Darryl Gumm v. Betty Mitchell , 2014 FED App. 0301P ( 2014 )


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  •                         RECOMMENDED FOR FULL-TEXT PUBLICATION
    Pursuant to Sixth Circuit I.O.P. 32.1(b)
    File Name: 14a0301p.06
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT
    _________________
    DARRYL GUMM,                                         ┐
    Petitioner-Appellee,   │
    │
    │       No. 11-3363
    v.                                             │
    >
    │
    BETTY MITCHELL, Warden,                              │
    Respondent-Appellant.    │
    ┘
    Appeal from the United States District Court
    for the Southern District of Ohio at Cincinnati.
    No. 1:98-cv-838—Walter H. Rice, District Judge.
    Argued: November 20, 2013
    Decided and Filed: December 22, 2014
    Before: DAUGHTREY, MOORE and CLAY, Circuit Judges.
    _________________
    COUNSEL
    ARGUED: Seth P. Kestner, OFFICE OF THE OHIO ATTORNEY GENERAL, Columbus,
    Ohio, for Appellant. Kathleen McGarry, MCGARRY LAW OFFICE, Glorieta, New Mexico,
    for Appellee. ON BRIEF: Seth P. Kestner, Charles L. Wille, OFFICE OF THE OHIO
    ATTORNEY GENERAL, Columbus, Ohio, for Appellant. Kathleen McGarry, MCGARRY
    LAW OFFICE, Glorieta, New Mexico, Lawrence J. Greger, Dayton, Ohio, for Appellee.
    CLAY, J., delivered the opinion of the court in which DAUGHTREY, J. joined, and
    MOORE, J. joined in all but Part II.B.4.c. of the majority’s opinion and in the judgment.
    MOORE, J. (pp. 49–50), delivered a separate concurring opinion.
    1
    No. 11-3363                                 Gumm v. Mitchell                                   Page 2
    _________________
    OPINION
    _________________
    CLAY, Circuit Judge. Petitioner Darryl Gumm is mentally retarded and has an IQ of
    approximately 70. He was convicted by an Ohio jury for the kidnapping, attempted rape, and
    murder of ten-year-old Aaron Raines. For these crimes, Petitioner was sentenced to death. His
    convictions and sentences were affirmed on direct appeal, and his state post-conviction petition
    was found to lack merit by the Ohio state courts. After he filed a petition for federal habeas
    corpus, the United States Supreme Court decided in Atkins v. Virginia, 
    536 U.S. 304
    (2002) that
    persons who are mentally retarded cannot be executed. In Petitioner’s post-Atkins petition for
    state post-conviction review, the Ohio courts adjudicated Petitioner mentally retarded and
    reduced his sentence to thirty years to life in prison. In that second petition, the Ohio courts
    rejected Petitioner’s non-Atkins claims.
    On federal habeas review, the district court granted Petitioner a conditional writ of habeas
    corpus on the four claims we have before us on appeal. These claims include (1) that the
    government failed to disclose exculpatory evidence as required by Brady v. Maryland, 
    373 U.S. 82
    (1963); (2) that Petitioner received an unfair trial due to the improper admission of incendiary
    prior bad acts evidence; (3) that admission of a psychiatric report violated the Sixth
    Amendment’s Confrontation Clause; and (4) that the prosecutor’s elicitation of inflammatory
    testimony and admission of psychiatric reports constituted prosecutorial misconduct, causing a
    denial of due process. Respondent Warden has appealed. For the following reasons, this Court
    AFFIRMS the district court’s grant of the conditional writ of habeas corpus based on Petitioner’s
    Brady and prosecutorial misconduct claims.1
    1
    Because we find that the district court properly granted habeas corpus relief on two of Petitioner’s claims,
    we do not reach Petitioner’s fair trial and Confrontation Clause claims.
    No. 11-3363                         Gumm v. Mitchell                            Page 3
    I.
    BACKGROUND
    A.     Factual Background
    The facts of the crimes in this case are not disputed and have been summarized by the
    Ohio Supreme Court during its review of his convictions and sentences on direct appeal as
    follows:
    Early on the morning of May 12, 1992, the bludgeoned body of ten-year-old
    Aaron Raines was found by police in the basement of an abandoned building in
    the lower Price Hill section of Cincinnati. . . .
    At 11:00 p.m. on May 11, 1992, Aaron Raines’s family reported Aaron as missing
    to Cincinnati police. An extensive neighborhood search took place, culminating
    in the discovery of Aaron’s body in the basement of an abandoned building
    adjacent to a neighborhood park where Aaron had previously been playing.
    Several weeks later Betty Gumm, a friend of the Raines family and defendant’s
    sister through adoption, learned that her brother Darryl had been in the
    neighborhood on the day of Aaron’s murder. Betty knew that her brother was
    acquainted with Aaron, and was familiar with the abandoned buildings where
    Aaron’s body was found, having stripped copper out of them many times at night.
    Betty called the local “crime Stoppers” number to report her information.
    On July 24, 1992, Cincinnati police interviewed appellant at his job site, a tobacco
    farm in Brooksville, Kentucky. At that time, Gumm told police he hadn’t been in
    Cincinnati since March 1992, and indicated his desire to cooperate with police.
    On July 27, Cincinnati police returned to Brooksville to talk to Gumm again, and
    Gumm accompanied them back to Cincinnati, ostensibly to clear himself of any
    wrongdoing. After extensive questioning in which he changed his statement
    several times, Gumm eventually confessed involvement in the murder of Aaron
    Raines.
    Gumm’s statement disclosed that he and one Michael Bies, a Kentucky
    acquaintance, were driven to Cincinnati on May 11 by acquaintances and dropped
    off around noon. Gumm told police that he and Bies went to a bar to drink beer,
    and later went to the Price Hill park adjacent to two abandoned buildings, where
    they encountered Aaron. Gumm and Bies were observed at approximately 7:00
    p.m. sitting on a bench in the park in which Aaron last played. Gumm admitted
    that he lured Aaron into the abandoned building for sexual purposes by telling
    him he would be paid $10 to help strip copper from the buildings. According to
    Gumm, after the three entered the first building and crossed over a walkway into
    the second building, Bies asked Aaron to perform oral sex for money. When
    Aaron refused, Gumm claimed that Bies punched Aaron several times, picked
    No. 11-3363                         Gumm v. Mitchell                           Page 4
    him up and carried him downstairs to the basement. According to Gumm, Bies
    there hit Aaron several additional times, once on the head with a “two by four.”
    After that, Gumm stated that he and Bies fled the scene. Gumm claims that he
    himself did not hit Aaron at all, but conceded that he might have stepped on his
    body as he was attempting to flee from the basement.
    When police found Aaron’s body at the crime scene, they noticed several objects
    around the body that contained blood and hairs consistent with the victim’s.
    These objects included a chunk of concrete, a pipe, pieces of wood, and twine
    found wrapped around Aaron’s neck.
    Amy Martin, M.D., a former deputy coroner of Hamilton County, examined
    Aaron’s body at the crime scene and conducted the post-mortem exam at the
    coroner’s office. Dr. Martin testified that Aaron sustained twenty-one lacerations
    to the back of his head, representing twenty-one separate blows from an object,
    and that some of these wounds manifested lines that matched the threading on the
    pipe found next to the body. Five of Aaron’s ribs were broken, which Dr. Martin
    found unusual for a boy of his age, since such bones are usually flexible. Dr.
    Martin opined that “something like a kicking or stomping” would be the type of
    force necessary to break a young boy’s ribs. Dr. Martin further testified that the
    left side of Aaron’s face was completely crushed in a manner consistent with a
    blow from the chunk of concrete found lying next to the body. Several “chevron
    pattern” bruises consistent with the tread of a Nike gym shoe were found on
    several areas of Aaron’s body. Gumm had told police that he thought Bies had
    been wearing L.A. Gear gym shoes, and acknowledged that he had thrown his
    own shoes away.
    Dr. Martin testified that Aaron also sustained a broken jaw, chipped teeth and cut
    lips, a deep laceration and bone chip on the underside of his jaw, compression
    wounds and hemorrhages in the eyes probably caused by compression of twine
    wrapped around his neck, and pattern bruises typical of injuries caused by being
    struck with a stick or rod.
    Dr. Martin found no evidence of any defensive wounds on Aaron’s body, and
    opined that the absence of defensive wounds was consistent with Aaron having
    been held or restrained while his injuries were being inflicted. Dr. Martin
    determined that the cause of death was a combination of blunt impacts to the
    head, chest and abdomen, as well as blunt injury to the neck.
    State v. Gumm, 
    653 N.E.2d 253
    , 257-58 (Ohio 1995); see also State v. Bies, 
    658 N.E.2d 754
    ,
    756-57 (Ohio 1996) (discussing facts of the crime in the context of co-defendant Bies’ appeal).
    B.     Procedural History
    Petitioner was indicted on the following counts: (1) aggravated murder with death penalty
    specifications, in violation of Ohio Revised Code § 2929.04(A)(3) (offense committed to escape
    No. 11-3363                           Gumm v. Mitchell                         Page 5
    detection, apprehension, or punishment for another offense) and Ohio Revised Code
    § 2929.04(A)(7) (murder committed while offender committed or attempted to commit
    kidnapping and rape); (2) attempted rape, in violation of Ohio Revised Code § 2923.02; and (3)
    kidnapping, in violation of Ohio Revised Code § 2905.01. A jury convicted Petitioner on all
    counts.
    Petitioner did not testify during the mitigation phase of his trial and called only one
    witness—his sister, Karen Ridenour. The jury recommended imposition of the death penalty
    after concluding beyond a reasonable doubt that the aggravating circumstances outweighed the
    mitigating factors. The trial court imposed the death sentence for the aggravated murder count
    and imposed consecutive terms of imprisonment for Petitioner’s attempted rape and kidnapping
    convictions. State v. Gumm, 
    653 N.E.2d 253
    , 258 (Ohio 1995).
    Petitioner’s convictions and sentence were affirmed by the Ohio Court of Appeals, see
    State v. Gumm, Nos. C-020907, B-925608, 
    1994 WL 44411
    (Ohio Ct. App. Feb. 16, 1994), and
    by the Ohio Supreme Court, see Gumm, 653 N.E.2d, cert. denied, 
    516 U.S. 1177
    (1996).
    1.     Trial
    A number of issues on appeal concern evidence adduced during Petitioner’s trial.
    Specifically, Petitioner raises claims relating to the testimony of Phyllis Thacker and Charlotte
    Jean Baker, as well as psychiatric reports admitted during the testimony of Petitioner’s expert,
    Dr. Henry Leland.
    Following opening statements by each side, the prosecutor put on Thacker, whom
    Petitioner had lived with on and off for a number of years. After establishing how Petitioner
    came to live with Thacker, the prosecutor began questioning Thacker about Petitioner’s
    “problem with alcohol.”      (J.A. at 247.)   This line of questioning drew an objection from
    Petitioner’s counsel, but the objection was overruled. Thacker then testified about Petitioner’s
    “hateful” nature when he was drunk, explaining that he would “quarrel[] and smart[] off to
    people.” (Id. at 248.)
    The prosecutor continued to press the issue and eventually focused his attention on a
    situation that occurred sometime in January 1992—five months before the murder. Again,
    No. 11-3363                          Gumm v. Mitchell                             Page 6
    Petitioner’s counsel objected, stating that the events of January 1992 had “nothing to do with the
    event that supposedly occurred on May the 11th of ’92, and it’s really not relevant.” (Id. at 250.)
    The prosecutor responded that the testimony from Thacker was “part of the background leading
    up to the homicide.” (Id.) The trial court overruled the objection and allowed the questioning to
    continue. The following exchange ensued:
    Q.     Mrs. Thacker, I think we were at the point where I asked you why
    you became afraid of Junior and why you wanted him out of your
    house. Was there anything specific that evening?
    A.     Junior’s personality changed. He talked crazy talk and he – he
    acted strange to me and he said things that made me afraid to be
    there with him, just me and my daughter by myself.
    Q.     What did he say to you that made you afraid?
    A.     Once he told us – we have a horse. Once he told us that the horse
    told him that he was mad at – that she was mad at him because he
    was mistreating him, and he was crying and he was serious that
    that horse had actually talked to him and told him that.
    Q.     Did he tell you why the horse was mad at him?
    A.     She said he wasn’t taking care of him, that he was mistreating him
    and that the horse told him that he didn’t love him anymore.
    Q.     Anything more specific than that? Do you remember what you
    told me? . . . Did he tell you one time something he had done with
    the horse?
    A.     (No response.)
    Q.     Is that difficult for you to tell us?
    A.     Yes.
    Q.     You’re going to have to.
    [Petitioner’s counsel]:          I’m going to object to the form of the
    question. He’s leading the witness.
    THE COURT:                Overruled.   Go on.   You can tell us.    Can you
    answer?
    A.     I can’t say that. He told us that he did it to the horse and the horse
    got mad at him.
    Q.     He did it to the horse?
    A.     (Indicate yes.)
    Q.     Is that the word he used or did he use a different word?
    No. 11-3363                             Gumm v. Mitchell                              Page 7
    A.      He used the other word.
    Q.      You can use the other word.
    A.      I can say the letter to the other word.
    Q.      Can you spell it?
    A.      That’s still cussing. F – he said he fucked the horse.
    (Id. at 251-53.) After obtaining this answer about bestiality, the prosecutor moved on to another
    topic.
    Thacker’s testimony was not limited to the initial presentation. The prosecutor used the
    inflammatory information in the rebuttal closing arguments to the jury:
    Sex is the motive in this particular case, and it fits the profile. . . . Darryl likes to
    shoot pool, and he likes to have sex. It’s probably a strange hobby, but it fits.
    Sex is a hobby, and he likes to have it every day: Sex with a woman; sex with a
    man, which he’s had on fifteen to twenty occasions according to the evidence; sex
    with animals, according to Phyllis Thacker; and sex with little boys.
    (Id. at 315 (emphasis added).)
    The prosecutor used the second witness in the case, Charlotte Baker, to show that at the
    time of the murder, Petitioner was “desperate for a woman . . . to have sex. And he wanted to do
    it with anyone.” (Id. at 260 (during a sidebar).) Petitioner’s counsel objected, stating, “[I]t’s
    prior acts, and when you get to prior acts, you’re going into some very dangerous evidentiary
    grounds,” but the trial court overruled the objection. (Id.) The prosecutor asked Baker questions
    as follows:
    Q.      [D]o you remember the conversations that you had with Junior back in
    April or May of ’92?
    A.      Yes. Just mostly the same thing about he was, you know, coming back to
    his girlfriend.
    Q.      Okay. What specifically did he say with regard to how he was feeling
    about having sex?
    A.      . . . He said that he was going to go home and – he was going to go home
    and get him some pussy and that he was going to fuck her until they both
    was sore. . . .
    Q.      Did he say anything about being hard up for a woman?
    No. 11-3363                            Gumm v. Mitchell                            Page 8
    A.      Well, he didn’t say it. You could see it. . . . towards the way he looked at
    any woman at all.
    Q.      Did he ever say that he’s so hard up he’d do it to anyone?
    [Petitioner’s counsel]:          Now there’s an objection to that, Judge.
    THE COURT:                Overruled, if you can remember.
    A.      No.
    (Id. at 261-63.) Once again, after obtaining this inflammatory testimony and injecting his own
    language, the prosecutor moved on.
    The final episode of Petitioner’s trial that is relevant for this appeal concerned the
    testimony of Petitioner’s sole witness: psychiatrist Dr. Leland, who opined that Petitioner
    evinced “a mild to borderline level of mental retardation” as well as a difficulty “synthesiz[ing]
    external stimuli.” (Id. at 281.) This condition would cause Petitioner to “confuse what he had
    witnessed or experienced with what had been told to him,” (id. at 284), which, Dr. Leland
    explained, made Petitioner’s statements to the police unreliable. Dr. Leland’s opinions were
    based, in part, on court-compiled psychiatric reports.
    At the close of Dr. Leland’s testimony, the prosecutor moved to strike the entirety of his
    testimony unless the psychiatric reports were admitted into evidence.          Petitioner’s counsel
    objected to this based on hearsay. However, Petitioner’s counsel later stated that he had no
    objection to admission of the reports “[e]xcept for whatever hearsay, prejudicial material the
    Court is permitting the jury to hear which is not from witnesses who appeared in this case.” (Id.
    at 299.) Petitioner’s counsel did not press his objection further because he did not want Dr.
    Leland’s testimony stricken from the record.
    The psychiatric reports contained bizarre statements and allegations, which were
    summarized by the magistrate judge as follows:
    [I]n her statement respecting her interview of Charles Bray, social worker Marilyn
    Geeding states that “Charles recalls hearing a story from his wife of an incident
    where [Petitioner] threw a raccoon into a 5-gallon bucket of paint.” . . . Similarly,
    Geeding notes that Bray related [Petitioner]’s having tried to persuade a relative
    to “suck him,” but that Bray did not know the date of the incident because it “was
    never reported to him, simply the behavior.” . . . Betty Gumm, Petitioner’s
    sister . . . “had a report that Darryl had crawled into bed with some woman and
    No. 11-3363                           Gumm v. Mitchell                              Page 9
    her husband who lived in the apartment across the street from Betty.” . . . Betty
    also described to Geeding an incident in which [Petitioner] threw a dog into a
    space heater, killing it, and another in which [Petitioner] was barred from a
    relative’s house because he had stolen from the relative. . . . Betty Gumm[]
    report[ed] that [Petitioner] had tried to rape a friend of hers. Both Charles Bray
    and Betty Gumm stated that [Petitioner] was frequently cruel to animals. Bray
    reported that [Petitioner] would kick dogs and had planned to kick a neighbor’s
    dog to death before he was stopped . . . . Betty Gumm told Geeding that
    [Petitioner] had once heated a spoon on the stove, then pressed it against a
    nephew’s arm, which left a permanent scar on the boy.
    Gumm v. Mitchell, No. 1:98–cv–838, 
    2009 WL 7785750
    , *37-38 (S.D. Ohio Sept. 28, 2009)
    (citations omitted).
    Like Thacker’s testimony, the prosecutor used this evidence in the closing argument to
    the jury as follows:
    Charles recalls hearing a story from his wife of an incident where [Petitioner]
    threw a raccoon into a five-gallon bucket of paint. Charles admits that
    [Petitioner] was cruel to animals and would frequently kick them. On one
    occasion he recalls [Petitioner] planning to kick the neighbor’s dog to death
    before he was stopped by the dog’s owner. Begin to fit the personality?
    After this offense occurred, he did report an incident where [Petitioner] attempted
    to get one of their nephews to suck him. Begin to fit the pattern? These are from
    people who are not police officers, not prosecutors. They’re people, if anything,
    who should be in the defense. They interviewed Betty Gumm. You heard what
    she said. . . . Betty recalls [Petitioner] tried to rape a friend of hers; however, there
    was not enough evidence on this occasion to convict him. He was described as
    rowdy, arguing, and fighting when he was drunk. Does that fit the pattern? Betty
    recalls[Petitioner] as always being cruel to animals.
    On one occasion, [she] recalls [Petitioner] throwing her sister Karen’s daughter’s
    dog into a space heater and the dog dying. On another occasion, Betty recalls
    [Petitioner] putting a spoon on the stove until it got hot and then putting it on their
    nephew’s arm.
    (J.A. at 308-09.)
    2.      State Court Post-Conviction and Federal Habeas Proceedings
    On September 16, 1996, Petitioner filed a petition for state post-conviction relief. State v.
    Gumm, No. C-960972, 
    1997 WL 752608
    , at *1 (Ohio Ct. App. Dec. 5, 1997). The common
    pleas court found that all of Petitioner’s grounds for relief were barred by Ohio’s res judicata
    No. 11-3363                                 Gumm v. Mitchell                                  Page 10
    rule, which “provides in relevant part that a final judgment of conviction bars a convicted
    defendant from raising in any proceeding, except an appeal from that judgment, any issue that
    was raised, or could have been raised, at trial or on appeal from that judgment.” Williams v.
    Bagley, 
    380 F.3d 932
    , 967 (6th Cir. 2004) (citing State v. Perry, 
    226 N.E.2d 104
    , 105-06
    (1967)). The court of appeals affirmed. Gumm, 
    1997 WL 752608
    , at *2-3. The Ohio Supreme
    Court refused to hear an appeal. State v. Gumm, 
    691 N.E.2d 1057
    (Ohio 1998) (table decision),
    cert. denied, 
    525 U.S. 884
    .
    Following his defeats in state court, Petitioner filed his federal petition for a writ of
    habeas corpus on November 6, 1998. That petition was amended on October 20, 2000, and again
    on April 20, 2001. While his federal petition was pending, the Supreme Court, on June 20, 2002,
    held that the execution of mentally retarded criminals violates the Eighth Amendment’s
    prohibition against cruel and unusual punishments. Atkins v. Virginia, 
    536 U.S. 304
    , 321 (2002).
    Based on that decision, Petitioner moved to stay his federal habeas proceedings to allow him to
    return to state court to litigate the issue of his mental capacity. That motion was granted, and on
    April 7, 2003, Petitioner filed a petition in Ohio state court seeking the resolution of his Atkins
    claim. State v. Gumm, 
    864 N.E.2d 133
    , 135 (Ohio Ct. App. 2006).
    The state trial court, using the standards set forth in State v. Lott, 
    779 N.E.2d 1011
    (Ohio
    2002), adjudged Petitioner mentally retarded, 
    Gumm, 864 N.E.2d at 135
    , and reduced his
    sentence to life imprisonment with the possibility of parole after thirty years on the aggravated
    murder count, eight to fifteen years’ imprisonment on the attempted rape count, and ten to
    twenty-five years’ imprisonment on the kidnapping count, Gumm v. Mitchell, No. 1:98-CV-838,
    
