Archive for June, 2011

JEFFREY W. MUMANI, Petitioner v. STATE OF FLORIDA, Respondent.

Friday, June 24th, 2011

IN THE DISTRICT COURT OF APPEAL OF THE STATE OF FLORIDA FIFTH DISTRICT JANUARY TERM 2011

 

JEFFREY W. MUMANI,

Petitioner

v.                   CASE NO. 5D11-560

STATE OF FLORIDA,

Respondent.

 

Opinion filed June 22, 2011

Petition for Writ of Prohibition,

J. David Walsh, Respondent Judge.

Jeffrey W. Mumani, Santa Rosa, pro se.

Pamela Jo Bondi, Attorney General, Tallahassee and Anthony J. Golden, Assistant Attorney General, Daytona Beach, for Respondent.

PER CURIAM.

Jeffrey Mumani petitions this Court for a writ of prohibition, alleging a violation of his right to a speedy trial pursuant to Florida Rule of Criminal Procedure 3.191(b)(4). We agree that the facts of this case mandate discharging Mumani of the criminal charge in Volusia County Circuit Court Case No. 2009-32213 CFAES.

Mumani was charged in the underlying criminal case with dealing in stolen property. While serving a six-year term of imprisonment stemming out of an unrelated case in Marion County, Mumani filed his demand for speedy trial on July 15, 2010, in

the instant matter. Thereafter, on January 11, 2011, he filed his Notice of Expiration of Speedy trial. The court subsequently entered an order, determining that Mumani was not entitled to invoke speedy trial because he had not yet been arrested for the offense. The trial court misapplied this Court’s case, State v. Hurley, 760 So. 2d 1127 (Fla. 5th DCA 2000), to support its determination.

At issue in Hurley was rule 3.191(a) (Speedy Trial without Demand), which provides that the time periods under the speedy trial rule commence upon the person being “arrested” if the crime charged is a felony. That rule is inapplicable here because Mumani filed a “Demand for Speedy Trial” pursuant to rule 3.191(b) (Speedy Trial upon Demand). Under subsection (b), the action that starts the time limit to bring the matter to trial is the filing of a written demand, rather than the arrest. See Thomas v. State, 46 So. 3d 116, 117 (Fla. 1st DCA 2010); Brown v. State, 798 So. 2d 773, 774 (Fla. 2d DCA 2001).

Accordingly, we grant the petition and direct that the circuit court enter an order discharging Mumani from the pending charge[s] in Volusia County case number 2009- 32213 CFAES.

PETITION GRANTED.

ORFINGER, COHEN and JACOBUS, JJ. CONCUR.

 

K.L.T., A CHILD, Petitioner, v. CASE NO. 5D11-987 STATE OF FLORIDA, Respondent.

Friday, June 24th, 2011

IN THE DISTRICT COURT OF APPEAL OF THE STATE OF FLORIDA FIFTH DISTRICT JANUARY TERM 2011

K.L.T., A CHILD,

Petitioner,

v.                             CASE NO. 5D11-987

STATE OF FLORIDA,

Respondent.

Opinion filed June 24, 2011

Petition for Writ of habeas Corpus, A Case of Original Jurisdiction.

James S. Purdy, Public Defender,

Seventh Judicial Circuit and S. Scott Coleman, Assistant Public Defender, Daytona Beach,

for Petitioner.

Pamela Jo Bondi, Attorney General, Tallahassee

and Carmen F. Corrente, Assistant Attorney General, Daytona Beach, for Respondent.

PER CURIAM.

The juvenile petitioner K.L.T. sought habeas corpus relief asserting that his commitment to a high-risk program took place after his probation expired; therefore, the trial court lacked jurisdiction to violate his probation and recommit him. We agreed and ordered the immediate release of Petitioner from custody in case no. 2010-30393-CJCI, with this opinion to follow.

Prior to the end of Petitioner’s probationary sentence, an affidavit of violation was filed and a warrant issued. Petitioner was not arrested on the violation until after his probationary period would have ended on March 3, 2011. The only issue presented in this case is whether an active juvenile probationary period is tolled upon the filing of an affidavit of violation. If tolling is applicable, Petitioner’s probationary period did not continue to run and the trial court maintained jurisdiction over the probation and its conditions. If tolling is not applicable to juvenile probation, the trial court had no jurisdiction to violate Petitioner and impose an additional commitment after probation expired.

As Petitioner contends, there is no provision in the juvenile rules or statutes for tolling probation, unlike in adult cases. See Fla. Stat. §948.06(d)(2009). This, coupled with Florida Juvenile Statute Section 949.01 which states that “[n]othing in chapters 947-949 [adult probation and parole statutes] shall be construed to change or modify the law respecting parole and probation as administered by [a] circuit court exercising jurisdiction,” supports Petitioner’s argument that the trial court lacked jurisdiction to violate Petitioner’s juvenile probation and order further commitment of Petitioner in this case.

Accordingly, the trial court had no jurisdiction to conduct a violation of probation hearing after Petitioner’s probationary term had expired, and habeas corpus is properly granted.

PETITION GRANTED.

MONACO, C.J., TORPY and COHEN, JJ., concur.

 

DOMINIC CHIQUITA MELTON, Appellant, v. STATE OF FLORIDA, Appellee.

Thursday, June 23rd, 2011

IN THE DISTRICT COURT OF APPEAL

FIRST DISTRICT, STATE OF FLORIDA

NOT FINAL UNTIL TIME EXPIRES TO FILE MOTION FOR REHEARING AND DISPOSITION THEREOF IF FILED

 

DOMINIC CHIQUITA MELTON,

Appellant,

v.

STATE OF FLORIDA,

Appellee.

 

CASE NO. 1D11-399

 

Opinion filed June 23, 2011.

An appeal from the Circuit Court for Escambia County. Frank L. Bell, Judge.

Nancy A. Daniels, Public Defender, and Joel Arnold, Assistant Public Defender, Tallahassee, for Appellant.

Pamela Jo Bondi, Attorney General; Dixie Daimwood and Donna A.Gerace, Assistant Attorneys General, Tallahassee, for Appellee.

PER CURIAM.

The appellant, Dominic Melton, appeals the revocation of her probation based on violations of condition (1) for failure to report and condition (5) for possession of drugs. We affirm the trial court’s finding that Melton violated her probation for failure to report, but we conclude that the evidence presented to the

 

trial court was insufficient to support a violation for possession of drugs, and we remand for the trial court to strike its finding regarding that violation and enter a corrected order.

The state has the burden of proving by the greater weight of the evidence that a probationer’s actions amounted to a willful and substantial violation of a condition of probation. See Van Wagner v. State, 677 So.2d 314, 316 (Fla. 1st DCA 1996). While hearsay is admissible at a probation revocation hearing, a revocation of probation may not be based solely upon hearsay evidence, and where the state seeks to revoke probation based on a violation of standard condition (5) by the commission of a new offense, it is required to present direct, non-hearsay evidence linking the defendant to the commission of the offense. See, e.g., Johnson v. State, 962 So. 2d 394, 396-97 (Fla. 2d DCA 2007).

In this case, the state presented sufficient evidence to support the court’s finding that Melton willfully violated a condition of probation by failing to report; however, the state’s evidence was not sufficient to support revocation for a violation of condition (5) for possession of drugs which was based entirely on hearsay. The female probation officer who administered the drug test did not testify at the hearing, Melton denied smoking marijuana while on probation, and the probation officer who did appear at the hearing testified that he had no personal knowledge of the result of the drug test. Further, the state properly conceded at the

 

revocation hearing that the hearsay evidence was insufficient to revoke Melton’s probation on that basis. Because violation of condition (5) was supported only by hearsay, the trial court abused its discretion by revoking probation on that basis.

We affirm the revocation of Melton’s probation based on violation of condition (1) for failure to report. Because it is unclear from the record, however, whether the trial court would have imposed the same sentence based solely on failure to report, we reverse and remand for the trial court to enter a corrected order striking the reference to violation of condition (5) for possession of drugs, and to resentence Melton only for violation of condition (1) for failure to report. See Marzendorfer v. State, 16 So.3d 957, 958 (Fla. 1st DCA 2009); Richardson v. State, 694 So.2d 147 (Fla. 1st DCA 1997).

AFFIRMED in part, REVERSED in part, and REMANDED for a corrected order consistent with this opinion.

VAN NORTWICK, WETHERELL, and ROWE, JJ., CONCUR.

 

 

ALEX N. RODAS, Appellant, v. STATE OF FLORIDA, Appellee.

Thursday, June 23rd, 2011

IN THE DISTRICT COURT OF APPEAL

FIRST DISTRICT, STATE OF FLORIDA

NOT FINAL UNTIL TIME EXPIRES TO FILE MOTION FOR REHEARING AND DISPOSITION THEREOF IF FILED

 

ALEX N. RODAS,

Appellant,

v.

STATE OF FLORIDA,

Appellee.

 

CASE NO. 1D11-0047

 

Opinion filed June 23, 2011.

An appeal from the Circuit Court for Suwannee County. Julian E. Collins, Judge.

Alex N. Rodas, pro se, Appellant.

Pamela Jo Bondi, Attorney General, and Samuel A. Perrone, Assistant Attorney General, Tallahassee, for Appellee.

PER CURIAM.

The appellant claims that he was not awarded proper prior prison credit following resentencing pursuant to Heggs v. State, 759 So. 2d 620 (Fla. 2000). The state has conceded that the matter should be reversed and remanded. We therefore reverse and remand for the trial court to either attach documents

 

conclusively refuting the appellant’s prison credit claim, or for the court to award the appellant the credit he seeks. See Davidson v. State, 780 So. 2d 984 (Fla. 1st DCA 2001) (stating that upon resentencing a defendant is entitled to prison credit for time already served).

REVERSED AND REMANDED.

VAN NORTWICK, PADOVANO, and HAWKES, JJ., CONCUR.

 

 

KEIUON D. MAJORS, Appellant, v. STATE OF FLORIDA, Appellee.

Thursday, June 23rd, 2011

IN THE DISTRICT COURT OF APPEAL

FIRST DISTRICT, STATE OF FLORIDA

NOT FINAL UNTIL TIME EXPIRES TO FILE MOTION FOR REHEARING AND DISPOSITION THEREOF IF FILED

 

KEIUON D. MAJORS,

Appellant,

v.

STATE OF FLORIDA,

Appellee.

 

CASE NO. 1D10-4442

 

Opinion filed June 23, 2011.

An appeal from the Circuit Court for Escambia County. R. V. Swanson, Judge.

Ryan M. Barnett of Whibbs & Stone, P.A., Pensacola, for Appellant.

Pamela Jo Bondi, Attorney General, and Meredith Charbula, Assistant Attorney General, Tallahassee, for Appellee.

LEWIS, J.

Keiuon D. Majors, Appellant, challenges his convictions and sentences for trafficking in illegal drugs, possession of a firearm or ammunition by a convicted felon, possession of cocaine, possession of a controlled substance without a prescription, possession of cannabis, and resisting an officer without violence. Appellant argues the trial court should have granted his dispositive motion to

 

suppress evidence obtained after police officers stopped the vehicle in which he was traveling. He contends the stop was illegal because the officers had no reasonable suspicion of criminal activity. We agree. As a result, we reverse Majors’ convictions and sentences and remand with directions to the trial court to grant the motion to suppress and discharge him for these offenses.

Shortly before Appellant’s arrest, a bank manager called 911 and, whispering, reported that a customer was “acting weird” and attempting to withdraw $17,500. The customer wanted to make a check payable to the driver of a Nissan that was parked in front of the bank, and the customer kept going back and forth between the Nissan and the bank, acting strangely and having discussions with the people in the Nissan. The bank manager was not aware of this customer having made such a large withdrawal in the past. The dispatcher suggested that perhaps the people in the Nissan were forcing the customer to withdraw money. In response, the bank manager told the dispatcher that the customer seemed to know what he was doing but that the bank employees thought he might be on drugs. The bank manager also indicated that one of the people who had been outside at the Nissan had come into the bank. Some of the people involved in this scenario were pacing and wanting to know why the transaction was taking so long, and their activities were causing the bank employees concern. The bank manager described the Nissan, and the dispatcher conveyed the information to the responding officers.

 

When the officers arrived at the bank, they saw a Nissan matching the description provided in the call. The Nissan attempted to back out of a parking space, but the officers blocked the Nissan’s exit with their vehicles and then approached. Appellant was in the Nissan when the officer approached it. Based on his interaction with the police at that point, he was arrested, and evidence was seized from him.

Appellant filed a motion to suppress all the evidence seized as a result of the stop of the Nissan. He argued, among other things, that the officers lacked reasonable suspicion to stop the Nissan. At the suppression hearing, the officers admitted that they did not see any criminal activity and were not aware of any criminal activity that had occurred before they stopped the Nissan. They explained that the basis for stopping the Nissan was that it was involved in the call they were investigating.

Ultimately, the trial court concluded that the officers had reasonable suspicion to stop the Nissan and denied the motion to suppress. Thereafter, Appellant pled nolo contendere to six counts of criminal activity resulting from his interactions with the police at the bank. He reserved his right to appeal the denial of his motion to suppress and now raises the denial as error in this Court.

Motions to suppress present mixed questions of fact and law. See McKnight v. State, 972 So. 2d 247, 249 (Fla. 1st DCA 2007). A trial court’s factual findings

 

supporting a motion to suppress are reviewed to determine whether they are grounded in competent, substantial evidence, and its legal conclusions are reviewed de novo. Id. In particular, whether reasonable suspicion exists for a detention under a specific set of facts is a question of law to be reviewed de novo. Beahan v. State, 41 So. 3d 1000, 1002 (Fla. 1st DCA 2010). We are bound by the state constitution to make this determination in conformity with the Fourth Amendment of the United States Constitution, as interpreted by the United States Supreme Court. Holland v. State, 696 So. 2d 757, 759 (Fla. 1997).

