Craig Robert Nunn v. State of Tennessee ( 2008 )


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  •          IN THE COURT OF CRIMINAL APPEALS OF TENNESSEE
    AT NASHVILLE
    December 18, 2007 Session
    CRAIG ROBERT NUNN v. STATE OF TENNESSEE
    Direct Appeal from the Criminal Court for Davidson County
    No. 98-C-1622    Seth Norman, Judge
    No. M2007-00974-CCA-R3-PC - Filed August 18, 2008
    The petitioner, Craig Robert Nunn, appeals the post-conviction court’s denial of his petition for post-
    conviction relief from his aggravated sexual battery convictions. The petitioner first argues that the
    post-conviction court erred in finding that due process considerations did not toll the statute of
    limitations. He further argues that the post-conviction court, which also considered his claims on
    the merits, erred in finding that he received effective assistance of trial counsel. Following our
    review, we affirm the post-conviction court’s denial on its merits of the petition.
    Tenn. R. App. P. 3 Appeal as of Right; Judgment of the Criminal Court Affirmed
    ALAN E. GLENN , J., delivered the opinion of the court, in which JAMES CURWOOD WITT , JR., J.,
    joined. D. KELLY THOMAS, JR., J., filed a concurring opinion.
    James A.H. Bell and Richard L. Holcomb, Knoxville, Tennessee, for the appellant, Craig Robert
    Nunn.
    Robert E. Cooper, Jr., Attorney General and Reporter; Preston Shipp, Assistant Attorney General;
    Victor S. Johnson, III, District Attorney General; and Dan Hamm, Assistant District Attorney
    General, for the appellee, State of Tennessee.
    OPINION
    FACTS
    In January 1999, the petitioner pled guilty in the Davidson County Criminal Court to four
    counts of aggravated sexual battery in exchange for concurrent sentences of twelve years at 100
    percent for each conviction. At the time the crimes occurred, the petitioner was a trauma surgeon
    at Vanderbilt Hospital in Nashville, where the four victims, three twelve-year-old girls and one ten-
    year-old girl, were hospitalized with critical illnesses. At the guilty plea hearing, the prosecutor
    recited the following factual basis for the pleas:
    Your Honor, if called upon at trial, the State’s proof would be as follows:
    That the four victims in this case were all children under the age of thirteen. Each
    were [sic] hospitalized at Vanderbilt Hospital, which is here in Davidson County[,]
    for serious medical conditions. The [petitioner] was not a doctor for any of the
    children.
    Count One involves a child by the name of [S.V.],1 who, if called upon at trial
    would testify that on 12-10-97 a man entered her room in a white lab coat. The man
    asked if she was wearing a bra or training bra and proceeded to touch her breasts.
    The person who appeared to be a doctor then left the room.
    Count Three involves a child by the name of [M.B.], who . . . would testify
    that on the 12th of January, 1998, a man, similar to the description given previously
    by [S.V.] came into her room and touched her around her breast and pubic area.
    Count Five represents a child by the name of [B.G.], who would testify that
    on the 11th or 12th of January, 1998, a man of also similar description, touched her on
    the pubic area as he pulled her panties down.
    Count Nine involves a child by the name of [D.S.]. In regards to Count Nine
    [D.S.] would testify that on February 8th, 1998 a man, also of similar description,
    came into her room and digitally penetrated her vagina.
    The prosecutor informed the trial court that police investigators, with the cooperation of
    Vanderbilt officials, had obtained videotape that showed the petitioner pulling the medical charts of
    the victims and entering their rooms. When questioned by the police, the petitioner made a
    statement in which he admitted he was sexually attracted to adolescent girls and had given
    “examinations” to the victims, who were not his patients.
    On April 13, 2005, the petitioner filed a petition for post-conviction relief, which the post-
    conviction court dismissed as untimely. On appeal, the petitioner argued that the statute of
    limitations should be tolled because: (1) his guilty plea agreement contained provisions stating that
    he would not seek to withdraw or alter his guilty pleas in any way and would file no appeal or
    challenge to the convictions or sentences, and (2) his trial counsel informed him that he was waiving
    his right to both direct and post-conviction appeal by signing the guilty plea agreement. Craig
    Robert Nunn v. State, No. M2005-01404-CCA-R3-PC, 
    2006 WL 680900
    , at *1-2 (Tenn. Crim. App.
    Mar. 17, 2006). Finding that the record needed further development, this court remanded the case
    to the post-conviction court with instructions to hold an evidentiary hearing to determine “the
    circumstances surrounding the guilty plea, the advice given, and whether this precluded the
    [p]etitioner from filing a timely petition for post-conviction relief.” Id. at *6.
    1
    It is the policy of this court to refer to minor victims of sexual assault by their initials.
    -2-
    In his post-conviction petition and in this current appeal, the petitioner alleges that trial
    counsel was ineffective for failing to properly advise the petitioner of the maximum possible
    sentence he would receive if convicted of all counts at trial; failing to adequately investigate the
    allegations in the indictment, including whether the petitioner suffered from a mental disorder
    relevant to his defense and whether the facts alleged by the victims were consistent with the
    petitioner’s condition; failing to properly advise the petitioner about the impact of the unavailability
    of two of the victims at trial; and failing to properly advise the petitioner about the trial court’s
    ability to enhance the sentences based on factors that were not found by the jury. The petitioner
    additionally alleges that the cumulative effect of the above errors resulted in his being deprived of
    the effective assistance of trial counsel.
    At the September 22, 2006 evidentiary hearing, the petitioner testified that he hired trial
    counsel in the spring of 1998 and pled guilty in January 1999. To his knowledge, trial counsel did
    not file any evidentiary or pretrial motions on his behalf. Trial counsel also failed to retain an
    investigator, interview witnesses, or have the petitioner undergo a forensic evaluation by a
    psychiatrist or psychologist. The petitioner said that he was seeing a psychiatrist at the time for
    depression but was not evaluated with respect to any possible mental or medical condition that would
    have been relevant to the case. The petitioner testified that trial counsel informed him that he was
    likely to receive 108 years if the case proceeded to trial, telling him that a trial was a “huge risk,” and
    that the trial judge would run all his sentences consecutively, which meant that he would die in
    prison. The petitioner said that this information, which made him feel “[s]ick,” was a motivating
    factor in his decision to accept the State’s offer of a twelve-year sentence at 100 percent.