    2009 WL 7785750
    , at *4 (S.D. Ohio Sept. 28, 2009). In addition to his Atkins claim, Petitioner
    also presented “claims seeking relief from his conviction on an array of non-Atkins grounds,” all
    of which were denied by the trial court.2 
    Gumm, 864 N.E.2d at 135
    . The Ohio Court of Appeals
    affirmed the trial court’s determination that Petitioner was mentally retarded, 
    id. at 136-40,
    as
    well as the trial court’s dismissal of Petitioner’s non-Atkins claims based on Ohio Revised Code
    2
    While litigating his Atkins post-conviction petition, Petitioner also submitted an application to reopen his
    state court direct appeal. This was denied by the court of appeals on January 16, 2004. The Ohio Supreme Court
    affirmed that decision and denied Petitioner’s motion for reconsideration. Gumm, 
    2009 WL 7785750
    , at *4.
    No. 11-3363                          Gumm v. Mitchell                           Page 11
    § 2953.23, see 
    id. at 140-42.
    Further appeal to the Ohio Supreme Court was denied. State v.
    Gumm, 
    867 N.E.2d 884
    (Ohio 2007) (table decision).
    After his return to state courts, Petitioner’s federal habeas claim was reopened, and
    Petitioner amended his petition for a third time on September 13, 2007. The petition was
    referred to a magistrate judge, who recommended granting Petitioner a conditional writ on his
    fair trial, Confrontation Clause, and prosecutorial misconduct claims, but not on his claim under
    Brady v. Maryland, 
    373 U.S. 83
    (1963). Gumm, 
    2009 WL 7785750
    .
    On the Brady claim, the magistrate judge concluded that the Ohio Court of Appeals’
    decision was not entitled to AEDPA deference because it was based on that court’s lack of
    jurisdiction to entertain the claim under Ohio Revised Code § 2953.23(A)(1)(b). 
    Id. at *18-19.
    On de novo review, however, the magistrate judge recommended not granting habeas relief
    because “[m]uch of the alleged Brady material is nothing more than rumor, hearsay, hearsay
    upon hearsay, hearsay upon hearsay upon hearsay, or worse. Gumm has not explained how any
    of that ‘evidence’ would have been rendered admissible in court, or how it would have led to
    admissible evidence.” 
    Id. at *25;
    see 
    id. at *20-27.
    Applying AEDPA deference to Petitioner’s fair trial claim, the magistrate judge found
    that “the damaging testimony was elicited from the prosecutor’s first witness, tainting the trial
    from the outset. The [“fucked a horse”] testimony was irrelevant to the offenses charged, highly
    inflammatory, of exceedingly questionable veracity, and not counterbalanced by a limiting
    instruction or overwhelming evidence of Gumm’s guilt to render its admission harmless.” 
    Id. at *28-34.
       The magistrate judge stated that Thacker’s testimony was “among the most
    outrageously inflammatory evidence th[e] Court has ever read in a capital case transcript,” 
    id. at *30,
    and concluded that the Ohio Supreme Court’s denial of his claim was both “contrary to
    federal law[] and was based on . . . an unreasonable determination of the facts,” 
    id. at *34.
    Construing Petitioner’s claim regarding the admission of the psychiatric reports as one
    under the Confrontation Clause, the magistrate judge reviewed this claim de novo because
    “[a]lthough Gumm did not present this part of his claim to the state supreme court, Respondent
    does not advance a procedural default defense.” 
    Id. at *34-35.
    The magistrate then found that,
    under Ohio v. Roberts, 
    448 U.S. 56
    (1980), the prosecutor failed to demonstrate either
    No. 11-3363                           Gumm v. Mitchell                          Page 12
    unavailability of the witnesses or indicia of reliability, and recommended granting habeas on this
    claim.
    Finally, with respect to Petitioner’s prosecutorial misconduct claim, the magistrate judge
    found that the only preserved portion of this claim regarded the “prosecutor’s elicitation of the
    other acts evidence”—that is, the evidence of bestiality and Petitioner’s sexual drive and the
    claims made in the psychiatric reports. 
    Id. at *39-40.
    The magistrate judge found that the
    prosecutor had deliberately elicited the testimony about bestiality without adequately informing
    the trial court about the specifics of what he intended to bring out. See 
    id. at *42.
    The
    magistrate judge found similarly as to the introduction of the hearsay in the psychiatric reports
    and further, the prosecutor “argued [it] as truth . . . in its closing argument.” 
    Id. at *43.
    In sum,
    the magistrate judge held, “the Court concludes that the prosecutors in Gumm’s trial did engage
    in misconduct to the substantial prejudice of the defense. The state supreme court’s conclusion
    [to the contrary] . . . is objectively unreasonable when evaluated under the governing federal law
    as articulated by the United States Supreme Court.”         
    Id. Therefore, the
    magistrate judge
    recommended granting habeas on Petitioner’s prosecutorial misconduct claim as well.
    The district court reviewed the report and recommendation and adopted it with respect to
    Petitioner’s fair trial, Confrontation Clause, and prosecutorial misconduct claims but rejected it
    with respect to Petitioner’s Brady claim. Gumm v. Mitchell, No. 1:98-CV-838, 
    2011 WL 1237572
    , at *1 (S.D. Ohio Mar. 29, 2011).             On the claims that the magistrate judge
    recommended granting relief, the district court essentially adopted the magistrate judge’s
    reasoning in toto. See 
    id. at *10-12.
    The district court disagreed with the magistrate judge’s
    assessment of the Brady claim. Whereas the magistrate judge had found that the Brady claim
    failed because most of the evidence complained of was inadmissible, the district court noted that
    “does not necessarily mean that it would not lead to admissible evidence or that it was not
    subject to disclosure.” 
    Id. at *6.
    The district court was particularly bothered by the prosecutor’s
    “failure to turn over tips, interview notes and other evidence concerning suspect Roger Cordray,”
    which it believed could have led to reasonable doubt (especially given the prosecutor’s “not very
    strong” case). See 
    id. at *7-8.
    The district court therefore granted Petitioner habeas relief on his
    Brady claim as well.
    No. 11-3363                           Gumm v. Mitchell                           Page 13
    II.
    DISCUSSION
    A.     Standard and Scope of Review
    On appeal of a denial or grant of a petition for a writ of habeas corpus, this Court reviews
    the district court’s conclusions of law de novo and its factual findings for clear error. Hanna v.
    Ishee, 
    694 F.3d 596
    , 605 (6th Cir 2012). Such review is, however, subject to the standards set
    forth in the Antiterrorism and Effective Death Penalty Act (“AEDPA”), Pub. L. No. 104–132,
    110 Stat. 1214 (1996). 
    Id. “[AEDPA] modified
    a federal habeas court’s role in reviewing state
    prisoner applications in order to prevent federal habeas retrials and to ensure that state-court
    convictions are given effect to the extent possible under the law.” Bell v. Cone, 
    535 U.S. 685
    ,
    693 (2002) (internal quotation marks omitted). Under 28 U.S.C. § 2254(d), a petitioner may not
    obtain federal habeas corpus relief with respect to any claim that was adjudicated on the merits in
    state court proceedings unless the adjudication of the claim—
    (1) resulted in a decision that was contrary to, or involved an
    unreasonable application of, clearly established Federal law, as
    determined by the Supreme Court of the United States; or
    (2) resulted in a decision that was based on an unreasonable
    determination of the facts in light of the evidence presented in
    the State court proceeding.
    A state court’s decision is “contrary to” clearly established law if “the state court arrives at a
    conclusion opposite to that reached by [the Supreme] Court on a question of law or if the state
    court decides a case differently than [the Supreme] Court has on a set of materially
    indistinguishable facts.” Williams v. Taylor, 
    529 U.S. 362
    , 412 (2000). An unreasonable
    application of clearly established law occurs when “the state court identified the correct
    governing legal principle from [the Supreme] Court’s decisions but unreasonably applies that
    principle to the facts of the prisoner’s case.”        
    Id. at 413.
       “[R]elief is available under
    § 2254(d)(1)’s unreasonable-application clause if, and only if, it is so obvious that a clearly
    established rule applies to a given set of facts that there could be no ‘fairminded disagreement’
    on the question.” White v. Woodall, 
    134 S. Ct. 1697
    , 1706-07 (2014). In a case where “a habeas
    court must extend a rationale before it can apply to the facts at hand, [] by definition the rationale
    No. 11-3363                           Gumm v. Mitchell                          Page 14
    was not clearly established at the time of the state-court decision.” 
    Id. at 1706
    (internal quotation
    marks omitted).
    The Supreme Court has explained that “[f]or purposes of § 2254(d)(1), an unreasonable
    application of federal law is different from an incorrect application of federal law.” Harrington
    v. Richter, 
    131 S. Ct. 770
    , 785 (2011) (internal quotation marks omitted). Further, “[a] state
    court’s determination that a claim lacks merit precludes federal habeas relief so long as
    fairminded jurists could disagree on the correctness of the state court’s decision.” 
    Id. at 786
    (internal quotation marks omitted).      Lastly, “[e]valuating whether a rule application was
    unreasonable requires considering the rule’s specificity. The more general the rule, the more
    leeway courts have in reaching outcomes in case-by-case determinations.” 
    Id. (internal quotation
    marks omitted). This deference reflects the view that § 2254 is only to be used to “guard against
    extreme malfunctions in the state criminal justice systems.”         
    Id. (internal quotation
    marks
    omitted).
    If, however, a claim was not “adjudicated on the merits in State court proceedings,”
    pursuant to § 2254(d), then this Court applies pre-AEDPA standards and reviews any legal issue
    de novo. See Johnson v. Williams, 
    133 S. Ct. 1088
    , 1097 (2013) (“The language of 28 U.S.C.
    § 2254(d) makes it clear that this provision applies only when a federal claim was adjudicated on
    the merits in State court.”); Robinson v. Howes, 
    663 F.3d 819
    , 822-23 (6th Cir. 2011).
    B.     Petitioner’s Brady Claim
    Petitioner asserts that the state prosecutor failed to honor its obligation under Brady v.
    Maryland, 
    373 U.S. 83
    (1963) to disclose information favorable to Petitioner during his trial.
    Specifically, Petitioner claims that “[t]he State failed to disclose more than [170] pages of
    evidence that detailed their investigation into the death of Aaron Raines.” (Pet’r’s Br. at 8.)
    Petitioner’s Brady claim was presented to the Ohio Court of Appeals during his post-
    Atkins petition for post-conviction review. That court addressed the Brady claim as follows:
    In his fifth claim, Gumm sought relief from his conviction on the ground that the
    state had failed to disclose exculpatory evidence in the form of information
    developed by the police during their investigation. . . .
    No. 11-3363                                 Gumm v. Mitchell                   Page 15
    ...
    In support of his fifth claim, Gumm offered Crimestopper reports, lead and tip
    sheets, and investigation notes and summaries memorializing information
    received and gathered by the police during their investigation. These records
    showed what the investigating officers had stated at Gumm’s trial: that the police
    had initially had few leads and had cast a very wide net to find the killer. The
    officers inquired about sex offenders known to live in or frequent the
    neighborhood surrounding the abandoned building where the victim had been
    found. They followed tips, often based on rumor and second- and third-hand
    information, concerning individuals who had made incriminating statements or
    had exhibited suspicious behavior, individuals who had been seen in or around the
    abandoned building or the surrounding neighborhood, and individuals who had
    been seen with the victim around the time of the murder. They also obtained
    information that impeached the victim’s brother’s [Dallas Haynes] credibility and
    contradicted the state’s theory concerning when the murder had occurred.
    From our review of the record, we conclude that the undisclosed evidence, viewed
    collectively, was not “material” in that it could not “reasonably be taken to put the
    whole case in such a different light as to undermine confidence in the verdict[s].”3
    Therefore, the state’s failure to disclose the evidence did not deny Gumm his
    constitutional right to a fair trial.4 Moreover, the record will not permit the
    conclusion that, but for the state’s failure to disclose the evidence, no reasonable
    factfinder would have found him guilty of the offenses of which he was
    convicted. Thus, Gumm failed to satisfy the [Ohio Revised Code §] 2953.23
    jurisdictional requirement of outcome-determinative constitutional error. We
    therefore hold that the common pleas court properly declined to entertain his fifth
    postconviction claim.5
    