The Florida Supreme Court has recognized three levels of police-citizen encounters: consensual encounters, investigatory detentions, and formal arrests. Popple v. State, 626 So. 2d 185, 185 (Fla. 1993). An investigatory detention occurs when an officer makes “an official show of authority from which a reasonable person would conclude that he or she is not free to end the encounter and depart.” Dees v. State, 564 So. 2d 1166, 1167 (Fla. 1st DCA 1990). Such a detention is proper only when a law enforcement officer has “reasonable suspicion that the person has committed or is about to commit a crime.” Faunce v. State, 884 So. 2d 504, 506 (Fla. 1st DCA 2004). Otherwise, the detention violates the detainee’s Fourth Amendment rights, and any evidence obtained as a result of that detention is subject to suppression. See Popple, 626 So. 2d at 185, 188. The State properly concedes that the detention of the Nissan in the instant case constituted an

 

investigatory stop, as the Nissan’s occupants were not free to leave once the officers blocked their vehicle’s exit. Cf. McCreary v. State, 538 So. 2d 1377, 1378 (Fla. 1st DCA 1989). Thus, the dispute in this case concerns whether the officers had reasonable suspicion to conduct the stop.

An officer’s basis for conducting an investigatory stop must be more than “[a] hunch or mere suspicion.” Faunce, 884 So. 2d at 506; see Daniels v. State, 543 So. 2d 363, 366 (Fla. 1st DCA 1989) (holding that a “bare” or “gut” feeling that a person is engaged in criminal activity is insufficient to justify a stop and frisk). To show a sufficient basis for an investigatory stop, the officer must “be able to articulate the supporting facts,” and the facts must show a well-founded suspicion. Faunce, 884 So. 2d at 506. A reasonable or well-founded suspicion “is something less than probable cause, but more than an inchoate and unparticularized suspicion.” Rouse v. State, 643 So. 2d 696, 697 (Fla. 1st DCA 1994).

To determine whether officers conducting an investigatory detention had a well-founded or reasonable suspicion of criminal activity, a court must examine the totality of the circumstances surrounding the detention. Faunce, 884 So. 2d at 506. Relevant factors include the following: “the time of day; the appearance and behavior of the suspect; the appearance and manner of operation of any vehicle involved; and anything incongruous or unusual in the situation as interpreted in light of the officer’s knowledge.” Huffman v. State, 937 So. 2d 202, 206 (Fla. 1st

 

DCA 2006). Facts learned only in hindsight should not enter into the evaluation of the reasonableness of a search or seizure. See U.S. v. Martinez-Fuerte, 428 U.S. 543, 565 (1976) (explaining the purpose of the warrant requirement); Terry v. Ohio, 392 U.S. 1, 21 (1968) (acknowledging that “the notions which underlie both the warrant procedure and the requirement of probable cause remain fully relevant” in the context of determining the reasonableness of an investigatory stop). However, under the “fellow officer rule,” the information possessed by one officer in the chain of an investigation, including a 911 dispatcher, is imputed to the other officers for the purposes of assessing whether an investigatory stop is justified. See State v. Maynard, 783 So. 2d 226, 229 (Fla. 2001).

In this case, Appellant relies partly on the fact that the officers admitted in their testimony that they did not suspect any particular crime was occurring when they stopped the Nissan. The State argues that this testimony is irrelevant. To the contrary, case law holds that an officer “must be able to articulate in particular and objective terms his reasonable suspicion of criminal activity.” Palmer v. State, 625 So. 2d 1303, 1306 (Fla. 1st DCA 1993). Based on this principle, in determining whether reasonable suspicion for an investigatory stop existed, this Court has expressly considered the fact that an officer was not able to articulate facts relating to a specific criminal offense. See, e.g., Hill v. State, 51 So. 3d 649, 650-51 (Fla. 1st DCA 2011) (observing that the officer could not do so and noting that the

 

circumstances the officer identified as prompting the stop were insufficient to establish reasonable suspicion). As a result, we weigh the officers’ inability to point to facts that suggested a particular crime had occurred, was occurring, or was about to occur against a conclusion that reasonable suspicion existed.

The State argues that the Nissan’s attempt to leave the bank supports a conclusion that the officers had reasonable suspicion. It is proper to consider this factor, particularly if the evidence suggests that the Nissan left in “headlong flight,” which the United States Supreme Court has deemed “the consummate act of evasion.” Illinois v. Wardlow, 528 U.S. 119, 121 (2000). Typically, flight from the police justifies a stop when it is unprovoked and occurs in a high-crime area. See id. However, this Court has emphasized that flight from the police is simply one factor to be considered and that “reasonable suspicion of criminal activity is not established simply because a defendant leaves the scene when an officer nears.” Hill, 51 So. 3d at 651. Standing alone, flight is insufficient to give rise to a reasonable suspicion of criminal activity. See F.E.A. v. State, 804 So. 2d 528, 529 (Fla. 1st DCA 2002); Jean-Marie v. State, 947 So. 2d 484, 488 (Fla. 3d DCA 2006) (citation omitted). Additionally, when a vehicle drives away from the scene “in an unremarkable fashion,” the act of leaving the scene is not likely to give rise to a reasonable suspicion of criminal activity. See Hill, 51 So. 3d at 651.

The State contends that the officers’ collective knowledge gave rise to a

 

reasonable suspicion that “a person, or persons, in the Nissan was, or had been, influencing the customer, by force or otherwise, to withdraw a large amount of money payable to someone in the Nissan.” This argument strains the facts and may rely partly on hindsight. For example, the State notes in its brief that one of Appellant’s companions went inside the bank and said she was not going to jail, that the bank customer was Baker Acted, and that several arrests were made. The record indicates that these facts came to light after the Nissan was stopped. As a result, we do not consider them in our reasonable suspicion analysis.

Importantly, the officers in this case were not able to articulate a basis for suspecting criminal activity, as they were not even able to state a crime they believed was occurring. As suggested above, this factor weighs heavily in favor of a conclusion that no reasonable suspicion existed. Moreover, had they named a crime they believed was occurring, there would have been insufficient evidence to support their suspicion. The customer’s activity inside the bank was strange, but the concern that this strange behavior and his interaction with the Nissan related to criminal conduct was not supported by any articulable facts. The Nissan’s attempt to leave the bank when the officers arrived does not tip the scale in favor of finding reasonable suspicion because the testimony indicates that the Nissan simply began to back out of a parking space. Cf. Hill, 51 So. 3d at 651 (declining to find reasonable suspicion of criminal activity based on a vehicle’s driving away from

 

the scene in an “unremarkable fashion”). When all of the circumstances are considered, any suspicion that the people in the Nissan were improperly influencing the bank customer to withdraw money or were otherwise involved in a crime is highly speculative and properly characterized as a hunch. Cf. Cooks v. State, 28 So. 3d 147, 149 (Fla. 1st DCA 2010) (holding that officers lacked reasonable suspicion to detain a vehicle described in a 911 call where a hotel clerk reported that she felt unsafe as a result of an attempt by one of the vehicle’s occupants to open the door to the establishment after being asked to leave); Hall v. State, 366 So. 2d 865, 865 (Fla. 4th DCA 1979) (concluding that officers had only a “bare suspicion,” which did not authorize the detention of the suspects, where a retail store manager had reported that the suspects were acting in a “suspicious manner” and had visited the store several times that day without appearing interested in buying anything). As a result, we hold that the officers lacked reasonable suspicion to conduct an investigatory stop of the Nissan.

As an alternative to arguing that the officers had reasonable suspicion for the stop, the State urges us to affirm on the basis of the community caretaking doctrine, claiming that it was proper to detain the Nissan to determine whether the occupants of the Nissan had placed anyone’s safety in jeopardy. Under the community caretaking doctrine, an officer may stop a vehicle without reasonable suspicion of criminal activity if the stop is necessary for public safety and welfare.

 

Shively v. State, No. 2D09-3149, 2011 WL 2029622, at *1 (Fla. 2d DCA May 25, 2011); Gentles v. State, 50 So. 3d 1192, 1198-99 (Fla. 4th DCA 2010) (collecting examples). For example, an officer is permitted to stop a vehicle when it is being operated in an unusual manner even though no traffic violation is suspected. State v. Rodriguez, 904 So. 2d 594, 598 (Fla. 5th DCA 2005). The purpose of such a stop is to ascertain whether the driver of the vehicle is in need of assistance due to illness, tiredness, or impairment and to protect the motoring public from harm. See Shively, 2011 WL 2029622 at *2; Cady v. Dombrowski, 413 U.S. 433, 441 (1973). Such a stop is “totally divorced from the detection, investigation, or acquisition of evidence relating to the violation of a criminal statute.” Cady, 413 U.S. at 441. Even a stop pursuant to an officer’s community caretaking responsibilities, however, must be based on specific articulable facts showing that the stop was necessary for the protection of the public. See Castella v. State, 959 So. 2d 1285, 1292 (Fla. 4th DCA 2007). Here, if the officers had intended to stop the Nissan to check on the safety of its occupants or any person its occupants may have been threatening, the stop would have been based on sheer speculation, rather than articulable facts related to public safety. Accordingly, we reject the invitation to affirm this case based on the community caretaking doctrine.

In sum, because the stop of the Nissan was not justified by either reasonable suspicion or the officers’ community caretaking functions, we reverse the denial of

 

the motion to suppress. Because the motion to suppress is dispositive, we reverse the judgment and sentence appealed from and remand with directions to the trial court to grant the motion to suppress and to discharge Appellant for the offenses at issue in this case.

REVERSED and REMANDED with directions.

DAVIS and WETHERELL, JJ., CONCUR.

 

 

JEFFERY D. THOMAS, Appellant, v. STATE OF FLORIDA, Appellee.

Thursday, June 23rd, 2011

IN THE DISTRICT COURT OF APPEAL

FIRST DISTRICT, STATE OF FLORIDA

NOT FINAL UNTIL TIME EXPIRES TO FILE MOTION FOR REHEARING AND DISPOSITION THEREOF IF FILED

 

JEFFERY D. THOMAS,

Appellant,

v.

STATE OF FLORIDA,

Appellee.

 

CASE NO. 1D10-4280

 

Opinion filed June 23, 2011.

An appeal from the Circuit Court for Duval County. L. P. Haddock, Judge.

Jeffery D. Thomas, pro se, Appellant.

Pamela Jo Bondi, Attorney General, and Anne C. Conley, Assistant Attorney General, Tallahassee, for Appellee.

PER CURIAM.

We reverse and remand for the trial court to award the appellant an additional day of jail credit. See §921.161(1), Fla. Stat. (2007); Patterson v. State, 815 So. 2d 677 (Fla. 1st DCA 2002) (stating that Patterson, who was jailed from the date of his arrest until the date of sentencing, was entitled to one day of jail

 

credit beginning with the date of arrest through to the date of sentencing). We affirm the lower court’s denial of claim two.

AFFIRMED IN PART; REVERSED AND REMANDED IN PART. VAN NORTWICK, PADOVANO, and HAWKES, JJ., CONCUR.

 

 

STATE OF FLORIDA, Petitioner, vs. KEVIN DEWAYNE POWELL, Respondent.

Thursday, June 23rd, 2011

Supreme Court of Florida

No. SC07-2295

STATE OF FLORIDA,

Petitioner,

vs.

KEVIN DEWAYNE POWELL,

Respondent.

[June 16, 2011]

CORRECTED OPINION

PER CURIAM.

This case comes before this Court on remand from the decision of the United States Supreme Court in Florida v. Powell, 130 S. Ct. 1195 (2010). The issue presented concerns the scope of the pre-interrogation warnings required by the Fifth Amendment to the United States Constitution, as described in Miranda v. Arizona, 384 U.S. 436 (1966), and by article I, section 9 of the Florida Constitution, as described in Traylor v. State, 596 So. 2d 957 (Fla. 1992). After giving due consideration to the Supreme Court?s decision in Powell, we find that the warnings given in this case adequately advised the respondent of his rights under the United States and Florida Constitutions.

 

STATEMENT OF THE CASE

Previously, in State v. Powell, 998 So. 2d 531 (Fla. 2008), we upheld a decision of the Second District Court of Appeal reversing respondent Kevin

Powell?s conviction for possession of a firearm by a felon. The factual predicate for the conviction took place on August 10, 2004, when police officers discovered a nine-millimeter handgun after arriving at a residence to investigate the respondent. Powell was arrested and transported to police headquarters, where he was given the following warnings:

You have the right to remain silent. If you give up the right to remain silent, anything you say can be used against you in court. You have the right to talk to a lawyer before answering any of our questions. If you cannot afford to hire a lawyer, one will be appointed for you without cost and before any questioning. You have the right to use any of these rights at any time you want during this interview.

Id. at 532. Powell agreed to talk to the officers and subsequently made incriminating statements during the interrogation. See id. At trial, Powell?s counsel objected to the introduction of the statements into evidence, arguing that the warnings were deficient because they did not expressly state that Powell had the right to have an attorney present during questioning. The trial court overruled the objection and admitted the statements. Powell was convicted by the jury and sentenced to ten years in prison. See id. at 532-33.

On appeal, the Second District Court of Appeal reversed the conviction, holding that the warnings were inadequate under both the Fifth Amendment and

 

article I, section 9. See Powell v. State, 969 So. 2d 1060, 1061 (Fla. 2d DCA 2007), approved, 998 So. 2d 531 (Fla. 2008). The district court reasoned that to advise a suspect that he “has the right „to talk to a lawyer before answering . . . any of our questions? constitutes a narrower and less functional warning than that required by Miranda.” Id. at 1064. However, the Second District certified the following question to this Court as a matter of great public importance:

DOES THE FAILURE TO PROVIDE EXPRESS ADVICE OF THE RIGHT TO THE PRESENCE OF COUNSEL DURING

QUESTIONING VITIATE MIRANDA WARNINGS WHICH ADVISE OF BOTH (A) THE RIGHT TO TALK TO A LAWYER “BEFORE QUESTIONING” AND (B) THE “RIGHT TO USE” THE RIGHT TO CONSULT A LAWYER “AT ANY TIME” DURING QUESTIONING?

Id. at 1067-68.

This Court granted discretionary review,1 answered the certified question in the affirmative, and approved the decision of the Second District. See Powell, 998 So. 2d at 532. In our decision, we agreed with the Second District that the warnings were deficient and that the trial court had erred in admitting Powell?s statements into evidence. See id. at 542. This Court first discussed the contours of the privilege against self-incrimination as afforded by both federal and Florida law. With regard to the requirements of the United States Constitution, we explained that the United States Supreme Court has held that the following warnings are

1. See art. V, § 3(b)(4), Fla. Const.

 

required to ensure that any statement obtained during a custodial interrogation complies with the federal privilege against self-incrimination afforded by the Fifth Amendment:

[A suspect] must be warned prior to any questioning [1] that he has

the right to remain silent, [2] that anything he says can be used against him in a court of law, [3] that he has the right to the presence of an attorney, and [4] that if he cannot afford an attorney one will be appointed for him prior to any questioning if he so desires.

