Commonwealth, Aplt v. Williams, T. ( 2014 )


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  •                         [J-82A-2013 AND J-82B-2013] [MO: Eakin]
    IN THE SUPREME COURT OF PENNSYLVANIA
    EASTERN DISTRICT
    COMMONWEALTH OF PENNSYLVANIA, :               No. 668 CAP
    :
    Appellant      :               Appeal from the Order of the Court of
    :               Common Pleas of Philadelphia County,
    :               Criminal Division, entered on September
    v.                   :               28, 2012, at No. CP-51-CR-0823621,
    :               granting a Stay of Execution
    :
    TERRANCE WILLIAMS,            :
    :
    Appellee       :               SUBMITTED: September 18, 2013
    :
    COMMONWEALTH OF PENNSYLVANIA, :               No. 669 CAP
    :
    Appellant      :               Appeal from the Order of the Court of
    :               Common Pleas of Philadelphia County,
    :               Criminal Division, entered on September
    v.                   :               28, 2012, at No. CP-51-CR-0823621,
    :               granting a Stay of Execution
    :
    TERRANCE WILLIAMS,            :
    :
    Appellee       :               SUBMITTED: September 18, 2013
    CONCURRING OPINION
    MR. CHIEF JUSTICE CASTILLE                             DECIDED: December 15, 2014
    I join the Majority Opinion. Indeed, in my view, both the Brady1 claim appellee
    initially raised, and the Brady claim later uncovered by the PCRA2 court and upon which
    1
    Brady v. Maryland, 
    373 U.S. 83
     (1963).
    2
    Post Conviction Relief Act, 42 Pa.C.S. §§ 9541-9546.
    the court granted relief, are time-barred and frivolous. I write separately to expand upon
    the Majority discussion, and to address the important responsibilities of the PCRA trial
    courts in serial capital PCRA matters, an issue brought into stark relief by the
    extraordinary, and unauthorized, measures undertaken by the PCRA court in this case.
    Preliminarily, with respect to the latter concern, I note that this is a case involving
    a fourth PCRA petition filed by federal lawyers only after appellee was denied federal
    habeas corpus relief. The fourth petition was time-barred on its face -- offering a new,
    recanting witness (a friend and cohort of appellee) for the same “facts” and theory
    appellee had long-known and already litigated – and was blatantly frivolous, filed by the
    FCDO3 in a transparent effort to induce further delay. Rather than decide the claim
    actually presented in the efficient manner this sort of last-ditch capital litigation requires,
    the court below unfortunately strayed from its institutional duties. In the process, the
    PCRA court: ignored the strictures of PCRA jurisdiction and the appropriate parameters
    for discovery procedures and evidentiary hearings in serial petition matters;
    misapprehended what Brady discovery encompasses; misapprehended the substantive
    law concerning Brady materiality; and, most troubling, lost sight of its role as a neutral
    judicial officer. As a result, a warrant of execution was enjoined by a trial judge for no
    valid reason, on the basis of a frivolous fourth PCRA petition, leaving insufficient time
    for this Court to timely review the judge’s injunction of the Governor’s warrant.4
    The PCRA court per the Honorable Teresa Sarmina, justified its actions based
    on what it viewed as gamesmanship by the Commonwealth in allegedly withholding
    3
    Federal Community Defender’s Office.
    4
    Appellee cross-appealed the order below, presumably to the extent the PCRA court
    denied his other claims, but later discontinued that appeal by praecipe. See 673 CAP.
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 2
    relevant information from appellee.      If trial level prosecutorial “gamesmanship” is
    revealed and is relevant, it obviously warrants notation and condemnation. But, to be
    relevant in a case involving a fourth PCRA petition raising a Brady claim, the petition
    would have to be proven timely (to vest jurisdiction), and the uncovered Brady claim
    would need to possess merit, which both the claim raised in this petition, and the
    different claim found by the PCRA court, do not. Furthermore, in the Brady arena,
    before condemning officers of the court, the tribunal should be aware of the substantive
    status of Brady law both at the relevant time and today.5 And, just as a preview: Brady
    does not authorize searching through the government’s files -- not at trial, not on
    collateral attack, and especially not on a fourth PCRA petition. This case presents a
    supervisory issue concerning the manner in which trial courts handle serial petitions in
    capital cases that I believe requires highlighting and disapproval.
    As noted, I will write also to expand upon why the claim raised by appellee, as
    well as the different claim discovered by the PCRA court, misconceives Brady.