    Gumm, 864 N.E.2d at 133
    (footnotes in original). While the Ohio Court of Appeals cited
    relevant Brady case law and seems to have made a pronouncement on the merits of Petitioner’s
    claim, the court ultimately held that it was without jurisdiction to “entertain” Petitioner’s Brady
    claim because Petitioner failed to meet the requirements of Ohio Revised Code § 2953.23(A).
    After reviewing this decision and relevant Ohio case law, the magistrate judge found that
    § 2953.23(A) requires “that petitioners demonstrate outcome-determinative constitutional error
    by clear and convincing evidence as a prerequisite to the courts’ subject matter jurisdiction.”
    3
    “See Kyles v. Whitley, 514 U.S. [419,] 435 [(1995)].”
    4
    “See Brady v. Maryland, 373 U.S. [83,] 87 [(1963)].”
    5
    “See [Ohio Rev. Code §] 2953.23(A)(1)(b).”
    No. 11-3363                                 Gumm v. Mitchell                                 Page 16
    Gumm, 
    2009 WL 7785750
    , at *18 (collecting cases). The magistrate judge went on: “Taken to
    its logical conclusion, that interpretation leaves the state courts with jurisdiction only over
    winning claims.” 
    Id. The magistrate
    judge concluded that because the Ohio Court of Appeals
    found that it lacked subject matter jurisdiction, and because “a judgment rendered by a court
    lacking subject matter jurisdiction is void ab initio,” 
    id. (quoting Patton
    v. Diemer, 
    518 N.E.2d 941
    , 944 (Ohio 1988)), the court of appeals’ conclusions on the merits of Petitioner’s Brady
    claim were not entitled to AEDPA deference. The magistrate judge applied de novo review to
    Petitioner’s Brady claim, and the district court adopted that analysis.
    1.       Standard of Review
    Although the Ohio Court of appeals conducted a brief Brady analysis, it went on to
    conclude that it did not have jurisdiction to entertain Petitioner’s second petition for post-
    conviction relief. See 
    Gumm, 864 N.E.2d at 133
    . De novo review is appropriate in this case
    because the state court did not adjudicate this claim on the merits and did not address the issue in
    an opinion in which the court had jurisdiction over the matter.6 This Court and others have held
    that where a state court decides a petitioner’s claim on alternative grounds, one on the merits and
    the other on a procedural bar ruling, a federal habeas court may still review that court’s merits
    analysis and apply AEDPA deference to that adjudication. See Brooks v. Bagley, 
    513 F.3d 618
    ,
    624 (6th Cir. 2008); Hoffner v. Bradshaw, 
    622 F.3d 487
    , 505 (6th Cir. 2010), cert denied, 131 S.
    Ct. 2117 (2011); Busby v. Dretke, 
    359 F.3d 708
    , 721 n. 14 (5th Cir. 2004), cert denied 
    541 U.S. 1087
    (2004); Johnson v. McKune, 
    288 F.3d 1187
    , 1192 (10th Cir. 2002), cert denied, 
    537 U.S. 1050
    (2002). However, this case is not such a case. Instead, the Ohio courts have clearly
    indicated that § 2953.23 denies courts subject matter jurisdiction over claims that cannot meet
    the statute’s stringent requirements. The Ohio courts have interpreted their own law to conclude
    that where a court lacks jurisdiction, any judgment on the merits is rendered void ab initio. This
    Court should not reinterpret an issue of state law that has already been interpreted by the state
    courts. See Estelle v. McGuire, 
    502 U.S. 62
    , 68 (1991) (explaining that “it is not the province of
    6
    It does not appear that the warden appeals the magistrate judge and district judge’s application of de novo
    review or the conclusion that the claim is not procedurally defaulted.
    No. 11-3363                          Gumm v. Mitchell                           Page 17
    a federal habeas court to reexamine state-court determinations on state-law questions.”).
    Therefore, we apply de novo review to Petitioner’s Brady claim.
    Relief on Petitioner’s Brady claim is warranted because there was an unquestionable and
    egregious Brady violation in this case.
    2.      Clearly Established Law
    The goal of the criminal justice system, as set forth in Brady and its progeny “is not
    punishment of society for misdeeds of a prosecutor but avoidance of an unfair trial to the
    accused. Society wins not only when the guilty are convicted but when criminal trials are fair.”
    
    Brady, 373 U.S. at 87
    .      To achieve this goal, “Brady held ‘that the suppression by the
    prosecution of evidence favorable to an accused . . . violates due process where the evidence is
    material either to guilt or to punishment, irrespective of the good faith or bad faith of the
    prosecution.” Kyles v. Whitley, 
    514 U.S. 419
    , 432 (1995) (quoting 
    Brady, 373 U.S. at 87
    ).
    Because a Brady duty is triggered even if the “evidence [is] ‘known only to police investigators
    and not to the prosecutor,’” compliance with Brady imposes a duty on the prosecutor “‘to learn
    of any favorable evidence known to the others acting on the government’s behalf in this case,
    including the police.’” Strickler v. Greene, 
    527 U.S. 263
    , 280-81 (1999) (quoting 
    Kyles, 514 U.S. at 437-38
    ).      In sum, “regardless of request, favorable evidence is material, and
    constitutional error results from its suppression by the government, if there is a reasonable
    probability that, had the evidence been disclosed to the defense, the result of the proceeding
    would have been different.” 
    Kyles, 514 U.S. at 433
    (internal quotation marks omitted). Or, put
    another way, “[t]here are three components of a true Brady violation: [(1) t]he evidence at issue
    must be favorable to the accused, either because it is exculpatory, or because it is impeaching;
    [(2)] that evidence must have been suppressed by the State, either willfully or inadvertently; and
    [(3)] prejudice must have ensued.” Strickler, 
    527 U.S. 281-82
    .
    Taken together, the materiality and prejudice prongs do not require a defendant to show
    that disclosure of the evidence would have ultimately led to an acquittal. Instead, the defendant
    must establish only that in the absence of the evidence he did not receive a fair trial, “understood
    as a trial resulting in a verdict worthy of confidence.” 
    Kyles, 514 U.S. at 434
    . If the undisclosed
    evidence “could reasonably be taken to put the whole case in such a different light as to
    No. 11-3363                          Gumm v. Mitchell                          Page 18
    undermine confidence in the verdict,” then a Brady violation has occurred. See 
    id. at 435.
    See
    also Smith v. Cain, 
    132 S. Ct. 627
    , 630 (2012) (internal quotation marks omitted) (“[E]vidence is
    material within the meaning of Brady when there is a reasonable probability that, had the
    evidence been disclosed, the result of the proceeding would have been different.”). “A
    reasonable probability does not mean that the defendant would more likely than not have
    received a different verdict with the evidence, only that the likelihood of a different result is
    great enough to undermine[] confidence in the outcome of the trial.” 
    Id. at 630
    (internal
    quotation marks omitted).
    Significantly for this case, withheld information is material under Brady only if it would
    have been admissible at trial or would have led directly to admissible evidence. United States v.
    Ogden, 
    685 F.3d 600
    , 605 (6th Cir. 2012). “[Inadmissible] information ‘is not evidence at all’
    for purposes of Brady and thus can have no ‘direct effect on the outcome of a trial.’”
    Wogenstahl v. Mitchell, 
    668 F.3d 307
    , 325 n.3 (6th Cir. 2012) (quoting Wood v. Bartholomew,
    
    516 U.S. 1
    , 6 (1995)).      A federal habeas court’s conclusion that undisclosed inadmissible
    evidence would lead directly to admissible evidence may not be based “on mere speculation.”
    
