Com. v. Riccardi, E. ( 2018 )


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  • J-S81015-17
    NON-PRECEDENTIAL DECISION - SEE SUPERIOR COURT I.O.P. 65.37
    COMMONWEALTH OF PENNSYLVANIA               :   IN THE SUPERIOR COURT OF
    :        PENNSYLVANIA
    :
    v.                             :
    :
    :
    ELVIS AARON RICCARDI                       :
    :
    Appellant               :   No. 824 MDA 2017
    Appeal from the PCRA Order April 24, 2017
    In the Court of Common Pleas of Luzerne County
    Criminal Division at No(s): CP-40-CR-0003649-2009
    BEFORE:      PANELLA, J., STABILE, J., and PLATT, J.
    MEMORANDUM BY PANELLA, J.                                  FILED MAY 04, 2018
    Elvis Riccardi appeals from the order dismissing his first petition
    pursuant to the Post Conviction Relief Act (“PCRA”). He raises fourteen
    separate challenges to the PCRA court’s order. After careful review, we affirm.
    A jury convicted Riccardi of kidnapping, robbing, and ultimately killing
    Donald Skiff, Jr. The court imposed a sentence of life in prison plus an
    additional 60 to 110 years. Both this Court and the Supreme Court of
    Pennsylvania affirmed the judgment of sentence.
    Shortly thereafter, Riccardi filed this PCRA petition. After numerous
    supplements and amendments, the court held an evidentiary hearing on the
    ____________________________________________
       Retired Senior Judge assigned to the Superior Court.
    J-S81015-17
    merits of the petition. The PCRA court then dismissed the petition. This timely
    appeal followed.
    Preliminarily, we must comment on the brief submitted by Ricciardi’s
    counsel, Enid Wolfe Harris, Esquire. Issue selection is a key hallmark of
    appellate advocacy. Attorney Harris has tossed aside careful issue selection
    and has opted for a shotgun approach, raising fourteen issues.
    Justice Robert H. Jackson warned of the dangers of this approach many
    years ago:
    Legal contentions, like the currency, depreciate through
    overissue. The mind of an appellate judge is habitually receptive
    to the suggestion that a lower court committed an error. But
    receptiveness declines as the number of assigned errors
    increases. Multiplicity hints at a lack of confidence in any one. Of
    course, I have not forgotten the reluctance with which a lawyer
    abandons even the weakest point lest it prove alluring to the same
    kind of judge. But experience on the bench convinces me that
    multiplying assignments of error will dilute and weaken a good
    case and will not save a bad one.
    Ruggero J. Aldisert, J. “Winning on Appeal: Better Briefs and Oral Argument,”
    at 129 (2d ed. 2003) (quoting Robert H. Jackson, “Advocacy Before the United
    States Supreme Court,” 37 Cornell L.Q. 1, 5 (1951)). This “much quoted”
    advice, unfortunately, “often ‘rings hollow’….” Commonwealth v. Robinson,
    
    864 A.2d 460
    , 480 n.28 (Pa. 2004) (citing Ruggero J. Aldisert, J. “The
    Appellate Bar: Professional Competence and Professional Responsibility–A
    View From the Jaundiced Eye of the Appellate Judge,” 11 Cap. U.L. Rev. 445,
    458 (1982)). But its importance cannot be overstated. See, e.g., Jones v.
    Barnes, 
    463 U.S. 745
    , 751-752 (1983) (“Experienced advocates since time
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    beyond memory emphasized the importance of winnowing out weaker
    arguments on appeal and focusing on one central issue if possible, or at most
    on a few key issues”); Howard v. Gramley, 
    225 F.3d 784
    , 791 (7th Cir.
    2000) (“[O]ne of the most important parts of appellate advocacy is the
    selection of the proper claims to urge on appeal. Throwing in every
    conceivable point is distracting to appellate judges, consumes space that
    should be devoted to developing the arguments with some promise, inevitably
    clutters the brief with issues that have no chance … and is overall bad appellate
    advocacy.”); Aldisert, supra at 129 (“When I read an appellant’s brief that
    contains more than six points, a presumption arises that there is no merit to
    any of them.”)
