DocketNumber: CC 04C46224; SC S059519
Judges: Muniz, Balmer, Walters, De Muniz Durham, De Muniz, Durham
Filed Date: 11/21/2011
Status: Precedential
Modified Date: 10/19/2024
This matter comes to this court on a “request” that it enforce, on its own motion, an alternative writ of mandamus that it previously issued in connection with Gary Haugen’s death warrant proceeding. After that writ issued, this court determined that it had been complied with, and then sua sponte dismissed it. The request to now enforce the dismissed writ is premised on an assertion that the trial court did not comply with the writ. The request is filed by Oregon Capital Resource Center (OCRC), an organization that, when it attempted to participate in the earlier mandamus proceeding, failed to establish any right or authority to do so.
We begin by describing the procedural posture in which OCRC’s request arises. We then turn to the contrary arguments advanced by OCRC and the contrary legal analysis urged by the dissenting members of the court.
I. BACKGROUND
This court affirmed Haugen’s aggravated murder conviction and death sentence. State v. Haugen, 349 Or 174, 243 P3d 31 (2010). Judge Guimond, who had been the trial judge, then held a hearing on whether to issue the death warrant. Haugen was represented at the hearing by two lawyers, Simrin and Goody. Before the hearing, Haugen had made clear his desire to waive all further challenges to his conviction and sentence. Simrin and Goody, however, believed that Haugen was not competent to be executed. They filed a motion to declare Haugen incompetent, supported by Goody’s
At the hearing, before considering Simrin and Goody’s motion, Judge Guimond received a letter from Haugen, asking him to remove Simrin and Goody as his lawyers and to permit him to proceed pro se. Simrin and Goody objected to being removed as Haugen’s lawyers, arguing that Judge Guimond had to hold a so-called “Faretta” hearing before accepting Haugen’s waiver of counsel and permitting him to go forward without representation; Simrin and Goody urged that Lezak’s evaluation was relevant and necessary to that issue.
After the death warrant issued, OCRC filed a petition for a writ of mandamus contending that the trial court
This court concluded that OCRC had not made the necessary showing that it had any legal authority to bring the proceeding on Haugen’s behalf. The court further concluded, however, that Simrin and Goody, as Haugen’s former lawyers, had authority to challenge Haugen’s competency to discharge them. We therefore construed Simrin and Goody’s letter as a petition for an alternative writ challenging certain findings, rulings, and orders that Judge Guimond had entered, including the order discharging Simrin and Goody without adequate procedures to determine Haugen’s competence to waive counsel and proceed pro se. Having so construed Simrin and Goody’s letter, this court issued an alternative writ of mandamus directed to Judge Guimond.
In the order issuing the writ, the court described the state of the record at that point — Simrin and Goody had obtained Lezak’s evaluation, Lezak had concluded Haugen was not competent to be executed, and Simrin and Goody had sought an evidentiary hearing on the issue of Haugen’s competency, which Judge Guimond had denied. Given those facts, this court concluded that Judge Guimond had been obligated to follow certain statutory procedures — ones that he had not followed — before discharging Simrin and Goody and allowing Haugen to proceed pro se. In particular, the court noted, ORS 137.464 provides that, at a death warrant hearing, if a defendant wishes to waive his or her right to counsel and the trial court has “substantial reason to believe
“1. Pursuant to ORS 137.464, order that the Oregon Health Authority or its designee perform an assessment of the defendant’s mental capacity to engage in reasoned choices of legal strategies and options;
“2. Pursuant to ORS 137.463(3) and (4), after completion of the assessment by the Oregon Health Authority or its designee and any other inquiry you deem appropriate, and before issuing a death warrant, hold an evidentiary hearing and
“a. permit Simrin and Goody to offer evidence pertinent to defendant Haugen’s mental capacity to make a competent, knowing, and voluntary waiver of his rights and to the question of whether defendant is competent for the purposes of being executed;
“b. advise defendant Haugen that he is entitled to counsel in any post-conviction proceeding and that counsel will be appointed if the defendant is financially eligible for appointed counsel at state expense;
“c. determine whether defendant [Haugen] wishes to waive counsel, and whether that waiver is competent, knowing, and voluntary;
“d. make findings on the record whether defendant Haugen suffers from a mental condition that prevents Haugen from comprehending the reasons for the death sentence and its implication; and
“e. determine whether defendant Haugen intends to pursue any challenges to the sentence or conviction and, if not, advise defendant Haugen of the consequences and make a finding on the record whether the defendant competently, knowingly, and voluntarily waives the right to pursue available challenges to his death sentence.”