    Wood, 516 U.S. at 6
    .
    Importantly, when viewing the undisclosed evidence, courts are to focus on the
    cumulative effect of the undisclosed evidence on the jury’s verdict. See 
    Kyles, 514 U.S. at 436
    -
    37 (holding that undisclosed evidence should be “considered collectively, not item by item”).
    3.     Evidence Withheld
    Petitioner identifies several categories of evidence that the state failed to turn over prior
    to his trial. This includes evidence regarding other suspects, some of whom confessed to having
    committed the crime, evidence regarding the prosecutor’s implied timeline of the crime, and
    impeachment evidence.
    a.       Other Suspects
    The state failed to disclose a substantial collection of tips, leads, and witness statements
    relating to other individuals who had been investigated for the murder of Aaron Raines. On its
    face, the nondisclosure of the identities of these suspects—two of whom were reported to have
    No. 11-3363                           Gumm v. Mitchell                           Page 19
    confessed to the murder—is an egregious breach of the state’s Brady obligations.                  See
    D’Ambrosio v. Bagley, 
    527 F.3d 489
    , 498-99 (6th Cir. 2008); Jamison v. Collins, 
    291 F.3d 380
    ,
    390-91 (6th Cir. 2002). Prosecutors are not necessarily required to disclose every stray lead and
    anonymous tip, but they must disclose the existence of “legitimate suspect[s],” 
    D’Ambrosio, 527 F.3d at 499
    , especially when such information has been specifically requested by the
    defendant, as it was in this case. “Withholding knowledge of a second suspect conflicts with the
    Supreme Court’s directive that ‘the criminal trial, as distinct from the prosecutor’s private
    deliberations, [be preserved] as the chosen forum for ascertaining the truth about criminal
    accusations.’” United States v. Jernigan, 
    492 F.3d 1050
    , 1056-57 (9th Cir. 2007) (en banc)
    (quoting 
    Kyles, 514 U.S. at 440
    ).
    i.      Roger Cordray
    Police investigators amassed a number of reports that Cordray had confessed to the
    murder of Aaron Raines, and witnesses told police that Cordray was known to sleep in the
    abandoned building where Aaron’s body was found. One witness, George Putteet, told police
    that he had seen Aaron in the vicinity of the abandoned building around 10:30 p.m. on the night
    of the murder. Putteet further stated that a group of unidentified individuals “were messing with
    drunks in the alley,” including Cordray, and were “calling him names & getting him to chase
    them.” (J.A. at 55.) Although many of the witnesses’ statements were second-hand, it was
    widely believed that Cordray had admitted to numerous people that he was guilty of the crime,
    and indeed that he had bragged about it and was “glad Aaron was dead.” One witness reported
    that another man “beat up” Cordray after he said that he and a friend had killed Aaron. Cordray
    allegedly threatened a woman named Christine Robertson that he would harm her if she told
    anyone about a coat belonging to him that was discovered in the abandoned building.
    Anthony Steele and Theresa Wright-Steele told police that Cordray had approached them
    and said, “I did it. I killed the little kid.” (Id. at 39.) They further reported that Cordray’s hands
    and knuckles were “all scraped up,” and although Cordray was drunk and high on Valium at the
    time, they believed him when he confessed to killing Aaron. (Id.) Police investigated Cordray
    further, but they could not match his shoes to the footprints found at the crime scene. There were
    “some similarities” between the ridge pattern of Cordray’s palm print and the prints found at the
    No. 11-3363                          Gumm v. Mitchell                         Page 20
    scene, but the police were unable to make a positive identification. (Id. at 41.) Cordray denied
    any involvement in Aaron’s murder when speaking with the police, and there was no further
    investigation because the investigating officer drafting the report thought Cordray was being
    truthful.
    The magistrate judge described the overwhelming evidence pertaining to Cordray as
    follows:
    The “Crime-Stoppers” tips include information that an individual by the name of
    Roger was known to sleep in the building where Aaron’s body was found. Roger
    also frequently drank in the building next door. Another tip came from Barb
    Desborough, who indicated that Roger Cordray confessed to the murder.
    Desborough also informed police that Vivian Stimetz might know who heard
    Roger confess, but the tip sheet stated that Vivian had not been located as of May
    18, 1992. Barb Desborough reported hearing from people who attended Aaron’s
    funeral that Roger Cordray was bragging that he had killed Aaron, and that he
    was glad Aaron was dead. The police eventually found Vivian Stimetz, who was
    Aaron’s aunt, and interviewed her. She stated that Betty Gumm, Petitioner’s
    sister, communicated a rumor to Stimetz that Cordray was bragging about how he
    had beaten Aaron. Stimetz also repeated the rumor that Cordray lived in the
    abandoned building where Aaron’s body was found, but stated that she had never
    seen him anywhere but on the street. There is a reference to Cordray’s having
    been taken away by the paramedics after he said this, but the context of that
    comment is unclear.
    The police also interviewed Christine Robertson, who said that supposedly there
    was a coat belonging to Cordray found in the building where Aaron’s body was
    discovered. Robertson stated that she had been threatened by Cordray not to say
    anything about the coat or he would harm her. Anthony Steele told the police that
    Roger Cordray had confessed to him that he had killed the little kid. Steele
    noticed that Cordray’s hands and knuckles were scraped up, too. Steele also
    stated that Cordray had confided to him that Cordray was a suspect in the murder,
    but that he could never do that because he loves kids.
    In an investigative summary, a police officer described a meeting with Anthony
    and Theresa Steele, who stated they were near the murder scene with Cordray on
    an unspecified date when Cordray told them he had killed the little kid. Although
    both Anthony and Theresa were under the influence of drugs or alcohol at the
    time, both believed Cordray was being honest with them. The officers returned to
    the Steele home to talk with Anthony and Theresa again. The Steeles repeated
    their story with somewhat more detail during the second conversation.
    The officers eventually located Cordray and took pictures of his shoes and
    fingerprinted him. Cordray described his activities on the night of the murder and
    denied knowing Aaron Raines or seeing him the night of the murder, and stated
    No. 11-3363                          Gumm v. Mitchell                           Page 21
    he would never do anything to hurt a child. In addition, the tread on Cordray’s
    shoes did not match from the crime scene. A comparison of Cordray’s palm print
    to one found at the scene revealed similarities, but no points upon which an
    identification of the found print as Cordray’s might be made. The author of the
    investigative summary expressed his belief that Cordray was being truthful, and
    skepticism that Cordray was involved in Aaron’s murder.
    In notes from an interview of Betty Gumm, Petitioner’s sister, it stated that Donna
    Jones heard Roger Cordray state that he killed Aaron. There is also a note
    indicating that Paul Worthington heard Cordray “bragging to the cops + priest
    that he had done the killing.” Talk around the neighborhood was that Cordray
    had committed the murder. Another investigative summary basically repeats the
    information gathered from Barb Desborough. A conversation with Roberta
    Shinkle indicated that William O’Malley beat Cordray because Cordray said he
    and a friend had killed Aaron. One story that traveled through several people
    before reaching the police involved Rick Baker’s desire to have a pair of very
    bloody jeans washed. Baker explained the blood on his jeans by stating that after
    Cordray was beaten, he helped Cordray, getting Cordray’s blood on his jeans in
    the process. An unidentified individual stated that he or she saw Aaron the night
    he was murdered, and that he or she saw Cordray with two other men sitting on
    some steps in the vicinity that same night.
    Gumm v. Mitchell, No. 1:98–cv–838, 
    2009 WL 7785750
    , at *20-21 (S.D. Ohio Sept. 28, 2009).
    ii.     Raymond Moore
    Police received numerous reports potentially implicating Raymond Moore, who had
    apparently previously lived in the abandoned building where Aaron’s body was found. The
    police records include a statement from a witness who saw Moore enter the abandoned building
    around 7:00 p.m. on the night of the murder, which is around the same time that Petitioner and
    Michael Bies were seen in the adjacent park. Moore stated that he knew Aaron and he had
    looked for him for several hours after being asked to help search by a police officer around 9:00
    p.m.; however, Aaron had not been reported missing until 11:00 p.m. Aaron’s uncle, William
    Raines, told police that following Aaron’s murder, he noticed Moore acting strangely and that he
    seemed to be avoiding Aaron’s mother. A police officer “looked at it and he said he didn’t feel
    that [Moore’s palm print] matched what he had from the crime scene.” (Id. at 116.) After
    speaking with Moore, the police determined that they “kind of” believed him and effectively
    eliminated him as a suspect, particularly after Moore admitted that he had a “shot” memory and
    his shoes did not match the prints found at the crime scene. (Id. at 118–19.)
    No. 11-3363                          Gumm v. Mitchell                          Page 22
    iii.    Other Potential Suspects
    Although Roger Cordray and Raymond Moore were the most notable and talked-about
    alternative suspects, the undisclosed police files are replete with references to other individuals
    who may have had some involvement in Aaron’s murder. For example, a boy named Larry
    Peters told the police that Reggie Hetsler approached him at a bus stop in Cincinnati and told
    him that he killed and raped the little boy along with his brother, Steve Pence.           Several
    undisclosed documents concerned Garland Inman, an individual who had previously been
    adjudicated a juvenile delinquent for the sexual assault of several family members. Inman had
    recently been released from juvenile detention, was seen by a named, identified witness near the
    scene of the crime on the night of the murder, and a number of individuals believed he might
    have been involved in the crime. Another suspect was Claude Justice, who was the subject of a
    “crime-stoppers” tip. An anonymous caller reported that Justice is a homosexual man who often
    propositioned young boys for sex. The tipster stated that he had seen Justice on prior occasions
    emerge from the building where Aaron was found, often followed by a boy. Several witnesses,
    including Aaron’s uncle Clayton Raines, believed that a man named Luther Hatton had been
    involved in Aaron’s murder because he had a violent criminal history, had been seen near the
    abandoned building, and mysteriously disappeared after a night of drinking around 10:00 p.m. on
    the night of the murder. Additionally, according to an ex-convict, word around a local prison
    was that Hatton had killed Aaron.       An anonymous tipster referenced Cody Duffey acting
    strangely, harassing “neighborhood kids,” and carrying a crowbar. The tipster said that Duffey
    had approached her after Aaron’s murder and asked her what she thought she might do if
    someone had killed her child. Duffey’s cold demeanor led her to believe that Duffey knew
    something about the murder. Raines also mentioned a man named Carl Miller to the police.
    Raines believed Miller might have been involved because he wanted to get out of town quickly
    on the night Aaron was murdered.
    b.     Impeachment of the State’s Witnesses
    The state offered the testimony of Aaron’s brother, Dallas Hayes, but did not disclose that
    he had failed a polygraph examination and that the polygraph operator believed that Dallas “was
    lying on all questions that had to do with Aaron’s death.” (J.A. at 177.) However, as the district
    No. 11-3363                          Gumm v. Mitchell                           Page 23
    court found, Ohio has long prohibited the admission of polygraph evidence unless both the
    prosecutor and defendant agree to admission and numerous safeguards are observed by the trial
    judge. See State v. Souel, 
    372 N.E.2d 1318
    , 1321-23 (Ohio 1978). Therefore, it is unlikely that
    the polygraph evidence would have been admissible, even if the State had disclosed its existence
    to Petitioner.
    A Crime Stoppers tip sheet showed that an anonymous tipster believed the police should
    look into Hayes because he had been playing in the abandoned building where Aaron’s body was
    found only five days before the murder. Additionally, Petitioner asserts that he is entitled to
    access to a statement by one of Hayes’ friends, who stated that Hayes wanted more freedom and
    wished that his mother would spend more time with him. However, in that same statement, the
    friend stated that Hayes loved his brother and would not let anything happen to him.
    c.    Evidence Undermining the State’s Theory of the Case
    Petitioner also points to undisclosed evidence that Aaron had been seen in the abandoned
    building in the past, which contradicts the state’s argument at trial that Aaron was afraid of the
    dark and would not have entered the building unless coerced by another person. Although the
    question of how Aaron entered the building appears largely irrelevant to Petitioner’s guilt or
    innocence, it potentially undermines the state’s narrative of the crime and contradicts details
    provided in Petitioner’s statements to the police.
    Next, Petitioner argues that the state’s timeline of events is contradicted by undisclosed
    evidence. Specifically, Petitioner identifies numerous witness statements placing Aaron at a
    local ice cream stand as late as midnight on the night of the murder. This information was
    garnered by the police from firsthand accounts of named, identified people in the neighborhood.
    Although the state never definitively established a timeline of Aaron’s movements on the night
    of the murder and the medical examiner could not determine a time of death, the state did present
    evidence that Petitioner and Bies were last seen in the park adjacent to the abandoned building
    around 7:00 p.m., and Aaron’s brother Hayes testified that he last saw Aaron in the evening
    before it became dark outside. By suppressing evidence that numerous witnesses had seen
    Aaron later that evening, the state likely reinforced its case against Petitioner by suggesting that
    he and Aaron were last seen at approximately the same time. Therefore, this undisclosed
    No. 11-3363                          Gumm v. Mitchell                           Page 24
    contradictory evidence could have been used by the defense to disrupt the state’s narrative of the
    crime.
    4.     Analysis
    a.     Admissibility of Undisclosed Evidence
    The state’s primary argument against the materiality of the undisclosed evidence in this
    case is that much of it is inadmissible hearsay and could not have led to the discovery of
    admissible evidence. As the Supreme Court and this Court have explained, without some
    indication of admissibility, such evidence cannot be considered material for purposes of Brady.
    See 
    Ogden, 685 F.3d at 605
    . And this indication cannot be merely speculative. 
    Wood, 516 U.S. at 6
    . The magistrate judge concluded that “[m]uch of the alleged Brady material is nothing more
    than rumor, hearsay, hearsay upon hearsay, hearsay upon hearsay upon hearsay, or worse.
    Gumm has not explained how any of that ‘evidence’ would have been rendered admissible in
    court, or how it would have led to admissible evidence.” Gumm, 
    2009 WL 7785750
    , at *24.
    The district court did not adopt this portion of the magistrate judge’s report and instead
    concluded that while it agreed that “much of the undisclosed evidence was itself inadmissible, . .
    . that does not necessarily mean that it would not lead to admissible evidence or that it was not
    subject to disclosure.” Gumm, 
    2011 WL 1237572
    , at *6.
    In Wood, a habeas petitioner alleged that the state had violated Brady by failing to
    disclose the results of a polygraph examination that could have been used to impeach a 
    witness. 516 U.S. at 5-6
    . The Ninth Circuit granted the writ, finding that although the polygraph results
    were themselves inadmissible, their disclosure could have led to admissible evidence or affected
    defense counsel’s preparation for trial. The Supreme Court reversed, finding that neither the
    Ninth Circuit nor the petitioner could identify precisely how the trial could have been affected, or
    admissible evidence discovered, had the admittedly inadmissible polygraph results been
    disclosed. 
    Id. at 6-7.
    The Court further reasoned that the results would have had no material
    effect under Brady because the remainder of the evidence against the petitioner was
    overwhelming.
    No. 11-3363                             Gumm v. Mitchell                            Page 25
    Courts applying Wood have rejected the writ when a single piece of inadmissible
    evidence such as a polygraph examination or hearsay statement was not disclosed by the state,
    concluding that the result of the trial could not have been altered by the nondisclosure of only
    inadmissible evidence.      See, e.g., Hutchison v. Bell, 
    303 F.3d 720
    , 743 (6th Cir. 2002)
    (addressing a single hearsay statement). However, this case is not one where a petitioner is
    complaining about the failure to disclose a single inadmissible statement or polygraph test. On
    the contrary, Petitioner alleges that the state failed to disclose a small mountain of favorable
    evidence that he and his counsel would have used to undermine the prosecution’s case. Some of
    this evidence consists of rumors and double-hearsay statements which would likely have been
    inadmissible at trial, but much of the evidence could very well have been admitted or clearly led
    to the discovery of admissible evidence. To prevail on a Brady claim, a petitioner need only
    show that the undisclosed evidence was “likely admissible under Ohio law.” 
    Wogenstahl, 668 F.3d at 325
    n.3.      Of course, when subject to AEDPA deference, it must be that any
    reasonable jurist would believe that the inadmissible evidence would lead to admissible
    evidence. That is clear in this case.
    First, Cordray’s various confessions would have come into evidence in some manner had
    Petitioner known about the statements. Petitioner would have called Cordray to testify and three
    things could have happened: (1) Cordray could have testified consistent with his prior
    statements, thereby confessing in court to Aaron’s murder; (2) Cordray could have denied
    murdering Aaron, in which case, his prior confessions could come in by way of impeachment, as
    prior inconsistent statements under Ohio Rule of Evidence 613; or, perhaps most likely,
    (3) Cordray would not have appeared or would have appeared but asserted his Fifth Amendment
    privilege against self-incrimination. In this third scenario, Cordray would have been unavailable
    under Ohio Rule of Evidence 804(A)(1) such that his prior confessions could have come in as
    statements against interest under Ohio Rule of Evidence 804(B)(3). See State v. Landrum,
    