Id. at 534 (quoting Miranda, 384 U.S. at 479).

With regard to the requirements of Florida law, we explained that similar warnings are required by the self-incrimination clause of article I, section 9 of the Florida Constitution. Under article I, section 9, suspects must be informed:

[1] that they have a right to remain silent, [2] that anything they say will be used against them in court, [3] that they have a right to a

lawyer?s help, and [4] that if they cannot pay for a lawyer one will be appointed to help them.

Powell, 998 So. 2d at 535 (footnote omitted) (quoting Traylor, 596 So. 2d at 966). We noted that the right to a lawyer?s help means that “the suspect has the right to consult with a lawyer before being interrogated and to have the lawyer present during interrogation.” Id. at 535 n.2 (quoting Traylor, 596 So. 2d at 966 n.13). For the purposes of our decision on remand, however, we observe here that, “[t]hough our analysis in Traylor was grounded in the Florida Constitution, our conclusions were no different than those set forth in prior holdings of the United States Supreme Court.” State v. Owen, 696 So. 2d 715, 719 (Fla. 1997).

 

After evaluating the specific pre-interrogation warnings that were read to Powell, we agreed with the Second District that the warnings were deficient. Our analysis focused on two portions of the warnings that were read by the interrogating officers. First, Powell was informed: “You have the right to talk to a lawyer before answering any of our questions.” Powell, 998 So. 2d at 540.

Second, a catch-all statement was included at the end of the warnings, which stated: “You have the right to use any of these rights at any time you want during this interview.” Id.

We determined that the Miranda rights as they were described to Powell did not advise him of his right to have an attorney present during questioning. See id. With regard to the first portion of the warning, we found the statement misleading because Powell was informed only that he had the right to speak with an attorney before answering any questions. We stated: “The „before questioning? warning suggests to a reasonable person in the suspect?s shoes that he or she can only consult with an attorney before questioning; there is nothing in that statement that suggests the attorney can be present during the actual questioning.” Id. at 541.

We also concluded that the final statement, informing Powell of his right to use his rights “at any time . . . during this interview” did not cure the deficiency:

The Second District . . . found that language could not cure the

deficiency because Powell was never unequivocally informed that he had the right to have an attorney present at all times during his custodial interrogation. See Powell, 969 So. 2d at 1067. We agree

 

with the Second District and hold that Powell should have been clearly informed of his right to the presence of counsel during the custodial interrogation. The catch-all language did not effectively convey to Powell his right to the presence of counsel before and during police questioning. This last sentence could not effectively convey a right the defendant was never told he had. In other words, how can a defendant exercise at any time during an interrogation a

right he did not know existed? The catch-all phrase did not supply the missing warning of the right to have counsel present during police questioning because a right that has never been expressed cannot be reiterated.

Id. Thus, we agreed with the Second District that the warnings were deficient. After finding that the admission of the statements was not harmless beyond a reasonable doubt, we upheld the district court?s decision. See id. at 541-42.

The United States Supreme Court subsequently granted certiorari and reversed this Court?s decision. See Florida v. Powell, 130 S. Ct. 1195 (2010). The High Court first addressed the issue of its jurisdiction to decide the case. In Coleman v. Thompson, 501 U.S. 722, 729 (1991), the High Court explained that it would not “review a question of federal law decided by a state court if the decision . . . rests on a state law ground that is independent of the federal question and adequate to support the judgment.” However,

when . . . a state court decision fairly appears to rest primarily on federal law, or to be interwoven with the federal law, and when the adequacy and independence of any possible state law ground is not clear from the face of the opinion, we will accept as the most

reasonable explanation that the state court decided the case the way it did because it believed that federal law required it to do so.

 

Michigan v. Long, 463 U.S. 1032, 1040-41 (1983). Applying these principles to this Court?s decision in Powell, the Supreme Court found that although this Court had invoked Florida?s Constitution and precedent in addition to federal law, the decision “treated state and federal law as interchangeable and interwoven” and “at no point expressly asserted that state-law sources gave Powell rights distinct from, or broader than, those delineated in Miranda.” Powell, 130 S. Ct. at 1202 (citing Long, 463 U.S. at 1044). Accordingly, the High Court determined that it had jurisdiction to resolve the question of federal law. See id. at 1203.

Turning to the sufficiency of the warnings, the Court explained that when reviewing the adequacy of Miranda warnings, “[t]he inquiry is simply whether the warnings reasonably „conve[y] to [a suspect] his rights as required by Miranda.?” Id. at 1204 (quoting Duckwoth v. Eagan, 492 U.S. 195, 203 (1989)). With regard to the specific warnings that were given to Powell, the High Court disagreed with our conclusion that Powell was not warned of his right to an attorney:

The Tampa officers did not “entirely omi[t],” any information

Miranda required them to impart. They informed Powell that he had “the right to talk to a lawyer before answering any of [their] questions” and “the right to use any of [his] rights at any time [he]

want[ed] during th[e] interview.” The first statement communicated that Powell could consult with a lawyer before answering any

particular question, and the second statement confirmed that he could exercise that right while the interrogation was underway. In

combination, the two warnings reasonably conveyed Powell?s right to have an attorney present, not only at the outset of interrogation, but at all times.

 

To reach the opposite conclusion, i.e., that the attorney would

not be present throughout the interrogation, the suspect would have to imagine an unlikely scenario: To consult counsel, he would be

obliged to exit and reenter the interrogation room between each query. A reasonable suspect in a custodial setting who has just been read his rights, we believe, would not come to the counterintuitive conclusion that he is obligated, or allowed, to hop in and out of the holding area to seek his attorney?s advice. Instead, the suspect would likely assume that he must stay put in the interrogation room and that his lawyer would be there with him the entire time.

The Florida Supreme Court found the warning misleading

because it believed the temporal language—that Powell could “talk to a lawyer before answering any of [the officers?] questions”— suggested Powell could consult with an attorney only before the

interrogation started. In context, however, the term “before” merely conveyed when Powell?s right to an attorney became effective— namely, before he answered any questions at all. Nothing in the

words used indicated that counsel?s presence would be restricted after the questioning commenced. Instead, the warning communicated that the right to counsel carried forward to and through the interrogation: Powell could seek his attorney?s advice before responding to “any of [the officers?] questions” and “at any time . . . during th[e] interview.” Although the warnings were not the clearest possible formulation of

Miranda?s right-to-counsel advisement, they were sufficiently comprehensive and comprehensible when given a commonsense reading.

Powell, 130 S. Ct. at 1204-05 (footnotes and citations omitted) (alterations in original). The High Court therefore reversed the judgment of this Court and remanded for further proceedings not inconsistent with its opinion. See id. at 1206.

The Supreme Court?s decision leaves no doubt that, contrary to our original analysis, the warnings sufficiently advised Powell of his right to have an attorney

 

present during questioning, as required by Miranda, and did not violate the requirements of the United States Constitution. On remand, Powell asks this Court to again hold that the warnings were deficient on the ground that the warnings, while sufficient under the Fifth Amendment, nonetheless failed to meet the requirements of article I, section 9 of the Florida Constitution, as described in Traylor. The Supreme Court acknowledged in its opinion that individual state constitutions may provide greater protections than the federal Constitution. See Powell, 130 S. Ct. at 1203 (“Nothing in our decision today, we emphasize, trenches on the Florida Supreme Court?s authority to impose, based on the State?s Constitution, any additional protections against coerced confessions it deems appropriate.”). Thus, pursuant to basic federalist principles, this Court retains the authority to again uphold the decision of the Second District if we find that the warnings were deficient under the Florida Constitution.

As we have previously explained, however, our conclusions in Traylor “were no different than those set forth in prior holdings of the United States Supreme Court.” Owen, 696 So. 2d at 719. Moreover, we find no basis for concluding that different pre-interrogation warnings are required by the Florida Constitution than are required by the Fifth Amendment. Because the United States Supreme Court has determined that the warnings sufficiently conveyed the right to the presence of counsel as required by the Federal Constitution, we find that the

 

warnings were likewise sufficient under the Florida Constitution. Accordingly, we now conclude that the trial court did not err in admitting Powell?s post-Miranda statements into evidence.

CONCLUSION

In light of the decision of the United States Supreme Court reversing our original decision, we hold that the Miranda warnings at issue in this case sufficiently advised the respondent of his rights as required by the Fifth Amendment to the United States Constitution and article I, section 9 of the Florida Constitution. Therefore, we now answer the certified question in the negative, quash the decision of the Second District, and remand this case to the district court for further proceedings not inconsistent with this opinion.

It is so ordered.

LEWIS, POLSTON, LABARGA, and PERRY, JJ., concur.

PARIENTE, J., dissents with an opinion, in which QUINCE, J., concurs. QUINCE, J., dissents with an opinion, in which PARIENTE, J., concurs. CANADY, C.J., recused.

NOT FINAL UNTIL TIME EXPIRES TO FILE REHEARING MOTION, AND IF FILED, DETERMINED.

PARIENTE, J., dissenting.

When the United States Supreme Court in Florida v. Powell, 130 S. Ct. 1195 (2010), reversed our decision in Powell v. State, 998 So. 2d 531 (Fla. 2008), the Court expressly stated that “[n]othing in our decision today, we emphasize,

 

trenches on the Florida Supreme Court?s authority to impose, based on the State?s Constitution, any additional protections against coerced confessions it deems appropriate.” 130 S. Ct. at 1203. I agree with Justice Quince?s dissent that it is appropriate and in keeping with this Court?s interpretation of Florida?s independent state constitutional right that we require specific warnings that expressly inform suspects of their right to an attorney before and during questioning. For that

reason, I have joined in her dissenting opinion.

I write separately to urge law enforcement throughout this state to adopt standard warnings that specifically inform suspects of their right to an attorney before and during questioning. The majority of law enforcement agencies have already done so, and it is good law enforcement practice to make sure that the warnings are as clear as possible.

While the United States Supreme Court in Powell observed that the warnings given by the Tampa police to Powell were not deficient under the Federal Constitution, the Court also recognized that the warnings were not “the clearest possible formulation of Miranda?s right-to-counsel advisement.” 130 S. Ct. at 1205. The Court pointed to the following warnings as “exemplary”:

The standard warnings used by the Federal Bureau of Investigation

are exemplary. They provide, in relevant part: “You have the right to talk to a lawyer for advice before we ask you any questions. You have the right to have a lawyer with you during questioning.”

Id. at 1206.

 

It is a worthwhile goal that does not cost any money for law enforcement agencies in this state to have the “clearest possible” formulation of Miranda?s advisement of constitutional rights. I would urge the Attorney General in conjunction with the state attorneys, Florida Highway Patrol, sheriffs, police chiefs, and any other law enforcement agencies to promulgate a standard form and to encourage law enforcement throughout the state to use the form pointed to by the United States Supreme Court so that we have an “exemplary” warning that would leave no doubt that a suspect was properly advised of his or her rights under both the Federal and Florida Constitutions.

QUINCE, J., concurs.

QUINCE, J., dissenting.

As in Rigterink v. State, No. SC05-2162 (Fla. June 16, 2011), I respectfully dissent because I conclude that the warnings in this case failed to meet the requirements of the Florida Constitution. We recognized in Traylor v. State, 596 So. 2d 957, 962 (Fla. 1992), that “[w]hen called upon to decide matters of fundamental rights, Florida?s state courts are bound under federalist principles to give primacy to our state Constitution and to give independent legal import to every phrase and clause contained therein.” We also explained that “the Self-Incrimination Clause of Article I, Section 9, Florida Constitution, requires that

 

prior to custodial interrogation in Florida suspects must be told . . . that they have a right to a lawyer?s help.” Id. at 966. Traylor explicitly states that this right “means that the suspect has the right to consult with a lawyer before being interrogated and to have the lawyer present during interrogation.” Id. at 966 n.13. Thus, under the Florida Constitution a suspect has a greater right than that afforded under the Fifth Amendment.

In this case, however, Powell was not informed that he had the right to have a lawyer with him in the interrogation room during questioning. He was informed only that he had “the right to talk to a lawyer before answering any of [the

officers?] questions.” State v. Powell, 998 So. 2d 531, 532 (Fla. 2008) (emphasis added). The clear insufficiency of this warning is not amended by the catch-all language informing the respondent that he had “the right to use any of these rights at any time . . . during this interview.” Id. As we explained in our previous decision in this case, “The catch-all phrase did not supply the missing warning of the right to have counsel present during police questioning because a right that has never been expressed cannot be reiterated.” Id. at 541.

Notwithstanding the decision of the United States Supreme Court in Florida v. Powell, 130 S. Ct. 1195 (2010), we cannot ignore our independent obligation to review all pre-interrogation warnings to determine whether they satisfy the requirements of our state Constitution. See Rigterink v. State, 2 So. 3d 221, 241

 

(Fla. 2009) (explaining that in the context of the rights afforded by article I, section 9, “the federal Constitution sets the floor, not the ceiling, and this Court retains the ability to interpret the right against self-incrimination afforded by the Florida Constitution more broadly than that afforded by its federal counterpart”). Here, where the warnings failed to meet the requirements of article I, section 9 of the Florida Constitution, as set out in Traylor, the trial court erred in allowing Powell?s statements to be used against him at trial. For that reason, I conclude that the proper result in this case is for this Court to once again approve the decision of the Second District.

PARIENTE, J., concurs.

Application for Review of the Decision of the District Court of Appeal – Certified Great Public Importance

Second District – Case No. 2D05-646 (Hillsborough County)

Pamela Jo Bondi, Attorney General, Tallahassee, Florida, and Robert J. Krauss, Senior Assistant Attorney General, Bureau Chief, and Susan M. Shanahan, Assistant Attorney General, Tampa, Florida,

for Petitioner

James Marion Moorman, Public Defender, and Cynthia J. Dodge, Assistant Public Defender, Tenth Judicial Circuit, Bartow, Florida,

for Respondent

 

 

CHARLES MAPP, Petitioner, vs. STATE OF FLORIDA, Respondent.

Thursday, June 23rd, 2011

Supreme Court of Florida

No. SC09-1838

CHARLES MAPP,

Petitioner,

vs.

STATE OF FLORIDA,

Respondent.