    We proceed by determining whether the PCRA court’s factual findings
    are supported by the record. See Commonwealth v. Ford, 
    44 A.3d 1190
    ,
    1194 (Pa. Super. 2012). In doing so, we read the record in the light most
    favorable to the prevailing party. See 
    id.
     If this review reveals support for the
    PCRA court’s credibility determinations and other factual findings, we may not
    disturb them. See 
    id.
     We, however, “afford no such deference to its legal
    conclusions.” 
    Id., at 1194
     (citations omitted).
    Eight of Riccardi’s issues on appeal assert ineffective assistance of either
    trial counsel (issues 1, 2, 3, 4, 5, 6, and 10) or appellate counsel (issue 13)
    (in either instance, referred to as “IAC”). We assume counsels’ effectiveness
    and Riccardi bore the burden of proving otherwise. See Commonwealth v.
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    Brown, 
    161 A.3d 960
    , 965 (Pa. Super. 2017). To do so, Riccardi was required
    to plead and prove the underlying issue has arguable merit, counsel did not
    act or fail to act pursuant to an objectively reasonable strategy, and actual
    prejudice resulted from counsels’ act or failure to act. See Commonwealth
    v. Rykard, 
    55 A.3d 1177
    , 1189-1190 (Pa. Super. 2012). A failure to satisfy
    any prong of the test will require rejection of the entire claim. See
    Commonwealth v. Spotz, 
    84 A.3d 294
    , 311 (Pa. 2014).
    Riccardi first challenges the PCRA court’s conclusion that trial counsel
    had a conflict of interest in representing him. Riccardi notes that another
    lawyer in trial counsels’ firm represented the Luzerne County District Attorney
    in an unrelated federal case. As such, Riccardi argues that trial counsel
    suffered from an actual conflict of interest.
    An attorney owes his client a duty of loyalty, including a duty to avoid
    conflicts of interest. See Strickland v. Washington, 
    466 U.S. 668
    , 688
    (1984). However, an appellant cannot succeed in a claim for a potential
    conflict of interest without establishing that he suffered some form of
    prejudice. See Commonwealth v. Collins, 
    957 A.2d 237
    , 251 (Pa. 2008).
    On the other hand, if an appellant is able to show that trial counsel
    experienced an actual, rather than potential conflict of interest, prejudice is
    presumed. See 
    id.
     “To show an actual conflict of interest, the appellant must
    demonstrate that: (1) counsel actively represented conflicting interests; and
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    (2) those conflicting interests adversely affected his lawyer’s performance.”
    
    Id.
     (citations and internal quotation marks omitted).
    Riccardi   does   not   highlight   any   direct   evidence   of   improper
    communication between the lawyers, nor does he identify any undue influence
    exerted by the firm upon trial counsel. Rather, he contends that his other
    allegations of trial counsel ineffectiveness demonstrate counsels’ desire to
    curry favor with the District Attorney. As such, for this claim to entitle Riccardi
    to relief, we must conclude that at least one of his other IAC claims on appeal
    has merit. As we demonstrate below, Riccardi cannot meet this requirement.
    In his second claim of IAC, Riccardi argues counsel were ineffective
    when they failed to object to evidence of his prior crimes. Riccardi highlights
    two specific instances where Commonwealth witness Gary Moore testified to
    Riccardi’s prior bad acts.
    First, Moore testified that Riccardi had a swastika tattooed on his chest.
    See N.T., Jury Trial, 6/20-28/11, at 161. Riccardi argues this testimony
    prejudiced the jury “by showing him to be a person of bad character.”
    Appellant’s Brief, at 35.
    “Admission of evidence is within the sound discretion of the trial court
    and will be reversed only upon a showing that the trial court clearly abused
    its discretion.” Commonwealth v. Drumheller, 
    808 A.2d 893
    , 904 (Pa.
    2002) (citation omitted). However, it is impermissible to present evidence at
    trial of a defendant’s prior bad acts or crimes in an attempt to establish the
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    defendant’s criminal character or tendencies. See Commonwealth v.