    559 N.E.2d 710
    , 719-20 (Ohio 1990).           Rule 804(B)(3) permits an unavailable declarant’s
    statement to be admitted if it “tended to subject the declarant to civil or criminal liability . . . that
    a reasonable person in the declarant’s position would not have made the statement unless the
    declarant believed it to be true,” if that statement is accompanied by “corroborating
    circumstances [which] clearly indicate the trustworthiness of the statement.” In Landrum, the
    No. 11-3363                          Gumm v. Mitchell                          Page 26
    Ohio Supreme Court found sufficient corroborating circumstances where the declarant
    “spontaneously” confessed shortly after a murder and there was additional evidence tying the
    declarant to the 
    murder. 559 N.E.2d at 720
    (citing Chambers v. Mississippi, 
    410 U.S. 284
    , 300-
    01 (1973)).
    Like in Landrum, Cordray’s confessions were spontaneous: he walked up to the Steeles
    and told them that he killed “the little kid” and bragged to others in the neighborhood about
    killing Aaron. Additionally, other reports place Cordray near the scene of the crime and gave
    him motive for killing Aaron.       Therefore, a court would find that there were sufficient
    corroborating circumstances to render Cordray’s confessions admissible.            See 
    Landrum, 559 N.E.2d at 720
    . Further, the fact that Cordray had a similar palm print to the one left at the
    scene could have been admitted by calling the forensic investigator, and Petitioner could have
    called Putteet to testify about witnessing Aaron teasing Cordray on the night in question.
    Additionally, much of the evidence given to the police was in the form of eyewitness
    statements from named, identified individuals whose testimony would be admissible at trial.
    Had Petitioner known of the existence of these witnesses, he could have offered testimony of the
    following: (1) Roger Cordray was known to sleep in the abandoned building where Aaron’s body
    was found; (2) a group of people was seen on the night of the murder “messing with” Cordray in
    a nearby alley; (3) Anthony Steele observed that Cordray’s hands and knuckles were scraped;
    (4) there were “some similarities” between Cordray’s palm print and the print recovered at the
    crime scene; (5) Raymond Moore lived in the abandoned building where Aaron’s body was
    discovered at some point; (6) Moore was seen entering the building several times on the night of
    the murder; (7) Moore was acting strangely and avoiding Aaron’s mother; (8) Garland Inman, a
    convicted sex offender, was seen near the crime scene on the night of the murder; (9) Claude
    Justice was known to use the abandoned buildings for sex; and (10) Luther Hatton had been seen
    near the abandoned building and mysteriously disappeared around 10:00 p.m. on the night of the
    murder. None of this was inadmissible as hearsay or for any other reason.
    Although some of the evidence against the multiple other suspects might have been
    inadmissible, the fact that police had received reports about multiple other suspects could have
    been introduced at trial to call into question the thoroughness of the investigation. Therefore,
    No. 11-3363                          Gumm v. Mitchell                           Page 27
    contrary to the magistrate judge’s conclusion that much of the evidence was immaterial for
    Brady purposes, Petitioner has correctly identified a whole slew of undisclosed, material
    evidence, much of which was admissible or could easily have led to admissible evidence.
    b.      Consideration of the Evidence in Context
    When the prosecution fails to turn over numerous pieces of favorable evidence, the
    proper focus of Brady’s materiality inquiry is on the cumulative effect of the unsuppressed
    evidence on the jury’s verdict. See 
    Kyles, 514 U.S. at 436
    -37. “[T]he omission[s] must be
    evaluated in the context of the entire record.” United States v. Agurs, 
    427 U.S. 97
    , 112 (1976).
    Considering the quality and quantity of the evidence that the state failed to disclose, the
    potential for that evidence to have affected the outcome of Petitioner’s trial is inescapable. Even
    armed with only the evidence implicating Roger Cordray, defense counsel would have easily
    constructed an alternative narrative of the crime. Defense counsel would have been able to
    establish through eyewitnesses that a group of people, which may have included Aaron Raines,
    was taunting Cordray near the abandoned building around 11:00 p.m. on the night of the murder.
    Witnesses place Aaron in the same area at approximately the same time. Cordray, who was
    known to sleep in the abandoned building, later confessed to numerous people that he had
    murdered Aaron. After the murder, a witness noticed that Cordray’s knuckles were scraped.
    Even though the police identified “some similarities” between Cordray’s palm print and the print
    found at the scene of the crime—a similarity they were unable to establish with Gumm’s print—
    they eliminated Cordray as a suspect because they simply believed him when he denied
    involvement in the crime. Taken together, these facts demonstrate that Cordray had the means,
    motive, and opportunity to murder Aaron. These facts, had they been disclosed, would have
    provided a compelling counter-narrative to the state’s theory of the case and would have called
    into question the thoroughness of the police investigation.
    The capacity for the undisclosed evidence to have affected the outcome of Petitioner’s
    trial becomes even clearer when viewed in light of the small amount of evidence that the state
    adduced at Petitioner’s trial. In fact, the prosecutor admitted in his opening statement to the jury
    that “the police had very little concrete evidence” and that the case came down to what neighbors
    had seen that night.    (J.A. at 242-43.)    The prosecutor framed the case as the neighbors
    No. 11-3363                          Gumm v. Mitchell                           Page 28
    coalescing around Petitioner as the murderer, but the evidence regarding Cordray and the holes
    that the neighbors could have poked in the police’s timeline would have been directly
    contradictory to the prosecutor’s view of the crime. The state never discovered any physical
    evidence linking Petitioner to the crime. Instead, the state focused on the fact that Petitioner was
    seen in a park near the abandoned building around 7:00 p.m. on the night of the murder.
    However, the relevance of this fact is clearly dubious given the numerous witnesses who saw
    Aaron much later that night—evidence which was admissible but never disclosed to the defense.
    Second, the state brought in inflammatory and prejudicial evidence, which this Court finds was
    unrelated to the crimes and was of questionable validity.            Additionally, much of that
    inflammatory evidence was unreliable hearsay, hearsay upon hearsay, and hearsay upon hearsay
    upon hearsay.
    Finally, and most importantly, the state relied on Petitioner’s own confession to the
    murder. Undoubtedly, a confession “is strong evidence of [] guilt,” Harbison v. Bell, 
    408 F.3d 823
    , 824 (6th Cir. 2005), but there are numerous reasons why a jury would have discounted
    Petitioner’s statements to the police, taking into account Petitioner’s diminished mental capacity,
    especially had it been presented with a compelling alternative theory of the crime based on this
    mountain of exculpatory evidence. In fact, the only defense witness at Petitioner’s trial testified
    regarding the weakness of Petitioner’s confession.
    Petitioner’s statements to the police were far from overwhelming evidence of his guilt.
    Petitioner had a questionable capacity to understand what was happening to him, and he likely
    could not distinguish between what he was told during his encounters with the police and what
    he actually remembered from the day of the murder. Although the jury was presented with
    Petitioner’s recorded confession, the jury also listened to extensive testimony by the defense’s
    expert witness, who provided strong reasons for discounting Petitioner’s confession. Some
    excerpts from the trial transcript are particularly telling of Petitioner’s capacity to provide a
    reliable confession in this case. Defense counsel asked Dr. Leland for his opinion regarding
    whether petitioner “would be able to relate the same set of facts accurately two times in a row or
    several times.” (J.A. Vol. II, at 284.) The following colloquy ensued:
    No. 11-3363                         Gumm v. Mitchell                          Page 29
    A.      He could relate the same type – the same type of facts consistently as long
    as there was no other intrusion of new facts.
    Q.      What would happen if there was an intrusion of new facts?
    A.      Then he – then that would contaminate the original memory, and he
    wouldn’t be sure which he was remembering and which he wasn’t; that is,
    it would become jumbled sets of information because he at no time would
    have been able to synthesize them to make them into a real idea.
    Q.      Do you have an opinion with reasonable psychological certainty as to
    whether or not he would confuse what he had witnessed, he would get
    them very confused.
    A.      Well, it would – if what he had been told concerned what he had
    witnessed, he would get them very confused.
    (Id.) Although the expert witness did not view the recordings of Petitioner’s confessions, Dr.
    Leland did view a recording of Petitioner’s walk-through of the abandoned building in which
    Aaron Raines’ body was found. Dr. Leland was questioned regarding his opinion as to the
    reliability of the statement Petitioner made during that walk-through. He stated in response, “I
    think it’s even less reliable . . . . Because, after watching the tape and comparing the two
    programs, I find that Darryl primarily was agreeing with the policemen. As the policemen said
    things, Darryl would shake his head, meaning yes, and occasionally add things. But the things
    that he was asked and added had nothing to do with the testimony in this case.” (Id. at 285–86.)
    Finally, Petitioner’s counsel asked Dr. Leland whether, based on his examination of Petitioner
    and his review of the psychiatric reports, he had an opinion as to whether Petitioner had “the
    ability to accurately describe an event or facts which occurred ten weeks prior to the time he
    described them.” (Id. at 287.) In response, Dr. Leland responded, “I don’t think he has the
    ability to accurately describe any series of events. I, for example, asked him what he had been
    doing in jail for the last three, four days, and he couldn’t describe that.” (Id.) On cross-
    examination, Dr. Leland also stated that he did not believe Petitioner “understands what the truth
    is as you would define the word truth. You can’t judge a damaged brain the way you would
    judge a normal brain.” (R. 170-8, Leland Testimony, at 895.) Dr. Leland also testified on cross-
    examination that Petitioner “had difficulty synthesizing what he remembers. . . . [And t]he
    problem with depending on that is if you introduce other isolated facts that relate the same
    situation that he doesn’t know, he may remember them also, in which case he doesn’t know
    which the real facts are and which are the ones you’ve introduced.” (Id. at 895–96.)
    No. 11-3363                          Gumm v. Mitchell                          Page 30
    Upon his second petition for post-conviction relief, Petitioner was found to be mentally
    retarded by the Ohio state courts.       According to a psychological evaluation performed by
    licensed psychologist Dr. David A. Ott, which was submitted to the district court during
    Petitioner’s second evidentiary hearing, mentally retarded individuals use a “cloak of
    competence” in an “attempt to present themselves as ‘normal’ (or at least more capable than they
    actually are) as a means of avoiding the stigma of being identified as mentally retarded.” (R.
    170-18, Ott Psych. Eval., at 7.) Dr. Ott explained that Petitioner’s behavior in response to the
    officers’ questioning was consistent with this notion. (Id. (“Although the contact note indicates
    the officer’s perception that ‘most of the conversation’ was ‘macho talk,’ Mr. Gumm’s apparent
    efforts to present himself as a capable farmer and pool player despite the significant adaptive
    deficits he exhibited are consistent with the notion of the cloak of competence. . . . Mr. Gumm
    appeared to the officers as a follower, indicating the ineffectiveness with which he attempted to
    portray himself as more competent.”).)
    This observed behavior is very much consistent with the Supreme Court’s concerns
    expressed in Atkins v. Virginia, 
    536 U.S. 304
    , 320 (2002) about the heightened possibility of
    false confessions from mentally retarded individuals. The Court recognized that while mentally
    retarded individuals “frequently know the difference between right and wrong,” their
    impairments cause “diminished capacities to understand and process information, to
    communicate, to abstract from mistakes and learn from experience, to engage in logical
    reasoning, to control impulses, and to understand others’ reactions.” 
    Id. at 318.
    Mentally
    retarded individuals are particularly “susceptible to the perceived wishes of authority figures.”
    Morgan Cloud et al., Words without Meaning: The Constitution, Confessions, and Mentally
    Retarded Suspects, 69 U. Chi. L. Rev. 495, 511 (2002). This is true “[e]ven when no direct
    pressure is exerted on them [because] they may be inclined to make false statements out of a
    desire to please perceived authority figures.” 
    Id. “If an
    authority figure such as a police officer
    makes it clear to the individual that he wants a confession, even an innocent disabled person may
    confess so a law enforcement officer will not become angry with him.” 
    Id. at 512.
    Additionally,
    “[w]hen faced with a coercive situation . . . mentally retarded persons generally have difficulty
    finding refuge even in silence, as often they feel compelled to answer – even when the questions
    are beyond their abilities.”     Paul T. Hourihan, Earl Washington’s Confession: Mental
    No. 11-3363                          Gumm v. Mitchell                          Page 31
    Retardation and the Law of Confessions, 
    81 Va. L
    . Rev. 1471, 1493 (1995). This means that
    “mentally retarded defendants are more likely to confess when placed in an interrogational
    situation, less likely to give a truthful statement, and yet more likely to be found by a court to
    have voluntarily, knowingly, and intelligently relinquished his or her constitutional right against
    self-incrimination.” 
    Id. at 1494.
    In fact, as the magistrate judge’s report and recommendation
    recognized, numerous studies reveal that “the mentally retarded are disproportionately
    represented in ‘false confession’ cases.” Gumm, 
    2009 WL 7785750
    , at *32 (citing Brandon L.
    Garrett, Judging Innocence, 108 Colum. L. Rev. 55, 88-89 (2008); Steven A. Drizin & Richard
    A. Leo, The Problem of False Confessions in the Post-DNA World, 
    82 N.C. L
    . Rev. 891, 920,
    971 (2008)).
    While a jury could have accepted (and did accept in this instance) that Petitioner’s
    confession was genuine, notwithstanding these problems, the jury was not presented with any
    counter narrative of the crime. Instead, what was placed before the jury was a confession of
    minimal reliability, inflammatory statements by the prosecutor, heavily prejudicial testimony
    from Petitioner’s former housemates, and hearsay statements lacking any indicia of reliability
    contained in the psychiatric reports. Although the jury likely viewed Petitioner’s confession with
    some skepticism following this testimony, without a counter narrative of the crime and with all
    of the egregious “bad acts” evidence that came into the record, the jury likely placed greater
    weight in the confession than was warranted. In this context, the state’s failure to turn over this
    evidence implicating other individuals in the murder and calling into question the state’s own
    account of the crime can “reasonably be taken to put the whole case in such a different light as to
    undermine confidence in the verdict.” 
    Kyles, 514 U.S. at 435
    .
    c.     AEDPA Deference
    Although AEDPA does not apply to Petitioner’s Brady claim, even if we were confined
    by the stringent limitations in § 2254(d)(1), habeas relief is still appropriate because no
    reasonable jurist could find that the disclosure of the small mountain of exculpatory evidence in
    this case would not undermine confidence in the verdict. In its recent decision in Woodall, the
    Supreme Court clarified application of § 2254(d)(1) as follows:
    No. 11-3363                             Gumm v. Mitchell                       Page 32
    Section 2254(d)(1) provides a remedy for instances in which a state court
    unreasonably applies [Supreme] Court[] precedent; it does not require state courts
    to extend that precedent or license federal courts to treat the failure to do so as
    error. Thus, if a habeas court must extend a rationale before it can apply to the
    facts at hand, then by definition the rationale was not clearly established at the
    time of the state-court 
    decision. 134 S. Ct. at 1706
    (internal citation and quotation marks omitted). Therefore, the Court held,
    habeas relief is improper where a state court’s decision constituted an unreasonable failure to
    extend clearly established federal law. This holding does not apply in the instant case because
    Petitioner’s Brady claim falls directly under the Supreme Court’s clearly established law as
    dictated in Brady and its progeny, and does not require an extension of current law. Therefore,
    even under AEDPA deference, habeas relief is appropriate in this case.
    This is not a difficult finding to make. In this case, there was no physical evidence
    linking Petitioner to the crime. The police were unable to locate Petitioner’s shoes to match
    those to the prints found at the crime scene. Police were also unable to match Petitioner’s palm
    print to the palm print uncovered at the scene. As a result, the prosecutor made his case through
    Petitioner’s demonstrably unreliable confession and egregiously prejudicial and unreliable
    testimony and hearsay statements contained in the psychiatric reports. On the other hand, the
    undisclosed evidence, much of which would have been admissible in some form at trial,
    demonstrated that other suspects were near the scene at the approximate time of the crime. One
    of those suspects confessed on at least two occasions to two different people. That same suspect
    who confessed to the crime was seen in the area around the time of the crime, being harassed by
    a group of kids. That same suspect’s palm print had some similarities with the palm print
    obtained from the scene. Where the evidence against Petitioner was so weak in this case and the
    undisclosed evidence so strong, it is impossible for this Court to conclude that reasonable jurists
    could disagree as to whether the undisclosed evidence, when considered together, “could
    reasonably be taken to put the whole case in such a different light as to undermine confidence in
    the verdict.” 
    Kyles, 514 U.S. at 435
    .
    The Supreme Court found in Kyles that “[t]here was a considerable amount of [] Brady
    evidence on which the defense could have attacked the investigation as shoddy.” Here, it is no
    different. Even prior to anyone mentioning Petitioner as a possible suspect, the police had a
    No. 11-3363                          Gumm v. Mitchell                          Page 33
    great deal of evidence, much of which would have been admissible in some form, showing that
    other individuals could have been involved in the crime, yet police ended their investigations of
    these individuals based on little more than a whim that the individuals were being truthful.
    Two identified witnesses came forward stating that Cordray had confessed to the murder
    and two additional people were believed to have heard Cordray confess. Cordray’s palm prints
    were a partial match to the palm prints retrieved at the scene of the crime. Defense counsel
    could have conducted additional investigation by interviewing Anthony and Theresa Steele,
    Donna Jones, and Paul Worthington, and calling them during trial to ask about Cordray’s
    confessions. Although the latter two individuals did not provide direct statements to the police,
    the undisclosed evidence indicates that they overheard Cordray confessing that he killed Aaron
    Raines. Despite all of this evidence amassed against Roger Cordray, the police officers merely
    decided they believed his story and ended their investigation into that suspect. After locating
    Cordray, photographing his shoes, and fingerprinting him, the police interviewed Cordray about
    his activities on the night of the murder. When he denied knowing Aaron Raines or seeing him
    that night and indicated that he would never hurt a child, “[t]he author of the investigative
    summary expressed his belief that Cordray was being truthful, and skepticism that Cordray was
    involved in Aaron’s murder.” Gumm v. Mitchell, No. 1:98–cv–838, 
    2009 WL 7785750
    , at *20-
    21 (S.D. Ohio Sept. 28, 2009). Had all of this material been presented to the jury, Petitioner’s
    defense counsel could have attacked as “shoddy” this decision to end the investigation.
    Similarly, police received a number of reports implicating Raymond Moore in the crime,
    including one from Aaron’s uncle. Apparently Moore lived in the abandoned building and a
    witness saw him entering the building around 7:00 p.m. on the night of the murder. Moore made
    a number of strange and questionable statements to the police regarding his conduct on the night
    of the murder. Despite all of this evidence, the police simply determined that they “kind of”
    believed Moore and eliminated him as a suspect, without pressing any further. This evidence
    would have allowed Petitioner to “undermine the ostensible integrity of the investigation.”
    