    5
    To the extent the alleged non-disclosures here involved matters found when the PCRA
    court searched police files, it should be stressed that the investigation and prosecution
    (murder in 1984; conviction in 1986) preceded, by many years, the U.S. Supreme
    Court’s decision in Kyles v. Whitley, 
    514 U.S. 419
    , 437 (1995), which first held that the
    prosecution’s Brady obligation extends to exculpatory materials known to others acting
    on the relevant government’s behalf, including the police.             Prior to Kyles, in
    Pennsylvania, the law was that prosecutors were not responsible for the content in
    police files. See Commonwealth v. Burke, 
    781 A.2d 1136
     (Pa. 2001) (abrogating prior
    cases). The consequent distortions in this case are not unusual in this unique area of
    law where cases continue to be litigated decades after trial, and federal lawyers contend
    that new rules or innovative rules govern collateral attacks on old cases. Any finding of
    misconduct respecting this nearly thirty-year old case, then – and I do not dispute the
    concern, even if there was zero exculpatory material to support a viable Brady claim –
    must be tempered by awareness of the governing law at the relevant times, as well as
    the fact that the Brady focus is not on any evidence, but only on exculpatory evidence
    and materiality.
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 3
    I.     The FCDO Agenda as Necessary Prologue
    As I noted in a recent case involving a retroactive Atkins6 claim raised by the
    FCDO: The FCDO's significant federal resources, “represented by its cadre of lawyers
    and roster of experts, are deployed throughout the Commonwealth; individual trial
    courts, and county prosecutors for that matter, who see only the occasional capital
    case, may be unaware of the bigger picture, and the strategy at work.                 This
    extraordinary shadow capability of the FCDO, and its demonstrated tactics, give me
    additional pauseL.” Commonwealth v. Hackett, 
    99 A.3d 11
    , 40-41 (Pa. 2014) (Castille,
    C.J., concurring).    It has only recently emerged just how pervasive a presence the
    FCDO has made itself in Pennsylvania capital cases.            Almost invariably without
    legitimate court appointment, and without any Pennsylvania authority’s approval or role
    of oversight, this “private” group of federal lawyers pursuing an obstructionist anti-death
    penalty agenda have essentially anointed themselves as a statewide, de facto capital
    defender’s office. Common tactics of the FCDO include multiple attempts to delay and
    obstruct cases, as well as attempts to unsettle and undermine Pennsylvania law. See
    generally Commonwealth v. Spotz, 
    99 A.3d 866
     (Pa. 2014) (Single Justice Opinion on
    Post-Decisional Motions by Castille, C.J.) (collecting cases and tactics).
    One common tactic is that, immediately after one round of review fails, the FCDO
    “discovers” a new claim and initiates a new round of delay-inducing review. See, e.g.,
    id.; Commonwealth v. Porter, 
    35 A.3d 4
     (Pa. 2012); Commonwealth v. Abdul-Salaam,
    
    996 A.2d 482
     (Pa. 2010). In this case, that is exactly what the FCDO did. Appellee
    already had a full direct appeal, three rounds of PCRA review and appeal, and a full
    round of federal habeas corpus review and appeal when the FCDO happened upon
    6
    Atkins v. Virginia, 
    536 U.S. 304
     (2002).
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 4
    “new” evidence and filed this fourth PCRA petition which, in fact, merely reiterated the
    same evidence and a theory it had already litigated and which was found to be
    meritless. The PCRA court below should have decided the claim actually presented to
    it, while maintaining a proper perspective. And, it has become apparent that PCRA
    courts throughout Pennsylvania need to be vigilant and circumspect when it comes to
    the activities of this particular advocacy group, to ensure that the FCDO does not turn
    PCRA proceedings, and in particular serial proceedings, into a circus where FCDO
    lawyers are the ringmasters, with their parrots and puppets as a sideshow.
    II. The Brady Issue Raised by the FCDO was Time-Barred and Frivolous
    This fourth PCRA petition was filed by the FCDO in March of 2012, immediately
    after appellee’s federal habeas attack on his conviction failed.             Appellee’s final
    appropriate prospect for relief was through mercy: the clemency process. The FCDO
    was appointed to represent appellee for purposes of pursuing state clemency.
    Nevertheless, the FCDO proceeded to file yet another PCRA petition.
