irreconcilable theories of . . . culpability, unjustified by a good faith justification for the
    inconsistency, is fundamentally unfair, for it necessarily creates the potential for – and,
    where prejudicial, actually achieves – . . . increased punishment on a false factual basis
    for one of the accuseds.” Likewise, in Jacobs v. Scott, 
    513 U.S. 1067
    (1995), Justice
    Stevens, dissenting from the denial of stay of execution in a capital case wrote:
    [F]or a sovereign State represented by the same lawyer to take flatly
    inconsistent positions in two different cases – and to insist on the
    imposition of the death penalty after repudiating the factual basis for that
    sentence – surely raises a serious question of prosecutorial misconduct.
    In my opinion, it would be fundamentally unfair to execute a person on
    the basis of a factual determination that the State has formally
    disavowed.
    Concurring in the Supreme Court’s decision in the present case, Justice Souter also noted
    that:
    [When Stumpf] challenged his death sentence (along with his conviction)
    on the basis of the prosecution’s position in the Wesley case . . . the State
    did not repudiate the position it had taken in the codefendant’s case, or
    explain that it had made a mistake there. Instead, it merely dismissed the
    testimony of the witness it had vouched for at Wesley’s trial . . . and
    maintained that Stumpf’s death sentence should stand for some or all of
    the reasons it originally argued for its imposition. At the end of the day,
    the State was on record as maintaining that Stumpf and Wesley should
    both be executed on the ground that each was the trigger-man, when it
    was undisputed that only one of them could have been.
    Bradshaw v. 
    Stumpf, 545 U.S. at 189
    (Souter, J., concurring) (citation omitted).
    No. 01-3613          Stumpf v. Houk                                                 Page 16
    As we stated in our prior opinion in this case, “there is more than a reasonable
    probability that the three-judge panel would not have sentenced Stumpf to death had the
    prosecution not employed inconsistent and irreconcilable theories.” Stumpf v. 
    Mitchell, 367 F.3d at 617
    . In fact, even the Ohio Supreme Court has recognized that, under Ohio
    law, not being the principal offender is normally a “powerful mitigating factor,” and that
    “[v]ery few death sentences have been approved against persons who were not the
    principal offender.” State v. Green, 
    738 N.E.2d 1208
    , 1224 (Ohio 2000) (citation
    omitted).
    The state contends, nevertheless, that both Stumpf’s and Wesley’s sentencing
    proceedings were reliable because Wesley’s jury, in sentencing Wesley to life in prison
    with the possibility of parole after 20 years, obviously disbelieved Eastman’s testimony
    regarding Wesley’s role in Mrs. Stout’s murder. According to the state, that jury
    determination justifies the harsher penalty imposed upon Stumpf. The argument ignores,
    however, the very real probability that the sentencing decision rendered by Wesley’s
    jury was influenced in large part by the jury’s knowledge that the prosecutor had already
    argued that Stumpf was the principal offender and had already convinced a three-judge
    panel to impose the death penalty upon Stumpf as a result. In short, Wesley’s jury was
    driven not so much by its disbelief of Eastman as by its unwillingness to imagine that
    the prosecution would engage in such a flippant, macabre game of chance with people’s
    lives.
    In our system of justice, criminal prosecutors bear special responsibility in
    ensuring the fairness of all proceedings. As noted 76 years ago by the Supreme Court:
    [Because the prosecutor] is in a peculiar and very definite sense the
    servant of the law, the twofold aim of which is that guilt shall not escape
    or innocence suffer . . ., [i]t is as much his duty to refrain from improper
    methods calculated to produce a wrongful conviction as it is to use every
    legitimate method to bring about one.
    Berger v. United States, 
    295 U.S. 78
    , 88 (1935). Consequently, “[a]lthough the
    prosecutor must prosecute with earnestness and vigor and ‘may strike hard blows, he is
    No. 01-3613           Stumpf v. Houk                                                 Page 17
    not at liberty to strike foul ones.’” 
    Smith, 205 F.3d at 1049
    (quoting 
    Berger, 295 U.S. at 88
    ).