    Hudson, 
    955 A.2d 1031
    , 1034 (Pa. Super. 2008); Pa.R.E. 404(b)(1). Such
    evidence, however, may be admissible “where it is relevant for some other
    legitimate purpose and not utilized solely to blacken the defendant’s
    character.” Commonwealth v. Russell, 
    938 A.2d 1082
    , 1092 (Pa. Super.
    2007) (citation omitted). “[E]vidence of other crimes, wrongs or acts may be
    admitted for other purposes, such as proof of motive, opportunity, intent,
    preparation, plan, knowledge, identity or absence of mistake or lack of
    accident.” Pa.R.E. 404(b)(2).
    The PCRA court concluded the testimony about Riccardi’s swastika was
    admissible as evidence of identity under Pa.R.E. 404(b)(2). Riccardi contends
    that identity evidence was not necessary, as “Moore knew Riccardi without
    needing to look at tattoos[.]” Appellant’s Brief, at 35. However, our review of
    the transcript leads us to conclude that Moore’s ability to identify Riccardi was
    certainly subject to attack on cross-examination.
    Moore testified he was sitting in a bar when “[t]wo guys walked in.”
    N.T., Jury Trial, 6/20-28/11, at 161. He testified a man named “Elvis Lewis”
    had a tattoo of a swastika on his chest. 
    Id.
     He did not know Elvis Lewis by
    any other name. See 
    id.
     He further admitted that he did not recognize Lewis
    until he questioned the bartender about him. See 
    id.
     Moore then identified
    Riccardi as the man he knew as Elvis Lewis. See id., at 162. Thus, we agree
    with the PCRA court that Moore’s testimony was admissible as a means to
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    bolster his identification testimony. Riccardi cannot establish arguable merit
    for this claim.
    Next, he argues counsel were ineffective when they failed to request a
    curative instruction when Moore testified that Riccardi offered to sell him
    cocaine. See id., at 163. Counsel objected, and a side-bar argument ensued.
    Counsel requested a mistrial. See id., at 164. The prosecutors argued this
    testimony was only being used to further bolster the identification of Riccardi.
    See id., at 165-166. “There’s an identification at issue. [Moore] says he knew
    [Riccardi] from Nanticoke. He was comfortable with him; and that’s what we’re
    trying to show, that this definitely is Elvis Riccardi, the same person he called
    Elvis Lewis.” Id., at 166. Counsel rebutted this argument by noting the offer
    to sell cocaine was not necessary to prove identification. See id. Ultimately,
    the court overruled the objection without stating a basis for its ruling. See id.,
    at 167. The Commonwealth then had Moore re-state his testimony that
    Riccardi had asked him if he wanted to buy cocaine. See id., at 168.
    Riccardi argues counsel should have asked the court to instruct the jury
    that this testimony could only be used for identification purposes. See, e.g.,
    Commonwealth v. Billa, 
    555 A.2d 835
    , 841 (Pa. 1989). The PCRA court
    cites case law indicating that counsel can make a reasonable strategic decision
    to not request such an instruction, as the instruction may merely serve to
    highlight the testimony for the jury. See, e.g., Commonwealth v.
    Hutchinson, 
    811 A.2d 556
    , 561-562 (Pa. 2002). However, when counsel was
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    questioned on the issue of his strategy regarding this decision, he testified he
    did not request the instruction because he did not believe identification was
    at issue. See N.T., PCRA Hearing, 10/3/16, at 159, 183-184.
    The PCRA court concluded Moore’s testimony that Riccardi offered to sell
    him cocaine was not inflammatory, graphic, or extensive. However, it is clear
    the Commonwealth sought to emphasize the offer to sell cocaine, as it had
    Moore repeat the testimony after Riccardi’s objection was overruled.
    We conclude Riccardi has failed to establish prejudice in light of the
    overwhelming evidence of his guilt. This Court summarized the evidence
    against Riccardi in his direct appeal:
    The state police found Skiff’s partially burned truck in an area
    known as Plymouth Flats. The state police fire marshall
    determined that the fire to the truck had been intentionally set.