    The FCDO alleged prosecutorial suppression of information allegedly provided to
    the police and the prosecutor during witness preparation sessions by appellee’s friend
    and cohort-in-murder Marc Draper – who was convicted for his own role in the murder
    and is serving life in prison, who testified contrarily at appellee’s trial, and has nothing to
    lose by now lying for his friend -- and the Reverend Charles Poindexter. Draper claimed
    that he had told the arresting officers, as well as the prosecutor, that the victim, Amos
    Norwood, was a homosexual, that Norwood and appellee were involved in a sexual
    relationship, and that the murder was about that relationship. What was obfuscated by
    Draper and the FCDO was that this information could only have been learned through
    appellee’s own communications with Draper, since appellee obviously knew his “true”
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 5
    motivation; or else it was just Draper’s irrelevant opinion. Draper further claimed that
    police told him to testify that the motive for the murder was robbery. Appellee also
    included a “declaration” from Poindexter (who had testified for the Commonwealth at the
    guilt phase of trial), claiming he had learned from police that the victim would sometimes
    meet gay men in a house or an apartment.
    From this information, the FCDO constructed a claim that the Commonwealth
    suppressed “exculpatory” evidence of the relationship between appellee and the victim
    and appellee’s supposed “true” motivation for the murder – again, as if appellee himself
    did not know his own true motivation -- which could have been used to rebut elements
    of first-degree murder and to undermine the death penalty. The argument was akin to a
    “bad faith” argument, i.e., the Commonwealth had argued that a churchgoing man was
    robbed and murdered by appellee and Draper, despite knowing that appellee may have
    had a different relationship with the victim, and a different motivation that he was
    keeping to himself.
    As the Majority explains, the information alleged in this fourth petition not only
    was obviously known to appellee, but it also was irrelevant to the trial proceedings (the
    focus of Brady) because the defense -- offered through appellee’s testimony -- was one
    of innocence and non-involvement. In short, appellee chose to lie. In addition, the
    Draper and Poindexter statements – conveniently secured by the FCDO only after
    losing in federal court -- rehashed the same information concerning the victim’s
    character and appellee’s “true” motivation for the murder already litigated in the first
    PCRA proceeding.       Thus, the FCDO’s last-ditch Brady claim consisted of evidence
    already known to appellee, a claim already litigated by appellee, and a contrary defense
    theory springing from an admission that appellee perjured himself at trial. The PCRA
    court should have taken the frivolous issue as the FCDO presented it and dismissed it
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 6
    as time-barred. The court inexplicably did not; and instead, the frivolous issue now
    before this Court is a different Brady claim never raised by appellee until prompted to do
    so by the PCRA court, after the issue was uncovered by the PCRA court itself only by
    losing sight of fundamental precepts, including its role as neutral arbiter.
    III. PCRA Court’s “Discovery”
    A PCRA court is without jurisdiction when a serial petition is filed (assuming it is
    filed more than one year from the date the judgment of sentence became final, as it was
    here) unless it falls within one of three limited exceptions. 42 Pa.C.S. § 9545. In all
    PCRA petitions, the burden is on the PCRA petitioner to establish an exception to the
    one-year jurisdictional time-bar, before the court can act. Moreover, the rules governing
    discovery in PCRA matters explicitly state that no discovery is permitted for first
    counseled petitions except “upon leave of court after a showing of good cause,”
    Pa.R.Crim.P. 902(E)(2); while in serial cases such as this one, discovery is not
    permitted “except upon leave of court after a showing of exceptional circumstances.”
    Rule 902(E)(1).    These are this Court’s Rules: not niceties to be done away with
    perhaps because of some unease with capital cases.
    Nothing in the Rules authorizes a PCRA court to demand the government’s
    thirty-year-old files and for the court itself to go searching for information and new
    claims – all without jurisdiction being established. This is true whether the case is a
    capital case or not – the difference of a death sentence does not create jurisdiction, or
    derivative power, where it does not exist.
    These Rules are neither arbitrary nor mere aspirations. The PCRA Rules square
    with Brady, which does not command an open-file policy, or a “sporting system” of
    discovery. See Brady, 
    373 U.S. at 90-91
    . Thus, even where, unlike here, serial petition
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 7
    jurisdiction is established and the petitioner demonstrates exceptional circumstances to
    warrant some form of discovery, such orders do not properly encompass simply seizing
    and rummaging about in the government’s files.
    [T]he [U.S. Supreme] Court has noted that the duty imposed upon
    the prosecution under Brady is a limited one. See, e.g., Weatherford v.