    The petitioner testified that he reviewed the evidence against him but did not recall having
    a “whole lot of discussion” with trial counsel about it. Trial counsel did, however, tell him that his
    statement to police could be considered a confession, a characterization that the petitioner did not
    believe to be accurate. The petitioner said trial counsel explained the charges against him and told
    him that he could be convicted for each separate contact with an individual victim even if the
    contacts occurred at the same time. Trial counsel also told him that the separate counts could “very
    well stand.” The petitioner testified that trial counsel did not investigate the medical condition of
    the victims, two of whom were in grave condition and had since died, to ascertain whether they
    would be able to testify against him at trial. He said that trial counsel told him that the victims’
    serious illnesses made them likely to be perceived in a more sympathetic light. The petitioner
    testified that when he asked before sentencing about a possible reduction in his time, trial counsel
    told him that his guilty plea included a waiver of his rights to attack the plea agreement or to appeal
    in any way. He said he took that to mean that “it was set in stone and it was done and [he] couldn’t
    appeal.”
    The petitioner testified that trial counsel told him that he would remain his attorney until the
    petitioner completed his sentence at the Department of Correction, or for approximately ten years.
    In addition to representing him in the criminal case, trial counsel represented him in the civil suits
    that arose out of the incidents and continued his representation in that capacity through 2005. The
    petitioner said that trial counsel visited him in prison many times, including more than a year after
    -3-
    the entry of his guilty pleas, to discuss both the criminal and civil cases. In addition, trial counsel,
    on several occasions, asked him to review and evaluate other medical malpractice cases for him and
    his firm, which the petitioner did free of charge.
    The petitioner testified that he did not learn about the possibility of filing a post-conviction
    petition until the middle of 2004 when post-conviction counsel first became involved in his case; up
    until that time, he did not know that his guilty pleas did not preclude him from raising issues of
    ineffective assistance of counsel or prosecutorial misconduct in a petition for post-conviction relief.
    He said that trial counsel told him that he had waived all his rights by entering his guilty pleas. Trial
    counsel never mentioned anything to him about his right to file a petition for post-conviction relief
    or about the one-year statute of limitations for doing so. The petitioner testified that he therefore
    interpreted the provision in his guilty plea agreement that stated “no appeal or challenge to said
    conviction is maintained by Craig Nunn” to mean that “it was over for good and [he] wouldn’t be
    able to do anything about it, ever.” Had he known he had the right to file a post-conviction petition,
    he would have done so within the first year of entering his guilty pleas.
    On cross-examination, the petitioner testified that post-conviction counsel informed him that
    the 108 years trial counsel had led him to believe he would receive if convicted at trial was an
    “outrageously high” estimate. He said that he was never particularly satisfied with his plea
    agreement. Although he had “voyeuristic tendencies . . . that were probably inappropriate,” he was
    not guilty of aggravated sexual battery and thought that he could have received a sentence involving
    some sort of treatment, instead of incarceration, had his trial counsel investigated his case more
    thoroughly. He said he did not hire another lawyer, despite not being happy with trial counsel’s
    advice, because he had been told that trial counsel was the best lawyer in Middle Tennessee. He
    acknowledged that he was aware of other inmates filing post-conviction petitions but said that he
    assumed, based on what trial counsel told him, that his own guilty plea agreement included a waiver
    of his right to petition the court for post-conviction relief. Upon further questioning, the petitioner
    testified that he did not become dissatisfied with trial counsel’s representation until he learned from
    his post-conviction counsel in 2004 that he had the right to file a post-conviction petition. He
    explained, however, that he was not familiar with the law and had not realized until 2004 that there
    were issues such as the multiplicity of the indictment and the voluntariness of his statement that trial
    counsel had failed to pursue.
    Dr. Fred Berlin, a specialist in forensic psychiatry with expertise in the area of sexual
    disorders, testified that he interviewed the petitioner on August 18, 2006. He also reviewed the
    record of the petitioner’s case, including the petitioner’s statement to police, the allegations made
    by the victims, the indictment, and the plea agreement. From his review, he noted two things which
    suggested that the petitioner should have been evaluated by a forensic psychiatrist to determine
    whether he had a psychiatric disorder relevant to his defense. First, the petitioner was a successful
    trauma surgeon in his mid-thirties who, “out of the blue,” began to examine young females in a
    pediatric unit who were not his patients. Second, the petitioner informed the interviewing police
    officer that he knew he had a problem, wanted treatment, and had even discussed the issue with some
    friends, but that he had managed to control himself over the years until the recent events transpired.
    -4-
    Such irrational behavior, in Dr. Berlin’s judgment, indicated that the petitioner should have
    undergone a thorough psychiatric assessment.
    Dr. Berlin testified that he diagnosed the petitioner as suffering from voyeurism, a category
    of sexual disorder in which “the afflicted individual experiences intense recurrent erotically arousing
    . . . fantasies and urges about looking at an unsuspecting, naked stranger.” He said that for such an
    afflicted individual, the act of looking, in and of itself, provides the sexual excitement; “generally
    no sexual activity with the observed person is sought.” According to Dr. Berlin, what was
    particularly arousing to the petitioner was viewing the pubic area of someone that he believed to be
    virginal. He said that the petitioner’s statement to the police, in which he repeatedly said that he was
    aroused simply by the act of looking and had not touched the victims in a sexual way, was consistent
    with a diagnosis of voyeurism:
    Yeah, he was touching them without permission so I don’t want to say that’s
    okay. But there is no evidence, from the psychiatric perspective that the touching
    was erotically, sexually arousing. What was arousing for him was the act of looking,
    being a physician and going in there, actually doing a medical exam was a way he
    could look, he hoped, without causing any distress to these individuals. But if my
    diagnosis of voyeurism is correct, and as I said, I have within reasonable medical
    certainty come to that conclusion, that the arousing part for him was the voyeuristic
    part and he has consistently said that over the years.
    At no point has he ever said or acknowledged that touching was erotically
    arousing to him.
    Dr. Berlin believed the same diagnosis would very likely have been reached in 1999 had the
    petitioner been evaluated by a forensic psychiatrist with access to his complete record, as opposed
    to a treating clinician who may have never seen the police report of the incidents. He said he thought
    such a diagnosis would have been relevant at the guilt/innocence stage of the trial because it would
    have added credibility to the petitioner’s claim that he had not touched the victims for sexual
    gratification. The diagnosis would have also made it less likely for the petitioner to be convicted on
    the counts of the indictment based on the allegations of S.V., who claimed that she had been
    assaulted by two men who came into her room together. According to Dr. Berlin, a diagnosis of
    voyeurism meant that it was “almost inconceivable that this would have been done in collusion with
    another person.” He testified that he thought the diagnosis, including the information that the
    condition was amenable to treatment, would have been relevant to the trial court at sentencing. He
    said that there were “mental impairments, diminished capacity, both cognitive and volitional
    associated with a sexual disorder such as voyeurism” that could have conceivably been viewed as
    a mitigating factor. Finally, he thought that the petitioner “might have looked at his options very
    differently” had he known that the jury might “hear about voyeurism and conclude that this wasn’t
    touching done for sexual reasons,” which meant that “it might not have been so clear that he could
    [have] been convicted on an aggravated sexual battery charge.”