    Here, the actions of the State of Ohio in the Stumpf and Wesley sentencing
    proceedings charged at least to the line separating hard blows from foul blows. Whether
    the prosecutor in the two cases actually crossed that line is not for us to decide in this
    opinion. Rather, we need only determine whether such double-dealing likely affected
    the sentencing decision in Stumpf’s case. The state argues “that Stumpf’s death sentence
    did not depend on proof that he actually killed Mrs. Stout.” Appellee’s Br. on Remand
    at 17. We must conclude, however, that it did. Stumpf’s sentencers, persuaded by the
    first of the prosecution’s contradictory arguments, found “beyond a reasonable doubt”
    that Stumpf was the principal offender and, as such, deserved to be put to death. The
    fact that the State of Ohio was later able to argue in Wesley’s sentencing hearing that
    such was not the case after all, yet still object to any effort to reduce Stumpf’s
    punishment, either casts grave doubt on the reliability of Stumpf’s sentence or is
    evidence of an attempt by the prosecution to perpetrate a fraud on the state court. We
    choose to believe that it is the former and thus hold that the petitioner’s due process
    rights were violated in this case.
    The state insists, however, that even if a constitutional violation occurred in this
    matter, Stumpf cannot establish that he was prejudiced by it.              In reaching that
    conclusion, the state relies upon the fact that the Supreme Court of Ohio, “[i]n
    independently determining that Stumpf’s death sentence was appropriate, . . . specifically
    considered the testimony of Wesley’s cellmate during Wesley’s trial.” Appellee’s Br.
    on Remand at 20 (citing State v. Stumpf, 
    512 N.E.2d 598
    (1987)). Likewise, the district
    court, in denying habeas relief to Stumpf, concurred that “the Supreme Court of Ohio
    cured any potential flaw by independently determining that the aggravating circumstance
    outweighed the mitigating factors, even in light of the testimony by Wesley’s cellmate.”
    Stumpf v. Anderson, 
    2001 WL 242585
    , at *48. These attempted justifications miss the
    point, however. The relevant question now before us is not what weight should be given
    to Eastman’s testimony during Wesley’s sentencing hearing, but rather whether the
    No. 01-3613        Stumpf v. Houk                                               Page 18
    prosecution’s inconsistent theory and arguments that Stumpf was the principal offender
    -- even though evidence and testimony indicated that he might not be -- influenced the
    decision of Stumpf’s sentencers to impose a penalty of death. Again, the record before
    us requires us to answer with a resounding “yes.”
    CONCLUSION
    For the reasons set forth above, we conclude that Stumpf’s due process rights
    were violated by the prosecution’s arguments leaving the impression with Stumpf’s
    sentencers that the petitioner was the principal offender in the murder of Mrs. Stout,
    even though the state had evidence and a belief that co-defendant Wesley was actually
    the triggerman in Mrs. Stout’s murder. Because all indications are that the three-judge
    panel that sentenced Stumpf to death would not have done so had the state not persisted
    in its efforts at duplicity, we also hold that the petitioner was prejudiced by that
    constitutional violation. We thus once again REVERSE the judgment of the district
    court and REMAND this matter for issuance of a conditional writ of habeas corpus
    unless the State of Ohio elects to accord Stumpf a new sentencing hearing within 90 days
    of the issuance of this opinion.
    No. 01-3613             Stumpf v. Houk                                                               Page 19
    _________________
    DISSENT
    _________________
    BOGGS, Circuit Judge, dissenting.                   The majority has resurrected a new
    substantive right of their own invention, which made its first appearance in Stumpf v.
    Mitchell, 
    367 F.3d 594
    (6th Cir. 2004), vacated by Bradshaw v. Stumpf, 
    545 U.S. 175
    (2005), and apparently had all along been lurking somewhere within the Fourteenth
    Amendment. In its current iteration, the new right protects a convicted murderer from
    being sentenced to death where mitigating evidence (i.e., evidence that does not
    undermine the murder conviction itself but that might have counseled towards a more
    lenient sentence) discovered after sentencing is later used by the prosecution against a
    different defendant. Notably, the due process violation is not that mitigating evidence
    exists that is later discovered, which would not by itself offend the Constitution, Noel
    v. Norris, 
    322 F.3d 500
    , 504 (8th Cir. 2003); see Herrera v. Collins, 
    506 U.S. 390
    , 400
    (1993),1 but, curiously, that the newly discovered evidence is later used by the
    prosecution against a different defendant.                   Somehow, that purely later conduct
    retroactively renders the earlier sentence unconstitutional.