[June 23, 2011]

PER CURIAM.

Charles Mapp seeks review of the decision of the Second District Court of Appeal in Mapp v. State, 18 So. 3d 33 (Fla. 2d DCA 2009), on the ground that it expressly and directly conflicts with a decision of another district court of appeal on a question of law. We have jurisdiction. See art. V, § 3(b)(3), Fla. Const. For the reasons expressed herein, we quash that portion of the decision of the Second

District that concludes that Mapp?s claim was not properly preserved and direct the reinstatement of the trial court?s order removing the habitual felony offender (HFO) designation from his sentence. We approve the Second District?s affirmance of the denial of Mapp?s second claim relating to the order of restitution.

 

Facts and Procedural History

The Second District described the facts below as follows:

In Polk County Circuit Court case number 06-9191, the information charged Mr. Mapp with burglary of a conveyance and grand theft of a quantity of mechanic?s tools, both third-degree felonies, and dealing in stolen property, a second-degree felony. In

circuit court case number 06-9192, the information charged burglary, grand theft of an auto, and possession of cocaine, third-degree felonies, and possession of drug paraphernalia, a first-degree misdemeanor. He entered a straight up plea to all the charges. Neither he nor his defense counsel received notice that the State intended that he be sentenced as a habitual felony offender (HFO) until, at the sentencing hearing, the State orally suggested that he qualified as an HFO. In case number 06-9191, the court imposed concurrent sentences of ten years? incarceration as an HFO for the burglary and dealing in stolen property counts. In case number 06-

9192, the court sentenced him to ten years? incarceration as an HFO for the burglary and grand theft counts, five years? non-HFO incarceration for the possession of cocaine count, and one year?s incarceration for the misdemeanor paraphernalia count. The incarcerative terms in the second case were imposed concurrently with each other but consecutive to the concurrent terms in the first

case. After hearing from the victims at the sentencing hearing about their monetary losses, the court also ordered Mr. Mapp to pay a substantial amount of restitution.

Mr. Mapp?s counsel filed a motion pursuant to Florida Rule of Criminal Procedure 3.800(b), claiming as sentencing errors the habitualization of the sentences without notice and insufficient evidence to support the amount of restitution ordered. The court

struck the HFO designation from the sentences and vacated the order of restitution, but it did so well outside the permitted sixty-day time limit to make a correction in the sentencing order.

Mapp, 18 So. 3d at 34-35(footnotes omitted). After noting that the circuit court?s order was a nullity because it occurred outside of the sixty-day window permitted by the rule, the district court determined that the errors complained of in Mapp?s

 

motion were not preserved for appeal because they were not “sentencing errors that are cognizable in [rule 3.800(b)] motions.” Id. at 36. The Second District concluded that the errors were errors in the sentencing process and not errors in the sentencing order, and were therefore not preserved for appellate review when counsel failed to object. Id. at 37. Accordingly, the court reinstated the habitual felony offender sentences and order of restitution. Id.

Discussion

Before reaching the merits of this case, we first note that there is no question that Mapp was improperly classified as a habitual felony offender. As noted by the Second District, the State conceded error on this issue. Mapp, 18 So. 3d at 34. It is undisputed that Mapp did not receive the proper notice and that therefore, his sentence is improper. See Ashley v. State, 614 So. 2d 486 (Fla. 1993) (holding that for a defendant to be classified as a habitual felony offender following a guilty or nolo plea, the defendant must be given written notice and the court must confirm the defendant is personally aware of the possibility and consequences of habitual felony offender sentencing.). In Ashley, Ashley pleaded no contest to battery of a correctional officer. Id. at 487. Three days later, the State filed notice of its intent to seek an enhancement as an HFO. Id. Ashley then sought unsuccessfully to withdraw his plea and was later sentenced as an HFO. Id. Relying on section 775.084(3)(b), Florida Statutes (1989), and Florida Rule of Criminal Procedure

 

3.172, this Court held that for a defendant to be classified as an HFO after “a guilty or nolo plea, the following must take place prior to acceptance of the plea: 1) The defendant must be given written notice of intent to habitualize, and 2) the court must confirm that the defendant is personally aware of the possibility and reasonable consequences of habitualization.” Id. at 490. This Court then held that because Ashley had not received written notice and had no personal understanding that he would be declared a habitual felony offender or what such a classification entailed, his HFO sentence had to be vacated. Id. at 491. Thus, we are only addressing whether this error was properly preserved by a motion under 3.800(b).

HFO Designation

Mapp argues that the Second District interpreted this Court?s decision in Jackson v. State, 983 So. 2d 562 (Fla. 2008), more stringently than intended by this Court. In so doing, Mapp argues that the Second District misapplied Jackson and that the sentencing order that designated him a habitual felony offender was properly reviewable under rule 3.800(b).

Rule 3.800(b) provides:

(b) Motion to Correct Sentencing Error. A motion to correct any sentencing error, including an illegal sentence, may be filed as allowed by this subdivision. This subdivision shall not be applicable to those cases in which the death sentence has been imposed and direct appeal jurisdiction is in the Supreme Court under article V,

section 3(b)(1) of the Florida Constitution. The motion must identify the error with specificity and provide a proposed correction. A response to the motion may be filed within 15 days, either admitting

 

or contesting the alleged error. Motions may be filed by the state under this subdivision only if the correction of the sentencing error would benefit the defendant or to correct a scrivener?s error.

(1) Motion Before Appeal. During the time allowed for the filing of a notice of appeal of a sentence, a defendant or the state may file a motion to correct a sentencing error.

(A) This motion shall stay rendition under Florida Rule of Appellate Procedure 9.020(h).

(B) Unless the trial court determines that the motion can be resolved as a matter of law without a hearing, it shall hold a calendar call no later than 20 days from the filing of the motion, with notice to all parties, for the express purpose of either ruling on the motion or determining the need for an evidentiary hearing. If an evidentiary hearing is needed, it shall be set no more than 20 days from the date of the calendar call. Within 60 days from the filing of the motion, the trial court shall file an order ruling on the motion. If no order is filed within 60 days, the motion shall be considered denied. A party may file a motion for rehearing of any order entered under subdivisions (a) and (b) of this rule within 15 days of the date of service of the order or within 15 days of the expiration of the time period for filing an order if no order is filed.

(2) Motion Pending Appeal. If an appeal is pending, a defendant or the state may file in the trial court a motion to correct a sentencing error. The motion may be filed by appellate counsel and must be served before the party’s first brief is served. A notice of pending motion to correct sentencing error shall be filed in the appellate court, which notice automatically shall extend the time for the filing of the brief until 10 days after the clerk of circuit court transmits the supplemental record under Florida Rule of Appellate Procedure 9.140(f)(6).

(A) The motion shall be served on the trial court and on all trial and appellate counsel of record. Unless the motion expressly states that appellate counsel will represent the movant in the trial court, trial counsel will represent the movant on the motion under Florida Rule of Appellate Procedure 9.140(d). If the state is the movant, trial counsel

 

will represent the defendant unless appellate counsel for the defendant notifies trial counsel and the trial court that he or she will represent the defendant on the state’s motion.

(B) The trial court shall resolve this motion in accordance with the procedures in subdivision (b)(1)(B).

(C) In accordance with Florida Rule of Appellate Procedure 9.140(f)(6), the clerk of circuit court shall supplement the appellate record with the motion, the order, any amended sentence, and, if designated, a transcript of any additional portion of the proceedings.

Fla. R. Crim. P. 3.800(b).

In Jackson, we provided a thorough review of the history and intent of rule 3.800(b). See Jackson, 983 So. 2d at 570-73. To summarize, rule 3.800(b) was intended to permit the preservation of errors in orders at the earliest possible time in order to use judicial resources efficiently, not to abrogate the requirement for contemporaneous objections because many errors are not immediately apparent at sentencing and the trial judge is in the best position to resolve the error. Id. However, when the error complained of affects the ultimate sanction imposed—as does an HFO designation—it is cognizable under 3.800(b). Further, we have stated that improper habitual offender sentencing contrary to specific statutory requirements constitutes fundamental error. Maddox v. State, 760 So. 2d 89, 102 (Fla. 2000) (“Because we find that improper habitualization of the defendant contrary to specific statutory requirements is a patent, serious error that has a

 

quantifiable effect on the length of the defendant?s incarceration, we find that this type of error should be corrected on direct appeal as fundamental.”).1

Because Jackson states that “as written, rule 3.800(b) is not limited to correcting „illegal? sentences or errors to which the defendant had no opportunity to object” and that “the rule may be used to correct and preserve for appeal any error in an order entered as a result of the sentencing process—that is, orders related to the sanctions imposed,” the Second District incorrectly held that Mapp?s improper sentencing as a habitual felony offender was not cognizable under rule 3.800(b). In other words, when, as here, there is a clear sentencing error that affects the ultimate sanction imposed, it is cognizable under 3.800(b). Accordingly, we quash that portion of the Second District?s decision below that reversed the trial court?s order removing the HFO designation from Mapp?s sentence.

1. Since Maddox and the amendment to rule 3.800(b), we have held that fundamental error analysis does not apply to parties who could have availed themselves of 3.800(b). See Brannon v. State, 850 So. 2d 453, 453 (Fla. 2003). As noted in Brannon, we have attempted to address this by extending the time period in which a defendant could file a motion under rule 3.800(b). See Brannon, 850 So. 2d at 455-56 (quoting Maddox, 760 So. 2d at 94) (“We anticipate that the amendments to rule 3.800(b) recently promulgated by this Court in [Amendments to Florida Rules of Criminal Procedure 3.111(e) & 3.800 & Florida Rules of Appellate Procedure 9.020(h), 9.140, & 9.600, 761 So. 2d 1015, 1017-18 (Fla. 2000)] should eliminate the problem of unpreserved sentencing errors raised on direct appeal because the time in which a defendant can file a motion to correct a sentencing error in the trial court is expanded[.]”).

 

Order of Restitution

We approve, however, the portion of the decision that affirmed the order of restitution. Here, as above, Mapp complains of an error that the Second District found not to be a “sentencing error” cognizable under rule 3.800(b). See Mapp, 18 So. 3d at 35-36. Specifically, the Second District noted that “at the close of evidence from the victims about their monetary losses, defense counsel did not object to what may have been insufficient evidence.” Id. at 36. The court affirmed the order of restitution as originally imposed “because any error in [it] has not been reserved for appellate review.” Id. at 37. We agree. The error complained of here is not a sentencing error, but is one based on the sufficiency and credibility of the evidence that requires factual determination. Accordingly, it is not cognizable under rule 3.800(b).

Conclusion

For the foregoing reasons, we quash that portion of the decision of the Second District that concluded that Mapp?s claim was not properly preserved and remand for reinstatement of the trial court?s order removing the HFO designation from his sentence. We approve the Second District?s affirmance of the denial of

Mapp?s second claim relating to the order of restitution.

It is so ordered.

PARIENTE, LEWIS, QUINCE, LABARGA, and PERRY, JJ., concur. CANADY, C.J., dissents with an opinion, in which POLSTON, J., concurs.

 

NOT FINAL UNTIL TIME EXPIRES TO FILE REHEARING MOTION, AND IF FILED, DETERMINED.

CANADY, C.J., dissenting.

Because I conclude that the decision of the Second District in Mapp v. State, 18 So. 3d 33 (Fla. 2d DCA 2009), does not expressly and directly conflict with our decision in Jackson v. State, 983 So. 2d 562 (Fla. 2008), or any other decision of this Court or another district court, I would discharge this case.

In Mapp the Second District held that Mapp?s argument that “he was sentenced as a habitual offender without proper notice” was “not [an] error[ ] in the sentencing order but rather in the sentencing process and, as such, must be preserved by contemporaneous objection.” 18 So. 3d at 34, 37. The distinction between error in a sentencing order and error in the sentencing process relied on by the Second District is a distinction drawn directly from Jackson. We reached the conclusion that the error at issue in Jackson could not be preserved under Florida Rule of Criminal Procedure 3.800(b) because that error was “an error in the sentencing process, not an error in the sentencing order.” 983 So. 2d at 574. Our Jackson opinion indeed contains repeated references to the distinction between errors in a sentencing order—which may be preserved under rule 3.800(b)—and errors in the sentencing process—which are not subject to preservation under rule 3.800(b). Id. at 566 (“The rule was intended to permit preservation of errors in

 

orders entered as a result of the sentencing process . . . .”); id. at 572 (“The commentary thus explains that rule 3.800(b) is intended to permit defendants to bring to the trial court?s attention errors in sentence-related orders, not any error in the sentencing process.”); id. (“We have never held that any error that happens to occur in the sentencing context constitutes a „sentencing error? under the rule. Instead, errors we have recognized as „sentencing errors? are those apparent in orders entered as a result of the sentencing process.”); id. at 574 (“A claim of denial of counsel at sentencing, however, is an error in the sentencing process, not an error in the sentencing order.”); id. at 578 (“[R]ule [3.800(b)] permits preservation of errors in orders entered as a result of the sentencing process, not all errors that happened to occur during that process.”).

Here, the error asserted by Mapp—the State?s failure to give proper notice of its intention to seek habitual offender sentencing—was indisputably a procedural error. The decision in Mapp thus simply applies the distinction recognized in Jackson and gives force to our recognition that “a procedural error in the sentencing process” must—absent fundamental error—be preserved by a contemporaneous objection. 983 So. 2d at 573.

Admittedly, the distinction drawn in Jackson between errors in a sentencing order and errors in the sentencing process is not crystal clear. But the lack of clarity in Jackson does not give us jurisdiction over a case simply because we

 

disagree with the way that case applies Jackson. Under the Florida Constitution, the jurisdiction asserted here exists only when the decision on review “expressly and directly conflicts with a decision of another district court of appeal or of the supreme court on the same question of law.” Art. V, § 3(b)(3), Fla. Const.

Jackson did not hold specifically that an error of the particular type raised by Mapp is subject to preservation under rule 3.800(b). Nor did Jackson articulate any broader rule with which Mapp “expressly and directly conflicts.” On the contrary, Mapp expressly and directly follows Jackson?s reasoning that “a procedural error in the sentencing process” is not subject to preservation pursuant to rule 3.800(b). 983 So. 2d at 573.