    -5-
    Dr. Berlin testified that the petitioner showed signs of both cognitive and volitional
    impairment at the time of the incidents, as evidenced by the videotape of his walking back and forth
    in the hallway before entering the victims’ rooms and by his statement to police, in which he spoke
    of being tormented by his urges and appeared to be attempting to rationalize his behavior. Dr. Berlin
    did not believe, however, that the petitioner’s mental impairments qualified him for an insanity
    defense. On cross-examination, Dr. Berlin acknowledged that the victims’ allegations of sexual
    touching, including touching of the breast and vagina, would not be consistent with a diagnosis of
    voyeurism. He further acknowledged to the post-conviction court that the petitioner had admitted
    the factual allegations, including the sexual touching, when entering his guilty pleas.
    David M. Siegel testified that he was a professor of legal ethics at New England School of
    Law and a licensed attorney in Tennessee, Massachusetts, and the District of Columbia, although
    his license in the District of Columbia was currently inactive. He stated that the waiver of rights in
    the petitioner’s guilty plea agreement, which included the condition “that no appeal or challenge to
    said conviction or sentence is maintained by Craig Nunn,” presented a fundamental ethical problem
    because it was all-inclusive, containing no exemption to allow for a challenge to the guilty plea itself,
    the effectiveness of trial counsel, or prosecutorial misconduct. He said that such all-inclusive
    waivers were not enforced and, upon further questioning by post-conviction counsel, began to review
    several of the federal cases which have found similar waivers unenforceable. The post-conviction
    court interrupted to announce that it “whole heartedly” agreed, and post-conviction counsel then
    observed that it was his understanding that the use of such all-inclusive waivers in the guilty plea
    forms, which had been part of a “systemic problem,” had since been eliminated.
    Siegel testified that it is the responsibility of a criminal defense lawyer to investigate the
    possible mental health issues in any case. He said he thought it was essential to use an independent
    mental health expert rather than a treating physician or psychologist for a number of reasons.
    Among these were that “[t]he role of doing a forensic assessment may involve getting down to things
    that . . . [may] not [be] psychologically beneficial to the defendant”; a treating psychiatrist or
    psychologist does not need to look at the case file while such information is essential to a forensic
    psychiatrist; and a forensic psychiatrist’s role is to work with the lawyer with respect to how the
    information he or she obtains can be used in court, a subject which is irrelevant to the treating
    psychiatrist. In addition, confidentiality issues were different in that the forensic psychiatrist,
    working as part of a defense team, “is not susceptible to the same sort of discovery” as the treating
    psychiatrist. Siegel said that the history of the petitioner’s case “certainly raise[d] the issue” of
    whether he had a mental health problem. For that reason, he believed that trial counsel’s failure to
    obtain an independent mental health expert to investigate the petitioner’s mental health issues fell
    below the acceptable standard of care.
    Trial counsel, a lawyer with over thirty years of experience, testified that he had spent three
    years doing appellate criminal work in the office of the State Attorney General followed by seven
    years in the district attorney’s office in Nashville before entering private practice, where he focused
    almost exclusively on criminal cases. During that time, he had written several books, including the
    three-volume Tennessee Criminal Practice and Procedure. He stated that the petitioner hired him
    -6-
    in April 1998 after he had taken a polygraph test and given his statement to police but before he had
    been indicted. He and the initial assistant district attorney general assigned to the case had some
    limited discussions about discovery issues at the outset. That assistant district attorney later left the
    district attorney’s office, and trial counsel then had an “enormous number of conversations” with the
    assistant district attorney who took over the case. The second assistant district attorney provided
    adequate discovery to him, including information about the names and ages of the victims, the
    videotape of the petitioner outside the victims’ rooms, the petitioner’s statement to police, and the
    results of the photographic lineups shown to the victims.
    Trial counsel testified that the petitioner met with Dr. Paul Ragan, a Vanderbilt psychiatrist,
    who evaluated his competency to stand trial and treated him for his suicidal thoughts and depression.
    Based on his evaluation, Dr. Ragan determined that the petitioner was competent to stand trial and
    that an insanity defense could not be supported. Trial counsel stated that he was looking for anything
    to defend the case on its merits and that part of Dr. Ragan’s evaluation included a determination of
    whether the petitioner was suffering from any sort of mental health issues that would be helpful to
    the defense. However, in trial counsel’s professional opinion, the mental health issues uncovered
    by Dr. Ragan “would be not helpful to the extreme.” Dr. Ragan told him that the petitioner “engaged
    in extraordinarily high risk activities to stimulate himself,” had a “fascination with younger bodies
    and younger girls,” and had married an Asian woman because “she looked like a young girl.”
    Because such information was “consistent with what the State was suggesting,” trial counsel
    believed it would be contrary to the petitioner’s interest to pursue such a defense. Trial counsel
    testified that Dr. Ragan never used the word “voyeurism” and made no mention of the petitioner’s
    interest in looking as opposed to touching. What he recalled, instead, was Dr. Ragan’s discussion
    of the petitioner’s interest in “sexuality as it related to young girls.” Trial counsel testified: “Now,
    whether that was looking or touching, I don’t think we ever got into that level of specificity. In my
    mind, . . . when he said he had some interest in young girls, whether it’s looking or touching, I’m not
    going there.” Moreover, the petitioner always maintained to him that his encounter with the girls
    was “one of an examination,” which involved touching. Trial counsel said that the petitioner even
    admitted in his statement to police that he had taken a “groin pulse” on one of the victims.
    Trial counsel testified that he fully discussed these issues with the petitioner:
    Well, we had multiple conversations throughout the representation. I was
    looking for anything to defend the case on the merits. As to his lack of intent, but we
    kept running off the proposition that he had made an inculpatory statement. I don’t
    want to call it a confession, but he had certainly made an inculpatory statement,
    together with what the girls were saying happen[ed], was simply devastating. And
    so the issue then was how can I defend this on the merits, where I can twist in some
    sort of psychiatric or psychological evaluation or defense. And in my view, there was
    not enough substance to any kind of mental health defense, some sort of deviant
    mental health defense that I could use. Those sorts of defenses are extraordinarily
    dangerous, and unless you have a powerful defense or some very solid defense, they
    are fraught with disaster.
    -7-
    What Dr. R[]agan was telling me was precisely the kind of thing that [the
    petitioner] had said to the detectives, about engaging in high risk behavior or
    whatever. And that was certainly not helpful to me.