This court responded to Haugen by letter, advising him that the case had been returned to the circuit court, where further proceedings were to be conducted. The court informed Haugen that copies of his letters raising his objections would be provided to Judge Guimond. The court’s letter also acknowledged Haugen’s request to have separate counsel appointed to represent him on “medical records and other issues.” The letter advised Haugen that copies of his letters would be forwarded to the Office of Public Defense Services for “their consideration and further action as warranted.” The court’s letter so advising Haugen was copied to, among others, Judge Guimond and all counsel involved, including Simrin and Goody.
Meanwhile, Judge Guimond opted to comply with the writ rather than show cause for not doing so. Judge Guimond promptly reinstated Simrin and Goody as Haugen’s counsel. He also directed the Oregon Health Authority to assess Haugen’s competence. Finally, he scheduled an evidentiary hearing to determine Haugen’s competence, to be held after that evaluation was completed.
On July 14, 2011, Haugen notified Judge Guimond that he wanted Simrin and Goody to be removed as his counsel. Haugen did not, however, ask to proceed pro se. Instead,
On July 15, 2011, Simrin and Goody filed a second petition for a writ for mandamus, challenging Judge Rhoades’s decision to remove them as Haugen’s counsel and to substitute different counsel in their place. This court denied that petition three days later.
On August 5, 2011, this court on its own motion dismissed the alternative writ that had issued on June 29,2011, directing Judge Guimond to take particular actions in connection with the death warrant proceedings. The court did so, reciting that Judge Guimond had notified the court that he would comply with the alternative writ and that, “[fjrom our review of [the] OJIN [register] entries, it appears that Judge Guimond has taken the actions necessary to comply with that writ.” As noted, Judge Guimond had vacated his earlier orders and had taken certain other actions directed by the writ. The evidentiary hearing that the writ contemplated, although scheduled, had not yet occurred when that dismissal order issued. Neither the parties to the writ proceeding nor OCRC objected to the writ’s dismissal, however.
After substitute counsel were appointed to represent Haugen, Dr. Hulteng was selected to perform the evaluation of Haugen on behalf of the Oregon Health Authority. Hulteng performed that evaluation and submitted his assessment that Haugen is competent. Judge Guimond then held a hearing at which the lawyers for the parties were permitted to
II. COMPLIANCE WITH THE WRIT
A. OCRC’s Request and Status
On October 17, 2011, OCRC filed the “request” that brings this matter before the court. OCRC’s specific request is for “this court and/or the Chief Justice to act on its own motion and issue an order enforcing [the] alternative writ of mandamus.”
The threshold problem with OCRC’s request is that it is made by OCRC, rather than by a party with a demonstrated interest in the proceeding. In the order issuing the alternative writ of mandamus, we stated that “OCRC has not made the necessary showing of legal authority to bring this proceeding on behalf of Haugen under ORS 34.105(4).” We concluded that Simrin and Goody had authority to seek mandamus, because the trial court had permitted Haugen to discharge them and proceed pro se without first holding a hearing to determine his competence to do so. In its request to now enforce the writ of mandamus, OCRC has not offered any additional reason why it was entitled in that original petition to seek mandamus on Haugen’s behalf. If OCRC
For present purposes, however, we assume that this court, having dismissed the writ on its own motion, could reinstate the writ on its own motion, if the dismissal had been issued by mistake or in error. And we assume further that, although OCRC has not established any authority to make the request that it makes, we are not precluded from considering its arguments in determining whether to act on our own motion. We look past those potential issues because the trial court fully complied with the writ.
B. Judge Guimond’s Actions after the Writ Issued
We have already quoted the writ, at length and verbatim. The operative directives were straightforward in what they required. As pertinent here, the terms of the June 29, 2011, alternative writ stated four directives to Judge Guimond: to vacate certain findings and orders; to order the Oregon Health Authority or its designee to conduct an assessment of defendant Haugen’s competence; to hold a hearing to determine Haugen’s competence after receiving that assessment; and to permit Haugen’s counsel at that hearing to offer evidence bearing on Haugen’s competence.