    Kyles, 514 U.S. at 447
    .
    This Court is confident that even under AEDPA deference, Petitioner is entitled to habeas
    relief. The Ohio Court of Appeals unreasonably applied clearly established federal law including
    No. 11-3363                          Gumm v. Mitchell                          Page 34
    Brady, Kyles, and their progeny. A habeas petitioner need not demonstrate that undisclosed
    Brady evidence would have rendered a different outcome in his trial or demonstrated that he was
    factually innocent. To prevail under Brady, a petitioner need only establish that the undisclosed
    evidence, when considered collectively, “could reasonably be taken to put the whole case in such
    a different light as to undermine confidence in the verdict.” The Ohio Court of Appeals’ measly
    statement regarding the merits of Petitioner’s Brady claim constituted an unreasonable
    application of clearly established federal law because no reasonable jurist could have found that
    the disclosure of this small mountain of exculpatory evidence, much of which was admissible or
    would clearly have led to admissible evidence, would not have undermined confidence in the
    verdict in this case.
    C.      Petitioner’s Prosecutorial Misconduct Claim
    In addition to his Brady claim, Petitioner asserts that the admission of prior bad acts
    evidence through testimony and the psychiatric reports and the manner by which the evidence
    was used in argument constitute prosecutorial misconduct that require the grant of habeas relief.
    1.      Standard of Review
    Before the Ohio Supreme Court, Petitioner asserted that the prosecution’s argument
    pushing for admission of the full psychiatric reports as well as the use of material contained in
    those reports constituted prosecutorial misconduct. In the same section of Petitioner’s merits
    brief, he asserted a fair trial claim that the trial court improperly admitted Thacker and Baker’s
    testimony. (J.A. at 206 (“It is submitted that the lower courts [sic] admission into evidence
    testimony as to the Appellant’s drinking and sexual habits . . . was clearly prejudicial error.”).)
    In response to those assertions, the Ohio Supreme Court concluded as follows:
    Gumm first challenges the admissibility of testimony elicited from witnesses
    Phyllis Thacker and Charlotte Baker. . . . Gumm asserts that his chance for a fair
    trial was irretrievably lost after this testimony [sic]. . . .
    We note that the prosecution did not revisit these factual disclosures in its
    summation or emphasize them in any way thereafter. Even assuming, arguendo,
    that the challenged evidence should have been deemed inadmissible, we find on
    the basis of the record as a whole that Gumm received a fair trial . . . .
    No. 11-3363                           Gumm v. Mitchell                          Page 35
    Second, Gumm asserts that the state engaged in prosecutorial misconduct in
    connection with the testimony of defense witness Dr. Henry Leland. . . .
    Gumm argues that admission of the entire packet of materials permitted the
    prosecution to engage in further misconduct by allowing it to focus on prior bad
    acts of defendant (past instances of cruelty to animals and an alleged attempt to
    rape a friend of his sister).
    This claim is without merit. Dr. Leland was called as the sole defense witness to
    show that Gumm’s confession to police was not reliable. In response to the
    prosecutor’s question whether the packet of information helped him form the
    basis of his opinions on Gumm, Dr. Leland stated that the packet “presented the
    major basis, because when I was able to compare that information with my
    information, it became clear what the problem was.”
    [Ohio Rule of Evidence] 703 provides that “[t]he facts or data in the particular
    case upon which an expert bases an opinion or inference may be those perceived
    by him or admitted in evidence at the hearing.” See State v. Jones, 
    459 N.E.2d 526
    (1984), the syllabus of which provides: “Pursuant to [Ohio Rule of Evidence]
    703, facts or data upon which an expert bases an opinion must be those perceived
    by him or admitted in evidence at the hearing.” (Emphasis added).
    While Gumm may have been forced to offer the Court Psychiatric Center packet
    into evidence to save the testimony of his only witness, the motion by the
    prosecutor does not constitute prosecutorial misconduct. The Rules of Evidence
    and relevant precedent support the propriety of the prosecution’s motion in this
    regard.
    
    Gumm, 653 N.E.2d at 265-67
    . Therefore, the Ohio Supreme Court based its prosecutorial
    misconduct decision solely on Petitioner’s asserted claim about the psychiatric reports, and we
    apply AEDPA deference to this decision.
    Petitioner did not argue before the Ohio Supreme Court that the prosecutor’s elicitation
    of and argument concerning Thacker and Baker’s testimony constituted prosecutorial misconduct
    denying him due process of law. Therefore, this claim has not been exhausted in state court.
    Under normal circumstances, this failure to present the claim to the state court would constitute a
    procedural default. Lovins v. Parker, 
    712 F.3d 283
    (6th Cir. 2013) (“[A] claim is procedurally
    defaulted where the petitioner failed to exhaust state court remedies, and the remedies are no
    longer available at the time the federal petition is filed because of a state procedural rule.”); see
    also In re Abdur’Rahman, 
    392 F.3d 174
    , 186 (6th Cir. 2004) (en banc) (describing this situation
    as “forfeiture by failure to exhaust”), vacated on other grounds by Bell v. Abdur’Rahman,
    
    545 U.S. 1151
    (2005). However, the state has explicitly waived the procedural default defense.
    No. 11-3363                            Gumm v. Mitchell                            Page 36
    In its “Return of Writ,” the state “concede[d] that Gumm has not procedurally defaulted the
    allegation of prosecutorial misconduct of introducing ‘other acts’ evidence” while also arguing
    that “Gumm is procedurally defaulted on the remaining claims.” (R. 163, Return of Writ, at
    206.) As this Court has acknowledged, “[p]rocedural default is normally a defense that the State
    is obligated to raise and preserv[e] if it is not to lose the right to assert the defense thereafter.”
    Arias v. Lafler 511 F. App’x 440, 444 (6th Cir. 2013). Therefore, although Gumm failed to
    present his claims regarding testimony from Thacker and Baker, he has not procedurally
    defaulted those claims. And as the Supreme Court has explained “[a] court of appeals is not
    required to raise the issue of procedural default sua sponte. It is not as if the presence of a
    procedural default deprived the federal court of jurisdiction, for [the Supreme] Court has made
    clear that in the habeas context, a procedural default, that is, a critical failure to comply with state
    procedural law, is not a jurisdictional matter.” Trest v. Cain, 
    522 U.S. 87
    , 89 (1997).
    AEDPA deference is warranted only where “a federal claim was adjudicated on the
    merits in State court.” Johnson v. Williams, 
    133 S. Ct. 1088
    , 1097 (2013) (emphasis in original).
    “When the evidence leads very clearly to the conclusion that a federal claim was inadvertently
    overlooked in state court [or never presented to the state court], § 2254(d) entitles the prisoner to
    an unencumbered opportunity to make his case before a federal judge.” 
    Id. “Consequently, where
    a state court has not previously ruled on the merits of a claim, we apply the de novo
    standard of review.” Murphy v. Ohio, 
    551 F.3d 485
    , 494 (6th Cir. 2009).
    Therefore, this Court applies AEDPA deference to the state court’s determination
    regarding the prosecutor’s motion to admit the psychiatric reports and the use of hearsay
    statements contained in the reports in rebuttal closing arguments, but we apply de novo review to
    Petitioner’s claims regarding testimony from Thacker and Baker because the state court never
    considered those claims.
    2.      Clearly Established Law
    A prosecutor “is the representative not of an ordinary party to a controversy, but of a
    sovereignty whose obligation . . . in a criminal prosecution is not that it shall win a case, but that
    justice shall be done.” Berger v. United States, 
    295 U.S. 78
    , 88 (1935), overruled on other
    grounds by Stirone v. United States, 
    361 U.S. 212
    (1960). To achieve this goal, the prosecutor
    No. 11-3363                            Gumm v. Mitchell                            Page 37
    “may prosecute with earnestness and vigor . . . . But, while he may strike hard blows, he is not at
    liberty to strike foul ones. It is as much his duty to refrain from improper methods calculated to
    produce a wrongful conviction as it is to use every legitimate means to bring about a just one.”
    