    Trial counsel agreed that although the petitioner’s statement to police did not rise to the level
    of a confession, it did not fall short of one by much either. He said he did not file a motion to
    suppress the statement but used every conceivable argument in his discussions with the assistant
    district attorney as to why the statement was deficient and should be suppressed. In the end, he
    believed that his threat to file a solid motion to suppress was what induced the assistant district
    attorney to make the offer she did. Trial counsel testified that there were significant arguments in
    favor of suppressing the statement but, based on his experience, he did not think he would have been
    successful with a motion to suppress. He, therefore, recommended that the petitioner accept the
    State’s offer.
    Trial counsel acknowledged he told the petitioner that he ran a huge risk of being convicted
    at trial and that the trial judge could give him such a lengthy sentence that he would spend the rest
    of his effective life in prison. He stated that he always informed clients of their theoretical or
    statutory maximum sentence, as well as what he believed the most probable sentence to be. In this
    case, he informed the petitioner both verbally and in writing that he thought, if convicted, the most
    probable result would be a sentence “somewhere in the 30 to 40 year range.” He said he told the
    petitioner that he did not think the State would succeed in proving the penetration required to convict
    him of rape but that he could be convicted of four counts of aggravated sexual battery and that the
    trial judge could run some of the sentences consecutively. Trial counsel said he believed the
    petitioner fully understood and appreciated the benefits and risks of going to trial as opposed to those
    of accepting the guilty plea agreement.
    Trial counsel testified that he continued to represent the petitioner after the entry of his guilty
    pleas in the civil suits that arose out of the same incidents. During that time, from January 1999
    through 2003, he also occasionally asked the petitioner to review medical records and give his
    medical opinion in other medical malpractice cases. Most of their conversations, however, were
    about the petitioner’s civil case, which trial counsel was still handling as late as April 2003. He said
    that he and the petitioner maintained a good relationship and that the petitioner never expressed
    dissatisfaction with his representation. At some point in either late 2002 or 2003, however, the
    petitioner’s parents contacted him about filing a post-conviction petition on the petitioner’s behalf.
    Trial counsel said that he told them that he could not do that:
    It was mostly from his family. I talked to [the petitioner] about this and he
    said, well, let them do whatever they want to do or something. He wanted to, it was
    difficult for me to discuss because his parents really care for him and wanted to help
    him in every way and they were desperate to try to help him. I wanted to help him,
    I’d do anything to help him. And towards the end before [post-conviction counsel]
    came in, there was a mention made of getting some kind of, filing some kind of post
    conviction petition. But it was very vague and I told them I wasn’t going to do it,
    -8-
    couldn’t do it, wouldn’t do it. And then his mother said that they would talk to other
    lawyers or something, and then one day I get a call from [post-conviction counsel]
    and he’s involved in the case.
    On cross-examination, trial counsel testified that he did not hire a private investigator but
    investigated the case himself to the best of his ability by reviewing discovery and talking to the
    petitioner, the petitioner’s psychiatrist, and the assistant district attorney. He stated that the assistant
    district attorney had made him aware of the victims’ health conditions, including that two of them
    were gravely ill, and that there was some discussion about taking the deposition of one of the
    victims. He stated that the assistant district attorney announced at one point that they were “going
    to try this thing because [she thought she was] going to lose one of these girls.” Trial counsel
    testified that the possibility of the petitioner’s being convicted on all the counts was, in his opinion,
    “extraordinarily low,” as some of the counts were pleaded in the alternative. In his best judgment,
    the worst case scenario involved the petitioner’s being convicted of four counts of aggravated sexual
    battery and the trial judge ordering consecutive sentences for the counts involving different victims.
    On April 20, 2007, the post-conviction court entered an order denying the petition for post-
    conviction relief. Among other things, the court found that it was “highly doubtful,” given trial
    counsel’s experience and reputation, that he had misled the petitioner into believing that he could
    not file a petition for post-conviction relief. The court, therefore, concluded that the statute of
    limitations should not be tolled. After consideration of the merits of the petitioner’s allegations of
    ineffective assistance of counsel, the court further concluded that even if due process required tolling
    of the statute of limitations, the petitioner had failed to meet his burden of demonstrating that trial
    counsel “breached the standard of care demanded of defense attorneys in their representation of
    defendants.” Thereafter, the petitioner filed a timely appeal to this court.
    ANALYSIS
    I. Post-Conviction Statute of Limitations
    The petitioner first contends that the post-conviction court erred in finding that due process
    considerations did not toll the one-year statute of limitations for bringing a petition for post-
    conviction relief. He argues that the plain language of his guilty plea agreement, combined with his
    unrefuted testimony that trial counsel told him his guilty pleas precluded him from seeking any relief
    from his convictions or sentences, “clearly establish that due process requires” that the statute of
    limitations be tolled in his case. The petitioner further argues that the post-conviction court
    incorrectly focused on whether trial counsel misled him into believing he could not file a petition
    for post-conviction relief rather than whether he was misled into such a belief by the totality of the
    circumstances, which included trial counsel’s continuing representation during and well beyond the
    one-year statute of limitations period that followed the entry of his guilty pleas. The petitioner
    maintains that he filed his post-conviction petition within a reasonable amount of time after learning
    that he had not waived his right to post-conviction relief by entering into the plea agreement with
    the State.
    -9-
    The State argues that, short of showing that counsel wilfully misrepresented that he could not
    file a petition for post-conviction relief, the petitioner cannot demonstrate that due process
    considerations require that the statute of limitations be tolled. The State further argues that, even if
    the statute was tolled due to trial counsel’s failure to inform the petitioner of his right to file a post-
    conviction petition, such tolling did not extend to April 13, 2005, the date the petitioner filed his
    petition.
    Tennessee Code Annotated section 40-30-102(a) provides that a petition for post-conviction
    relief must be filed “within one (1) year of the date of the final action of the highest state appellate
    court to which an appeal is taken or, if no appeal is taken, within one (1) year of the date on which
    the judgment became final[.]” The statute contains a specific anti-tolling provision, stating:
    The statute of limitations shall not be tolled for any reason, including any tolling or
    saving provision otherwise available at law or equity. Time is of the essence of the
    right to file a petition for post-conviction relief or motion to reopen established by
    this chapter, and the one-year limitations period is an element of the right to file the
    action and is a condition upon its exercise. Except as specifically provided in
    subsections (b) and (c), the right to file a petition for post-conviction relief or a
    motion to reopen under this chapter shall be extinguished upon the expiration of the
    limitations period.
    Id. Subsection (b) of the statute sets forth three narrow exceptions under which an untimely petition
    may be considered: (1) when the claim is based upon a final ruling of an appellate court establishing
    a constitutional right that was not recognized at the time of trial and which requires retrospective
    application; (2) when the claim is based upon new scientific evidence establishing that the petitioner
    is innocent; and (3) when a previous conviction that was not a guilty plea and which was used to
    enhance the petitioner’s sentence has been held to be invalid. Id. § 40-30-102(b).