    Bursey, 
    429 U.S. 545
    , 559, 
    97 S.Ct. 837
    , 846, 
    51 L.Ed.2d 30
     (1977)
    (“[t]here is no general constitutional right to discovery in a criminal case,
    and Brady did not create one”); see also Kyles, 
    514 U.S. at
    436–37, 
    115 S.Ct. at 1567
     (“[T]he Constitution is not violated every time the
    government fails or chooses not to disclose evidence that might prove
    helpful to the defense.... We have never held that the Constitution
    demands an open file policy ....”). This Court has also recognized Brady's
    limited requirements, and has noted that Brady does not grant a criminal
    defendant unfettered access to the Commonwealth's files. See
    Commonwealth v. Edmiston, 
    578 Pa. 284
    , 
    851 A.2d 883
    , 887 n. 3 (2004)
    (defendant has no general right under the Constitution or Brady to search
    Commonwealth files); Commonwealth v. Williams, 
    557 Pa. 207
    , 
    732 A.2d 1167
    , 1176 (1999) (“[T]he Commonwealth is, in the first instance, the
    judge of what information must be disclosed.... ‘Defense counsel has no
    constitutional right to conduct his own search of the State's files to argue
    relevance.’ ”) (quoting Pennsylvania v. Ritchie, 
    480 U.S. 39
    , 59, 
    107 S.Ct. 989
    , 1002, 
    94 L.Ed.2d 40
     (1987)); Commonwealth v. Counterman, 
    553 Pa. 370
    , 
    719 A.2d 284
    , 297 (1998), cert. denied, 
    528 U.S. 836
    , 
    120 S.Ct. 97
    , 
    145 L.Ed.2d 82
     (1999) (Brady is not a general rule of discovery in
    criminal cases).
    Commonwealth v. Lambert, 
    884 A.2d 848
    , 854 (Pa. 2005).
    This Court’s Rules, likewise and for similar good reason, do not empower a
    PCRA judge to hold evidentiary hearings in a serial petition case in advance of a
    demonstration of jurisdiction. Appellee already had five full rounds of review. Hearings
    are appropriate – after jurisdiction is established – only if there has already been an
    actual demonstration of a genuine issue concerning any material fact.                 See
    Pa.R.Crim.P. 908(A)(2), 909(b)(2). A new and different Brady claim discovered by the
    PCRA judge’s own unauthorized, and unlimited, “investigation” – conducted after a
    serial PCRA petition is filed and not yet assessed for jurisdiction -- cannot operate to
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 8
    render the petition timely when filed.          Likewise, information obtained from the
    government’s files after the PCRA court improperly ordered seizure of the information
    without foundation cannot retroactively operate to validate the improper serial petition
    “discovery” order (or “seizure” order, in this case) in the first instance.
    During one of the earliest hearings after an execution date was set in this matter,
    the PCRA court recognized that Draper’s affidavit was insufficient to warrant an
    evidentiary hearing. Nevertheless, the court essentially directed appellee to procure a
    third affidavit from Draper to see whether appellee could establish a strong showing of
    success on the merits which, in the mind of the court, was necessary in order to warrant
    an evidentiary hearing with a death warrant pending. N.T., 9/10/12, at 86-87. Following
    submission of the third affidavit, the court then ordered an evidentiary hearing to receive
    testimony from Draper and the trial prosecutor (who was no longer with the District
    Attorney’s Office).   Prior to this hearing, the court entered an order prohibiting the
    parties from communicating about the case with Draper or the trial prosecutor and
    further ordered the trial prosecutor to bring any documents in her possession related to
    the case to the evidentiary hearing. The court then ordered the prosecutor’s office to
    give access to the case files to the trial prosecutor, via an e-mail the judge sent to the
    parties.
    A subsequent e-mail from the court took the even more lawless step of
    essentially opening the prosecutor’s files to appellee’s counsel, as the judge directed
    that appellee was permitted to review any of the documents reviewed by the trial
    prosecutor. Then, in another e-mail sent on Saturday, September 22, 2012, the court’s
    clerk directed the Commonwealth to secure the police department’s homicide files in
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 9
    this case and the Herbert Hamilton murder case7 because “the judge wants to review
    everything in the possession of the police department about these two cases.” See
    Attachment to “Commonwealth’s Motion to Complete the Record,” filed 10/26/12. The
    PCRA court’s examination of these files provided the basis for the examination of the
    witnesses at the evidentiary hearing, including an extended cross-examination by Judge
    Sarmina herself.