    Id. “It is
    fair to say that the average jury, in a greater or less degree, has confidence that these
    obligations, which so plainly rest upon the prosecuting attorney, will be faithfully observed.
    Consequently, improper suggestions, insinuations, and, especially, assertions of personal
    knowledge, are apt to carry much weight against the accused when they should properly carry
    none.”    
    Id. In particular,
    statements meant to inflame the passions of the jury are often
    considered improper. Slagle v. Bagley, 
    457 F.3d 501
    , 518 (6th Cir. 2006). Additionally,
    the State may not show defendant’s prior trouble with the law, specific criminal
    acts, or ill name among his neighbors, even though such facts might logically be
    persuasive that he is by propensity a probable perpetrator of the crime. The
    inquiry is not rejected because character is irrelevant; on the contrary, it is said to
    weigh too much with the jury and to so overpersuade them as to prejudge one
    with a bad general record and deny him a fair opportunity to defend against a
    particular charge.
    Michelson v. United States, 
    335 U.S. 469
    , 476 (1948).
    At the same time, this Court recognizes that our review of alleged prosecutorial
    misconduct is “the narrow one of due process, and not the broad exercise of supervisory power
    that [we] would possess in regard to [our] own trial court.” Donnelly v. DeChristoforo, 
    416 U.S. 637
    , 642 (1974) (internal quotation marks omitted). See also Smith v. Phillips, 
    455 U.S. 209
    ,
    221 (1982) (“Federal courts hold no supervisory authority over state judicial proceedings and
    may intervene only to correct wrongs of constitutional dimension.” When this Court reviews a
    prosecutorial misconduct claim, “it is not enough that the prosecutor’s [conduct was] undesirable
    or even universally condemned.” Darden v. Wainwright, 
    477 U.S. 168
    , 181 (1986). Instead,
    that conduct must have “so infected the trial with unfairness as to make the resulting conviction a
    denial of due process.” 
    Id. Further, the
    Supreme Court has noted that “the Darden standard is a
    very general one, leaving courts ‘more leeway . . . in reaching outcomes in case-by-case
    determinations.’” Parker v. Matthews, 
    132 S. Ct. 2148
    , 2155 (2012) (quoting Yarborough v.
    Alvarado, 
    541 U.S. 652
    , 664 (2004)).
    No. 11-3363                          Gumm v. Mitchell                          Page 38
    In Parker, the Supreme Court instructed that this Court may not consult its own
    precedent to decide under AEDPA whether a state court’s adjudication on the merits was
    contrary to clearly established federal 
    law. 132 S. Ct. at 2155
    (internal citation and quotation
    marks omitted) (“[C]ircuit precedent does not constitute clearly established Federal law . . . . It
    therefore cannot form the basis for habeas relief under AEDPA.”). The Court explained that its
    “highly generalized standard for evaluating claims of prosecutorial misconduct set forth in
    Darden bears scant resemblance to the elaborate, multistep test employed by [our Court].” 
    Id. Therefore, because
    our review of Petitioner’s claim regarding admission and argument of
    hearsay statements in the psychiatric reports is subject to AEDPA deference, we must apply the
    “highly generalized standard for evaluating [such claims] set forth in Darden” and its progeny,
    not our own four-factor test. 
    Id. In Darden,
    477 U.S. at 182, the Supreme Court held that the petitioner’s due process
    right was not violated because “[t]he prosecutor’s argument did not manipulate or misstate the
    evidence, nor did it implicate other specific rights of the accused such as the right to counsel or
    the right to remain silent.”    The Court was also convinced by the fact that many of the
    prosecutor’s objectionable statements were responsive to arguments initially asserted by defense
    counsel and the trial court properly instructed the jurors that the arguments of counsel were not
    evidence. The Court also found particularly compelling the fact that the “weight of the evidence
    against [the] petitioner was heavy.” 
    Id. Similarly, in
    Donnelly, the Supreme Court found telling
    the fact that “[c]onflicting inferences ha[d] been drawn from the prosecutor’s statement by the
    courts below,” and concluded that it was “by no means clear that the jury did engage in the
    hypothetical analysis suggested by the majority of the Court of Appeals, or even probable that it
    would seize such a comment out of context and attach this particular meaning to 
    it.” 416 U.S. at 643-44
    . Additionally, in Donnelly, the prosecutor emphasized that his own argument did not
    constitute evidence and the trial judge admonished the jury to ignore the prosecutor’s improper
    remark. The Court concluded that “[a]lthough some occurrences at trial may be too clearly
    prejudicial for such a curative instruction to mitigate their effect, the comment in this case is
    hardly of such character.” 
    Id. at 644.
    “The consistent and repeated misrepresentation of a
    dramatic exhibit in evidence may profoundly impress a jury and may have a significant impact
    on the jury’s deliberations. Isolated passages of a prosecutor’s argument, billed in advance to the
    No. 11-3363                           Gumm v. Mitchell                             Page 39
    jury as a matter of opinion not of evidence, do not reach the same proportions. . . .” 
    Donnelly, 416 U.S. at 646-47
    . See also Romano v. Oklahoma, 
    512 U.S. 1
    , 13-14 (1994) (concluding that a
    prosecutor’s misconduct did not warrant reversal because the trial court provided clear
    instructions to the jurors and the nature of the evidence made it “impossible to know how [it]
    might have affected the jury.”).
    3.      Analysis
    a.      Prior Bad Acts Contained in the Psychiatric Reports
    The Ohio Supreme Court concluded that the psychiatric reports were properly admitted
    into evidence and that the prosecutor did not act improperly in arguing the information contained
    in the reports. Even if this was proper under the Ohio Rules of Evidence, it does not mean that
    the prosecutor was free to use the materials contained in that packet however he wished. The
    manner in which he used those materials was improper in this case. The prosecutor aggressively
    pushed to have the reports admitted into the record as support for the defense expert’s testimony,
    and then turned around and argued the information contained in those hearsay statements as
    though it was unrebutted, reliable fact. Unlike some of the Supreme Court’s cases described
    above, this case does not concern unclear statements in a closing argument that can be
    interpreted in different ways. Additionally, this case is not one in which the trial judge clearly
    instructed the jurors regarding propensity evidence and the value of hearsay statements.
    A portion of the prosecution’s closing argument bears repeating:
    Charles recalls hearing a story from his wife of an incident where [Petitioner]
    threw a raccoon into a five-gallon bucket of paint. Charles admits that
    [Petitioner] was cruel to animals and would frequently kick them. On one
    occasion he recalls [Petitioner] planning to kick the neighbor’s dog to death
    before he was stopped by the dog’s owner. Begin to fit the personality?
    After this offense occurred, he did report an incident where [Petitioner] attempted
    to get one of their nephews to suck him. Begin to fit the pattern? These are from
    people who are not police officers, not prosecutors. They’re people, if anything,
    who should be in the defense. They interviewed Betty Gumm. You heard what
    she said. . . . Betty recalls [Petitioner] tried to rape a friend of hers; however, there
    was not enough evidence on this occasion to convict him. He was described as
    rowdy, arguing, and fighting when he was drunk. Does that fit the pattern? Betty
    recalls [Petitioner] as always being cruel to animals.
    No. 11-3363                          Gumm v. Mitchell                            Page 40
    On one occasion, [she] recalls [Petitioner] throwing her sister Karen’s daughter’s
    dog into a space heater and the dog dying. On another occasion, Betty recalls
    [Petitioner] putting a spoon on the stove until it got hot and then putting it on their
    nephew’s arm.
    (App. at 308–09.) Although unrelated and removed in time from the crimes in this case, the
    prosecution put forth unreliable hearsay statements regarding cruelty to animals and bizarre sex
    acts to suggest that Petitioner had a propensity to commit acts like the crimes in question. This
    evidence was clearly meant to “inflame the passions of the jury,” 
    Slagle, 457 F.3d at 518
    , and
    paint Petitioner as a sexual deviant and animal-killer who deserved to be removed from society.
    While it is clear that the statements contained in the psychiatric reports were extremely
    prejudicial and the prosecutor’s decision to argue the hearsay statements as fact to the jury ought
    to be “universally condemned,” it is difficult to find under the highly restrictive standards set
    forth by the Supreme Court’s interpretation of AEDPA that this misconduct rises to a level that,
    given the “leeway” of the Darden standard, no “fairminded jurist” could have reached the
    conclusion that the Ohio Supreme Court did in this case. See 
    Richter, 131 S. Ct. at 786
    . The
    magistrate judge and district court’s contrary result rested on the application of the multi-factor
    prosecutorial misconduct test from this Court’s decision in Bowling v. Parker, 
    344 F.3d 487
    (6th
    Cir. 2003).   See Gumm. 
    2009 WL 7785750
    , at *39, 43.              Post-Matthews, this was clearly
    
    erroneous. 132 S. Ct. at 1255-56
    . Further, the magistrate judge spent time analyzing the
    propriety of the prosecutor’s motion to admit the psychiatric reports under the Ohio Rules of
    Evidence. Gumm, 
    2009 WL 7785750
    , at *43. This was also erroneous because evaluation of a
    state’s decision on its evidentiary rule is “no part of a federal court’s habeas review of a state
    conviction.” 
    Estelle, 502 U.S. at 67
    . In light of the fact that the Ohio Supreme Court (rightly or
    wrongly) determined that the prosecutor’s motion was proper under Ohio evidentiary rules, it is
    difficult to say, even considering the inflammatory items included in the report, that no
    reasonable jurist could agree with the Ohio court’s conclusion that the prosecutor’s conduct did
    not violate Petitioner’s due process rights. Therefore, this Court cannot find, subject to AEDPA
    deference, that Petitioner is entitled to habeas relief based solely on the prosecutor’s motion to
    admit hearsay statements contained in the psychiatric reports.
    No. 11-3363                           Gumm v. Mitchell                          Page 41
    b.      Testimony by Thacker and Baker
    Because Petitioner’s claims regarding testimony by Thacker and Baker were not
    presented to the Ohio courts, the state courts did not adjudicate those claims on the merits. As a
    result, we review those claims de novo. See 
    Robinson, 663 F.3d at 822-23
    . Therefore, this Court
    must determine whether the prosecutor’s remarks and actions surrounding testimony by Thacker
    and Baker, “in the context of the entire trial, were sufficiently prejudicial to violate respondent’s
    due process rights.” 
    Donnelly, 416 U.S. at 639
    .
    Under this standard of review, this Court has “employ[ed its own] two-part test to
    determine whether prosecutorial misconduct require[d] a new trial.” Cristini v. McKee, 
    526 F.3d 888
    , 899 (6th Cir. 2008). Again, “[w]e are well aware that we possess no supervisory powers
    over state trial proceedings and that our scope of review over allegedly prejudicial arguments by
    state prosecutors is narrow. Prosecutorial argument must be so egregious so as to render the
    entire trial fundamentally unfair.” Cook v. Bordenkircher, 
    602 F.2d 117
    , 119 (6th Cir. 1979).
    On de novo review, our first step is to determine whether the challenged conduct and remarks by
    the prosecution were improper. Boyle v. Billion, 
    201 F.3d 711
    , 717 (6th Cir. 2000); United
    States v. Collins, 
    78 F.3d 1021
    , 1039 (6th Cir. 1996). If we find that the prosecutor’s conduct
    was improper, “we then ‘look to see if [it was] flagrant and warrant[s] reversal.’” 
    Boyle, 201 F.3d at 717
    (quoting United States v. Francis, 
    170 F.3d 546
    , 549 (6th Cir. 1999)). To make
    such a determination, we examine four factors: “1) whether the statements tended to mislead the
    jury or prejudice the defendant; 2) whether the statements were isolated or among a series of
    improper statements; 3) whether the statements were deliberately or accidentally before the jury;
    and 4) the total strength of the evidence against the accused.” United States v. Francis, 
    170 F.3d 546
    , 549–50 (6th Cir. 1999). The first of these factors incorporates a consideration of “whether
    the trial judge gave an appropriate cautionary instruction to the jury.” United States v. Monus,
    
    128 F.3d 376
    , 394 (6th Cir. 1997). And when assessing these factors, “the court must view the
    totality of the circumstances.” Hanna v. Price, 245 F. App’x 538, 544 (6th Cir. 2007).
    i.      Impropriety of the Prosecution’s Conduct
    In the instant case, the prosecutor’s conduct was “so deplorable as to define the term
    ‘prosecutorial misconduct.’” 
    Boyle, 201 F.3d at 717
    . Although this Court has previously stated
    No. 11-3363                                Gumm v. Mitchell                                 Page 42
    that “[a] prosecutor may rely in good faith on evidentiary rulings made by the state trial judge
    and make arguments in reliance on those rulings,” 
    Cristini, 526 F.3d at 900
    , this Court has also
    held on a number of occasions that “[w]hen a prosecutor dwells on a defendant’s bad character to
    prove that he or she committed the crime charged, we may find prosecutorial misconduct,” 
    id. at 899.
    See also Walker v. Morrow, 458 F. App’x 475, 490 (6th Cir. 2012) (internal quotation
    marks omitted) (“[T]his Court has concluded that a prosecutor commits misconduct by making
    an animated recitation of properly-admitted character evidence . . . and by asserting that
    members of the jury should be afraid to run into [the defendant] at night . . . .”).
    In Cook v. Bordenkircher, 
    602 F.2d 117
    , 120 (6th Cir. 1979), this Court concluded that a
    prosecutor’s conduct was improper where the prosecutor’s closing argument constituted a
    “persistent Ad hominem attack on the petitioner’s character.” The prosecutor’s attack on the
    petitioner’s character was particularly egregious because it “pervade[d] the closing argument”
    and “[t]he prosecutor continually portrayed the petitioner as a lowlife who had to be kept from
    society.” 
    Id. And in
    Washington v. Hofbauer, 
    228 F.3d 689
    , 700 (6th Cir. 2000), we confronted
    a situation in which the prosecutor put forth a “bad character argument[] that the alleged criminal
    acts ‘fit’ the evidence of [the defendant]’s character and lifestyle.” The Court concluded that
    “while the evidence as to Washington’s character was admissible for certain limited purposes,
    the prosecutor went far beyond the bounds of permitted conduct when presenting that evidence
    to the jury” by “impl[ying] that the jurors should consider Washington’s unseemly character
    when rendering their verdict; in his rebuttal closing argument, he explicitly urged them to do so.”
    