    Our supreme court has recognized, however, that in some cases a strict application of the
    statute of limitations may deprive a petitioner of “‘a reasonable opportunity to assert a claim in a
    meaningful time and manner.’” Williams v. State, 
    44 S.W.3d 464
    , 468 (Tenn. 2001) (quoting Seals
    v. State, 
    23 S.W.3d 272
    , 279 (Tenn. 2000)). Thus, in Williams, a majority of our supreme court
    concluded that due process considerations may have tolled the limitations period for filing a
    post-conviction petition when the petitioner’s counsel misled the petitioner into believing that
    counsel was continuing the direct appeal process on his behalf. Id. at 471. The petitioner in
    Williams argued that the statute of limitations should be tolled because trial counsel failed to notify
    him of his withdrawal from the case or to explain to him his rights for filing a pro se Rule 11
    application for permission to appeal to the supreme court. Id. at 465. Our supreme court remanded
    the case to the post-conviction court for an evidentiary hearing, concluding that the record needed
    further development to determine the circumstances surrounding the petitioner’s “understanding of
    his relationship” with trial counsel:
    -10-
    The question, then, is whether the appellee in this case was, in fact, misled
    to believe that counsel was continuing the appeals process, thereby requiring the
    tolling of the limitations period. . . . . The sole inquiry here . . . is whether this
    limitations period is tolled because of due process concerns surrounding possible
    attorney misrepresentation. Further development of the record is required to
    determine the precise circumstances surrounding the appellee’s understanding of his
    relationship to counsel.
    Id. at 471. In a footnote, the court clarified that it was “not holding that a petitioner may be excused
    from filing an untimely post-conviction petition as result of counsel’s negligence” but that the
    inquiry, instead, was “only upon trial and appellate counsel’s alleged misrepresentation in failing to
    properly withdraw from representation and in failing to notify the petitioner that no application for
    permission to appeal would be filed in this Court.” Id. at 468 n.7.
    In this case, the post-conviction court made the following findings of fact and conclusions
    of law in its determination that the petition was time-barred:
    Although the petitioner claims that [trial counsel] informed him that he was
    ineligible to file a petition for post-conviction relief, it is highly doubtful that such
    a misrepresentation was ever made. At the time of the plea agreement, [trial counsel]
    had been practicing exclusively in the field of criminal law for over twenty years. He
    is the author of a series of legal books entitled Tennessee Criminal [P]ractice and
    Procedure, which has been in publication since 1984. While his understanding of
    criminal law and procedure is undeniably exceptional, this factor alone does not
    necessarily mean that any misleading advice could not have been given by counsel.
    However, taking into consideration all of the circumstances of this case, it is
    rather unlikely that [trial counsel] would have advised the petitioner that he was
    unable to file a petition for post-conviction relief. Based on the testimony provided
    at the hearing, in conjunction with all other relevant evidence, it does not appear as
    though [trial counsel] misled the petitioner to believe he was without further legal
    recourse following the entry of his guilty plea. Thus, due process should not require
    that the statute of limitations be tolled and the petitioner allowed to proceed with his
    Petition which was untimely filed.
    We respectfully disagree that the petitioner was not misled by the circumstances into a belief
    “that he was without further legal recourse following the entry of his guilty plea.” The guilty plea
    agreement states in pertinent part:
    Counts 2, 4, 6, 7, and 8 are to be retired on the following conditions:
    -11-
    (1)   That within 120 days [the petitioner] will file with the Tennessee
    Department of Health appropriate papers agreeing to the revocation of his
    Tennessee medical license; and
    (2)   That the guilty pleas as to Counts 1, 3, 5, and 9 shall not be sought by [the
    petitioner] to be withdrawn or altered in any way; and
    (3)   That no petition to modify sentence pursuant to Rule 35 (b), Tennessee
    Rules of Criminal Procedure is filed by [the petitioner]; and
    (4)   That no appeal or challenge to said conviction or sentence is maintained
    by [the petitioner].
    It is undisputed that this waiver of rights included no specific exemption stating that the
    petitioner was not waiving his right to petition for post-conviction relief. At the evidentiary hearing,
    the petitioner testified that trial counsel informed him he had waived “all his rights” by entering his
    guilty pleas. He said that counsel specifically told him that the guilty plea agreement included a
    waiver of his right to attack the plea agreement or to appeal in any way and that he interpreted this
    to mean that “it was set in stone and it was done and [he] couldn’t appeal.” According to the
    petitioner, trial counsel never mentioned anything to him about his right to file a petition for post-
    conviction relief.
    Neither the State nor post-conviction counsel questioned trial counsel with respect to what
    he may have told the petitioner concerning the waiver of his right to appeal or challenge the
    convictions or whether he distinguished between a direct appeal and a petition for post-conviction
    relief. Trial counsel’s only testimony on this subject concerned the advice he gave the petitioner’s
    parents, long after the statute of limitations for filing a post-conviction petition had run, to the effect
    that he could not and would not file such a post-conviction petition on the petitioner’s behalf. Trial
    counsel, however, corroborated the petitioner’s claim that he continued to represent the petitioner
    in the civil cases associated with the incidents, testifying that he believed that the civil suits were not
    settled until at least April 2003.
    Moreover, trial counsel’s memoranda, notes, and letters associated with the case, which were
    admitted as part of a collective exhibit at the hearing, show that he and the petitioner continued to
    enjoy regular, congenial correspondence and contact through at least the middle of 2003, including
    correspondence relating not just to the petitioner’s help in evaluating other medical malpractice cases
    but also to the terms and conditions of the petitioner’s service of his sentence. In several letters, trial
    counsel responded to the petitioner’s apparent complaints or requests regarding the status of his
    incarceration. In one, dated April 16, 2001, trial counsel advised the petitioner that he “could always
    raise hell” about the conditions of the petitioner’s incarceration but that it would only serve to get
    him transferred to a prison near Memphis. In another letter, dated September 26, 2002, trial counsel
    advised that he had discussed with the petitioner’s mother the potential civil litigation and also
    explained to her that there was “no practical way to get any other reduction in [the petitioner’s]
    -12-
    sentence.” In a letter dated September 15, 2003, trial counsel told the petitioner that Vanderbilt
    Hospital had refused to provide a lawyer for him in the civil suit, reminded him that their contract
    “specifically excluded that civil litigation,” and advised that he had civil lawyers in his firm who
    could handle the matter and that he, himself, was “as familiar with [the petitioner’s] case as anyone.”
    Finally, in a September 17, 2003, letter, trial counsel advised the petitioner that the petitioner’s father
    had authorized him to represent the petitioner in the civil suit recently filed against him.