Judge Guimond has complied with those directives. In particular, he
• vacated his earlier orders and, in doing so, reinstated Simrin and Goody as Haugen’s counsel;
• ordered the Oregon Health Authority to perform an assessment of Haugen’s mental capacity pursuant to ORS 137.464, which Hulteng then performed;
• held an evidentiary hearing to determine Haugen’s mental capacity before issuing a death warrant; and
• permitted Haugen’s counsel at that hearing to offer further evidence pertinent to Haugen’s mental capacity.
Those were the actions that the writ contemplated. When this court dismissed the writ on August 5 after concluding that it had been complied with, the evidentiary
Our dismissal of the writ was correct when it issued on August 5. It remains correct now. The writ required Judge Guimond to take the steps outlined above, which he had committed to doing when the dismissal occurred, and which he has since done. Judge Guimond followed through on all procedural actions that our writ required. No further enforcement of the writ is necessary or appropriate.
III. THE ARGUMENTS TO THE CONTRARY
We turn to the arguments to the contrary advanced by OCRC and the two dissenting opinions. Those arguments center on three issues: (1) whether our writ commanded that Simrin and Goody have a role in the death warrant proceedings regardless of their status as Haugen’s lawyers; (2) whether our writ commanded that Lezak’s opinion on Haugen’s competency be considered by Judge Guimond regardless of whether any party to the proceeding offered it in evidence; and (3) whether the evidentiary hearing held by Judge Guimond comported with due process requirements. We address those issues in turn. Although we ultimately disagree with the conclusions reached in the dissenting opinions, we do so with respect for the legal analyses that are offered in those opinions and for the views of the members of the court who have authored and have joined them.
Both dissenting opinions argue that Judge Guimond failed to comply with this court’s writ because he did not have Simrin and Goody present evidence regarding Haugen’s competency at the evidentiary hearing conducted after issuance of the writ. The dissents rely on the fact that the writ referred to Simrin and Goody by name. Their position in that regard, however, fails to take into account (a) the context in which the writ issued; (b) the text of the writ itself; (c) the proceedings in the trial court and this court following the June 29, 2011, writ; and (d) the events that did and did not transpire at the post-writ evidentiary hearing held by Judge Guimond.
First, the court issued the writ because it concluded that Simrin and Goody’s status as Haugen’s “stand by” counsel after the trial court had allowed Haugen to discharge them permitted them to take — or at least did not prohibit them from taking — “any legal action to challenge Haugen’s competency to discharge them.” Accordingly, we construed Simrin and Goody’s letter to the court as a petition for an alternative writ of mandamus and, on that basis, issued the writ. Simrin and Goody thus were not lawyers who were strangers to the case petitioning to participate in the proceedings; rather, as our order explained, they were Haugen’s recently discharged counsel — now serving as “stand by” counsel for him in the death warrant proceeding at issue. Moreover, Haugen had just been found by the trial court to be competent (without the trial court having the benefit of expert testimony), had waived his rights to further challenges to his sentence, and had been given an execution date — all at a hearing in which he was not represented by counsel. For those reasons (among others), we issued the June 29 writ directing Judge Guimond to vacate his earlier rulings, to order an examination by the Oregon Health Authority, and to hold an evidentiary hearing pursuant to the procedures prescribed by ORS 137.463 and ORS 137.464.
It was in that context that we directed Judge Guimond to “permit Simrin and Goody to offer evidence pertinent to defendant Haugen’s [competence].” Nothing in the court’s order issuing the writ conferred any special “ombudsman,” “next friend,” or similar status on Simrin and Goody.
Second, the text of the writ itself stated that the trial court should “permit” Simrin and Goody to offer evidence pertaining to Haugen’s mental state. The writ conferred no right on them to appear in any capacity other than as Haugen’s counsel. It did not require Judge Guimond to permit them, as opposed to other counsel for Haugen, to appear at the hearing. The writ did not require Simrin and Goody to offer any evidence. It did not require Simrin and Goody to offer, or the trial court to admit, any particular evidence, including the Lezak affidavit.
If there were any question about Simrin and Goody’s role as contemplated by the June 29 writ, that question is answered by events that occurred following the issuance of the writ. As we have noted, Haugen wrote this court asserting that Simrin and Goody had a conflict of interest with him, had not advised him adequately in connection with Lezak’s evaluation, and had disclosed Lezak’s opinion in violation of his claims of privilege and confidentiality. Haugen requested independent counsel on the “medical and other issues” if this court concluded he could not object to disclosure of Lezak’s opinion. This court did not treat those issues as resolved by the writ. Instead, this court referred Haugen’s objections to the circuit court, and forwarded his request for independent counsel on those issues to the appropriate appointing entity. Haugen then moved for a substitution of counsel at the circuit court level. Judge Rhoades held a hearing on Haugen’s motion, determined that Simrin and Goody had a conflict of interest, and removed Simrin and Goody. Judge Rhoades also appointed Scholl and Gorham to represent Haugen. Simrin and Goody filed a mandamus petition seeking reversal of the order, and this court — unanimously—denied that petition on July 18, 2011.