    Investigators obtained two palm prints from the truck, which were
    later determined to match Riccardi’s palm print. Investigators also
    learned that Skiff’s ATM card had been used the evening before
    he was last seen. A video from the ATM showed Skiff in his truck
    with Riccardi and his co-defendant, Michael Simonson[]. Bank
    records showed that there were two withdrawals and two failed
    withdrawals from Skiff’s account on the night he was last seen.
    Skiff’s body was eventually found thirty-two miles from where he
    was last seen. The investigators spoke with Riccardi on several
    occasions and Riccardi, while not admitting murder, gave
    incriminating statements.
    At trial, the Commonwealth presented witnesses who testified that
    Riccardi had made various admissions to them regarding Skiff’s
    disappearance and murder. A forensic pathologist testified that
    the manner of death was homicide. Riccardi called Simonson as a
    witness, but Simonson exercised his Fifth Amendment right and
    did not testify. [Simonson had pled guilty to charges arising from
    the murder of Skiff, but he still had other other pending charges.]
    However, a state trooper testified as to a statement Simonson had
    made to the police regarding this case.
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    Commonwealth v. Riccardi, No. 158 MDA 2012, at 2-3 (Pa. Super., filed
    4/16/13) (unpublished memorandum).
    Riccardi cannot establish with any probability that Moore’s testimony
    had an impact on the jury’s verdict. Any prejudice caused by the reference to
    cocaine was surely dwarfed by comparison to the extensive evidence of
    Riccardi’s guilt in kidnapping and murdering Skiff. We therefore conclude there
    is no merit to Riccardi’s second issue on appeal.
    Riccardi’s third, fourth, and tenth issues all assert IAC arising from the
    testimony of forensic pathologist Dr. Gary Ross. In fact, Dr. Ross’s testimony
    forms the basis of Riccardi’s third, fourth, seventh, eighth, ninth, tenth,
    eleventh, and twelfth issues on appeal. We will therefore present the portion
    of his testimony that Riccardi focuses on in detail here for reference in
    subsequent issues.
    On direct examination, the Commonwealth questioned Dr. Ross about
    Skiff’s hyoid bone. See N.T., Jury Trial, 6/20-28/11, at 666. Dr. Ross noted
    that Skiff’s hyoid bone was found to be missing from his corpse. See 
    id.
     The
    prosecutor then asked Dr. Ross to opine on possible causes for the absence.
    See id., at 667. Counsel objected to this question, but the court overruled the
    objection. See id.
    Dr. Ross testified that a direct trauma to the neck might have been the
    cause of the missing hyoid bone. See id., at 667-668. The prosecutor followed
    up by asking if “an injury to someone’s neck” would be enough to kill them.
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    Id., at 668. Dr. Ross responded, “Certainly. It can be, not necessarily, but it
    certainly can be.” Id.
    The prosecutor continued by asking Dr. Ross, “if someone were to
    receive a fatal injury to the neck, would the spine necessarily be broken or
    fractured?” Id. Counsel objected, asserting these opinions were outside the
    scope of Dr. Ross’s experts reports. The prosecutor responded by noting the
    absence of the hyoid bone was in Dr. Ross’s report, even if the opinions on
    the cause of its absence were not. See id., at 669-670. The trial court
    overruled the objection without stating a basis for the ruling. See id., at 670.
    Dr. Ross continued to explain his finding pursuant to the prosecutor’s
    questioning. Importantly, he testified
    [a]ll the vertebrae or the segments of the backbone were present;
    and the soft tissue about the vertebrae and basically all the soft
    tissue about the bony structures were absent. So, basically, I was
    left with the skeleton with a few fragments of necrotic or
    decomposing or rotten tissue attached to those bony fragments.
    I didn’t see any evidence of definitive, blunt traumatic impact by
    my examination of the vertebrae, the ribs, pelvis, extremities or
    the head.
    Id., at 676.
    Still later in his direct testimony, he discussed a defect he found in Skiff’s
    skull.
    Well, that marking on the skull, when I initially did the autopsy, I
    thought – I didn’t know the significance of that particular defect.