    Based on these unique circumstances, we conclude that due process requires that the statute
    of limitations be tolled. Unlike the more common scenario where counsel’s representation comes
    to a close following the entry of a defendant’s guilty plea, trial counsel not only represented the
    petitioner in the civil suits arising out of the same criminal episodes but also continued to respond
    and communicate with the petitioner about the terms and conditions of his criminal sentence. As
    the petitioner points out, there is nothing in the record to show that trial counsel ever made any
    formal effort to withdraw from representation. We do not think it was unreasonable in such a
    situation for the petitioner to have believed that trial counsel, whom he thought would continue to
    represent him throughout the entire term of his sentence, would have informed him that he had not
    waived his right to petition for post-conviction relief. Nothing in the record contradicts his
    testimony that trial counsel never said anything to him about his right to file a post-conviction
    petition or the statute of limitations for doing so. The letter trial counsel sent to the petitioner
    explaining the ramifications and consequences of his guilty plea agreement is silent on the subject.
    We agree with the petitioner that the key inquiry is whether, under the totality of the
    circumstances, the petitioner was misled into believing that his guilty pleas included a waiver of his
    right to petition for post-conviction relief. See Williams, 44 S.W.3d at 471 (“The sole inquiry here
    . . . is whether this limitations period is tolled because of due process concerns surrounding possible
    attorney misrepresentation.”). In Stokes v. State, 
    146 S.W.3d 56
     (Tenn. 2004), our supreme court
    summarized the holding in Williams as follows:
    In Williams, misrepresentation by defendant’s counsel led to a failure to file
    an application for permission to appeal to this Court following the decision of the
    Court of Criminal Appeals on direct appeal. The defendant believed that the case
    had been pending before this Court, and by the time he filed a petition for post-
    conviction relief, his petition was dismissed as time-barred. We held that if the
    defendant was under the impression that a Rule 11 application was pending, he was
    effectively precluded from filing a timely petition for post-conviction relief, and that
    the attorney’s misrepresentation and failure to withdraw as counsel warranted a
    tolling of the statute of limitations.
    Id. at 61. In Sample v. State, 
    82 S.W.3d 267
    , 273-74 (Tenn. 2002), our supreme court stated: “[W]e
    have consistently said that the principles of due process are flexible and require balancing of a
    petitioner’s liberty interests against the State’s finality interests on a case by case basis.” Here, the
    petitioner was misled by the all-inclusive language of the waiver in his guilty plea agreement, by
    counsel’s explanation that he was waiving “all his rights” by signing the agreement, and by counsel’s
    -13-
    continuing representation into believing that he had no right to file a petition for post-conviction
    relief. He was, thus, deprived of a reasonable opportunity to assert his claims of ineffective
    assistance of counsel in a meaningful time and manner. See Williams, 44 S.W.3d at 468.
    We further agree with the petitioner that the nine-month delay between the time that he first
    learned of his right to file a post-conviction petition and the filing of the petition was not
    unreasonable. See Sample, 82 S.W.3d at 276 (concluding that sixteen-month delay between time
    petitioner learned of exculpatory evidence withheld by the State and filing of his petition was not
    unreasonable under the circumstances of the case); Williams, 44 S.W.3d at 471 (declining to
    “arbitrarily determine what length of time constitutes ‘enough time’ for a defendant to pursue post-
    conviction appellate review”). We conclude that, under the unique circumstances presented by this
    case, due process considerations require that the statute of limitations be tolled
    II. Claims of Ineffective Assistance of Counsel
    The petitioner next contends that the post-conviction court erred in finding that he did not
    meet his burden of showing that he was denied the effective assistance of trial counsel. The
    post-conviction petitioner bears the burden of proving his allegations by clear and convincing
    evidence. See Tenn. Code Ann. § 40-30-110(f) (2006). When an evidentiary hearing is held in the
    post-conviction setting, the findings of fact made by the court are conclusive on appeal unless the
    evidence preponderates against them. See Tidwell v. State, 
    922 S.W.2d 497
    , 500 (Tenn. 1996).
    Where appellate review involves purely factual issues, the appellate court should not reweigh or
    reevaluate the evidence. See Henley v. State, 
    960 S.W.2d 572
    , 578 (Tenn. 1997). However, review
    of a trial court’s application of the law to the facts of the case is de novo, with no presumption of
    correctness. See Ruff v. State, 
    978 S.W.2d 95
    , 96 (Tenn. 1998).
    The issue of ineffective assistance of counsel, which presents mixed questions of fact and
    law, is reviewed de novo, with a presumption of correctness given only to the post-conviction court’s
    findings of fact. Fields v. State, 
    40 S.W.3d 450
    , 458 (Tenn. 2001); Burns v. State, 
    6 S.W.3d 453
    ,
    461 (Tenn. 1999). To establish a claim of ineffective assistance of counsel, the petitioner has the
    burden to show both that trial counsel’s performance was deficient and that counsel’s deficient
    performance prejudiced the outcome of the proceeding. Strickland v. Washington, 
    466 U.S. 668
    ,
    687, 
    104 S. Ct. 2052
    , 2064 (1984); see State v. Taylor, 
    968 S.W.2d 900
    , 905 (Tenn. Crim.
    App.1997) (noting that same standard for determining ineffective assistance of counsel that is
    applied in federal cases also applies in Tennessee cases). The Strickland standard is a two-prong
    test:
    First, the defendant must show that counsel’s performance was deficient. This
    requires showing that counsel made errors so serious that counsel was not
    functioning as the “counsel” guaranteed the defendant by the Sixth Amendment.
    Second, the defendant must show that the deficient performance prejudiced the
    defense. This requires showing that counsel’s errors were so serious as to deprive the
    defendant of a fair trial, a trial whose result is reliable.
    -14-
    466 U.S. at 687, 104 S. Ct. at 2064.
    The deficient performance prong of the test is satisfied by showing that “counsel’s acts or
    omissions were so serious as to fall below an objective standard of reasonableness under prevailing
    professional norms.” Goad v. State, 
    938 S.W.2d 363
    , 369 (Tenn. 1996) (citing Strickland, 466 U.S.
    at 688, 104 S. Ct. at 2065; Baxter v. Rose, 
    523 S.W.2d 930
    , 936 (Tenn. 1975)). The prejudice prong
    of the test is satisfied by showing a reasonable probability, i.e., a “probability sufficient to undermine
    confidence in the outcome,” that “but for counsel’s unprofessional errors, the result of the proceeding
    would have been different.” Strickland, 466 U.S. at 694, 104 S. Ct. at 2068. In the context of a
    guilty plea, the petitioner must show a reasonable probability that were it not for the deficiencies in
    counsel’s representation, he would not have pled guilty but would instead have insisted on
    proceeding to trial. Hill v. Lockart, 
    474 U.S. 52
    , 59, 
    106 S. Ct. 366
    , 370 (1985); House v. State, 
    44 S.W.3d 508
    , 516 (Tenn. 2001).
