                                                                    FILED
                                                        United States Court of Appeals
                                                                Tenth Circuit

                                    PUBLISH                  November 18, 2013
                                                            Elisabeth A. Shumaker
                     UNITED STATES COURT OF APPEALS             Clerk of Court

                                  TENTH CIRCUIT



 BENJAMIN COLE,

          Petitioner-Appellant,

 v.
                                                      No. 11-5133
 ANITA TRAMMELL, Warden,
 Oklahoma State Penitentiary, *

           Respondent-Appellee.



           APPEAL FROM THE UNITED STATES DISTRICT COURT
             FOR THE NORTHERN DISTRICT OF OKLAHOMA
                    (D.C. No. 4:08-CV-00328-CVE-PJC)


Thomas Kenneth Lee, Assistant Federal Public Defender, (Robert S. Jackson,
Assistant Federal Public Defender, with him on the briefs), Oklahoma City,
Oklahoma, for Petitioner-Appellant.

Jennifer J. Dickson, Assistant Attorney General, (E. Scott Pruitt, Attorney
General of Oklahoma, with her on the brief), Oklahoma City, Oklahoma, for
Respondent-Appellant.


Before BRISCOE, Chief Judge, LUCERO and HOLMES, Circuit Judges.




      *
        Pursuant to Fed. R. App. P. 43(c)(2), Anita Trammell, who was appointed
Warden of Oklahoma State Penitentiary on February 28, 2013, is automatically
substituted for Randall G. Workman as Respondent in this case.
BRISCOE, Chief Judge.

      Petitioner Benjamin Cole, an Oklahoma state prisoner convicted of one

count of first degree murder of a child and sentenced to death, appeals from the

district court’s denial of his petition for writ of habeas corpus filed pursuant to 28

U.S.C. § 2254. Exercising jurisdiction pursuant to 28 U.S.C. § 1291, we affirm

the district court’s denial of federal habeas relief.

                                           I

                                 Factual background

      On the evening of December 20, 2002, Cole’s nine-month-old daughter,

Brianna Cole, began having trouble breathing. Cole “performed CPR and

instructed his wife to call 911.” Cole v. State, 164 P.3d 1089, 1095 (Okla. Crim.

App. 2007) (Cole I). Rescue efforts failed, however, and Brianna died. A

subsequent autopsy revealed that “Brianna’s spine had been snapped in half, and

her aorta had been completely torn through due to non-accidental stretching.” Id.

at 1092. “The official cause of death was described as a fracture of the spine with

aortic laceration.” Id. Cole “initially told authorities that on the night in question

he went to calm his crying infant without any particular untoward incident

occurring.” Id. at 1095. But when he “was later confronted with the autopsy

results and placed under arrest,” id., Cole “admitted causing the fatal injuries,” id.

at 1092. “In a statement he gave to police, [Cole] said he’d been trying,

unsuccessfully, to get the child, who was lying on her stomach, to stop crying.”

                                           2
Id. Cole “eventually grabbed [Brianna] by the ankles and pushed her legs toward

her head until she flipped over.” Id. “This action broke [her] back and resulted

in [the] fatal injuries.” Id. Cole “took no remedial action just after this incident

happened.” Id. Instead, “[h]e went and played video games, denied anything was

wrong with [Brianna] when confronted by his wife, and said nothing to rescue or

medical personnel about what had happened.” Id.

                               Cole’s trial proceedings

      On December 26, 2002, Cole was charged by felony information in the

District Court of Rogers County, Oklahoma, with one count of first degree murder

of a child, in violation of Okla. Stat. tit. 21, § 701.7(c). On November 20, 2003,

the State filed a bill of particulars alleging the existence of three aggravating

circumstances: (1) Cole was previously convicted of a felony involving the use or

threat of violence to the person;1 (2) the murder was especially heinous, atrocious

or cruel; and (3) the existence of a probability that Cole would commit criminal

acts of violence that would constitute a continuing threat to society.