    Ignoring the jurisdictional time-bar and the rules of procedure, and all in a
    truncated death warrant time-frame leaving little time for appellate review in two court
    systems, the PCRA court essentially seized the files of the Commonwealth and the
    police for no legitimate reason (and certainly not based upon the required actual
    defense showing of exceptional circumstances), independently reviewed the materials,
    and then used that which was uncovered by the court to examine witnesses at an
    evidentiary hearing again scheduled for no legitimate reason. The court also entered
    some of the documents into the record on its own without any motion or prompting by
    appellee.    Only thereafter, during the September 25th hearing, did appellee ask
    permission to amend the fourth PCRA petition to include the new allegations raised by
    the documents the judge had found, and the court immediately granted the request,
    reasoning that Chapter 900 of the Rules of Criminal Procedure – the same chapter
    containing the Rules respecting discovery and evidentiary hearings that were of no
    concern to the judge – supposedly indicated that there should be a liberal ability to
    amend, “even if it is at this late stage.” N.T., 9/25/12, at 78.
    Unfortunately, the PCRA court apparently allowed itself to be compromised by
    the fact that this was a capital case that was proceeding under an execution warrant.
    7
    Herbert Hamilton, another older man with whom appellee had a sexual relationship,
    was the first person appellee murdered.
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 10
    But, that is what happens, thirty years on, after a condemned capital petitioner has
    already exhausted five full rounds of review, and his federal lawyers try another
    longshot at delaying the case. Also, in taking these extreme, activist measures, the
    court cited a belief – proper enough in some spheres, and thus recognized in specific
    doctrines -- that “death is different.” The judge added: “This is not any regular, old
    PCRA, including in a non-capital case.” N.T., 9/14/12, at 69. No, it was not an ordinary
    case, but not for the reason cited by the court: it was a last-ditch fourth state collateral
    petition, filed by the FCDO no less, after federal review had concluded, rehashing old
    claims that just happened to involve a two-time murderer finally facing the execution of
    his sentence.
    This case demonstrates that the “difference of death” when reduced to an
    unmoored slogan causes mischief. The slogan does not create PCRA jurisdiction, and
    jurisdiction must be proven before the PCRA court can act. The difference of death is
    not a ground for ignoring this Court’s Rules of Procedure, which specifically apply to –
    and in many instances exist specifically because of -- capital cases. The difference of
    death also does not alter a trial court’s crucial role as a neutral arbiter to pass upon the
    timeliness, and if timely, the merits of the claims that a serial PCRA petition actually
    raises. Five Ninth Circuit jurists recently commented on the abuse of the “death is
    different” notion in a dissent, explaining that the rule of law must be paramount:
    Whatever they are, motivations are beside the point. We should follow the
    law. Instead, we lay flame to orderly case-processing rules, comity due to
    state court judgments, and principles of finality. “[Fire’s] real beauty is that
    it destroys responsibility and consequences. A problem gets too
    burdensome, then into the fire with it.” Ray Bradbury, Farenheit 451 109
    (Simon & Schuster 2012). We should be more cautious.
    Henry v. Ryan, 
    766 F.3d 1059
    , 1072 (9th Cir. 2014) (Tallman, J., dissenting, joined by
    O’Scannlain, Callahan, Bea, & Ikuta) (dissenting from grant of en banc review in case
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 11
    where time for Circuit reargument had long passed, and U.S. Supreme Court had
    already denied certiorari). Ultimately, the PCRA court here lost sight of its limited, albeit
    crucial, role.
    As a consequence, the PCRA court steered its own course away from the actual
    Brady claim presented in this time-barred serial petition; and the Brady claim forming
    the basis for the penalty phase relief the PCRA court granted could not retroactively
    establish jurisdiction so as to justify the lawless discovery and evidentiary hearing that
    had already occurred per the court’s sua sponte directives. To make matters even
    worse, the claim the court discovered on its own was simply a different, frivolous Brady
    claim.
    IV. Brady Law
    The 1984 murder here was appellee’s second murder. His first murder victim,
    Herbert Hamilton, was another man with whom he had a sexual relationship, a
    relationship appellee denied. At the trial in this case, appellee testified to his absolute
    innocence, claiming he did not even know the victim. As all now agree, this sworn
    testimony was a lie since appellee not only knew the victim, but he had an ongoing
    homosexual relationship with him. But, it is the story appellee elected to tell the jury in
    the hopes, however desperate, of an acquittal. It is not the first time a criminal defense
    was premised upon a lie, but it is a defendant’s right to pursue the defense he chooses
    (even if it risks a subsequent perjury prosecution, which is hardly a disincentive to a
    serial murderer in appellee’s circumstances).