    Because both prongs of the test must be satisfied, a failure to show either deficient
    performance or resulting prejudice results in a failure to establish the claim. See Henley, 960 S.W.2d
    at 580. For this reason, courts need not approach the Strickland test in a specific order or even
    “address both components of the inquiry if the defendant makes an insufficient showing on one.”
    466 U.S. at 697, 104 S. Ct. at 2069; see also Goad, 938 S.W.2d at 370 (stating that “failure to prove
    either deficiency or prejudice provides a sufficient basis to deny relief on the ineffective assistance
    claim”).
    The petitioner first argues that trial counsel was ineffective for failing to properly advise him
    of the maximum possible sentence he would receive if convicted of all counts of the indictment at
    trial. He asserts that trial counsel’s prediction of a possible 108-year sentence was erroneous and
    unrealistic and that it influenced him into accepting the plea agreement. The post-conviction court
    made the following findings and conclusions with respect to this claim:
    The petitioner asserts that [trial counsel] told him he was facing a possible maximum
    sentence of 108 years. [Trial counsel] stated that he would always tell his clients
    what the maximum theoretical sentence could be, along with what he thought was a
    more probable result if convicted. He testified that he told the petitioner if he were
    convicted of the offenses, he was more likely to receive an effective sentence of
    somewhere between thirty and fifty years.
    When there exists some conflict in testimony, the credibility and weight of
    witnesses’ testimony is to be resolved by the post-conviction court. Black v. State,
    
    794 S.W.2d 752
    , 755 (Tenn. Crim. App. 1990). Considering the professionalism,
    experience and legal knowledge of [trial counsel], the Court tends to favor his
    testimony over that of the petitioner. Furthermore, this sort of educated guesswork
    is often done by defense attorneys in rendering professional opinions of possible
    outcomes of criminal cases. This issue is without merit.
    -15-
    We conclude that the record supports these findings and conclusions of the post-conviction
    court. Trial counsel explained that he always informed his clients of the theoretical maximum
    sentence but also gave them his best professional opinion as to the most probable sentence. In this
    case, he specifically told the petitioner, and put in writing, his belief that the most probable sentence
    the petitioner would receive if convicted at trial would be one in the range of thirty to forty years,
    which would mean that he would spend the rest of his effective life in prison. This information is
    reflected in the lengthy January 5, 1999, letter trial counsel sent to the petitioner, explaining the
    ramifications of the proposed guilty plea agreement:
    You and I have discussed this on numerous occasions. I feel that I could
    successfully defend the rape charge, given the weakness of that allegation and your
    strong denial that it ever occurred. It is conceivable that we could defeat the earliest
    allegation. Thus, there is a possibility of an acquittal in as many as two of the
    victims. However, I do not believe, in my best professional opinion, that I could
    successfully defend all four cases.
    Given the strength of the evidence against you, I feel that a conviction on at
    least two counts or more is significant. This could result in sentences at least as great
    as you are accepting in this plea agreement with a significant probability of sentences
    as high as 30 or 40 years. For a variety of reasons, I believe that any convictions
    against you in a jury trial would run consecutively and could result in your
    confinement for the rest of your meaningful life.
    During cross-examination, trial counsel testified that his professional opinion of the “worst
    case probable scenario,” of which he informed the petitioner, was that the petitioner would be
    convicted of four counts of aggravated sexual battery and that the trial judge would run each sentence
    based on a different victim consecutively, for a total of approximately forty-eight years. The
    petitioner cites this testimony to argue that the post-conviction court “should have found that trial
    counsel advised [the petitioner] that [he] would receive an effective sentence of 48 to 50 years or
    more.” This view, however, ignores trial counsel’s direct examination testimony, as well as the
    information he conveyed to the petitioner by letter, recited above, about having informed the
    petitioner of the “most probable” sentence he would receive and why.
    In the context of this claim, the petitioner also argues that trial counsel was deficient for
    failing to recognize and advise the petitioner “of the effect of the multiplicitous indictment returned
    against him,” and for assuming that the petitioner would receive enhanced and consecutive
    sentencing. Trial counsel, however, made it clear that he thought it very unlikely, as he informed
    the petitioner, that the petitioner would be convicted on every one of the counts contained in the
    indictment. In his letter to the petitioner, trial counsel offered sound rationales for his belief that the
    petitioner’s status as a physician, as well as the enhanced vulnerability of the victims because they
    were suffering from severe physical disabilities, would result in the application of several
    enhancement factors to the petitioner’s sentence. The petitioner has failed to show that trial counsel
    was deficient in his representation in this respect or that he would not have pled guilty had it not
    -16-
    been for counsel’s alleged misinformation. Accordingly, we conclude that the petitioner is not
    entitled to relief on the basis of this claim.
    The petitioner next argues that trial counsel was ineffective for failing to properly investigate
    the allegations contained in the indictment. Specifically, he argues that trial counsel was deficient
    for not having him undergo an independent psychiatric evaluation and that he was prejudiced as a
    result because he would not have entered into the plea agreement had he known about the possible
    defenses and mitigating circumstances associated with his diagnosis of voyeurism.
    In denying relief on the basis of this claim, the post-conviction stated, in pertinent part:
    The psychiatric evaluations conducted both before and after conviction, along
    with the petitioner’s statements, revealed that he was suffering from a condition
    involving sexual deviance. Dr. Berlin even stated in the evidentiary hearing on the
    Petition for Post-Conviction Relief that a person suffering from voyeurism
    “experiences intense recurrent erotically arousing, that’s sexually arousing fantasies
    and urges about looking at an unsuspecting, naked stranger.” . . . Testimony proving
    the existence of such a disorder within the petitioner which spurs sexual fantasy and
    arousal, in conjunction with the facts of the case, lead the Court to believe that a jury
    could have reasonably construed the touching by the petitioner as being for the
    purpose of sexual arousal or gratification.
    Furthermore, [trial counsel] testified that his main concerns were whether the
    petitioner was competent to stand trial in the matter and whether there existed any
    defenses in that respect. The psychiatric evaluation conducted by Dr. R[a]gan
    concluded that the petitioner was competent, but there was some mental illness
    involving sexual deviance. However, [trial counsel] opined that there was an
    insufficient foundation upon which a mental health defense could be based.
    Furthermore, he stated that such a defense would be quite dangerous, as they can be
    “fraught with disaster.” Due to the fact that the petitioner had made an inculpatory
    statement, coupled with the accusations made by the victims, [trial counsel] found
    the case to be difficult to defend.
    It is not the Court’s function to “‘second guess’ tactical and strategic choices
    pertaining to defense measures or to measure a defense attorney’s representation by
    ‘20-20 hindsight.’” Henley v. State, 
    960 S.W.2d 572
    , 579 (Tenn. 1997) (quoting
    Hellard v. State, 
    629 S.W.2d 4
    , 9 (Tenn. 1982)). Based on [trial counsel’s] testimony
    and his professional assessment of the damaging evidence against the petitioner, the
    Court is of the opinion that his legal representation in this regard was adequate. This
    issue is without merit.