This court was aware that those events had taken place on August 5, when it determined on its own motion that Judge Guimond had complied with the writ and dismissed it. If this court had viewed the June 29 writ as requiring Simrin
Finally, what occurred at the post-writ evidentiary hearing itself demonstrates that no one, including Simrin and Goody, interpreted the writ as mandating that they appear personally and present evidence on Haugen’s competency, regardless of their status. At that hearing, Haugen was represented by counsel; he did not appear pro se, as he had in the initial death warrant hearing that led to issuance of our writ. Judge Guimond did not find Haugen to be competent based solely on his own colloquy with Haugen, as happened in the initial death warrant hearing. Instead, Judge Guimond also relied on the evidence presented by the parties at the evidentiary hearing, as our writ required. The evidence both parties chose to present was Hulteng’s evaluation — which was the expert evaluation contemplated by the statutory procedure that our writ ordered Judge Guimond to invoke. Simrin and Goody did not appear at the hearing, did not seek to participate, and did not offer evidence. Their inaction at least suggests that they, too, understood the writ to be
B. The Lezak Affidavit
In urging that the writ must be enforced because Judge Guimond has not complied with it, OCRC’s arguments rest principally on the assertion that the writ required Judge Guimond to consider Lezak’s evaluation in making the competency determination. The dissenting opinions agree. Our writ, however, did not order Judge Guimond to do so.
To state the obvious first: the text of the June 29 writ does not direct Judge Guimond to consider the Lezak affidavit. Had this court concluded that a reliable determination of Haugen’s competence could not be made without evidence of Lezak’s expert opinion, it would have directed Judge Guimond specifically to consider the Lezak affidavit, in terms that expressed that obligation. The writ, however, contained no such directive. Insofar as Lezak’s opinion of Haugen’s mental competency in particular was concerned, the writ did not refer to it at all in the directives issued to Judge Guimond.
As events transpired, Simrin and Goody were replaced by Scholl and Gorham because Simrin and Goody had a conflict of interest with Haugen. Scholl, as Haugen’s lead counsel, independently assessed the evidence on Haugen’s competency, the legal issues involved, and his own ethical obligations to his client. Scholl properly did not consider himself bound to pursue whatever legal strategies and positions Simrin and Goody had pursued, as opposed to assessing those matters anew. Scholl decided to rely on Hulteng’s evaluation, which was the expert evaluation contemplated by the statutory procedure that our writ ordered Judge Guimond to follow. Scholl specifically decided not to submit the Lezak affidavit at the evidentiary hearing.
The dissenting opinions question how a majority of this court can now conclude that Judge Guimond complied with this court’s writ, when Simrin and Goody did not participate in the hearing and the Lezak affidavit was not considered. The reasons we have set forth above answer their question: Simrin and Goody presumably (and correctly) understood that, once they had been replaced as counsel by Judge Rhoades (with this court unanimously declining to vacate that action), they had no role to play in the hearing; they did not seek to appear at or participate in the hearing or to introduce the Lezak affidavit; and nothing in the order required Judge Guimond to sua sponte consider the Lezak affidavit.
C. The Evidentiary Hearing on Haugen’s Competency
As noted, after Hulteng performed his evaluation of Haugen as the designee for the Oregon Health Authority, Judge Guimond held an evidentiary hearing to determine Haugen’s competency. At that hearing, Haugen was represented by Scholl and Gorham, rather than by Simrin and Goody. As required by our June 29 writ, Judge Guimond permitted Scholl and Gorham, as Haugen’s counsel, “to offer evidence pertinent to defendant Haugen’s [competence],” and they did so. As already described, Scholl, as Haugen’s lead counsel, decided not to offer the Lezak affidavit; he relied on Hulteng’s expert evaluation instead. Judge Guimond was presented with both Hulteng’s written report and his testimony. Both parties examined Hulteng about his conclusions. No one has come to this court — including OCRC — challenging Hulteng’s credentials, the thoroughness of his evaluation, or even his expert opinion. Judge Guimond made findings of fact based on the evidence so presented and concluded that Haugen was competent.