    The new Brady claim discovered by the PCRA court’s efforts involved “dirt” about
    the victim: that he was a “homosexual ephebophiliac” who had sexual encounters with
    male teenagers.       Specifically, as explained by the Majority, the claim was that
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 12
    information that the victim was a homosexual ephebophiliac could have been employed
    to paint an unsympathetic picture of the victim at the penalty phase. Majority Slip op. at
    17. Nothing in the death penalty statute, however, makes slander about a victim a
    relevant consideration. The death penalty statute does not recognize an exception if
    the murder victim was a sexual deviant, or even a convicted sex offender; and smearing
    the victim’s character would not rebut the two aggravators the jury found: the
    commission of a felony (robbery) along with the murder, and the significant history of
    violent felony convictions, which included the murder of Hamilton, and a Christmas Eve,
    home invasion gunpoint robbery of an older couple -- where appellee pressed a rifle to
    the woman’s neck and threatened to blow “her fucking head” off, and then fired multiple
    shots into the wall. Nor would such evidence be probative of a mitigating circumstance.
    See Commonwealth v. May, 
    898 A.2d 559
    , 566 (Pa. 2006) (testimony designed only to
    smear murder victim’s character not relevant; noting as “apt” trial court’s analysis that:
    “it’s just as illegal to kill the devil as it is to kill a saint”). And, when the defendant takes
    the stand and swears he had nothing to do with killing the victim, and did not even know
    him, it clearly limits his penalty phase options respecting mitigation arising from “the
    circumstances of the offense.”
    The linking assumption depends upon a pet Brady theory the FCDO has been
    raising recently, i.e., that Brady is violated by non-disclosures which, though involving
    information neither exculpatory nor material in and of itself, in hindsight might have been
    used by trial counsel to keep the defendant from testifying and perjuring himself,
    thereby altering the focus of the necessary Brady materiality inquiry.                      See
    Commonwealth v. Weiss, 
    81 A.3d 767
     (Pa. 2013) (Castille, C.J., concurring, joined by
    Eakin J.) (further discussed and quoted infra). In the iteration posed here, the theory
    goes something like this: had additional information about the victim been disclosed, the
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 13
    defense would have learned appellee’s “real” motive for murder (again, as if appellee
    did not know his motive), and perhaps trial counsel could have convinced appellee not
    to take the stand and lie, thus opening the door to an attack-the-victim defense at the
    penalty phase. Even setting aside the irrelevancy of bad character information about a
    murder victim, Brady does not embrace this sort of perversity, a theory that rewards the
    defendant’s trial perjury.
    Furthermore, even if the PCRA court found something “unsporting” about the
    government’s conduct revealed in the government’s files that the court seized, and even
    if evidence of poor “sportsmanship” in discovery angered the judge, that is not the basis
    for a Brady claim. What matters is the legal point, made by the Majority, that there was
    nothing exculpatory or material in this information.8     Appellee always knew of the
    8
    In concisely summarizing why the PCRA court erred in finding that appellee’s
    reconfigured-by-the-PCRA-court claim did not qualify under the governmental
    interference exception, based upon information appellee himself had known before trial,
    and supplemental information which he secured for use in a prior PCRA petition over
    fifteen years before, the Commonwealth succinctly explains:
    When, at trial, defendant considered it in his interest to deny any
    sexual relationship with his victims so as to distance himself from their
    deaths, he made the strategic decision, independent of any information
    in the government‘s possession, to do so. And when that did not work,
    and he decided it was in his interest to instead claim in his first PCRA
    petition that he killed the victims [both here and in the Hamilton case]
    because they sexually abused him, he had no difficulty marshalling
    evidence outside the government‘s possession to support that version
    of events. At no point was his ability to defend against the charges, or to
    present any claim, constrained by the actions of the trial prosecutor or any
    other government official. Consequently, his untimely fourth PCRA
    petition, which he filed more than twenty years after his judgments of
    sentence became final, did not satisfy the governmental-interference
    exception to the one-year filing deadline. His petition was time-barred,
    and the PCRA court‘s order purporting to grant relief was a jurisdictional
    nullity that should be reversed.
    (Lcontinued)
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 14
    victim’s supposed proclivities; again, the current claim is just another version of the
    claim raised and litigated by the FCDO fifteen years ago. Nevertheless, the PCRA court
    drew a legal conclusion that the evidence respecting the victim was subject to Brady
    disclosure before the 1986 trial; and, if only the prosecution had disclosed non-
    exculpatory information already known to appellee about the victim’s character, it may
    have changed appellee’s guilt phase decision to testify; and, the theory goes on in
    speculation, may have altered the outcome of the penalty proceeding. See Appellee’s
    Brief, at 29-30 (quoting PCRA court opinion).9 The notion that this sort of evidence, in
    the context of a trial where appellee testified and denied any involvement, warrants
    Brady-based penalty phase relief, is ludicrous.