    I didn’t know it was pre-mortem or post-mortem.
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    After reviewing the photographs and looking at the autopsy again,
    I still don’t know whether that is pre-mortem or post-mortem; but
    I issued a report saying I really didn’t know what that defect was.
    …
    That cause of the hole is due to some force penetrating the skull
    in that particular area. I just don’t know what caused that
    penetration of that skull in that area, and I don’t know if it was
    done prior to his death or after his death.
    Id., at 702-703. At the conclusion of his direct testimony, Dr. Ross opined
    that the cause of Skiff’s death was “undetermined” due to the decomposition
    of the body. Id., at 706.
    On cross-examination, Dr. Ross again conceded he could not determine
    the cause of death “with a reasonable degree of medical certainty.” Id., at
    708. When asked about the missing hyoid bone, Dr. Ross stated it “was absent
    due to decomposition” and possibly because investigators failed to locate the
    small bone when they recovered the body. Id., at 709. He denied that he
    could say, within a reasonable degree of medical certainty, that Skiff had been
    struck in the neck prior to his death. See id.
    In his third issue on appeal, Riccardi contends trial counsel were
    ineffective for failing to call their own forensic expert, Dr. William Manion. He
    argues Dr. Manion would have disputed Dr. Ross’s conclusion regarding the
    defect in Skiff’s skull. At the PCRA hearing, Dr. Manion testified he would have
    opined that he did not see the defect in the x-rays of Skiff’s skull if he had
    been called to testify at trial. See N.T., PCRA Hearing, 9/22/16, at 24-25.
    However, he subsequently testified he agreed the defect was present based
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    upon his review of photographs of Skiff’s skull. See id., at 32. He also opined
    that the conclusions reached by Dr. Ross in his autopsy report were accurate.
    See id.
    Under these circumstances, we can see no arguable merit to the claim
    that Dr. Manion should have been called to testify at trial. First and foremost,
    Dr. Ross admitted he could not determine whether the defect in the skull was
    pre- or post- mortem. He could not determine a cause for Skiff’s death; all he
    could do was speculate. Dr. Manion’s testimony was not necessary to refute
    the prosecutor’s contention that Skiff was killed by a blunt force trauma to the
    skull; Dr. Ross’s testimony established the contention was mere speculation.
    Furthermore, the record establishes Dr. Manion agreed with Dr. Ross’s
    conclusions, except for the minor quibble that he did not see the defect in the
    x-rays, only in the photographs. Riccardi has not established any valid reason
    for trial counsel to have called Dr. Manion. His IAC claim on this basis therefore
    fails.
    Next, Riccardi claims trial counsel were ineffective in failing to object to
    the prosecutor’s closing argument. Specifically, he highlights the prosecutor’s
    argument that Riccardi put Skiff face down, “and he started to hit him and hit
    him and hit him and hit him with the stick.” N.T., Jury Trial, 6/20-28/11, at
    1342.
    A prosecutor is given wide latitude to argue her case, so long as the
    argument is based upon the evidence of record and reasonable inferences
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    from it. See Commonwealth v. Luster, 
    71 A.3d 1029
    , 1048 (Pa. Super
    2013) (en banc). Thus, the prosecutor’s arguments are not a valid basis for
    reversal unless they clearly biased the jury against the defendant to such an
    extent that the jury could not have rendered an objective verdict. See 
    id.
     We
    must view the argument as a whole, and not in isolated statements taken out
    of context. See 
    id.
    As noted, Dr. Ross testified he could not opine as to the cause of Skiff’s
    death to a reasonable medical certainty. He acknowledged a blow to the back
    of the skull could be consistent with his observations, but there was no way
    to be certain. This, along with the discovery of a stick beneath Skiff’s body
    allowed the prosecutor to argue for a reasonable inference that Skiff had been
    beaten with the stick. Furthermore, since Riccardi was on trial for the murder
    of Skiff, it is difficult to conclude that this inference was significantly worse
    than any other method of murder, such that it would have unfairly biased the
    jury. Thus, Riccardi has failed to establish that his IAC claim has arguable
    merit.