      The case proceeded to trial in October 2004. At the conclusion of the first-

stage evidence, the jury found Cole guilty of murder in the first degree. At the

conclusion of the second-stage evidence, the jury found the existence of two of



      1
        This alleged aggravator was based upon Cole’s prior conviction for
willful and unlawful infliction of cruel and inhuman corporal punishment of his
then-six-month-old son, Benjamin Robert Cole, Jr.

                                           3
the three aggravating factors alleged in the bill of particulars — the murder was

especially heinous, atrocious or cruel, and that Cole had been previously

convicted of a felony involving the use or threat of violence to the person — and

fixed Cole’s punishment at death.

      On December 8, 2004, the state trial court, in accordance with the jury’s

second-stage verdict, sentenced Cole to death. Judgment in the case was entered

that same day.

                                Cole’s direct appeal

      Cole filed a direct appeal with the OCCA asserting thirteen propositions of

error. On July 11, 2007, the OCCA issued a published opinion affirming Cole’s

conviction and death sentence. Cole I, 164 P.3d at 1102.

                 Cole’s application for state post-conviction relief

      On February 28, 2007, prior to the resolution of his direct appeal, Cole

filed an application for state post-conviction relief with the OCCA asserting five

propositions of error. On January 24, 2008, the OCCA issued an unpublished

opinion denying Cole’s application. Cole v. State of Okla., No. PCD-2005-23

(Okla. Crim. App. Jan. 24, 2008) (Cole II).

                        Cole’s federal habeas proceedings

      Cole initiated these federal habeas proceedings on June 2, 2008, by filing

motions for appointment of counsel and for leave to proceed in forma pauperis.

Those motions were granted and, on May 15, 2009, Cole’s appointed counsel

                                         4
filed a petition for writ of habeas corpus pursuant to 28 U.S.C. § 2254. The

petition asserted fourteen grounds for relief.

      On September 1, 2011, the district court issued an opinion and order

denying Cole’s petition, but granting him a certificate of appealability (COA)

with respect to five issues: an alleged breakdown in communications between

Cole and his defense counsel; defense counsel’s failure to investigate and present

additional mitigating evidence; improper admission of photographs of the victim;

sufficiency of the evidence to support the heinous, atrocious or cruel aggravator;

and prosecutorial misconduct. Judgment in the case was entered that same day.

      Cole filed a timely notice of appeal. This court subsequently expanded the

COA to include the issue of cumulative error. Cole has since filed a motion to

further expand the COA to include the issue of his competency to stand trial.

                                            II

                                  Standard of review

      Because Cole’s habeas petition was filed after the effective date of the

Antiterrorism and Effective Death Penalty Act of 1996 (AEDPA), both the district

court and we are bound by AEDPA’s standards of review. See Snow v. Sirmons,

474 F.3d 693, 696 (10th Cir. 2007) (holding that AEPDA applies to § 2254

habeas petitions filed after its effective date).

      Under AEDPA, the standard of review applicable to a particular claim

depends upon how that claim was resolved by the state courts. Id. If a claim was

                                            5
addressed on the merits by the state courts, our standard of review is governed by

28 U.S.C. § 2254(d), which provides:

      An application for a writ of habeas corpus on behalf of a person in
      custody pursuant to the judgment of a State court shall not be granted
      with respect to any claim that was adjudicated on the merits in State
      court proceedings unless the adjudication of the claim–

            (1) resulted in a decision that was contrary to, or involved an
            unreasonable application of, clearly established Federal law, as
            determined by the Supreme Court of the United States; or

            (2) resulted in a decision that was based on an unreasonable
            determination of the facts in light of the evidence presented in
            the State court proceeding.

28 U.S.C. § 2254(d).

      “When reviewing a state court’s application of federal law” under 28

U.S.C. § 2254(d), “we are precluded from issuing the writ simply because we

conclude in our independent judgment that the state court applied the law

erroneously or incorrectly.” McLuckie v. Abbott, 337 F.3d 1193, 1197 (10th Cir.

2003). “Rather, we must be convinced that the application was also objectively

unreasonable.” Id. “This standard does not require our abject deference, but

nonetheless prohibits us from substituting our own judgment for that of the state

court.” Snow, 474 F.3d at 696 (internal quotation marks and citation omitted).