    As the Majority notes, the U.S. Supreme Court has never held that Brady
    materiality is measured by the FCDO’s effect-on-the-defense-trial-strategy theory; and a
    serial collateral attack is not the proper place to establish such constitutionally
    (continuedL)
    Commonwealth’s Brief as Appellant, 34 (emphasis original).
    9
    In point of fact, appellee never so much as offered to prove that, but for the alleged
    non-disclosure, he would have presented evidence detailing his ongoing, prior sexual
    relationship with the victim, and then claimed that the relationship was why he murdered
    the victim. Furthermore, the decision to testify was defendant’s alone; his trial counsel’s
    role was limited to consultation. In this regard, it is notable that, in the prior PCRA
    proceeding, where appellee litigated the same basic claim, trial counsel testified that he
    had negotiated a plea deal where appellee would receive life in prison – the best
    possible circumstance where appellee faced the death penalty, had substantial
    aggravators, and the fact of the robbery meant that his best, realistic prospect was a
    conviction for second-degree murder, which carries a mandatory life sentence. Counsel
    consulted with appellee. But, counsel testified, appellee was adamant that he was not
    willing to exchange his prayer of a hope for an outright acquittal for a term of life
    imprisonment. Appellee told counsel he would rather be executed than spend his life in
    jail. No claim but innocence could lead to acquittal, and appellee decided to go that
    route by then perjuring himself.
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 15
    innovative new rules. Moreover, it would be absurd to grant Brady relief upon a claim
    that would involve rewarding a defendant for his own deliberate perjury at trial.    I
    explained the error in this theory in my Concurring Opinion in Weiss:
    The Brady analysis argued by appellant is erroneous for several
    reasons. First, the U.S. Supreme Court has never embraced his
    interpretation. Indeed, appellant’s claim to the contrary is premised upon
    a mischaracterization of United States v. Bagley, 
    473 U.S. 667
    , 
    105 S.Ct. 3375
    , 
    87 L.Ed.2d 481
     (1985). Appellant states the following proposition
    as if it were black-letter law: “The proper Brady inquiry asks what ‘course
    that the defense and the trial would have taken had the defense not been
    misled’ and what impact the misconduct had on ‘the preparation or
    presentation of the defendant's case.’ Bagley, 
    473 U.S. at 683
    , 
    105 S.Ct. 3375
    .” L From his assertion that mere effects upon defense preparation,
    rather than hard evidence, is the measure of Brady materiality, appellant
    argues his more radical extended rule that he may shield himself from his
    own prior testimony.
    However, Bagley supports neither appellant’s “defense effects” root
    rule, nor his testimonial immunity extension of the rule. Appellant’s
    [FCDO] counsel neglect to note that the Bagley language they cite and
    quote as governing black-letter law in fact represented the views of only
    two Justices in Bagley. It is not governing law. I examined and explained
    the non-precedential effect of this language at some length in my
    concurring opinion in Commonwealth v. Willis, 
    616 Pa. 48
    , 
    46 A.3d 648
    (2012), a direct appeal case. See 
    id. at 674-84
     (Castille, C.J., concurring,
    joined by Eakin and McCaffery, JJ.) (addressing Court’s erroneous
    apprehension of Brady materiality in Commonwealth v. Green, 
    640 A.2d 1242
    , 1245 (Pa. 1994)).
    Moreover, nothing in the logic of Brady materiality suggests a
    design to shield a defendant from his prior testimony or perjury. The test
    for Brady materiality is the same as the test for Strickland [v. Washington,
    
    466 U.S. 668
     (1984)] prejudice: whether there is a reasonable probability
    that the outcome of the proceeding would have been different. See Kyles
    v. Whitley, 
    514 U.S. 419
    , 433-35, 
    115 S.Ct. 1555
    , 
    131 L.Ed.2d 490
     (U.S.
    1995) (noting that Bagley adopted Strickland formulation for Brady
    claims). The test, whether for Brady or Strickland, looks to the proceeding
    that actually occurred and attempts to assess its underlying fairness. See
    id. at 451, 
    115 S.Ct. 1555
    ; see also Bagley, 
    473 U.S. at 678
    , 
    105 S.Ct. 3375
    . The High Court has never held that courts, charged with assessing
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 16
    Brady materiality by re-examining the trial that occurred in light of
    previously suppressed evidence, are obliged to diminish the record at that
    trial. Accordingly, appellant’s theory is a non-starter. The expansion, if
    there is to be one, should come from the High Court.