Similarly, there is no express and direct conflict with our decision in Maddox v. State, 760 So. 2d 89 (Fla. 2000), on the issue of fundamental error. The improper habitual offender sentencing dealt with in Maddox—characterized by the Court there as habitual offender sentences “imposed in violation of the statutory requirements”—arose from the absence of sufficient predicate offenses to satisfy the statutory requirements for such sentencing. Id. at 102. The procedural error raised by Mapp is of an entirely different character from the errors at issue in Maddox.

This Court does not have jurisdiction to review the Second District?s decision in Mapp. The case should be discharged.

 

POLSTON, J., concurs.

Application for Review of the Decision of the District Court of Appeal – Direct Conflict of Decisions

Second District – Case No. 2D07-4485 (Polk County)

J. Marion Moorman, Public Defender, Deborah Kucer Brueckheimer and Douglas S. Connor, Assistant Public Defenders, Bartow, Florida,

for Petitioner

Pamela Jo Bondi, Attorney General, Tallahassee, Florida, Robert J. Krauss, Bureau Chief and Donna S. Koch, Assistant Attorneys General, Tampa, Florida,

for Respondent

 

 

ANDREW RICHARD LUKEHART, Appellant, vs. STATE OF FLORIDA, Appellee.

Thursday, June 23rd, 2011

Supreme Court of Florida

Nos. SC09-961 & SC09-1788

ANDREW RICHARD LUKEHART,

Appellant,

vs.

STATE OF FLORIDA,

Appellee.

ANDREW RICHARD LUKEHART,

Petitioner,

vs.

EDWIN G. BUSS, etc.,

Respondent.

[June 23, 2011]

PER CURIAM.

Andrew Richard Lukehart appeals an order of the circuit court denying his amended motion for postconviction relief filed pursuant to Florida Rule of Criminal Procedure 3.850. Through his postconviction motion, Lukehart challenges his conviction of first-degree murder and sentence of death. Lukehart also petitions this Court for a writ of habeas corpus. We have jurisdiction. See art.

 

V, § 3(b)(1), (9), Fla. Const. With the single exception noted in the fourth issue below concerning a procedural claim, we affirm the postconviction court‘s denial of rule 3.850 relief and we deny habeas relief.

FACTS AND PROCEDURAL HISTORY

Lukehart appeals the postconviction court‘s denial, after evidentiary hearing, of his rule 3.850 motion for postconviction relief. The facts underlying the crime are set forth in this Court‘s opinion on direct appeal:

The victim in this case, five-month-old Gabrielle Hanshaw, was killed by Lukehart, who lived in Jacksonville with Gabrielle‘s mother,

Misty Rhue, along with Rhue‘s other daughter, Ashley, and Rhue‘s father and uncle. On February 25, 1996, Lukehart and Rhue spent Sunday afternoon running errands in Rhue‘s car with the two children. When the four returned to their house on Epson Lane, Rhue took two¬year-old Ashley, who had been ill, to her bedroom for a nap, and Lukehart cared for Gabrielle, the baby, in another room. At one point, Lukehart entered the bedroom and took a clean diaper for the baby.

At approximately 5 p.m., Rhue heard her car starting in the driveway, looked out the window, and saw Lukehart driving away in her white Oldsmobile. Rhue searched the house for the baby and did not find her. Thirty minutes later, Lukehart called from a convenience store and told Rhue to call the 911 emergency number because someone in a blue Chevrolet Blazer had kidnapped the baby from the house.

After Rhue called 911, Jacksonville Sheriff‘s Detectives Tim Reddish and Phil Kearney went to the Epson Lane house.

Shortly thereafter, Lukehart appeared without shirt or shoes in

the front yard of the residence of a Florida Highway Patrol trooper in rural Clay County. At about that same time, the car that Lukehart had

been driving was discovered about a block away from the trooper‘s house. The car was off the road and had been abandoned with its engine running. Law enforcement officers from the Clay County Sheriff‘s Office and the Jacksonville Sheriff’s Office interviewed

 

Lukehart and searched in Clay County for the baby during the ensuing eighteen hours. At about noon on Monday, February 26, Lukehart told a lieutenant with the Clay County Sheriff‘s Office that he had dropped the baby on her head and then shook the baby and that the baby had died at Misty Rhue‘s residence. Lukehart said that when the baby died, he panicked, left Rhue‘s residence, and threw the baby in a pond near Normandy Boulevard in Jacksonville. Law enforcement officers searched that area and found the baby‘s body in a pond.

On March 7, 1996, Lukehart was indicted on one count of first-degree murder and one count of aggravated child abuse. The trial was held February 26 and February 27, 1997. During the trial, the State put into evidence the testimony of law enforcement officers who were involved in the search for the baby and who were with Lukehart during the evening of February 25 through the morning of February 26, 1996. The State also presented statements made by Lukehart.

The State presented the testimony of the medical examiner, who testified that the baby‘s body revealed bruises on her head and arm that occurred close to the time of death and that prior to death the baby had received five blows to her head, two of which created fractures.

Lukehart chose to testify in his defense at trial. Before Lukehart testified, the trial court appropriately advised him that he had a right not to testify and that if he did testify, he would be subject to cross-examination. In his testimony, Lukehart said that, while he was changing the baby‘s diaper on the floor at Rhue‘s residence, the baby repeatedly pushed up on her elbows. He forcefully and repeatedly pushed her head and neck onto the floor ?until the last time I did it she just stopped moving, she was just completely still.? Lukehart testified to being six-feet one-inch tall and weighing 225 pounds. He stated that he used ?quite a bit? of force to push the baby down. He testified that he tried mouth-to-mouth resuscitation, and when the baby did not revive, he panicked and grabbed the baby and drove to a rural area. He said that when he stopped and was in the process of getting out of the car, he accidentally hit the baby‘s head on the car door. Lukehart testified that he threw the baby into the pond where her body was found. He admitted that he had not told law enforcement officers the truth in his earlier accounts of the incident and that, although he did not intend to kill the baby, he was

 

responsible for her death. He said that he eventually told Lieutenant Jimm Redmond of the Clay County Sheriff‘s Office that he was

responsible for the baby‘s death and that he had revealed the location of the baby‘s body because ?I felt bad, I felt guilty.?

The jury convicted Lukehart of first-degree murder and aggravated child abuse as charged. At the penalty phase, the State

established that Lukehart had pleaded guilty to felony child abuse for injuring his former girlfriend‘s baby and that Lukehart was on

probation for that prior felony conviction. By a vote of nine to three, the jury recommended death. In its sentencing order, the trial court found that the following three statutory aggravators had been

established: (1) that the murder was committed during commission of the felony of aggravated child abuse; (2) that the victim was under

twelve years of age; and (3) that appellant had a prior violent felony conviction and was on felony probation (two factors merged). The

trial court also found and gave some weight to the statutory mitigators of Lukehart‘s age (twenty-two) and his substantially impaired

capacity to appreciate the criminality of his conduct or to conform his conduct to the requirements of the law. The court found and gave some weight to the following nonstatutory mitigators: Lukehart‘s alcoholic and abusive father; Lukehart‘s drug and alcohol abuse; Lukehart‘s being sexually abused and suicidal as a child; and Lukehart‘s being employed. Finding that aggravators outweighed

mitigators, the court sentenced Lukehart to death for the first-degree murder conviction and to fifteen years‘ imprisonment for the aggravated child abuse conviction.

Lukehart v. State, 776 So. 2d 906, 910-11 (Fla. 2000). On direct appeal, Lukehart raised twelve claims.1 Id. at 911 n.1. This Court affirmed Lukehart‘s convictions

1. Lukehart‘s claims on appeal were: (1) the trial court erred in refusing to suppress Lukehart‘s statements; (2) the trial court erred by limiting cross-examination; (3) Lukehart‘s convictions of first-degree murder and aggravated battery were invalid because of insufficient evidence of premeditation and the lack of a felony independent of the homicide; (4) the trial court erred in instructing the jury on justifiable or excusable

 

and his sentence of death and remanded the case to the trial court for a resentencing on the aggravated child abuse conviction and directed the trial court to complete the sentencing guidelines scoresheet because the trial court had failed to complete the required guidelines scoresheet in imposing Lukehart‘s concurrent fifteen-year prison sentence on the aggravated child abuse conviction. Id. at 927.

Lukehart sought certiorari review before the United States Supreme Court alleging that he was in custody for purposes of Miranda v. Arizona, 384 U.S. 436 (1966), when he was handcuffed by Trooper Richard E. Davis, handcuffed by Deputy Jeff Gardner, and detained under the Baker Act.2 On June 25, 2001, the

homicide; (5) Lukehart‘s death sentence was disproportionate; (6) the trial court erred in finding that the murder in the course of a felony aggravator had been established; (7) the trial court erred in applying the new aggravator of a crime committed while on felony probation; (8) the trial court erred in finding both murder in the course of a felony and that the victim was under twelve as aggravators (improper doubling); (9) the victim-under-twelve aggravator and the standard jury instruction on the aggravator were unconstitutional; (10) the trial court erred in allowing a collateral crime (found to be a prior violent felony) to be a feature of the penalty phase; (11) the prosecutor‘s closing argument comments during the penalty phase were fundamental error; and (12) the trial court erred regarding the sentence for the noncapital conviction and the restitution orders.

2. The Baker Act, also known as the Florida Mental Health Act, provides in part that ?a law enforcement officer shall take a person who appears to meet the criteria for involuntary examination into custody.? § 394.463(2)(a)(2), Fla. Stat. (1995).

 

United States Supreme Court denied certiorari. Lukehart v. Florida, 533 U.S. 934 (2001).

On September 27, 2001, Lukehart filed a shell motion for postconviction relief. The trial court granted the State‘s motion to strike the shell motion as improper.

On June 20, 2002, Lukehart filed a motion to vacate judgment of conviction and sentence pursuant to rules 3.850 and 3.851. In his motion, Lukehart raised seventeen claims.3 On August 26, 2002, the State filed a response to Lukehart‘s

3. In his motion, Lukehart raised the following claims: (1) the trial court erred in striking his shell motion; (2) Florida‘s death penalty statute is unconstitutional and violates Ring v. Arizona, 536 U.S. 584 (2002), and Apprendi v. New Jersey, 530 U.S. 466 (2000); (3) trial counsel was ineffective during the guilt phase and the penalty phase; (4) trial counsel was ineffective for failing to object to jury instructions on the ground that they shifted the burden to the defendant to prove that a life sentence was appropriate; (5) the ?victim under

twelve? aggravator is unconstitutional; (6) the trial court violated the mandates of Caldwell v. Mississippi, 472 U.S. 320 (1985), by informing the jury that their sentencing recommendation was advisory; (7) a Florida rule of professional conduct prohibiting juror interviews is unconstitutional; (8) Florida‘s lethal injection protocol constitutes cruel and unusual punishment and violates the ex post facto clause; (9) Lukehart‘s execution would violate the dictates of Ford v. Wainwright, 477 U.S. 399 (1986); (10) Lukehart‘s death sentence violates Furman v. Georgia, 408 U.S. 238 (1972), and its progeny; (11) Lukehart‘s mental health expert was ineffective under Ake v. Oklahoma, 470 U.S. 68 (1985); (12) the prosecutor‘s comments violated Lukehart‘s right to a fair trial; (13) Florida‘s statute prohibiting the imposition of a sentence of death to be imposed on a mentally retarded defendant, section 921.137, Florida Statutes (2001), violates substantive due process because the statute does not apply retroactively; (14) the imposition of the death penalty on a mentally retarded defendant violates equal

 

motion for postconviction relief. There, the State did not oppose an evidentiary hearing on the third claim regarding Lukehart‘s numerous ineffective assistance of counsel claims. On July 2, 2003, the trial court issued an order setting a Huff4 hearing for September 22, 2003.

Following the Huff hearing, the postconviction court granted an evidentiary hearing on Lukehart‘s third claim only, regarding the alleged ineffectiveness of counsel during the guilt and penalty phases. The evidentiary hearing was conducted on May 9-10, 2007. During the evidentiary hearing, Lukehart called the following witnesses: (1) Dr. Barry M. Crown, (2) Dr. Jack Daniel, (3) Deputy Richard G. Davis, (4) Michael L. Edwards, (5) Amy Grass-Gilmore, (6) Deputy Jeff Gardner, (7) Brenda Page (Page), (8) Stephanie Repko (Repko), (9) Melissa Smith, (10) Bonnie Lukehart, (11) Randall Lukehart, and (12) Andrew Lukehart. The State did not call any witnesses.

On March 27, 2009, following the evidentiary hearing for Lukehart‘s third claim, the postconviction court entered its order denying Lukehart‘s third claim

protection and due process; (15) Lukehart‘s death sentence constitutes cruel and unusual punishment in violation of Atkins v. Virginia, 536 U.S. 304 (2002); (16) the trial court failed to consider mitigating evidence in violation of the Eighth Amendment and Campbell v. State, 571 So. 2d 415, 419 (Fla. 1990); and (17) cumulative error.

4. Huff v. State, 622 So. 2d 982 (Fla. 1993).

 

and summarily denying the remaining sixteen claims. This appeal followed. On appeal, Lukehart raises twelve5 claims in his appeal from the denial of his rule 3.850 motion and also raises three6 claims in his petition for writ of habeas corpus.

ANALYSIS

LUKEHART’S RULE 3.850 CLAIMS

Ineffective Assistance of Counsel

5. In the instant case, Lukehart argues that the postconviction court erred in denying his rule 3.850 motion regarding whether: (1) counsel was ineffective for failing to challenge the prior violent felony aggravator during the penalty phase, (2) counsel was ineffective for failing to file a motion to cease Lukehart‘s medication and a motion for continuance, (3) counsel was ineffective for failing to present Dr. Harry Krop during the guilt phase, (4) Lukehart‘s amended postconviction motion should relate back to the filing of his shell motion, (5) counsel was ineffective for failing to include an additional argument in the motion to suppress, (6) counsel was ineffective for failing to properly argue and object to the jury instructions and the State‘s allegedly improper arguments regarding the instructions, (7) counsel was ineffective pursuant to Caldwell v. Mississippi, 472 U.S. 320 (1985), (8) counsel was ineffective for failing to present live testimony rather than deposition testimony during the penalty phase, (9) counsel was ineffective for failing to object to allegedly improper prosecutorial comments, (10) the rule prohibiting juror interviews is unconstitutional, (11) Florida‘s lethal injection protocols are unconstitutional, and (12) cumulative error is present.