      If a claim was not resolved by the state courts on the merits and is not

otherwise procedurally barred, our standard of review is more searching. Because

§ 2254(d)’s deferential standards of review do not apply in such circumstances,


                                         6
we review the district court’s legal conclusions de novo and its factual findings, if

any, for clear error. McLuckie, 337 F.3d at 1197.

      Complete breakdown in communication between Cole and his attorneys

      In Proposition One of his appellate brief, Cole argues that he “was denied

his right to the effective assistance of counsel as guaranteed by the Sixth and

Fourteenth Amendments to the United States Constitution because there was a

complete breakdown in communication between [himself] and his attorneys.”

Aplt. Br. at 15 (emphasis omitted).

      a) Facts pertaining to the claim

      On July 11, 2003, Cole’s defense team, comprised of two attorneys from

the Oklahoma Indigent Defense System (OIDS), filed an application for a

competency evaluation of Cole. State ROA, Vol. I at 55. In that application, the

defense team expressed “doubts as to [Cole]’s ability to understand the nature of

the charges against him and meaningfully assist his attorneys in his defense.” Id.

At a subsequent hearing on July 16, 2003, one of Cole’s defense attorneys stated,

in pertinent part, “it’s one of those situations where I don’t know necessarily if

Mr. Cole doesn’t like, or, for some reason, is resisting our conversations or

advice, or if it’s a situation where he doesn’t understand.” Tr. of 7/16/03 Hr’g at

3. The state trial court, at the conclusion of the hearing, ordered a competency

evaluation of Cole. Id. at 5.

      On August 22, 2003, the state trial court conducted a post-competency

                                          7
evaluation hearing. At the hearing, the defense team stipulated that the

psychologist who examined Cole had found him to be competent. Tr. of 8/22/03

Hr’g at 3. In turn, the defense team “stipulated as [Cole’s] counsel” that he was

“competen[t] at this time.” Id. The state trial court then asked Cole, on the

record, if he understood the charges against him and if he believed that he was

able to consult with his counsel and rationally assist in the trial preparations.

Cole answered “yes” to these questions. Id. at 4. Ultimately, Cole waived his

right to a jury trial on the issue of competency and stipulated that he was

competent.

      Approximately eleven months later, on July 9, 2004, the defense team filed

a second application for determination of competency. In the application, the

defense team alleged, in pertinent part, that Cole’s “mental state and

communication abilities [we]re such that they seriously interfere[d] with his

understanding of the proceedings against him and with his capability of aiding his

attorney in preparation for trial,” Cole’s “responses to questions pertaining to his

defense [we]re unrelated and unresponsive to what was asked, and appear[ed] to

be based on unrealistic and irrational thoughts and ideas,” and “[d]efense

counsel’s investigation in the . . . case ha[d] revealed that [Cole] ha[d] suffered

from lifelong chronic alcoholism,” “ha[d] a history of huffing gasoline as a

child,” and “ha[d] experienced physical head trauma resulting in loss of

consciousness on more than one occasion during his lifetime.” State ROA, Vol.

                                           8
II at 239. On July 15, 2004, the state trial court issued an order directing that

Cole be “examin[ed] by qualified persons and technicians . . . to reach a

conclusion as to [his] competency.” Id. at 245.

      Cole was subsequently examined by Samina Christopher, a forensic

psychologist employed at the Oklahoma Forensic Center, a state-run behavioral

health facility.2 In a written report submitted to the state trial court on August 18,

2004, Christopher concluded, in pertinent part, that Cole was “aware of the

charge against him and the possible penalty if convicted,” id. at 255, was able to

consult with his attorney and rationally assist in the preparation of his defense, id.

at 255-56, and was not a person requiring treatment as defined in Okla. Stat. tit.

43A, § 1-103, because he was “not currently report[ing] symptoms nor

evidenc[ing] signs indicative of a substantial disorder of thought, mood,

perception, psychological orientation, or memory,” id. at 257. In short,

Christopher concluded that Cole “[wa]s capable of rationally assisting his counsel

in his defense, should he choose to do so.” Id. at 259.