    The record fully supports the findings and conclusions of the post-conviction court. When
    reviewing a claim of ineffective assistance of counsel, we are mindful that we must indulge a strong
    -17-
    presumption that counsel’s conduct fell within the range of reasonable professional assistance, see
    Strickland, 466 U.S. at 690, 104 S. Ct. at 2066, and may not second-guess the tactical and strategic
    choices made by counsel unless those choices were uninformed because of inadequate preparation.
    See Hellard, 629 S.W.2d at 9. Trial counsel, an experienced and very competent criminal defense
    attorney, testified that he did not pursue a psychiatric defense because, in his professional opinion,
    the information uncovered by Dr. Ragan hurt rather than helped the petitioner’s case. He fully
    explained his reasoning, testifying that the things Dr. Ragan told him about the petitioner supported
    the State’s case. Dr. Ragan informed him, for example, that the petitioner engaged in high risk
    activities to stimulate himself, was sexually fascinated with the bodies of young girls, and had
    married an Asian woman because she looked like a young girl. Dr. Ragan never distinguished
    between the petitioner’s interest in looking as opposed to touching, and the petitioner admitted to
    trial counsel that he had performed medical examinations on the victims.
    Even if the petitioner had been diagnosed with voyeurism in 1999, we fail to see that it would
    have been helpful to his defense. For the purposes of this case, the offense of aggravated sexual
    battery is “unlawful sexual contact with a victim by the defendant or the defendant by a victim”
    when “[t]he victim is less than thirteen (13) years of age.” Tenn. Code Ann. § 39-13-504(a)(4) (1997
    & 2006). “‘Sexual contact’ includes the intentional touching of the victim’s . . . intimate parts, or
    the intentional touching of the clothing covering the immediate area of the victim’s . . . intimate
    parts, if that intentional touching can be reasonably construed as being for the purpose of sexual
    arousal or gratification.” Id. § 39-13-501(6). As the post-conviction court noted in its order, this
    court has previously rejected similar arguments from other defendants based on the fact that the
    statute requires only intentional touching that can be reasonably construed as being for the purposes
    of sexual gratification. See State v. Wesley Earl Brown, No. M2003-02804-CCA-R3-CD, 
    2005 WL 1412088
    , at *6 (Tenn. Crim. App. June 16, 2005), perm. to appeal denied (Tenn. Dec. 5, 2005); State
    v. Roy Chisenhall, No. M2003-00956-CCA-R3-CD, 
    2004 WL 1217118
    , at *3 (Tenn. Crim. App.
    June 3, 2004). The petitioner’s statement to police, in which he admitted that he was sexually
    attracted to adolescent girls and had given examinations to the victims, who were not his patients,
    would be more than enough for a jury to reasonably conclude that the petitioner touched the victims
    for the purpose of sexual arousal or gratification.
    The petitioner additionally argues that trial counsel was deficient, thereby depriving the
    petitioner of the ability to enter knowing and voluntary guilty pleas, by the fact trial counsel did not
    retain an investigator, interview eyewitnesses, have an expert analyze the videotape purporting to
    show the petitioner on the victims’ hospital floor, or procure school, medical, legal or other records
    of the petitioner, victims, or other witnesses in the case. Trial counsel, however, testified that he
    received adequate discovery from the assistant district attorney, including information about the
    victims, and that he investigated the case to the best of his ability by reviewing the evidence and
    holding conversations with the petitioner, the assistant district attorney, and the petitioner’s
    psychiatrist. The petitioner has not met his burden of showing that trial counsel was deficient in his
    investigation or that he would not have pled guilty were it not for counsel’s alleged deficiencies in
    this regard. We conclude, therefore, that the petitioner is not entitled to relief on the basis of this
    claim.
    -18-
    The petitioner next argues that trial counsel was ineffective for failing to properly advise him
    about the impact of the unavailability of two of the victims. He notes that two of the victims are now
    deceased, one having died on January 26, 2000, and the other on September 19, 2000, and asserts
    that, given the serious health conditions of all four victims, “[i]t is likely that none of the victims
    could have testified at trial.” He contends that had trial counsel informed him that the victims’
    statements to police could not be used against him if they were unavailable to testify at trial, he
    would not have rushed to enter the plea agreement but instead would have insisted on proceeding
    to trial.
    The post-conviction court made the following findings and conclusions with respect to this
    claim:
    From the proof adduced in this case, it is apparent that all of the victims were
    alive prior to the petitioner’s conviction. As previously mentioned, [the assistant
    district attorney] had voiced her concern for trying the matter as soon as possible so
    that all of the victims would be available, either for testifying in person at trial or
    being deposed prior thereto. The petitioner’s assertion in this particular facet of the
    case is rather speculative and unfounded. Because the petitioner has failed to prove
    such allegation by clear and convincing evidence, this issue is without merit.
    The record supports the findings and conclusions of the post-conviction court. Trial counsel
    testified that the prosecutor was very conscious of the precarious health of at least one of the victims
    and expressed her intention of either taking the victims’ depositions or expediting the case to trial.
    There is nothing in the record to show that either could not have occurred. The petitioner has not
    met his burden of showing that counsel was deficient in this respect or that he would not have pled
    guilty were it not for counsel’s alleged deficiency in failing to inform him of the impact of the
    potential unavailability of the victims at trial. We conclude, therefore, that the petitioner is not
    entitled to relief on the basis of this claim.
    The petitioner next argues that trial counsel was deficient for failing to advise him of the trial
    court’s inability under Blakely v. Washington, 
    542 U.S. 296
    , 
    124 S. Ct. 2531
     (2004), to enhance his
    sentences based on factors not admitted by the petitioner or found by the jury. The post-conviction
    court rejected this claim, noting, among other things, that Blakely was not released until 2004, over
    five years after the entry of the petitioner’s guilty pleas. We agree that the petitioner has not shown
    that trial counsel was deficient for failing to anticipate the holding in Blakely. We conclude,
    therefore, that the petitioner is not entitled to relief on the basis of this claim.
    Lastly, the petitioner argues that the cumulative effect of trial counsel’s alleged deficiencies
    in representation warrants that he be afforded post-conviction relief. We respectfully disagree.
    -19-
    CONCLUSION
    We conclude that due process concerns require that the statute of limitations be tolled under
    the unique circumstances presented by this case. We further conclude that the petitioner has not met
    his burden of showing that he received ineffective assistance of trial counsel. Accordingly, we
    affirm the denial of his petition for post-conviction relief.
    ___________________________________
    ALAN E. GLENN, JUDGE
    -20-