    Consider a hypothetical case. B is killed in a horrifying fashion. A is tried for
    the murder of B, is convicted, and due to the terrible nature of the crime, is sentenced to
    death. A’s trial is not merely in compliance with constitutional standards, but is a model
    trial. The most scrutinizing criminal lawyers available comb through the trial record in
    search of some plausible legal claim to bring on appeal, but they find nothing, and A’s
    sentence is correctly affirmed on direct review. The majority’s new right has no import
    at this time. Many years later, a witness comes forward with new information—the
    witness explains that C and A killed B in concert, and that C’s conduct was more vile.
    1
    Although new evidence may be used to substantiate other constitutional claims, such as
    prosecutorial misconduct in the form of knowingly using perjured testimony, the existence of new evidence
    of innocence, or of “innocence of the death penalty” as in this case, is not in and of itself a constitutional
    violation. In any case, Stumpf’s new evidence does not speak to any problematic conduct that occurred
    at his trial, as in the ordinary case, but rather at Wesley’s trial, when the prosecutor adopted a theory based
    on the new evidence.
    No. 01-3613            Stumpf v. Houk                                                              Page 20
    Still, the majority’s new right has no import. But wait—the prosecutor acts on the
    witness’s testimony and tries C for B’s murder, arguing that, even though A was already
    convicted of the murder, it was in fact C that committed the most horrifying aspects of
    the crime. Sure, the jury acquits C, but that is apparently besides the point. Now, the
    majority’s new right finally jumps into action. The prosecutor in C’s trial has denied
    A—yes, A—the right to be sentenced fairly, in violation of the Due Process Clause of
    the Fourteenth Amendment.
    I do not agree with that application of the Constitution in the slightest,2 and as
    I explained in my first dissent in this case, I believe that the out-of-circuit cases that the
    majority relies upon for its new rule are readily distinguishable. Stumpf v. 
    Mitchell, 367 F.3d at 618
    –22 (Boggs, J., dissenting). I would therefore affirm the decision of the
    district court dismissing Stumpf’s petition for a writ of habeas corpus.
    If ever there were a case in which to adopt the majority’s new right, this is not
    it. Indeed, the majority’s opinion in many places obfuscates the timeline of what
    happened here, and argues as if the state withheld information from the Ohio courts, or
    argued factually inconsistent theories at the original sentencing or at the same time. That
    is simply not correct. Stumpf’s trial and sentencing were based on all the evidence then
    available, and there was no error in those proceedings.3 Subsequent to that time, new
    evidence came to the attention of the state in the form of a statement by Eastman, a
    cellmate of co-defendant Wesley. Such statements are always viewed with some
    skepticism, and in any case, there is no claim that the state was responsible for bringing
    2
    I note that the majority’s repeated references to a federal court’s obligation to ensure accuracy,
    maj. op. at 12, 13, 15, in the context of death-penalty habeas appeals simply has no support in Supreme
    Court jurisprudence. We do not sit to indulge our own sense of justice as to how state-court proceedings
    should come out. We do not have a freestanding license to decide how the strength of a case appeals to
    us without reference to existing laws and procedures. It is true that Justice Marshall on occasion,
    dissenting alone, used such a phrase, see, e.g. Barefoot v. Estelle, 
    463 U.S. 880
    , 938 (1983), but that vague
    statement, pregnant with the outcome preferences of the judges charged with implementing it, is
    appropriately not the law.
    3
    See Bradshaw v. 
    Stumpf, 545 U.S. at 186
    –87 (unanimously reversing, without argument, the
    majority’s holding invalidating Stumpf’s guilty plea and its holding that inconsistent prosecutorial theories
    invalidated his conviction, and remanding to consider whether the inconsistent theories could have affected
    Stumpf’s death sentence).
    No. 01-3613         Stumpf v. Houk                                                Page 21
    forth this evidence, or that the state was in any way derelict in its duties in not
    discovering it earlier.