6. In his petition for writ of habeas corpus, Lukehart raises the following three claims: (1) this Court should revisit its prior proportionality review in light of Page‘s uncontroverted testimony at the postconviction evidentiary hearing, (2) Florida‘s lethal injection protocol violates that Eighth Amendment, and (3) the inclusion of pancuronium bromide in Florida‘s lethal injection protocol violates free speech.

Lukehart contends that the postconviction court erred in denying his claims that trial counsel was ineffective. Following the United States Supreme Court‘s decision in Strickland v. Washington, 466 U.S. 668 (1984), this Court has held that for ineffective assistance of counsel claims to be successful, two requirements

must be satisfied:

First, the claimant must identify particular acts or omissions of the lawyer that are shown to be outside the broad range of reasonably competent performance under prevailing professional standards. Second, the clear, substantial deficiency shown must further be demonstrated to have so affected the fairness and reliability of the proceeding that confidence in the outcome is undermined. A court considering a claim of ineffectiveness of counsel need not make a specific ruling on the performance component of the test when it is clear that the prejudice component is not satisfied.

Maxwell v. Wainwright, 490 So. 2d 927, 932 (Fla. 1986) (citations omitted). ?Where this Court has previously rejected a substantive claim on the merits,

counsel cannot be deemed ineffective for failing to make a meritless argument.? Schoenwetter v. State, 46 So. 3d 535, 546 (Fla. 2010).

Standard of Review

Because both prongs of the Strickland test present mixed questions of law and fact, this Court employs a mixed standard of review, deferring to the circuit court‘s factual findings that are supported by competent, substantial evidence, but

 

reviewing the circuit court‘s legal conclusions de novo. See Sochor v. State, 883 So. 2d 766, 771-72 (Fla. 2004).

There is a strong presumption that trial counsel‘s performance was not ineffective. See Strickland, 466 U.S. at 690. ?A fair assessment of attorney performance requires that every effort be made to eliminate the distorting effects of hindsight, to reconstruct the circumstances of counsel‘s challenged conduct, and to evaluate the conduct from counsel‘s perspective at the time.? Id. at 689. The defendant carries the burden to ?overcome the presumption that, under the circumstances, the challenged action ?might be considered sound trial strategy.‘ ? Id. (quoting Michel v. Louisiana, 350 U.S. 91, 101 (1955)). ?Judicial scrutiny of counsel‘s performance must be highly deferential.? Id. at 689. We have held that

?strategic decisions do not constitute ineffective assistance of counsel if alternative courses have been considered and rejected and counsel‘s decision was reasonable under the norms of professional conduct.? Occhicone v. State, 768 So. 2d 1037, 1048 (Fla. 2000).

The Prior Violent Felony Aggravator

In his first claim, Lukehart contends the postconviction court erred in denying this claim because trial counsel rendered ineffective assistance of counsel for failing to present the testimony of Page during the penalty phase trial because

 

her testimony would have mitigated Lukehart‘s prior violent felony aggravator. Lukehart also contends that trial counsel rendered ineffective assistance of counsel for failing to file a rule 3.850 motion to have the prior violent felony vacated or set aside. We disagree.

Lukehart has failed to demonstrate that trial counsel‘s performance was deficient. At the evidentiary hearing, trial counsel testified that he discussed the prior conviction with Lukehart and was aware that Lukehart denied committing that crime. Trial counsel discussed the prior conviction with the attorney who handled that case, who informed trial counsel that she had told Lukehart that he had a good chance of acquittal and advised him not to enter a plea. Trial counsel also obtained and read the Public Defender‘s file in the prior conviction case, including the psychological report and the lawyer‘s notes. After reviewing the file regarding the prior conviction and discussing the case with the assistant public defender who handled the case, trial counsel concluded that Lukehart‘s plea had been knowingly, voluntarily, and intelligently entered. Trial counsel testified that there was no basis to set aside the plea and noted that he had an ethical obligation not to file frivolous motions.

Moreover, to the extent that Lukehart is really raising a residual or lingering doubt claim, Florida does not recognize residual doubt, much less residual doubt as

to the aggravators. See Williamson v. State, 961 So. 2d 229, 237 (Fla. 2007). Counsel cannot be deemed ineffective for failing to pursue a meritless claim. Ferrell v. State, 29 So. 3d 959, 975 (Fla. 2010) (citing Mungin v. State, 932 So. 2d 986, 997 (Fla. 2006)).

Additionally, it appears that Lukehart is also asserting that trial counsel was ineffective for failing to raise a Johnson7 claim. Because Lukehart‘s prior violent felony conviction for child abuse has not been vacated and is still a valid conviction, this is not a cognizable claim. Again, counsel cannot be deemed ineffective for failing to pursue a meritless claim. Ferrell, 29 So. 3d at 976 (citing Mungin, 932 So. 2d at 997).

To the extent that Lukehart argues that counsel was ineffective for failing to mitigate the prior violent felony aggravator during the penalty phase, Lukehart‘s claim is without merit. As explained above, trial counsel conducted a reasonable investigation into the prior violent felony aggravator. Trial counsel chose not to introduce the testimony that was revealed during the evidentiary hearing because it would have opened the door and permitted the prosecution to show that Lukehart admitted to the crime and severely injured another infant on a separate occasion.

7. Johnson v. Mississippi, 486 U.S. 578, 590 (1988) (holding that consideration of a subsequently vacated conviction to support an aggravating factor violates the Eighth Amendment).

 

?Trial counsel is not deficient for failing to present additional testimony that would have informed the jury of negative information about the defendant.? Windom v. State, 886 So. 2d 915, 923 (Fla. 2004) (citing Breedlove v. State, 692 So. 2d 874, 878 (Fla. 1997)). Additionally, trial counsel will not be found to have rendered deficient performance when trial counsel made a reasonable, strategic decision to not present mitigation testimony during the penalty phase that could open the door to other damaging testimony. See Davis v. State, 990 So. 2d 459, 472 (Fla. 2008) (quoting Gaskin v. State, 822 So. 2d 1243, 1248 (Fla. 2002).

A comparison of Page‘s 1994 deposition and her subsequent evidentiary hearing testimony does not reveal the existence of any evidence that would have mitigated the weight of Lukehart‘s prior violent felony aggravator. Rather, it appears that Lukehart wanted to use Page‘s testimony to relitigate the merits of his 1994 conviction. We have previously rejected a similar claim. See Melton v. State, 949 So. 2d 994, 1005 (Fla. 2007) (?Melton may not relitigate the Saylor murder conviction in these proceedings.?).

Further, Lukehart cannot demonstrate prejudice. Prejudice, in the context of penalty phase error, is shown where, absent the error, there is a reasonable probability that the balance of aggravating and mitigating circumstances would have been different or the deficiency substantially impaired or undermined

 

confidence in the outcome of the proceeding. See Smithers v. State, 18 So. 3d 460, 467 (Fla. 2009) (citing Jones v. State, 998 So. 2d 573, 585 (Fla. 2008)). In the instant case, Lukehart has failed to demonstrate any error in trial counsel‘s handling of the prior violent felony conviction that would undermine confidence in the outcome. Notwithstanding Page‘s testimony at the evidentiary hearing, Lukehart has not provided a reasonable explanation for his decision to plead guilty to the prior child abuse charge. Moreover, J.F., the victim of Lukehart‘s prior child abuse charge, was in the exclusive care of Lukehart at the time she sustained her head injuries. Instead, the introduction of Page‘s testimony would likely have caused the jury to conclude that Lukehart had a propensity for harming infants.

Motion to Amend

In his second claim, Lukehart contends that the postconviction court erred in denying his motion to amend the pleadings to conform with the evidence. There, Lukehart alleged that trial counsel was ineffective for failing to file a motion to cease Lukehart‘s medication and a motion for a continuance. Lukehart contends that the trial court erred in denying his motion because information that serves as a basis for this claim did not surface until the evidentiary hearing. We disagree.

?The standard of review for a trial court‘s determination regarding a motion to amend a rule 3.850 motion is whether there was an abuse of discretion.? Huff v.

 

State, 762 So. 2d 476, 481 (Fla. 2000) (citing McConn v. State, 708 So. 2d 308, 310 (Fla. 2d DCA 1998)). Because Lukehart‘s motion for postconviction relief is governed by rule 3.850, we review the postconviction court‘s denial of Lukehart‘s motion to amend for an abuse of discretion.

Pursuant to rule 3.850(f), evidence revealed after the conclusion of an evidentiary hearing is proper in a successive motion for postconviction relief, not in a motion to amend the initial motion for postconviction relief. In his 2007 motion, Lukehart requested that claim three in his motion for postconviction relief be amended to include the as additional subclaims that defense counsel was ineffective for failing to (1) inform the trial court prior to trial that Lukehart was under the influence of prescribed medication, which altered his ability to remember accurately, (2) request that Lukehart‘s medication be withheld, and (3) request a continuance until such time as the effects of the medication wore off. Lukehart did not raise this claim in his initial or amended rule 3.850 motions. Rather, Lukehart raised this claim in his motion to amend the pleadings to conform with the evidence, filed on June 1, 2007. In its order denying relief, the postconviction court acknowledged the existence of Lukehart‘s motion to amend the pleadings to conform with the evidence, but did not discuss the substance of the motion. This claim may be properly raised in a successive motion for postconviction relief.

 

Thus, we conclude that the postconviction court did not abuse its discretion in denying this claim.

Failure to Call Dr. Krop

In his third claim, Lukehart contends that the postconviction court erred in finding that trial counsel was not ineffective for failing to present the testimony of Dr. Krop during Lukehart‘s guilt phase trial. We disagree.

At the evidentiary hearing, trial counsel testified that he presented Dr. Krop during the penalty phase, but that he did not present this testimony during the guilt phase. Trial counsel explained that the prosecutor in this case had a policy not to depose mental health experts who testified in the penalty phase; she just read the expert‘s reports. However, trial counsel testified that if he had listed Dr. Krop as a guilt phase witness, the prosecutor would have deposed him. Trial counsel testified that he was afraid this would open the door to Lukehart‘s conduct after killing the infant and stated that he and Dr. Krop were concerned about revealing Lukehart‘s conduct to the jury because his conduct was the most emotional and extreme at that point. To avoid revealing damaging information through Dr. Krop‘s testimony, trial counsel testified that he had to walk on eggshells during his examination of Dr. Krop at the penalty phase. After the evidentiary hearing, the postconviction court denied Lukehart‘s ineffective assistance of counsel claim

 

regarding the failure to present Dr. Krop during the guilt phase trial, finding that defense counsel‘s decision constituted a reasonable trial strategy. Thus, there is competent, substantial evidence to support the postconviction court‘s finding that this decision was a reasonable trial strategy. Because the decision was reasonable, Lukehart‘s trial counsel was not ineffective under Strickland. See Bowles v. State, 979 So. 2d 182, 188 (Fla. 2008) (citing Gaskin, 822 So. 2d at 1248 (?Trial counsel will not be held to be deficient when she makes a reasonable strategic decision to not present mental mitigation testimony during the penalty phase because it could open the door to other damaging testimony.?)).

Moreover, to the extent Lukehart is raising an ineffective assistance of counsel claim for trial counsel‘s failure to raise the defense of diminished capacity during the guilt phase, we deny relief. We have repeatedly rejected similar claims. See Evans v. State, 946 So. 2d 1, 11 (Fla. 2006) (?[D]efense counsel is not ineffective for failing to present the defense of diminished capacity because diminished capacity is not a viable defense in Florida.?); Hodges v. State, 885 So. 2d 338, 352 n.8 (Fla. 2004) (?This Court has held on numerous occasions that evidence of an abnormal mental condition not constituting legal insanity is inadmissible to negate specific intent.?); Spencer v. State, 842 So. 2d 52, 63 (Fla.

 

2003) (holding that evidence of defendant‘s disassociative state would not have been admissible during the guilt phase).

Motion to Relate Back

In his fourth claim, Lukehart contends that the postconviction court erred in denying his amended postconviction motion to relate back to the filing of his shell motion. We agree.

?[A]ppellate courts apply a de novo standard of review when the construction of a procedural rule . . . is at issue.? Barco v. School Bd. of Pinellas Cnty., 975 So. 2d 1116, 1121 (Fla. 2008).

Florida Rule of Criminal Procedure 3.851(a) provides:

This rule shall apply to all motions and petitions for any type of postconviction or collateral relief brought by a prisoner in state custody who has been sentenced to death and whose conviction and death sentence have been affirmed on direct appeal. It shall apply to all postconviction motions filed on or after October 1, 2001, by prisoners who are under sentence of death. Motions pending on that date are governed by the version of this rule in effect immediately prior to that date.

The record reveals that, on September 27, 2001, Lukehart filed a rule 3.850 shell motion to vacate judgment and sentence. On November 28, 2001, the State filed a motion to dismiss the shell motion. The trial court granted the motion to dismiss on June 17, 2002, and allowed Lukehart to file, on or before June 25, 2002, an amended motion for postconviction relief. Lukehart was given leave to

 

supplement the motion with any additional grounds or to further refine existing grounds based upon public record disclosures that occurred after June 25, 2002. On June 20, 2002, Lukehart filed a motion to vacate judgment of conviction and sentence and a memorandum of law with special request for leave to amend, raising a total of seventeen claims.

On September 23, 2003, Lukehart filed a first amended motion to vacate judgment of conviction and sentence and a memorandum of law with special request for leave to amend and raised a total of seventeen claims. On October 14, 2003, the State filed an objection to the motion to amend the postconviction motion. On October 16, 2003, Lukehart filed a response to the State‘s objection to the motion to amend the postconviction motion.

On February 27, 2007, the trial court entertained Lukehart‘s motion for leave to amend. The State filed a second objection to Lukehart‘s motion to amend his postconviction motion. On March 5, 2007, the trial court entered an order granting the Lukehart‘s motion for leave to amend.

In Lukehart‘s first amended motion to vacate judgment and sentence,

Lukehart requested that the court reinstate his shell motion as it was filed prior to

October 1, 2001. In addition, Lukehart requested the postconviction court to allow

 

his amended motion to relate back to the time of the filing of his shell motion in order to expand his time to file for federal habeas relief.

Clearly, Lukehart‘s shell motion was filed September 27, 2001. Additionally, as the trial court did not deny his shell motion until June 17, 2002, his shell motion was pending on October 1, 2001. Thus, Lukehart‘s motion for postconviction relief is governed by rule 3.850, and the trial court erred in finding otherwise.