      On August 25, 2004, Cole’s defense team requested that a jury trial be held

on the issue of Cole’s competency. The state trial court granted that request and a

jury trial on the issue of Cole’s competency was held on September 13 and 14,

2004. During the trial, one of Cole’s defense attorneys testified that Cole was not



      2
          Christopher had previously examined Cole in the summer of 2003.

                                           9
very engaged in trial preparation, was distant, and declined to make decisions

relevant to the defense strategy. At the conclusion of the trial proceedings,

however, the jury found that Cole was competent to undergo further criminal

proceedings.

      On September 29, 2004, Cole sent a letter to the central office of OIDS “in

regards of firing [his appointed defense team] due [to] my Christian beliefs.” Id.

at 416. Cole’s letter stated that he “need[ed] a team who has a better relationship

with my Lord Jesus Christ.” Id. Cole acknowledged “this [wa]s probably a hard

thing,” but he stated that he “really d[id] need a new team, that [he] c[ould] better

work with.” Id. After learning of this letter, Cole’s defense team filed a motion

for continuance. In support of the motion, one of Cole’s defense attorneys

submitted an affidavit alleging that Cole was unhappy with his defense team and

was unwilling to cooperate with them.

      On October 4, 2004, the state trial court held a hearing on the motion for

continuance. After hearing briefly from Cole’s attorneys, the state trial court

dismissed them from the courtroom and questioned Cole under oath. Cole

testified that he believed his appointed attorneys were religiously prejudiced

against him. Tr. of 10/04/04 Hr’g at 13. In support, Cole testified that he

believed that, during the competency trial, his attorneys “exaggerated to what

[his] intention was,” and were effectively ridiculing his faith. Id. at 14. Cole also

testified that he and two of his attorneys “ha[d] a difficult time communicating.”

                                          10
Id. at 18. Cole further testified that one of the OIDS investigators “mock[ed]

God in front of [Cole].” Id. at 20. Lastly, Cole testified that he knew his defense

attorneys “[we]re good at what they do,” id. at 21, but that he would nevertheless

“like to have a team that [he] could confidently trust,” id. at 20-21, and he

“want[ed] it done in the Lord’s sight for the right reasons,” id. at 21. The state

trial court ultimately found, however, that neither of Cole’s appointed OIDS

attorneys were prejudiced towards Cole’s religious beliefs or had done anything

that was “wrong.” Id. at 23. The state trial court further found that both defense

attorneys were simply trying “to be aggressive advocates on behalf of . . . Cole.”

Id. Consequently, the state trial court denied the motion for continuance and

urged Cole to work with his appointed counsel “to give [them] the information

that [they] need[ed] to represent and present a defense on his behalf.” Id. at 23-

24.

      In an affidavit submitted in connection with his federal habeas petition,

Cole’s lead trial counsel, James Bowen, stated that Cole’s “competency and

ability to assist the team became even worse after the competency trial,” and they

“could not get him to be engaged in his case.” Dist. Ct. Docket No. 16, Att. 10 at

1. Bowen further described Cole’s conduct at trial:

      Every day of the murder trial, Mr. Cole would come into court, place
      his Bible on the table, sometimes opened, sometimes not, then sit
      down in his chair. It seemed like he stayed in the same position
      without moving during the proceedings. If the Bible was opened, he
      stared at the page upon which it was opened. It did not appear that

                                          11
      he ever turned the page. I recall Mr. Burch [the prosecutor] stating
      that Mr. Cole never moved while I was addressing the Court or when
      conducting examinations of witnesses. The only movement I recall
      Mr. Cole making was maybe blinking his eyes. Even when the
      verdict was returned, Mr. Cole did not move.

Id.

      b) The OCCA’s ruling on the issue

      Cole first asserted this issue in Proposition Four of his direct appeal brief.

The OCCA rejected it, stating as follows:

         In proposition four, Appellant claims the trial court denied him
      the right to effective assistance of counsel after he developed a
      conflict with his trial counsel and requested to have them replaced.
      The denial of that request, Appellant argues, was a violation of the
      Sixth, Eighth and Fourteenth Amendments to the U.S. Constitution
      and Article II, sections 7 and 20 of the Oklahoma Constitution.