To the extent that OCRC and the dissents argue that the United States Supreme Court’s decisions in Panetti v. Quarterman, 551 US 930, 127 S Ct 2842, 168 L Ed 2d 662 (2007), and Ford v. Wainwright, 477 US 399, 106 S Ct 2595, 91 L Ed 2d 335 (1986), require a different result, they read those cases for more than they hold. Those cases stand for the principle that, when a prisoner seeks a stay of execution and makes a “substantial threshold showing of insanity,” due process requires that the state provide the prisoner with a hearing at which both the prisoner and the state are free to put on evidence. Panetti, 551 US at 949-50 (summarizing Justice Powell’s opinion concurring in part and concurring in the judgment in Ford).
This court’s June 29 writ commanded Judge Guimond to take four actions pertinent here. He was to vacate certain findings and orders; to order the Oregon Health Authority or its designee to conduct an assessment of defendant Gary Haugen’s competence; to hold a hearing to determine Haugen’s competence after receiving that assessment; and to permit Haugen’s counsel at that hearing to offer evidence bearing on Haugen’s competence. Four members of this court so understood the writ in voting to issue it; four members of this court so understand it still. A fortiori, those are the writ’s terms. Judge Guimond has complied with those directives.
The writ set out the directives described above. It did not require that particular evidence be provided to or considered by Judge Guimond, and it did not direct Judge Guimond to consider the Lezak affidavit regardless of whether Haugen’s lawyers offered it in evidence. The writ did not give Simrin and Goody a personal right or legal role entitling them to present evidence on Haugen’s competence — their status was, and is, that of former lawyers for Haugen who have been discharged due to a conflict of interest and replaced by other duly appointed counsel. The writ did not preempt Haugen’s counsel from choosing what evidence to offer at the evidentiary hearing based on their assessment of the evidence, the law, and their ethical responsibilities to their client. The adversarial process would be ill-served were we to prevent Haugen’s lawyers from making those choices, or were we to take action to override or circumvent those choices. We did not do so in issuing the writ, and we decline to do so now, on our own motion, by enforcing the writ on revised terms.
Our conclusion that Judge Guimond has complied with the writ, of course, does not make this case any less fraught or sobering. We agree with the dissenting opinions that, as this court and the United States Supreme Court have said, “death is different.” Woodson v. North Carolina, 428 US 280, 305, 96 S Ct 2978, 49 L Ed 2d 944 (1976); State v. Haugen, 349 Or 174, 203, 243 P3d 31 (2010). And we agree that the procedures established by the legislature that can
The request submitted by Oregon Capital Resources Center to enforce the June 29, 2011, writ is denied.
Specifically, this court concluded that OCRC had not made the necessary showing of legal authority to bring the action under ORS 34.105 to 34.320. In particular, under ORS 34.105(4), a relator in a mandamus proceeding must he “the beneficially interested party on whose relation” the proceeding is brought. OCRC brought the petition alleging Haugen to be the relator, while also acknowledging that it did not represent Haugen. The court decided that OCRC had not made the necessary showing of legal authority to bring the proceeding on Haugen’s behalf.
A “Faretta” hearing refers to ahearingcomportingwithFareiiau. California, 422 US 806, 95 S Ct 2525, 45 L Ed 2d 562 (1975), in which the United States Supreme Court articulated the test for a valid waiver of the Sixth Amendment right to counsel. See generally State v. Meyrick, 313 Or 125, 831 P2d 666 (1992) (discussing requirements of inquiry into a defendant’s exercise of the right to waive counsel under both state and federal constitution). This court has explained that a colloquy on the record between the court and a defendant in which the court, “in some fashion, explains the risks of self-representation” is generally the preferred means of assuring that the defendant understands those risks. Meyrick, 313 Or at 133-34. Simrin and Goody did not cite or otherwise refer to the procedures under ORS 137.464, which, as we later explain, apply at a death warrant hearing in which the defendant wants to waive counsel and there is a substantial question about the defendant’s mental capacity to represent himself or herself adequately.
What we describe as a single hearing was held on September 27, 2011, and October 7, 2011, and encompassed proceedings relevant to both the evidentiary hearing on competency, as well as other proceedings required as part of the death warrant hearing.
When OCRC filed the request for this court to enforce the writ, Judge Guimond had not signed a death warrant setting the date of Haugen’s execution. Judge Guimond, on November 18, 2011, did so. Haugen’s execution is now scheduled for December 6, 2011.