    Clearly, there is a timeline problem for the majority—how did the prosecution
    violate the Constitution at Stumpf’s trial with respect to evidence that did not yet exist?
    The majority attempts to deal with this issue by focusing in part on the prosecutor’s
    actions in response to Stumpf’s post-trial motion for resentencing, which occurred after
    Wesley’s trial. The majority faults the prosecutor for apparently making an argument
    that they disapprove of (by ostensibly trying to have it both ways) rather than making
    the argument that they apparently would approve of and simply confessing that he was
    wrong at Wesley’s trial. See maj. op. at 15. But this is not a situation where the
    prosecutor misled or bamboozled a jury. Rather, the prosecutor made an argument,
    referencing all available evidence, to a panel of judges. The state did not hide the ball,
    and the judges were not bamboozled. I know of no case or principle in which an
    otherwise unblemished prosecution can be held to have violated the Constitution because
    a federal appellate panel disapproves of the nature of the prosecutor’s oral arguments to
    a judge at a post-trial proceeding.
    The majority’s opinion here emphasizes the dilemma in which the state was
    placed and the nature of today’s ruling. If the state had simply ignored the evidence, it
    apparently would have now been in no difficulty. See Dist. Attorney’s Office for Third
    Judicial Dist. v. Osborne, 
    129 S. Ct. 2308
    , 2319–20 (2009) (no Brady obligation to
    disclose exculpatory evidence discovered post-trial). Indeed, the majority is apparently
    clear that, if the prosecution had simply decided not to present the cellmate evidence
    against Wesley and achieved the same life sentence that it did here, there would be no
    inconsistency, and thus no due-process violation. See maj. op. at 15, 18. That
    concession emphasizes the bizarro nature of the majority’s argument that you can
    somehow violate the rights of A, who has had a meticulously fair proceeding, by the
    decision that you make as to how to proceed in the trial of C.
    The inconsistent-theory cases raised by the majority virtually all relate to a
    state’s contemporaneous presentation of inconsistent theories that could have an effect
    No. 01-3613            Stumpf v. Houk                                                             Page 22
    on the trial at issue, and that could result in factually impossible inconsistencies
    impacting both defendants. Here, the alleged violation is how the prosecutor chose to
    deal with the later-discovered evidence, in a wholly separate proceeding. It is much
    closer to the alleged inconsistency in our case of Getsy v. Mitchell, 
    495 F.3d 295
    (6th
    Cir. 2007), where we rejected, en banc, a similar argument. At bottom, what happened
    here is that some additional evidence, the statement of the cellmate, came to light after
    the proceedings were concluded. That new material was presented in a proper way to
    the courts of Ohio, was litigated by Stumpf in the proper order, and Stumpf lost.
    Further, even if I were to agree that the prosecutor4 somehow retroactively
    violated Stumpf’s constitutional rights, I fail to see how Stumpf was prejudiced by that
    violation. Once the Eastman testimony became available to him, Stumpf went back to
    the same Ohio panel that sentenced him.5 The particulars of Eastman’s testimony, and
    of its handling at Wesley’s trial, were all fully explored on the record in Wesley’s trial,
    and were then placed before the Ohio panel hearing Stumpf’s motion for resentencing
    based on that new evidence. That panel had the power to undo Stumpf’s death sentence,
    but declined to do so, even after being fully informed of all of the facts, including the
    ones that the majority finds dispositive as to the prosecutor’s action.
    The majority emphasizes, at page 14, a statement by one judge, made during oral
    argument on Stumpf’s motion for resentencing, that “if [the panel] had not been satisfied
    that Stumpf was, in fact, the trigger man, the principal offender, and we were satisfied
    that he was, in fact, an aider and abettor, that may very well have had an effect upon this
    Court’s determination of whether the death penalty should follow. I'm not saying it
    would, but it’s possible.” It should first be emphasized just how qualified that statement
    4
    Because Wesley’s trial was wholly subsequent to and unconnected to Stumpf’s, it is simply
    fortuitous that the same prosecutor was involved. The second trial could have just as easily been
    prosecuted by a different person or even, under some circumstances, in a different jurisdiction. In any
    case, I fail to see how the prosecutor’s judgment at Wesley’s trial, which was based upon previously
    unavailable evidence, can somehow impeach his earlier motives or actions and render the original,
    previously constitutional, proceeding unconstitutional.