          As Appellant’s brief freely admits, by the time of trial Appellant
      “had withdrawn into extreme religiosity, made little if any effort to
      assist his attorneys or to prepare his defense while awaiting
      inspiration from God, and sat through the entire trial at counsel table
      literally not moving a muscle for hours on end while reading the
      Bible.” The record shows Appellant sought to fire his attorneys less
      than a month before trial, due to “Religious Prejudices.” Appellant
      requested a “Pentecostal team of lawyers” or “of the like”.
      Apparently, due to his trial counsel’s tactic of using his extreme
      religious beliefs to help demonstrate mental incompetence, Appellant
      believed his attorneys had “spit in the face of God.” When
      questioned by the trial court concerning this issue, Appellant
      explained his belief that his attorneys had exaggerated his religious
      stance and therefore he refused to talk with them.

          The trial court refused to appoint new counsel, however, basing
      its decision on reasons that are fully supported by the record. We see
      no “complete breakdown in communication” of the type addressed in
      Romero v. Furlong, 215 F.3d 1107, 1111 (10th Cir. 2000) and United
      States v. Lott, 433 F.3d 718, 725–26 (10th Cir. 2006). Instead, this

                                         12
      record suggests an uncooperative defendant who, religious
      differences aside, substantially and unreasonably contributed to the
      communication breakdown. This proposition is without serious
      merit.

Cole I, 164 P.3d at 1093-94 (internal paragraph numbers omitted).

      c) Clearly established federal law applicable to the claim

      In challenging the OCCA’s decision, Cole begins by identifying United

States v. Cronic, 466 U.S. 648 (1984), Powell v. Alabama, 287 U.S. 45 (1932),

Gideon v. Wainwright, 372 U.S. 335 (1963), and Strickland v. Washington, 466

U.S. 668 (1984), as the clearly established federal law applicable to this claim.

While these cases frequently guide our analysis in the habeas context, with the

assumed exception of Strickland, we decline to accept them as the “clearly

established federal law” relevant to this particular claim within the meaning of 28

U.S.C. § 2254(d)(1). Our understanding of the Supreme Court’s “articulation of

what constitutes clearly established law is noticeably more restrictive” than Cole

suggests. See House v. Hatch, 527 F.3d 1010, 1016–17 (10th Cir. 2008)

(discouraging the practice of “draw[ing] clearly established federal law from

general principles teased from precedent” and noting that “clearly established law

consists of Supreme Court holdings in cases where the facts are at least closely-

related or similar to the case sub judice”).

      At the outset, we note that Cole has not cited to any Supreme Court case,

nor has our own independent research produced such a case, holding that a


                                          13
presumption of prejudice applies in situations where there has been a complete

breakdown in communications between a criminal defendant and defense counsel.

Cole does rely on Cronic, where the Supreme Court held that prejudice may be

presumed in certain extreme “circumstances that are so likely to prejudice the

accused that the cost of litigating their effect in a particular case is unjustified.”

466 U.S. at 658. The Supreme Court emphasized that “[a]n accused’s right to be

represented by counsel is a fundamental component of our criminal justice

system.” Id. at 653. And, the Court noted, “the core purpose of the counsel

guarantee [i]s to assure ‘Assistance’ at trial, when the accused [i]s confronted

with both the intricacies of the law and the advocacy of the public prosecutor.”

Id. at 654 (internal quotation marks omitted). “If no actual ‘Assistance’ ‘for’ the

accused’s ‘defense’ is provided,” the Court held, “then the constitutional

guarantee has been violated.” Id.

      We find Cronic inapposite for at least two reasons. First, although the

Supreme Court acknowledged the possibility of presuming prejudice in Cronic, it

did so in a factually distinguishable context that did not involve a breakdown in

communications between a criminal defendant and defense counsel. See 466 U.S.

at 649; see also House, 527 F.3d at 1016 (requiring “closely-related” facts).

Defense counsel in Cronic was a relatively inexperienced real estate attorney who

was appointed only twenty-five days before his client’s mail-fraud trial. Cronic,

466 U.S. at 649. And, second, “the Supreme Court and this court have

                                           14
emphasized the narrow application of Cronic.” Lockett v. Trammel, 711 F.3d

1218, 1248 (10th Cir. 2013); see Turrentine v. Mullin, 390 F.3d 1181, 1208 (10th

Cir. 2004) (noting that “Cronic [is] inapplicable where counsel actively

participated in all phases of the trial proceedings”).