Moreover, numerous postconviction cases in Florida refer to a defendant‘s shell motion and subsequent filing of an amended motion for postconviction relief. See Hartley v. State, 990 So. 2d 1008, 1011 (Fla. 2008) (shell motion filed initially, amended motion filed later); Branch v. State, 952 So. 2d 470, 474 (Fla. 2006) (shell motion filed on May 7, 1998, and second amended motion filed April 1, 2003); Miller v. State, 926 So. 2d 1243, 1248 (Fla. 2006) (shell motion filed September 27, 2001, and amended motion filed March 11, 2002); Knight v. State, 923 So. 2d 387, 415 (Fla. 2005) (shell motion filed November 7, 2000, and amended motion filed August 23, 2002); Howell v. State, 877 So. 2d 697, 700 (Fla. 2004) (filed a shell motion initially, followed by a amended motion); Finney v. State, 831 So. 2d 651, 656 (Fla. 2002) (shell motion filed in 1997 and amended motion filed in 1999); Washington v. State, 835 So. 2d 1083, 1085 (Fla. 2002)

 

(shell motion filed in 1997 and amended motion filed in 1999); Moore v. State, 820 So. 2d 199, 206 n.7 (Fla. 2002) (shell motion filed March 26, 1999, and amended motion filed June 22, 1999).

In Bryant v. State, 901 So. 2d 810 (Fla. 2005), this Court noted that Florida Rule of Civil Procedure 1.190(c)8 applies to postconviction cases and concluded that Bryant‘s amended motion would have related back to the date of Bryant‘s original filing. Id. at 818. Similarly, in Spera v. State, 971 So. 2d 754, 761-62 (Fla. 2007), this Court relied on Bryant and noted that in Bryant, ?[w]hat we disapproved was the court‘s failure, when striking the original motion, to grant leave to amend at that time so that the amended motion would relate back to the date of the original.? Spera, 971 So. 2d at 760-61. To accomplish this end, this Court concluded that it would ?allow all defendants an opportunity to amend facially insufficient postconviction claims.? Id. at 761. Accordingly, we reverse the postconviction court‘s finding and instead conclude that Lukehart‘s motion for postconviction relief is governed by rule 3.850 and his amended motion relates back to the date of his original filing.

8. Rule 1.190(c) provides that ?[w]hen the claim or defense asserted in the amended pleading arose out of the conduct, transaction, or occurrence set forth or attempted to be set forth in the original pleading, the amendment shall relate back to the date of the original pleading.?

 

Motion to Suppress

In his fifth claim, Lukehart asserts that the postconviction court erred in denying his claim that counsel was ineffective for failing to include an additional argument in the motion to suppress. Lukehart contends that trial counsel should have argued that law enforcement officers took Lukehart into custody under the Baker Act as a pretext to an arrest in violation of his Fourth and Fifth Amendment rights, and thus any statements he made should have been suppressed. We disagree.

The Florida Mental Health Act, commonly known as the Baker Act, is a civil commitment law that provides:

(1) CRITERIA.—A person may be taken to a receiving facility for involuntary examination if there is reason to believe that the person has a mental illness and because of his or her mental illness:

(a) 1. The person has refused voluntary examination after conscientious explanation and disclosure of the purpose of the examination; or

2. The person is unable to determine for himself or herself whether examination is necessary; and

(b) 1. Without care or treatment, the person is likely to suffer from neglect or refuse to care for himself or herself; such neglect or refusal poses a real and present threat of substantial harm to his or her well-being; and it is not apparent that such harm may be avoided through the help of willing family members or friends or the provision of other services; or

2. There is a substantial likelihood that without care or treatment the person will cause serious bodily harm to himself or

herself or others in the near future, as evidenced by recent behavior.

 

§ 394.463, Fla. Stat. (2010).

Based on the language of the Baker Act, Lukehart‘s own testimony, and the testimony given by law enforcement officers at both the suppression hearing and at the evidentiary hearing, it is clear that Lukehart was not taken into custody under the Baker Act as a pretext to an arrest for the disappearance of Hanshaw. The record reveals that during his initial encounter with law enforcement officers immediately following Hanshaw‘s disappearance, Lukehart informed the officers that he had attempted suicide earlier that day. As a result, Lukehart was detained pursuant to the Baker Act. Lukehart contends that law enforcement‘s failure to take him to a receiving facility establishes that the Baker Act detention was pretextual and that any statements that he made were obtained in violation of his constitutional rights. One law enforcement officer testified that Lukehart‘s neck was red. Law enforcement also found Lukehart‘s abandoned car, which Lukehart ran off of the road. Further, law enforcement officers testified that he was not even a suspect in Hanshaw‘s disappearance until after 10:30 a.m. on February 26, 1996, when he told a detective that he knew where Hanshaw‘s body was located.

On direct appeal, after an extensive review of the suppression hearing testimony, this Court concluded that there was competent, substantial evidence to support the trial court‘s denial of Lukehart‘s motion to suppress. Lukehart, 776

 

So. 2d at 918. This Court explicitly considered and rejected the notion that Lukehart was under arrest when he made the statements he sought to suppress and concluded that he intelligently and voluntarily waived his constitutional rights. Because Lukehart was not under arrest for purposes of the Fourth Amendment, probable cause is not implicated in this case. Therefore, Lukehart‘s argument that he was unlawfully seized because law enforcement lacked probable cause is without merit. See, e.g., Wong Sun v. United States, 371 U.S. 471, 479 (1963) (noting that all arrests are unlawful under the Fourth Amendment unless accompanied by probable cause).

Moreover, at the evidentiary hearing, Lukehart had the opportunity to present evidence of the local policy governing the Baker Act. However, Lukehart failed to do so. As a result, it is not clear whether a local policy actually existed or, if there was a local policy, whether there was a violation of the local policy. Thus, Lukehart‘s reliance on Florida v. Wells, 495 U.S. 1 (1990) (concluding that marijuana was properly suppressed because the absence of local policy for the inventory search caused it to be insufficiently regulated for Fourth Amendment purposes), is misplaced and this claim fails for lack of proof.

In Jenkins v. State, 978 So. 2d 116 (Fla. 2008), this Court specifically

addressed the applicability of the exclusionary rule as a remedy for a violation of a

 

statutory provision. Id. at 120-21. There, this Court recognized federal caselaw recognizing that whether evidence discovered in violation of a statute is subject to suppression depends on the legislative intent. Id. at 128. This Court also acknowledged Florida caselaw permitting suppression of evidence where the legislature clearly and unequivocally announced its intention to suppress the evidence for a violation of the statute. Id. at 129. Finally, this Court examined the specific statute and determined that the legislature did not express a clear and unequivocal intent to permit suppression of evidence for a violation of that specific statute. Id. at 130. Thus, this Court concluded that the exclusionary rule was inapplicable to remedy violations of the statute. Id.

Even if trial counsel had included the local policy to demonstrate that a violation occurred, the trial court still would have denied the motion to suppress, and its denial would have been affirmed on appeal. See Fotopoulos v. State, 838 So. 2d 1122, 1130-31 (Fla. 2002); Engle v. Dugger, 576 So. 2d 696 (Fla. 1991) (a court will not label counsel ineffective for failing to raise meritless claims); Card v. State, 497 So. 2d 1169 (Fla.1986).

A review of section 394.453, Florida Statutes (1995), reveals that the

legislature did not express a clear and unequivocal intent to permit suppression of

 

evidence for a violation of the Baker Act. Section 394.453 defines the legislative intent of the statute and provides:

(1)(a) It is the intent of the Legislature to authorize and direct the Department of Health and Rehabilitative Services to evaluate,

research, plan, and recommend to the Governor and the Legislature programs designed to reduce the occurrence, severity, duration, and disabling aspects of mental, emotional, and behavioral disorders. The department is directed to implement and administer mental health

programs as authorized and approved by the Legislature, based on the annual program budget of the department. It is the further intent of the Legislature that programs of the department coordinate the development, maintenance, and improvement of receiving and

community treatment facilities within the programs of the district as authorized by the Community Alcohol, Drug Abuse, and Mental Health Services Act, part IV of this chapter. Treatment programs shall include, but not be limited to, comprehensive health, social,

educational, and rehabilitative services to persons requiring intensive short-term and continued treatment in order to encourage them to

assume responsibility for their treatment and recovery. It is intended that patients be provided with emergency service and temporary

detention for evaluation when required; that patients be admitted to treatment facilities on a voluntary basis when extended or continuing care is needed and unavailable in the community; that involuntary

placement be provided only when expert evaluation determines that it is necessary; that any involuntary treatment or examination be accomplished in a setting which is appropriate, most likely to

facilitate proper care and treatment that would return the patient to the community as soon as possible, and the least restrictive of the patient‘s liberty; and that individual dignity and human rights be

guaranteed to all persons admitted to mental health facilities or being detained under s. 394.463. It is further the intent of the Legislature

that the least restrictive means of intervention be employed based on the individual needs of each patient within the scope of available services.

 

(b) It is the intent of the Legislature that all mental health personnel working in public or private mental health programs and facilities who have direct contact with unmarried patients under the age of 18 years shall be of good moral character.

(2) The Department of Health and Rehabilitative Services shall assume the responsibility for designing and distributing appropriate

materials for the orientation and training of persons actively engaged in implementing the provisions of this chapter relating to the involuntary placement of persons alleged to be mentally ill. The department is further directed to ensure that no civil patient is admitted to a state treatment facility unless previously evaluated and

found to meet the criteria for admission by a community-based public receiving facility or by a community mental health center or clinic in cases in which the public receiving facility is not a community mental health center or clinic. Nothing in this act shall be construed to affect any policies relating to admission to hospital staff.

§ 394.453, Fla. Stat. (1995). The legislative intent has since been amended; however, it is still devoid of a clear, unequivocal intent that the exclusionary rule operate to suppress any evidence obtained during a violation of the Baker Act. As a result, it appears that the postconviction court correctly found that the exclusionary rule is not a remedy for a violation of section 394.453 unless a constitutional violation has also occurred. Therefore, even if trial counsel had raised this argument in Lukehart‘s motion to suppress, the motion still would have been denied and its denial affirmed on appeal on that basis. Accordingly, Lukehart cannot demonstrate prejudice.

 

Similarly, Lukehart cannot demonstrate deficient performance. To establish deficient performance, the defendant must establish that ?counsel made errors so serious that counsel was not functioning as the ?counsel‘ guaranteed the defendant by the Sixth Amendment.? Strickland, 466 U.S. at 687; see also Cherry v. State, 659 So. 2d 1069, 1072 (Fla.1995). Below, the postconviction court granted an evidentiary hearing on this claim and concluded that the exclusionary rule was inapplicable to a violation of local policy under the Baker Act. Thus, trial counsel cannot be deficient for failing to submit evidence of the local policy. See Harvey v. State, 946 So. 2d 937, 945 (Fla. 2006) (concluding that trial counsel was not deficient for failing to submit a booking sheet in support of the motion to suppress where it was determined that the booking sheet would not have been helpful because it established that Harvey signed the booking sheet after he made incriminating statements). Accordingly, we affirm the postconviction court‘s denial of relief.

Improper Jury Instruction

In his sixth claim, Lukehart contends that trial counsel was ineffective for failing to object to the felony murder instruction because (1) there were confusing terms in the standard instruction regarding the specific intent requirement of the aggravated battery charge, (2) the State‘s closing remarks regarding the term

?intentional? diminished the State‘s responsibility to prove intent, especially after the State had agreed in the charge conference that the elements required the term ?intentional,? and (3) counsel should have renewed the defense‘s request for an instruction to clarify ?intent? to the jury after the State‘s remarks during closing argument at the guilt phase. For the reasons below, this claim is without merit.

In the instant case, the jury instruction for the aggravated child abuse count was consistent with the language contained in the statute. Further, Florida Standard Jury Instruction (Criminal) 16.2 provides the proper instruction for the crime of aggravated child abuse. At trial, the trial court used identical language, reciting the Standard Jury Instruction verbatim, when instructing the jury on this count. This Court has stated that it is ?not deficient performance when counsel fails to object to a standard instruction that has not been invalidated by this Court.? Griffin v. State, 866 So. 2d 1, 15 (Fla. 2003). Florida Standard Jury Instruction (Criminal) 16.2 has not been invalidated by this Court. Thus, any objection that trial counsel would have made to the jury instruction would have been overruled and affirmed on appeal. As a result, the postconviction court did not err in denying this claim because counsel cannot be deemed ineffective for failing to make a meritless argument. See Evans v. State, 975 So. 2d 1035, 1043 (Fla. 2007) (citing Melendez v. State, 612 So. 2d 1366, 1369 (Fla. 1992)).

 

In this case, there was evidence of at least four, possibly five, blows to the victim‘s skull. As a result, Brooks v. State, 918 So. 2d 181 (Fla. 2005) (discussing whether one act of child abuse that simultaneously causes death can support a felony murder conviction), is inapplicable. Thus, this claim is without merit.

Second, Lukehart argues that trial counsel was ineffective for failing to object to the following underlined comments by the State because the comments diminished the State‘s responsibility to prove intent:

To find him guilty of aggravated child abuse by committing aggravated battery upon the child it is our burden, mine and Miss Radi, to prove this defendant committed a battery against Gabrielle Hanshaw by intentionally causing bodily harm. And Mr. Edwards wants you to believe that the word intentional is tantamount to premeditation or tantamount to some sort of a motive.

. . . .

But I think Mr. Edwards wants to make us prove motive when he tries to say that intentionally means we‘ve got to show that he wanted to do her harm. How do you do that, ladies and gentlemen? Because actions speak louder than words. All of his words about loving Gabrielle do not speak nearly as loudly as the fact that he picked – - hit her head against something more than four times,

probably five, and that he threw her in a swamp. That‘s what you call an intentional act causing bodily harm to Gabrielle Hanshaw. And that while doing that, he knowingly did cause her great bodily harm and that she was under the age of 18 years.

. . . .

And remember, the state does not have to prove motive either for premeditated murder or to show that he intentionally caused the harm.