    Id. at 699-700.
    Although it is not improper merely to direct a jury’s attention to properly
    admitted evidence, it can be improper for a prosecutor to use that evidence to suggest that a
    criminal defendant had a propensity to commit the charged crimes. 
    Id. at 700
    (finding that the
    misconduct was severe and improper because the “character attack pervaded the closing
    argument and rebuttal.”).7
    7
    On the other hand, in Flood v. Phillips, 90 F. App’x 108, 120 (6th Cir. 2004), this Court declined to find
    that a prosecutor’s remarks pertaining to a habeas petitioner’s alleged homosexual tendencies were improper. The
    Court found particularly compelling the fact that the prosecutor had qualified his statement about the petitioner’s
    tendencies, “conced[ing] to the jury that his remarks were speculative and that he had no evidence, thereby
    mitigating their harmful effect.” 
    Id. No. 11-3363
                             Gumm v. Mitchell                         Page 43
    As the above-referenced case law demonstrates, the prosecutor’s acts and remarks in this
    case were improper. Although the Ohio trial court overruled defense counsel’s objections to
    admission of Thacker and Baker’s testimony, which was likely error in this case, the intentional
    and deliberate manner by which the prosecutor obtained the testimony and the ultimate
    propensity argument made during his rebuttal closing argument constitute improper conduct.
    Here, the conduct was improper because the prosecutor intentionally elicited evidence of
    questionable validity that is far more prejudicial than probative. The prosecutor knew what
    testimony he was searching for and did not stop until he obtained the exact language he sought
    from Thacker. Additionally, the prosecutor was aware of the questionable veracity of that
    testimony because he knew Petitioner had not only discussed “fucking a horse” but had also
    indicated that the horse was talking to him during that same conversation with Thacker. The
    prosecutor followed the same pattern with Baker—he pushed Baker in an attempt to get the exact
    statement he wanted on the record, even though Baker could not recall that statement ever having
    been made by Petitioner. Just as he pushed for Thacker to say “fucked the horse,” the prosecutor
    pushed Baker to say that Petitioner had previously stated he was “so hard up he’d do it to
    anyone.” However, Baker was not willing to say those words and the prosecution pushed too
    far. Instead, he improperly got them on the record through his leading question.
    The prosecutor then used this evidence to depict Petitioner as an overly-confident sexual
    deviant who has a propensity to have sex with little boys and commit crimes such as those in this
    case. In fact, the prosecutor injected an implication in his rebuttal closing argument that was
    inappropriate and unfounded on the record.          While there was questionable evidence of
    Petitioner’s sex with women, men, and a horse, there was absolutely no evidence on the record
    that Petitioner ever had sex or was motivated to have “sex with little boys.” (J.A. at 315.) See
    Walker, 458 F. App’x at 490 (internal quotation marks omitted) (“[A] prosecutor’s act of
    misrepresenting facts in evidence is improper, since doing so may profoundly impress a jury and
    may have a significant impact on the jury’s deliberations.”).
    No. 11-3363                              Gumm v. Mitchell                             Page 44
    ii.     Flagrancy of the Prosecution’s Conduct
    Having found that the prosecutor’s remarks were improper, we move on to determine
    whether the remarks were so flagrant as to warrant reversal, considering the four factors set forth
    in 
    Francis, supra
    , and 
    Bowling, supra
    .
    The only thing given AEDPA deference in this instance is the Ohio Supreme Court’s
    decision that the prosecutor’s conduct with respect to the psychiatric reports does not constitute
    prosecutorial misconduct. What the Ohio Supreme Court did not address, however, is whether
    the prosecutor’s elicitation and use of Thacker’s and Baker’s testimony in isolation constitute
    prosecutorial misconduct or whether the cumulative effect of those statements and the
    prosecutor’s arguments regarding those statements amounts to prosecutorial misconduct. In fact,
    on de novo review, this Court’s test directs us to consider a series of statements and actions to
    determine the flagrancy of the prosecutor’s conduct. In this case, we are not left to guess
    whether the prosecutor’s egregious acts, viewed in the context of the rest of the evidence
    presented at trial, were flagrant and whether habeas is therefore an appropriate form of relief.
    In the instant case, the prosecutor relentlessly pressed the witnesses to obtain specific
    testimony, testimony which was highly inflammatory and unreliable. The prosecutor then used
    the inflammatory information contained in Thacker and Baker’s testimony in the rebuttal closing
    arguments to the jury to argue that Petitioner is a sexual deviant who likely committed the
    crimes:
    Sex is the motive in this particular case, and it fits the profile. . . . Darryl likes to
    shoot pool, and he likes to have sex. It’s probably a strange hobby, but it fits.
    Sex is a hobby, and he likes to have it every day: Sex with a woman; sex with a
    man, which he’s had on fifteen to twenty occasions according to the evidence; sex
    with animals, according to Phyllis Thacker; and sex with little boys.
    (J.A. at 315 (emphasis added).)
    It is clear that the prosecutor’s misconduct was flagrant and severe. Like the misconduct
    in Bordenkircher and Hofbauer, the prosecutor intended to mislead the jury and prejudice the
    defendant by using highly inflammatory and prejudicial evidence, much of which was known to
    be of questionable reliability, to assert that Petitioner had a propensity to commit the acts in
    No. 11-3363                          Gumm v. Mitchell                          Page 45
    question. Particularly, with regard to Thacker’s testimony, the statement that Petitioner had
    mentioned having had sex with a horse was unreliable due to the fact that in that same
    conversation with Thacker, Petitioner also stated that the horse had spoken to him. The
    prosecutor then reminded the jury of this evidence by arguing its truth in his rebuttal closing
    argument, which also included reference to the subject of Baker’s testimony. The prosecutor
    intended to prejudice the jury against Petitioner by portraying him as a sexual deviant whose
    character aligned with the crimes in this case.
    These statements were neither isolated nor innocently placed before the jury. In
    Bordenkircher, although this Court found that the prosecutor’s conduct was improper, the Court
    concluded that the conduct was not so flagrant as to require reversal.          The Court found
    particularly compelling the fact that the prosecutor’s improper arguments were made in response
    to arguments first asserted by defense counsel, “diminish[ing] the allegations made concerning a
    due process violation.” 
    Bordenkircher, 602 F.2d at 121
    . In this case, on the other hand, the
    prosecutor’s elicitation of prejudicial testimony and propensity arguments were part of a series of
    deliberate and improper statements that were used at multiple points throughout the trial to
    convince the jury that Petitioner had a propensity to commit the alleged crimes.              The
    prosecution’s propensity-driven argument was deliberate and was not made in response to
    defense counsel’s arguments. It was “part of a calculated effort used to evoke strong . . .
    emotions” against Petitioner. United States v. Payne, 
    2 F.3d 706
    , 715 (6th Cir. 1993). Thacker’s
    damaging testimony was one of the first things heard by the jury in this case and one of the last
    things argued to the jury in the prosecution’s rebuttal. It is clear from the prosecutor’s line of
    questioning that he had interviewed Thacker before trial and knew which stories from her
    interview he wished to place before the jury. From the beginning, the prosecutor intended to
    infect Petitioner’s trial with prejudicial and unreliable evidence.         When Thacker was
    uncomfortable using the harsh and damaging language sought by the prosecutor, he continued to
    push. He pushed Thacker until she reluctantly stated to the jury that Petitioner told her that he
    “fucked the horse.” Although the prosecutor moved on from that subject after obtaining the
    language he was searching for, he pressed Baker in a similar manner, even putting words on the
    record that she denied ever having heard Petitioner say. The discussion of irrelevant prior bad
    acts did not end there, however. The prosecution’s rebuttal closing argument included an
    No. 11-3363                           Gumm v. Mitchell                           Page 46
    express reference to Thacker’s testimony and indirect references to the subject of Baker’s
    testimony. The prosecution did not simply move on from the damaging testimony; he reminded
    the jurors of it through his propensity argument just before they left for deliberations.
    Additionally, as explained above, the other evidence against Petitioner was weak. This
    Court’s cases granting and denying prosecutorial misconduct claims seem to be distinguishable
    largely on one ground: the total strength of the evidence against the accused. In Bordenkircher,
    for example, this Court found particularly important the fact that “proof of guilt was
    overwhelming. The petitioner was effectively caught red 
    handed.” 602 F.2d at 120
    . In Cristini,
    too, although this Court found that “some of the prosecutor’s opening and closing argument went
    beyond the bounds of the ruling that permitted other acts evidence to establish Defendant’s
    identity,” it concluded that any error in connection with the misuse of that evidence was harmless
    because the rest of the evidence was so strong against the defendant that “the prior bad acts
    evidence and the propensity arguments did not have a substantial or injurious effect on the jury’s
    
    verdict. 526 F.3d at 900
    .
    In the instant case, on the other hand, there was no physical evidence linking Petitioner to
    the crime. There were no eyewitnesses to the murder. In fact, the only evidence outside of the
    challenged improper bad acts testimony was Petitioner’s confession, non-probative statements by
    Petitioner’s former female housemates that he began acting strange, looked at them in awkward
    ways, frequently talked about sex with women, and became hateful when he drank alcohol, and
    the psychiatric reports argued as fact in the prosecutor’s closing argument. Although we must
    find under the stringent requirements of AEDPA that the prosecutor’s argument regarding the
    psychiatric reports did not constitute prosecutorial misconduct, that does not prevent us from
    viewing the hearsay statements to determine the credibility, reliability, and strength of this
    evidence against Petitioner under the fourth factor of our test. The evidence contained in these
    reports had little to no reliability due to the many layers of hearsay. For example, Charles Bray
    relayed a story to a social worker about Petitioner having tried to convince a relative to “suck
    him.” However, Bray could not provide additional information because he did not himself
    observe the incident and was only told about the purported behavior by another individual. Bray
    also recalled hearing a story from his wife about Petitioner throwing a raccoon into a bucket of
    No. 11-3363                          Gumm v. Mitchell                           Page 47
    paint. The report, however, does not indicate whether Bray’s wife observed the incident herself
    or heard about it from another party.       Without more information and adequate indicia of
    reliability, these hearsay statements provided very little support for the prosecution’s case.
    Additionally, most of the information contained in the reports, such as the prejudicial stories of
    cruelty to animals, is unrelated to the crimes in this case. Even if the stories were accompanied
    by an adequate indicia of reliability, Petitioner’s cruelty to animals is unrelated to the attempted
    rape and murder of a ten-year-old boy. As a result, the psychiatric reports do not provide strong
    support for the prosecution’s case. Finally, the strongest evidence in the record supporting
    Petitioner’s conviction is his taped confession.       However, as explained above, Petitioner’s
    confession is not reliable and cannot be given great weight in this case.
    In 
    Berger, 295 U.S. at 89
    , the Supreme Court was confronted with a situation in which
    the conduct of the prosecuting attorney was not “slight or confined to a single instance, but one
    where such misconduct was pronounced and persistent, with a probable cumulative effect upon
    the jury which cannot be disregarded as inconsequential.” The Court concluded that “[i]f the
    case . . . had been strong, or . . . the evidence of his guilt overwhelming, a different conclusion
    might be reached.” 
    Id. However, finding
    that the case against the petitioner was weak, the Court
    granted habeas relief. Here, unlike Cristini and Bordenkircher, the case against Petitioner was so
    weak and the prosecutor’s misconduct so “pronounced and persistent” that it too had a “probable
    cumulative effect upon the jury which cannot be disregarded as inconsequential.” 
    Id. It is
    difficult for this Court not to conclude under de novo review that the prosecutor’s
    conduct in this case was “calculated to incite the passion and prejudices of the jurors” and “so
    infected the trial with unfairness as to make the resulting conviction a denial of due process.”
    Broom v. Mitchell, 
    441 F.3d 392
    , 412 (6th Cir. 2006) (internal quotation marks omitted).
    Therefore, habeas relief is proper on Petitioner’s prosecutorial misconduct claim.
    III.
    CONCLUSION
    We recognize that § 2254(d) is not “a substitute for ordinary error correction through
    appeal,” but is, instead, a “guard against extreme malfunctions in the state criminal justice
    No. 11-3363                         Gumm v. Mitchell                        Page 48
    systems.” 
    Richter, 131 S. Ct. at 786
    (internal quotation marks omitted). This is such a case in
    which extreme malfunctions in the state criminal justice system prejudiced Petitioner and caused
    him to suffer extreme violations of his constitutional rights. For the foregoing reasons, we
    AFFIRM the district court’s grant of a conditional writ of habeas corpus.
    No. 11-3363                             Gumm v. Mitchell                             Page 49
    ____________________________________________________
    CONCURRENCE IN PART AND IN THE JUDGMENT
    ____________________________________________________
    KAREN NELSON MOORE, Circuit Judge, concurring in part and concurring in the
    judgment. I concur in all but Part II.B.4.c. of the majority’s opinion. As the majority explains
    and the magistrate judge extensively documented, Ohio courts consistently have interpreted Ohio
    Revised Code § 2953.23(A) to deprive courts of subject-matter jurisdiction if its requirements
    are not met. See Gumm v. Mitchell, No. 1:98-CV-838, 
    2009 WL 7785750
    , at *18 (S.D. Ohio
    Sept. 28, 2009) (collecting cases). One of its requirements—that “[t]he petitioner shows by clear
    and convincing evidence that, but for constitutional error at trial, no reasonable factfinder would
    have found the petitioner guilty of the offense of which the petitioner was convicted”—requires a
    court to assess the merits of a claim. Ohio Rev. Code § 2953.23(A)(1)(b). This requirement
    does appear to lead to an odd outcome. As noted by the magistrate judge, “[t]aken to its logical
    conclusion, that interpretation [taken by the Ohio Court of Appeals] leaves the state courts with
    jurisdiction only over winning claims.” Gumm, 
    2009 WL 7785750
    , at *18.
    We are not in a position to question, however, Ohio’s interpretation of its own statute.
    When interpreting federal statutes and rules, we have been directed by the Supreme Court to
    look critically to determine whether a rule is actually jurisdictional or more accurately described
    as claims-processing. See, e.g., Reed Elsevier, Inc. v. Muchnick, 
    559 U.S. 154
    , 161 (2010). But
    when a state court interprets a state statute as jurisdictional, we are bound by principles of
    comity and federalism to defer to that interpretation. See, e.g., Vroman v. Brigano, 
    346 F.3d 598
    , 604 (6th Cir. 2003) (“This court, however, does not function as an additional state appellate
    court reviewing state-court decisions on state law or procedure.”); Israfil v. Russell, 
    276 F.3d 768
    , 771 (6th Cir. 2001) (“Principles of comity require federal courts to defer to a state’s
    judgment on issues of state law and, more particularly, on issues of state procedural law.
    Because state courts are the final authority on state law, federal courts must accept a state court’s
    interpretation of its statutes and its rules of practice.”) (internal citations omitted).
    No. 11-3363                          Gumm v. Mitchell                          Page 50
    Ohio courts hold that “[i]f a court acts without jurisdiction, then any proclamation by that
    court is void.” State ex rel. Tubbs Jones v. Suster, 
    701 N.E.2d 1002
    , 1007 (Ohio 1998). After
    appearing to discuss briefly the merits of Petitioner’s Brady claim, the Ohio Court of Appeals
    “h[e]ld that the common pleas court properly declined to entertain” the Petitioner’s Brady claim
    because “Gumm failed to satisfy the R.C. 2953.23 jurisdictional requirement of outcome-
    determinative constitutional error.” State v. Gumm, 
    864 N.E.2d 133
    , 142 (Ohio Ct. App. 2006).
    Therefore, under Ohio law, the Ohio Court of Appeals’ discussion of the merits of Petitioner’s
    Brady claim is void and is not a ruling “on the merits” for the purposes of AEDPA. See 28
    U.S.C. § 2254(d).    The State’s attempt to characterize the Court of Appeals’ brief merits
    discussion as an alternate holding on federal grounds ignores this clearly established rule of Ohio
    law, and improperly analogizes to alternate merits holdings when a court finds a claim
    procedurally barred. Appellant Br. at 26. Declining to evaluate a claim that is procedurally
    barred is manifestly different than determining that a claim cannot be evaluated because of a lack
    of subject-matter jurisdiction. In the latter situation, a court cannot give an alternate merits
    ruling under Ohio law that has any legal effect.
    As I find that the Ohio Court of Appeals’ decision regarding Petitioner’s Brady claim was
    not a ruling on the merits, and therefore it is subject to de novo review, I do not think it is
    necessary to reach whether the Court of Appeals’ decision was unreasonable assuming AEDPA
    deference applies.