    5
    The panel was comprised of two of the three original judges, the third having died in the interim.
    The two judges proceeded to hear Stumpf’s motion for resentencing, premised on the new evidence, and
    they agreed that, so long as they were unanimous, there was no reason to bring in a third judge. Stumpf
    does not challenge that decision here.
    No. 01-3613         Stumpf v. Houk                                                  Page 23
    is—the judge merely expressed orally, in the course of a discussion with the prosecutor,
    the possibility that the panel might have declined to impose the death penalty if it were
    satisfied that Stumpf was not the principal offender.           Indeed, the judge simply
    emphasized the prosecutor’s framing of the issue (i.e., whether Stumpf was the principal
    offender and, if not, whether the panel would still have imposed the death penalty), and
    in no way indicated a leaning as to how the panel felt about the matter. That statement
    does not appear in any way in the court’s written decision and order, indicating that the
    panel either concluded, after deliberation, that it was satisfied that Stumpf was the
    principal offender or, alternatively, that a contrary finding would not have made a
    difference in its decision to impose the death penalty. The panel had full opportunity
    and ability to state any skepticism as to its earlier action, or to indicate that it had some
    belief in the statement by the cellmate, and it did not do so. Thus, the majority’s
    speculation at pages 13 through 15 as to its view of the evidence is simply unsupported.
    Certainly, the panel had the same options that it did at the original hearing. The
    panel could have concluded either that (1) Stumpf was the killer, (2) Wesley was the
    killer, or (3) either way, Stumpf deserved the death penalty for his involvement in this
    heinous crime, for which he was criminally responsible even if Wesley pulled the
    trigger. Notably, the panel also had inculpatory evidence that it did not have before, in
    the form of Wesley’s trial statements that supported the prosecution’s view of
    events—that Stumpf was the person who killed Mary Jane Stout. And, of course, it is
    worth mentioning the fact that the Eastman testimony was not credited by the Wesley
    jury, which apparently did not believe the cellmate’s version of the facts, or, in any
    event, did not find it so compelling as to sentence Wesley to death. In light of the Ohio
    panel’s review of that evidence, and its decision to leave Stumpf’s death sentence intact,
    I do not see how Stumpf has demonstrated any probability that he was prejudiced by the
    prosecutor’s decision to present the new evidence and argue a new theory at Wesley’s
    trial.
    In addition, even if I were to share the majority’s vision of the Fourteenth
    Amendment as applied to this case, Teague v. Lane clearly bars the retroactive
    No. 01-3613             Stumpf v. Houk                                                              Page 24
    application of the majority’s new constitutional right to Stumpf. See 
    489 U.S. 288
    , 306
    (1989). Notably, all of the cases that the majority relies upon for its rule were decided
    long after Stumpf’s conviction became final in 1988, when the Supreme Court denied
    certiorari. See Stumpf v. Ohio, 
    484 U.S. 1079
    . Accordingly, “the result was not dictated
    by precedent existing at the time the defendant’s conviction became final,” and the rule
    is new for purposes of Teague. 
    Teague, 489 U.S. at 301
    . Further, neither of Teague’s
    two exceptions—new limitations on criminal lawmaking authority and new “watershed”
    rules of criminal procedure—apply here. DeCastro v. Branker, 
    642 F.3d 442
    , 458 & n.4
    (4th Cir. 2011).
    Although their conclusion conflicts with the views of the only two Justices to
    consider the issue, pursuant to Circuit precedent,6 I agree with the majority that the state
    has waived its Teague defense. Bradshaw v. 
    Stumpf, 545 U.S. at 191
    (Thomas, J.,
    concurring) (“The Court’s opinion does not preclude the State from advancing [a
    Teague] defense[] on remand in support of Stumpf’s death sentence.”). However,
    whether we must apply Teague is only the threshold inquiry. As the Supreme Court has
    held, “a federal court may, but need not, decline to apply Teague if the State does not
    argue it.” Horn v. Banks, 
    536 U.S. 266
    , 271 (2002) (quoting 
    Bohlen, 510 U.S. at 389
    ).