The felony murder statue is absent of any language requiring that the perpetrator demonstrate an intent to murder the child. Rather, the statute explicitly permits a person who murders a child during the course of aggravated child abuse to be charged with first-degree murder, a capital felony. The allegedly improper comments, when read in context, are not improper and do not diminish the State‘s responsibility to prove intent. Rather, the comments are correct statements of law and are used to distinguish premeditated murder and motive from the requirements for aggravated child abuse and felony murder. Any objection to these comments would have been overruled and the ruling would have been affirmed on appeal. Thus, Lukehart has failed to demonstrate that defense counsel was ineffective for failing to object to the State‘s comments regarding the word ?intentional.?

Third, Lukehart argues that defense counsel was ineffective for failing to renew the request for an instruction to clarify ?intent? to the jury after the State‘s guilt phase remarks. Based on the aforementioned analysis, Lukehart cannot demonstrate ineffective assistance of counsel. Thus, this claim is without merit. Accordingly, we deny relief.

Lukehart‘s Caldwell Claim

In his seventh claim, Lukehart contends that the postconviction court erred in denying his claim that counsel rendered ineffective assistance in failing to object

 

when the trial court instructed the jury that their penalty phase role and recommendation were purely advisory. We disagree. This Court has repeatedly stated that Caldwell claims are proper on direct appeal and cannot be raised for the first time on collateral review. See Hitchcock v. State, 991 So. 2d 337, 361 (Fla. 2008); Jones v. State, 928 So. 2d 1178, 1183 n.5 (Fla. 2006); Teffeteller v. Dugger, 734 So. 2d 1009, 1026 (Fla. 1999). The record reveals that Lukehart did not raise this claim on direct appeal. Accordingly, we affirm the postconviction court‘s summary denial of Lukehart‘s Caldwell claim.

Deposition Testimony

In his eighth claim, Lukehart argues that the postconviction court erred in denying his claim that counsel was ineffective for presenting deposition testimony rather than live testimony from five witnesses during Lukehart‘s penalty phase trial. We disagree.

At the evidentiary hearing, Lukehart established that only one of the witnesses, Repko, was available for purposes of presenting live testimony and that Lukehart could only elicit live testimony from Repko. ?A defendant cannot establish ineffective assistance of counsel based on counsel‘s failure to call a witness who is unavailable.? White v. State, 964 So. 2d 1278, 1286 (Fla. 2007) (citing Melton v. State, 949 So. 2d 994, 1004 (Fla. 2006)). Thus, we decline to

 

address whether counsel was ineffective for failing to present the live testimony of the four other witnesses that Lukehart includes in this claim.

With regard to counsel‘s presentation of Repko‘s deposition testimony rather than live testimony, Lukehart cannot demonstrate ineffective assistance. Trial counsel cannot be deemed ineffective for failing to present testimony from the evidentiary hearing that was virtually identical to the testimony presented during the penalty phase. See Pietri v. State, 885 So. 2d 245, 267 (Fla. 2004) (concluding that trial counsel was not ineffective for failing to present evidence presented during the evidentiary hearing that was wholly cumulative to the evidence presented during the trial proceedings); Henyard v. State, 883 So. 2d 753, 759, 761 (Fla. 2004) (concluding that counsel was not ineffective where the evidentiary hearing testimony was cumulative of the testimony at the penalty phase).

Furthermore, the record shows this is not a case where trial counsel failed to investigate and present available mitigating evidence. The trial court‘s findings of mitigation directly refute such a claim. Lukehart does not allege that counsel made no attempt to investigate mitigation or that he failed to present something he otherwise uncovered. Further, Lukehart fails to allege that any additional mitigating or nonstatutory mitigating factors would have been found or supported by Repko‘s testimony. He also argues that Repko‘s testimony would have

 

challenged the weight of the aggravators found in this case; however, he fails to state with specificity which aggravators would have been affected. Under these circumstances, it appears Lukehart has shown no error in the trial court‘s holding that Lukehart failed to demonstrate that counsel was deficient. See, e.g., Taylor v. State, 3 So. 3d 986, 992 (Fla. 2009); Waterhouse v. State, 792 So. 2d 1176, 1182 (Fla. 2001).

As revealed by the record, trial counsel travelled to Pennsylvania and deposed numerous family members. Trial counsel obtained mitigating evidence regarding Lukehart‘s age and the physical and sexual abuse he suffered as a child, as well as evidence that he could not appreciate the criminality of his conduct, that his maturity level was below his age, and that he was gainfully employed at the time of the murder. The trial court gave the mitigation some weight. Trial counsel‘s conduct appears to have been reasonable and does not appear to have fallen below the norms of professional conduct. This evidence supported the trial court‘s finding of two statutory and four nonstatutory mitigators. Because the additional testimony at the evidentiary hearing was largely cumulative, the failure to present the additional testimony does not undermine confidence in the outcome ?when viewed in the context of the penalty phase evidence and the mitigators and aggravators found by the trial court.? Hurst v. State, 18 So. 3d 975, 1013 (Fla.

2009). Thus, to the extent Lukehart alleges trial counsel was ineffective for failing to properly investigate mitigation evidence, he is not entitled to relief, because he cannot demonstrate either deficient performance or prejudice. Accordingly, we affirm the postconviction court‘s denial of this claim.

Improper Prosecutorial Comments

In his ninth claim, Lukehart contends that the postconviction court erred in denying his ineffective assistance of counsel claim regarding trial counsel‘s failure to object to allegedly improper prosecutorial comments. We disagree.

Florida jurisprudence permits wide latitude in arguing to a jury. Moore v. State, 701 So. 2d 545, 551 (Fla. 1997) (citing Breedlove v. State, 413 So. 2d 1, 8 (Fla. 1982)). ?Logical inferences may be drawn, and counsel is allowed to advance all legitimate arguments.? Thomas v. State, 748 So. 2d 970, 984 (Fla. 1999) (citing Breedlove, 413 So. 2d at 8).

First, the postconviction court properly denied this claim as procedurally barred because it could have and should have been raised on direct appeal. See Spencer, 842 So. 2d at 60-61 (substantive claims of prosecutorial misconduct could and should have been raised on direct appeal and thus were procedurally barred from consideration in a postconviction motion).

 

Second, three of the allegedly improper comments were addressed by this Court on direct appeal. Lukehart, 776 So. 2d at 925, 927. There, we concluded that the claim was procedurally barred because the issue was not preserved by a contemporaneous objection. Id. at 927. However, on direct appeal we also

explained that even if the claim had not been procedurally barred, it would have been found without merit because the comments did not amount to fundamental error. Id. ?A fundamental error is defined as an error that ?reaches down into the validity of the trial itself to the extent that a verdict of guilty could not have been obtained without the assistance of the alleged error.‘ ? Spencer, 842 So. 2d at 73 (quoting Kilgore v. State, 688 So. 2d 895, 898 (Fla. 1996)). ?[E]ach case must be considered upon its own merits and within the circumstances pertaining when the questionable statements are made . . . .? Darden v. State, 329 So. 2d 287, 291 (Fla. 1976). Thus, Lukehart cannot demonstrate prejudice as to those comments.

Juror Interviews

In his tenth claim, Lukehart challenges the postconviction court‘s summary denial of his constitutional challenge to rule 4-3.5(d)(4) of the Rules Regulating the Florida Bar. We find this claim without merit. Rule 4-3.5(d)(4) precludes a lawyer from initiating communication or causing another to initiate communication with any member of the jury ?except to determine whether the verdict may be

 

subject to legal challenge.? As the postconviction court properly found, this claim is procedurally barred because it could have and should have been raised on direct appeal. See Reese v. State, 14 So. 3d 913, 919 (Fla. 2009) (holding that defendant‘s constitutional challenge to rule 4-3.5(d)(4) was procedurally barred because it should have been raised on direct appeal) (citing Israel v. State, 985 So. 2d 510, 522 (Fla. 2008)). Accordingly, we affirm the postconviction court‘s denial of this claim.

Florida‘s Lethal Injection Protocols

In his eleventh claim, Lukehart claims the postconviction court erred in summarily denying his challenge to the constitutionality of Florida‘s lethal injection protocols. As Lukehart correctly concedes, this Court has repeatedly rejected this claim. See, e.g., Davis v. State, 26 So. 3d 519, 525 n.3 (Fla. 2009), cert. denied, 130 S.Ct. 3509 (2010); Reese, 14 So. 3d at 919; Tompkins v. State, 994 So.2d 1072, 1081 (Fla. 2008). ?Florida‘s current lethal injection protocol passes muster under any of the risk-based standards considered by the Baze Court (and would easily satisfy the intent-based standard advocated by justices Thomas and Scalia).? Schoenwetter v. State, 46 So. 3d 535, 550 (Fla. 2010) (emphasis omitted) (quoting Ventura v. State, 2 So. 3d 194, 200 (Fla. 2009)). Accordingly, we affirm the postconviction court‘s denial of this claim.

Cumulative Error

In his twelfth claim, Lukehart contends that the postconviction court erred in finding that cumulative error was not present. This Court has repeatedly held that where the alleged errors, when viewed individually, are ?either procedurally barred or without merit, the claim of cumulative error also necessarily fails.? Israel, 985 So. 2d at 520 (quoting Parker v. State, 904 So. 2d 370, 380 (Fla. 2005)). If multiple errors are found and deemed harmless individually, this Court has recognized that the cumulative effect of such errors may ?deny to defendant the fair and impartial trial that is the inalienable right of all litigants.? Brooks v. State, 918 So. 2d 181, 202 (Fla. 2005) (quoting Jackson v. State, 575 So. 2d 181, 189 (Fla. 1991)). Where several errors are identified, this Court ?considers the cumulative effect of evidentiary errors and ineffective assistance claims together.? Suggs v. State, 923 So. 2d 419, 441 (Fla. 2005) (citing State v. Gunsby, 670 So. 2d 920, 924 (Fla. 1996)). In the instant case, only one of the alleged errors has merit—Lukehart‘s claim that the trial court erred in finding that Lukehart‘s amended motion did not relate back to the date of his original shell motion. This error, standing alone, did not deprive Lukehart of a fair and impartial trial and does not warrant reversal. Thus, Lukehart is not entitled to relief. Accordingly, we

 

affirm the postconviction court‘s denial of Lukehart‘s motion for postconviction relief.

PETITION FOR WRIT OF HABEAS CORPUS

Proportionality

Lukehart challenges this Court‘s proportionality determination from the direct appeal, and again, is also attempting to relitigate the validity of the underlying prior violent felony conviction that was used as an aggravator. This claim is procedurally barred, as it was raised and rejected on direct appeal. See Ferrell v. State, 918 So. 2d 163, 178 (Fla. 2005) (citing Smith v. State, 445 So. 2d 323, 325 (Fla. 1983) (?Issues which either were or could have been litigated at trial and upon direct appeal are not cognizable through collateral attack.?)); see also Allen v. State, 854 So. 2d 1255, 1262 (Fla. 2003) (finding inmate was precluded from raising claim relating to proportionality review in habeas petition as claim had already been raised and rejected on direct appeal). Accordingly, we deny habeas relief on this claim.

Florida‘s Lethal Injection Protocol

Next, Lukehart alleges that this Court should grant habeas relief because new scientific evidence makes clear that the existing procedure for lethal injection is unconstitutional. We disagree. This issue was previously raised in Lukehart‘s

 

motion for postconviction relief. The postconviction court summarily denied this issue. Lukehart also contemporaneously raises the eleventh issue of his accompanying appeal from the denial of his rule 3.850 motion for postconviction relief. ?Habeas petitions are the proper vehicle to advance claims of ineffective assistance of appellate counsel. However, claims of ineffective assistance of appellate counsel may not be used to camouflage issues that could and should have been presented on direct appeal or in a proper postconviction motion.? Davis v. State, 928 So. 2d 1089, 1126 (Fla. 2005) (citations omitted) (citing Rutherford v. Moore, 774 So. 2d 637, 643 (Fla. 2000)); Thompson v. State, 759 So. 2d 650, 660 (Fla. 2000)). Thus, this claim is procedurally barred. Accordingly, we deny habeas relief on this claim.

Free Speech

Finally, Lukehart urges this Court to grant his petition for writ of habeas corpus and argues that the administration of pancuronium bromide during the lethal injection procedure will violate his right to free speech because it will render him unable to communicate any feeling of pain that may result if the execution is improperly performed. This Court has considered and repeatedly rejected similar claims. See, e.g., Rolling v. State, 944 So. 2d 176, 180 (Fla. 2006); Rutherford v.

 

State, 926 So. 2d 1100, 1115 (Fla. 2006). Thus, we deny habeas relief on this claim.

Accordingly, we affirm the postconviction court‘s denial of rule 3.850 relief and we deny habeas relief.

It is so ordered.

PARIENTE, LEWIS, POLSTON, LABARGA, and PERRY, JJ., concur. CANADY, C.J., concurs in result.

QUINCE, J., recused.

NOT FINAL UNTIL TIME EXPIRES TO FILE REHEARING MOTION, AND IF FILED, DETERMINED.

Two Cases:

An Appeal from the Circuit Court in and for Duval County,

William Arthur Wilkes, Judge – Case No. 16-1996-CF-2645AX

Michael P. Reiter, Venice, Florida,

for Appellant/Petitioner

Pamela Jo Bondi, Attorney General, and Charmaine M. Millsaps, Assistant Attorney General, Tallahassee, Florida,

for Appellee/Respondent

 

 

MICHAEL LASHER, Appellant, v. STATE OF FLORIDA, Appellee.

Wednesday, June 22nd, 2011

DISTRICT COURT OF APPEAL OF THE STATE OF FLORIDA

FOURTH DISTRICT

January Term 2011

MICHAEL LASHER,

Appellant,

v.

STATE OF FLORIDA,

Appellee.

No. 4D10-2714

[June 22, 2011]

PER CURIAM.

Affirmed. See Flowers v. State, 54 So. 3d 1049 (Fla. 4th DCA 2011) (holding that Arizona v. Gant, 129 S. Ct. 1710 (2009), does not apply retroactively to cases on collateral review); State v. Harris, 58 So. 3d 408 (Fla. 1st DCA 2011) (holding suppression was not warranted under good faith exception to exclusionary rule where vehicle search was conducted prior to issuance of Gant).

WARNER, CIKLIN and CONNER, JJ., concur.

* * *

Appeal of order denying rule 3.850 motion from the Circuit Court for the Seventeenth Judicial Circuit, Broward County; Michael A. Usan, Judge; L.T. Case No. 07-3344 CF10A.

Michael Lasher, Blountstown, pro se.

No appearance required for appellee.

Not final until disposition of timely filed motion for rehearing.