    In his fifth issue on appeal, Riccardi argues trial counsel were ineffective
    when they did not seek to exclude all DNA evidence relating to Skiff. Riccardi
    claims the evidence should have been excluded as the Commonwealth did not
    preserve sufficient samples to allow for independent testing when it allowed
    Skiff’s body to be cremated.
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    Directly at issue is one of Riccardi’s sneakers. The Commonwealth
    presented evidence that Skiff’s DNA was found on the sneaker. Riccardi
    believes   independent   testing   may    have   been    able   to   rebut   the
    Commonwealth’s evidence.
    Riccardi contends the cremation of Skiff’s body constitutes a violation of
    Brady v. Maryland, 
    373 U.S. 83
     (1963). In Brady, the Court decided, “the
    suppression by the prosecution of evidence favorable to an accused upon
    request 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.”
    
    Id., at 87
    . In contrast, where the evidence is not inherently favorable, but
    merely potentially useful, to the defendant, there is no violation of the
    defendant’s rights unless he can show the Commonwealth acted in bad faith.
    See Commonwealth v. Chamberlin, 
    30 A.3d 381
    , 402 (Pa. 2011). Bad faith
    exists where evidence is destroyed under circumstances “in which the police
    themselves by their conduct indicate that the evidence could form a basis for
    exonerating the defendant.” Arizona v. Youngblood, 
    488 U.S. 51
    , 58
    (1988).
    Here, Riccardi has not established that Skiff’s DNA would have been
    favorable to him. Rather, he has set forth a scenario under which the DNA was
    potentially useful. See Appellant’s Brief, at 39 (“if the DNA did not belong to
    Donald Skiff, Riccardi’s [sneaker] had no contact with Mr. Skiff”) (emphasis
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    supplied). As such, he was required to demonstrate bad faith on the part of
    the Commonwealth.
    The PCRA court did not err in finding Riccardi had failed to establish bad
    faith. Skiff does not cite to any evidence of bad faith. Our review of the record
    reveals only that Skiff’s remains were released to his family, who then decided
    to have the remains cremated. See N.T., PCRA Hearing, 10/3/16, at 29-30.
    This   evidence   certainly   falls   short   of   establishing   conduct   by   the
    Commonwealth that would indicate they believed it would have yielded
    exonerating evidence.
    Next, Riccardi claims counsel were ineffective when they failed to object
    to Dr. Ross’s opinion that, under the circumstances where Skiff’s body was
    found, the manner of death was presumed to be “homicide until proven
    otherwise.” While Riccardi is correct in noting this would be an inappropriate
    standard for the jury to use when determining his guilt, he has not established
    the jury was swayed into using this standard.
    Initially, we note that Dr. Ross’s testimony merely described his process
    for reaching a conclusion on whether a person died from natural causes or
    from homicide. He was not addressing the issue of who was responsible for
    Skiff’s death. Nor did the highlighted testimony suggest the jury should
    presume the cause of death was homicide.
    Furthermore, Riccardi does not challenge, or even mention, the trial
    court’s instructions to the jury. The court directed the jury that
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    [i]t is not the Defendant’s burden of proof to prove that he is not
    guilty. Instead, it is the Commonwealth that always has the
    burden of proving each and every element of the crimes charged
    and that the Defendant is guilty of those crimes beyond a
    reasonable doubt.
    N.T., Jury Trial, 6/20-28/11, at 1362-1363. The court repeated similar
    instructions regarding the burden of proof throughout its jury charge. See,
    e.g., id., at 1395 (describing the Commonwealth’s burden to establish every
    element of each allegation of theft beyond a reasonable doubt). We presume
    the jury followed these instructions.   See Commonwealth v. Miller, 
    819 A.2d 504
    , 513 (Pa. 2002). Thus, Riccardi has not established arguable merit
    for this claim of IAC.
    In his seventh claim on appeal, Riccardi argues the Commonwealth
    violated his rights to due process by allowing Dr. Ross to testify to the
    presence of hole in Skiff’s skull. Riccardi claims Dr. Manion conclusively
    established the absence of such a hole, and that the Commonwealth allowed
    Dr. Ross to present knowingly false testimony.