    Accordingly, after determining that the state waived Teague and we are not required to
    apply it, step two is to consider whether we should apply Teague.
    On that point, the majority’s analysis is unconvincing. The majority suggests
    that the “stakes are simply too high” to allow the state’s Teague defense “to forestall
    review of the merits” of Stumpf’s due-process claim. Maj. op. at 11 n.3. That, however,
    is flatly inconsistent with Teague itself. The very holding of Teague is that courts must
    avoid reaching the merits where, such as here, the petitioner seeks “[a]pplication of
    constitutional rules not in existence at the time [his] conviction became final.” 
    Teague, 489 U.S. at 309
    , 316. Accordingly, “forestalling review” would not undermine the
    application of Teague not just in this case, but in all cases. Further, one of the Court’s
    6
    In a three-opinion split decision, a panel of this court held that a state waives its Teague defense
    by failing to raise it before the district court. Lyons v. Stovall, 
    188 F.3d 327
    , 345–46 (6th Cir. 1999)
    (Gilman, J., concurring); 
    id. at 347–48
    & n.1 (Moore, J., dissenting).
    No. 01-3613         Stumpf v. Houk                                                  Page 25
    primary considerations in adopting Teague’s nonretroactivity rule was that similarly
    situated defendants should be treated similarly. 
    Id. at 315.
    Accordingly, a determination
    in a particular case that, for one reason or another, “the stakes are too high,” is no reason
    to ignore Teague. That conclusion is reinforced here, where the majority’s rule will have
    only the most sporadic impact.        Significantly, the majority’s rule is not clearly
    established Supreme Court precedent, see 28 U.S.C. § 2254(d), and post-AEDPA habeas
    petitioners are therefore unable to avail themselves of it, regardless of whether the state
    properly raised Teague.
    Because the concerns motivating Teague do not depend on whether the state
    promptly raises the issue, I agree with Judge Gilman’s concurrence in Lyons, in which
    he argued that “a federal court should presumptively apply the Teague analysis sua
    sponte whenever a defendant tries to raise a new constitutional rule for the first time on
    collateral 
    review.” 188 F.3d at 346
    ; accord 
    id. at 339
    n.8 (Clay, J., concurring)
    (“[I]rrespective of the state’s preservation of its Teague defense, based upon the new rule
    proposed by Petitioner, if ever there was a time for this Court to raise and decide a
    Teague claim sua sponte, surely it is here.”). In this case, where there is no indication
    that the state strategically sought to “sandbag” this court, see 
    id. at 346,
    where both
    parties fully briefed and argued the issue, see Albrecht v. Horn, 
    485 F.3d 103
    , 120 (3d
    Cir. 2007), and where we are more than capable of making a reasoned judgment on the
    issue, see Goeke v. Branch, 
    514 U.S. 115
    , 118 (1995), I would hold that Teague should
    apply, even though I must agree with the majority that the state waived the argument.
    No. 01-3613            Stumpf v. Houk                                                             Page 26
    For these reasons, I respectfully dissent, both on the merits and pursuant to
    Teague’s nonretroactivity principle.7
    7
    This case was originally heard on December 11, 2002. After a decision on April 28, 2004, and
    a subsequent trip to the United States Supreme Court, it was heard again on July 26, 2007—four years ago.
    During that interval, the state has filed two motions to expedite a decision, one on August 6, 2010, and a
    second on June 2, 2011. As is obvious, in a death penalty appeal, a failure to decide has the same short-run
    effect as a decision in favor of the condemned—it prevents his execution.
    In the absence of a decision by the panel, there is no process allowing for the court as a whole
    to take the decision en banc. Thus, the only remedy available (from the Sixth Circuit) to a litigant in the
    position of the State of Ohio here is the purely hortatory motion that the state filed here—a motion that,
    like the very decision that it seeks to expedite, is also solely within the power of the panel and cannot be
    taken en banc (if it ever could be) in the absence of a decision on that motion. The only remedy available
    under current rules is a petition to the Supreme Court for certiorari before judgment. See Sup. Ct. R. 11.