    Second and relatedly, this is a PCRA appeal. An assessment of
    the fairness of appellant’s trial – whether he poses a Brady claim, a
    Strickland claim, or any other claim – is not measured by minority views in
    prior decisions or by hopeful predictions of where federal decisional law
    might someday go; it is measured by the existing law that governs. The
    only federal decisional law that governs in Pennsylvania is that
    commanded by the U.S. Supreme Court. L And, errors in such
    predictions [of where the law might develop] favoring the defense run the
    risk of arbitrarily releasing murderers.
    ******************
    Finally, I believe it is extremely unlikely that the U.S. Supreme
    Court would adopt a Brady materiality extension L which would immunize
    a defendant against the effects of his own trial testimony, much less his
    own false trial testimony. To borrow from the Strickland jurisprudence
    from which Brady materiality derives:
    It is true that while the Strickland test provides
    sufficient guidance for resolving virtually all ineffective-
    assistance-of-counsel claims, there are situations in which
    the overriding focus on fundamental fairness may affect the
    analysis. Thus, on the one hand, as Strickland itself
    explained, there are a few situations in which prejudice may
    be presumed.... And, on the other hand, there are also
    situations in which it would be unjust to characterize the
    likelihood of a different outcome as legitimate “prejudice.”
    Even if a defendant's false testimony might have persuaded
    the jury to acquit him, it is not fundamentally unfair to
    conclude that he was not prejudiced by counsel's
    interference with his intended perjury. Nix v. Whiteside, 
    475 U.S. 157
    , 175-176, 
    106 S.Ct. 988
    , 
    89 L.Ed.2d 123
     (1986).
    Similarly, in [Lockhart v. Fretwell, 
    506 U.S. 364
    , 
    113 S.Ct. 838
    , 
    122 L.Ed.2d 180
     (1993)], we concluded that,
    given the overriding interest in fundamental fairness, the
    likelihood of a different outcome attributable to an incorrect
    interpretation of the law should be regarded as a potential
    “windfall” to the defendant rather than the legitimate
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 17
    “prejudice” contemplated by our opinion in StricklandL.
    Because the ineffectiveness of Fretwell's counsel had not
    deprived him of any substantive or procedural right to which
    the law entitled him, we held that his claim did not satisfy the
    “prejudice” component of the Strickland test.
    Williams v. Taylor, 
    529 U.S. 362
    , 391-93, 
    120 S.Ct. 1495
    , 
    146 L.Ed.2d 389
     (2000) (citations and footnotes omitted). Cf. Commonwealth v. Cox,
    
    581 Pa. 107
    , 
    863 A.2d 536
    , 556-57 (2004) (Castille, J., concurring) (strong
    argument to be made that heightened prejudice standard under Lockhart
    should be applied to ineffectiveness claims with “fundamental substantive
    issues that would have to be resolved in defendant’s favor before relief
    could be granted”); United States v. Day, 
    285 F.3d 1167
    , 1171 (9th Cir.
    2002) (“Because a defendant does not have a ‘right’ to commit perjury
    without suffering the consequences, the fact that counsel's ineffectiveness
    gave [defendant] an opportunity to commit perjury does not constitute
    deprivation of a right; accordingly, this portion of the sentence does not
    satisfy the prejudice component of Strickland.”). Again, in explicating both
    Brady and Strickland, the High Court has stressed the overriding concern
    of whether the defendant has received a fair trial. Fairness works two
    ways, the High Court teaches. When the defendant takes the stand and
    elects to testify, and then testifies absurdly or untruthfully, I doubt that the
    U.S. Supreme Court would hold that Brady requires courts to pretend that
    his testimony never existed.
    Weiss, 81 A.3d at 810-13 (Castille, C.J., concurring, joined by Eakin, J.) (footnotes
    omitted).
    For these specific reasons, in addition to those set forth by the Majority on the
    time-bar and the merits, the new Brady claim fashioned by the PCRA court here
    provides no grounds for serial petition jurisdiction, much less PCRA relief.
    V. Conclusion
    The FCDO’s agenda and tactics by now should be predictable: this group has
    been aptly described, by a federal judge, as “gaming a system and erecting roadblocks
    in aid of a singular goal -- keeping [the defendant] from being put to death.” See Abdul
    Salaam v. Beard, 
    16 F. Supp. 3d 420
    , 511 (M.D. Pa. 2014).              That gaming is bad
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 18
    enough; but, what is disheartening here is that the PCRA court became unmoored from
    its lawful duty. Trial courts faced with serial petitions in capital cases must be vigilant to
    protect against frivolous claims, and must be aware of their own actual duties; the
    PCRA judge here was not.
    [J-82A-2013 and J-82B-2013] [MO: Eakin, J.] - 19