The fact that a writ of mandamus has been complied with does not mean that this court has no authority to direct further or different actions on the official’s part based on circumstances that may arise after a writ issues. But for the court to have that authority requires a further petition for a writ of mandamus, one addressed to any further or different actions to he ordered and to the official’s legal duty to perform them. And that petition must be brought by someone who makes the necessary showing of interest to bring it. No one has come before the court seeking a new or further writ of mandamus. OCRC’s request is limited to a claim that the trial court did not comply with the writ that the court issued on June 29. Our disposition is limited to a denial of that request.
Justice Walters suggests that this court denied the mandamus petition that Simrin and Goody filed to challenge their removal as counsel and the substitution of Scholl and Gorham, assuming that Scholl and Gorham would take the same positions in representing Haugen (including introducing evidence that he was not competent) as Simrin and Goody had. Nothing in the record supports that assertion, and the court took no official action consistent with it. As discussed elsewhere in this opinion, this court does not and should not purport to control the choices made by counsel in representing their clients. We did not do so here.
Worth noting is that OCRC does not dispute the propriety of removing Simrin and Goody based on their conflict of interest with Haugen. Nor does OCRC, unlike the dissenting members of this court, assert that Simrin and Goody, once they were removed as Haugen’s lawyers and different counsel were appointed to represent Haugen, had any proper role to play at the evidentiary hearing held pursuant to our writ.
The order issuing the June 29 writ, as opposed to the writ itself, discussed Lezak’s opinion and relied, in part, on Simrin and Goody’s attempt to present that evidence to Judge Guimond. The significance of Lezak’s opinion to the issuance of the writ was that Simrin and Goody’s attempt to offer evidence of her opinion at the initial death warrant hearing triggered Judge Guimond’s obligation under ORS 137.464 to order an evaluation by the Oregon Health Authority and to hold an evidentiary hearing afterwards. Our writ concerned only what procedures Judge Guimond was required to follow. The dissenters view this court as having decided what evidence should be offered and considered by Judge Guimond in following the required procedures, but that was not an issue before us or one that we could have or should have resolved, given the limitations of our record and the procedural posture of the case. We did not address or resolve that issue when we issued the writ.
In response to OCRC’s request to enforce our writ, Scholl, as Haugen’s lead counsel, has submitted an affidavit explaining his decision. Scholl knows Hulteng’s work well, having worked with and against him on many different cases. Scholl was present during Hulteng’s evaluation interviews of Haugen, and Hulteng allowed Scholl to question him and Haugen during the evaluation. In addition, Hulteng allowed Scholl to record the interviews by filming them. Based on his knowledge of Hulteng’s work, Scholl considers Hulteng “a fair evaluator and a knowledgeable * * * expert.” With regard to Hulteng’s assessment of Haugen’s mental competence specifically, Hulteng “is credible and unbiased in [Scholl’s] opinion.” Scholl states that, “[i]n the end, Dr. Hulteng’s opinion about defendant’s competency was very similar to my own view and that of defendant himself.”
In his affidavit, Scholl explains that, in contrast to Hulteng’s expert evaluation and opinion, Lezak’s affidavit “does not offer a diagnosis, or present any detailed client history. It does not establish defendant’s incompetence. As an attorney with experience in this area, I would not try to establish anyone’s incompetency in court or otherwise with the information in that document.” Scholl emphasizes that he “could have offered [Lezak’s affidavit]” during the death warrant hearing if that affidavit was “thought credible and if it furthered the objectives of the representation.” For Scholl, however, Lezak’s affidavit seemed neither thorough nor complete. He declined to offer it at the evidentiary hearing on Haugen’s competency.
Scholl, of course, is not a medical professional. However, he explained that, in the course of his work as the Director of the Washington County Section of Metropolitan Public Defender, he has “litigated competency issues in my own cases, and assessed competency questions in the cases of other attorneys in the
As the Court explained in Panetti, Justice Powell’s opinion concurring in the judgment in Ford was narrower than Justice Marshall’s plurality opinion regarding the procedures for determining competence. Panetti, 551 US at 949. Accordingly, because Justice Powell’s opinion was necessary to form a majority position, it controls. Id. We note that OCRC relies on Justice Marshall’s plurality opinion, even though it is not the controlling precedent on the process that the constitution requires to determine a prisoner’s competency to be executed.