    This argument mischaracterizes the evidence. As set forth above, Dr.
    Manion disputed that the hole could be seen in the x-rays, but agreed that the
    hole was present after reviewing photographs. Even if Dr. Manion had opined
    that there was no hole, this dispute would not have rendered Dr. Ross’s
    testimony knowingly false. It would have merely established a disagreement
    between experts to be resolved by the jury. Riccardi’s seventh claim on appeal
    is frivolous.
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    We reach the same conclusion for Riccardi’s eighth issue, wherein he
    claims his due process rights were violated when the Commonwealth failed to
    correct Dr. Ross’s allegedly false testimony regarding the hole in Skiff’s skull.
    As we have established, Riccardi has come nowhere near meeting his burden
    in establishing that Dr. Ross’s testimony was, in fact, false. Riccardi’s eighth
    issue is similarly frivolous.
    Riccardi’s ninth issue clearly suffers from the same defect. He contends
    the prosecutor compounded the violation of his rights occasioned by Dr. Ross’s
    alleged false testimony by arguing that the hole in Skiff’s skull represented
    the cause of death. We need not belabor this point yet again; this issue is
    frivolous.
    Riccardi’s next two claims, his tenth and eleventh on appeal, assert trial
    counsel were ineffective when they failed to correct Dr. Ross’s allegedly false
    testimony through cross-examination or through the presentation of Dr.
    Manion’s expert testimony. Once again, these arguments mischaracterize the
    evidence of record. As set forth previously, Dr. Manion ultimately agreed with
    Dr. Ross’s findings and conclusions, with the minor quibble that he only
    observed the hole in Skiff’s skull in photographs, not in the x-rays. These
    issues are frivolous.
    Next, Riccardi argues the Commonwealth violated his due process rights
    by failing to disclose that it had allegedly coached its expert witness during a
    pre-trial hearing. The hearing at issue was held to determine whether Riccardi
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    qualified as mentally challenged such that the death penalty would constitute
    cruel and unusual punishment under Atkins v. Virginia, 
    536 U.S. 304
    (2002). Even assuming the validity of Riccardi’s assertions on this issue, he
    cannot establish he was prejudiced by the Commonwealth’s conduct. The
    testimony was not presented to the jury for purposes of determining guilt or
    innocence. Nor did it ultimately have an impact on his sentence, as he did not
    receive the death penalty. Since Riccardi cannot establish any form of
    prejudice, this claim fails.
    In his thirteenth issue, Riccardi asserts that appellate counsel was
    ineffective in his performance on appeal. While the record certainly supports
    Riccardi’s claim that appellate counsel procedurally defaulted several issues
    on appeal, leading to their waiver, Riccardi makes no attempt to argue he
    suffered prejudice from counsel’s mistakes. His whole argument on this issue
    consists of a single sentence: “It cannot be determined what this Court would
    have decided if appellate counsel had included the photographs and videos in
    the certified record or made the effort to support his arguments on sufficiency
    of the evidence by citing to the record.”1 This argument cannot meet the high
    standard of establishing the PCRA court erred.
    ____________________________________________
    1 Riccardi also argues prejudice is established by the fact that trial counsel
    were suffering from a conflict in interest: “the PCRA hearing testimony showed
    that [trial counsel] were burdened by an actual conflict of interest. Had the
    issue been raised on direct appeal, Riccardi would be entitled to relief.” As set
    forth previously, we do not agree that Riccardi established he was prejudiced
    by any conflict of interest.
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    In his final issue, Riccardi claims that the cumulative effect of the errors
    in this case prejudiced him. As we conclude that the PCRA court did not err on
    any of the issues raised by Riccardi on appeal, this claim necessarily fails.
    Furthermore, Riccardi has failed to establish any prejudice related to his claim
    that trial counsel suffered from a conflict of interest. As such, none of
    Riccardi’s claims merit relief, and we affirm the order dismissing his PCRA
    petition.
    Order affirmed.
    Judgment Entered.
    Joseph D. Seletyn, Esq.
    Prothonotary
    Date: 5/4/2018
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