      Moreover, to the extent that Cole asks us to accept as clearly established

federal law our refinement of Cronic, as articulated in Romero and United States

v. Hernandez, 849 F.2d 1325 (10th Cir. 1988), we decline to do so. See Marshall

v. Rodgers, 133 S. Ct. 1446, 1450–51 (2013) (“[An] appellate panel . . . may not

canvass circuit decisions to determine whether a particular rule of law is so

widely accepted among the Federal Circuits that it would, if presented to this

Court, be accepted as correct.”). We consequently “reject [his] alchemic efforts

to transmute the holdings of these cases into clearly established federal law for

this particular factual context.” Littlejohn v. Trammell, 704 F.3d 817, 853 (10th

Cir. 2013).

      Because they too enunciate broad legal principles, Powell and Gideon

likewise are not “clearly established federal law” within the meaning of 28 U.S.C.

§ 2254(d)(1). In Powell, the Supreme Court held

      that in a capital case, where the defendant is unable to employ
      counsel, and is incapable adequately of making his own defense
      because of ignorance, feeble-mindedness, illiteracy, or the like, it is
      the duty of the court, whether requested or not, to assign counsel for
      him as a necessary requisite of due process of law; and that duty is
      not discharged by an assignment at such time or under such
      circumstances as to preclude the giving of effective aid in the

                                          15
      preparation and trial of the case. To hold otherwise would be to
      ignore the fundamental postulate . . . that there are certain immutable
      principles of justice which inhere in the very idea of free government
      which no member of the Union may disregard.

287 U.S. at 71-72 (internal quotation marks omitted). Similarly, in Gideon, the

Supreme Court held that “in our adversary system of criminal justice, any person

haled into court, who is too poor to hire a lawyer, cannot be assured a fair trial

unless counsel is provided for him.” 372 U.S. at 344.

      Cole does his best job of trying to identify clearly established federal law

when he directs us to Strickland, because of the well-recognized, extensive

breadth of Strickland’s standard. See Panetti v. Quarterman, 551 U.S. 930, 953

(2007) (recognizing limited circumstances in which general standards such as the

Strickland test constitute clearly established law). Proceeding with an abundance

of caution, we are prepared to assume without deciding that Strickland provides

clearly established federal law for this claim. In Strickland, the Supreme Court

held that “[r]epresentation of a criminal defendant entails certain basic duties.”

466 U.S. at 688. In particular, the Court emphasized, “[f]rom counsel’s function

as assistant to the defendant derive the overarching duty to advocate the

defendant’s cause and the more particular duties to consult with the defendant on

important decisions and to keep the defendant informed of important

developments in the course of the prosecution.” Id.

      d) Cole’s challenge to the OCCA’s ruling


                                          16
      Turning to the OCCA’s decision, Cole argues that the OCCA’s analysis of

his claim was “unreasonable for two reasons.” Aplt. Br. at 23. First, Cole argues

that “the OCCA’s finding that there was no ‘complete breakdown in

communication’ is unsupported by the record.” Id. In fact, Cole asserts, “[t]he

record demonstrates that the breakdown in communication began six months after

counsel entered their appearance and continued all the way through trial.” Id.

Cole further asserts that it was unreasonable for the OCCA “to ‘set aside’ [his]

irrational and delusional hyper-religiosity, since it [wa]s his delusional and

irrational belief system that prevented [him] from rationally assisting counsel.”

Id. at 23-24. “The bottom line,” Cole argues, is that he did not, “due to his

delusional and irrational beliefs,” provide the information necessary for counsel

to defend him. Id. at 24.

      Second, Cole asserts “it [wa]s unreasonable [for the OCCA] to find [he]

was simply being uncooperative in light of the meaningful evidence . . .

demonstrat[ing] [that he] was suffering from either a mental disease, disorder, or

defect, and that this illness affected [his] ability to communicate with counsel.”

Id. at 24. In support, Cole points to testimony that was presented on his behalf

during the competency jury trial, as well as affidavits from his defense counsel

and defense team members that were submitted in connection with his federal




                                          17
habeas petition. 3

      We conclude, however, that Cole’s arguments are insufficient to warrant

federal habeas relief under the standards of review outlined in § 2254(d).

Although the record on appeal indicates, and the OCCA conceded, that Cole and

his defense team had difficulties communicating with each other during the

course of the pretrial proceedings, the OCCA found that Cole was partly

responsible for these communication difficulties and that, in the end, there was

not a complete breakdown in communication such that Cole was denied his right

to effective assistance of counsel. And, though Cole disagrees with the OCCA’s

finding that he was partly responsible for the communication difficulties, he fails

to establish that this was “an unreasonable determination of the facts in light of

the evidence presented in the State court proceeding.” 28 U.S.C. § 2254(d)(2).

Indeed, the state court record, including the colloquy that occurred between the

state trial court and Cole during the hearing on Cole’s motion for a continuance,

firmly supports the OCCA’s finding.

      More importantly, a review of the trial transcript indicates that,

notwithstanding these purported communication difficulties, Cole’s defense team


      3
        In Cullen v. Pinholster, 131 S.Ct. 1388, 1398 (2011), the Supreme Court
held “that review under § 2254(d)(1) is limited to the record that was before the
state court that adjudicated the claim on the merits.” Consequently, we limit our
review to the evidence that was before the OCCA and do not consider the new
evidence that was submitted by Cole in connection with his federal habeas
petition.

                                         18
vigorously defended him during both stages of trial. In particular, Cole’s defense

team successfully persuaded the jury, during the second-stage proceedings, to

reject one of the aggravators the State had alleged and to conclude that Cole did

not present a continuing threat.

      Relatedly, although Cole asserts that he was ultimately “forced to go to

trial with attorneys with whom he could not discuss his case or legal strategies,”

Aplt. Br. at 28, he fails to identify precisely how, let alone establish that, he was

prejudiced by these purported communication difficulties. For example, although

the record indicates that Cole rejected a last-minute plea bargain offered by the

prosecution, Cole does not suggest in his briefing, let alone support with any type

of evidence, that the purported communication breakdown impacted his decision

in that regard. Further, although Cole’s habeas counsel suggested at oral

argument that the purported communication difficulties may have impacted the

defense team’s investigation of mitigating evidence and its second-stage

presentation, there is no factual basis in the record to support that suggestion.

      We therefore conclude that Cole is not entitled to federal habeas relief on

the basis of this claim.

         Ineffective assistance of trial counsel - second-stage proceedings

      In Proposition Two of his appellate brief, Cole contends that his trial

counsel failed to investigate and present mitigation evidence from Cole’s family

members that would have “personalized” him to the jury. Consequently, Cole

                                          19
argues, he was deprived of his right to effective assistance of counsel in violation

of the United States Constitution.

      a) Facts pertaining to the claim

      During the second-stage proceedings, Cole’s defense team presented

testimony from five witnesses.4 The first witness was Cole’s stepbrother,

Leonard O’Neil. O’Neil testified that when he was thirteen years old and Cole

ten years old, his father married Cole’s mother and that their blended family of

seven began living together in California. According to O’Neil, the family lived

in a house located on the grounds of a junkyard, and he and Cole would “huff”

(i.e., get high from) gasoline from old cars found in the junkyard. O’Neil further

testified that, shortly after they began living together, he and Cole began sneaking

alcohol out of their father’s refrigerator. According to O’Neil, a man named Tom

Wright, who he described as his father’s best friend, was frequently present in

their home and, over a period of approximately twenty years, molested O’Neil

and his siblings, including Cole.5 O’Neil also testified that two of the other boys


      4
        The defense team and the prosecution also stipulated as to the testimony
of a sixth mitigation witness, Cindy Garcia. Specifically, the parties stipulated
that Garcia would testify that (a) she was a pastor, (b) she met Cole in 1989, (c)
Cole began to drink after he met and moved in with his ex-wife, Candy Lewis, (d)
Cole was truly remorseful for what he had done to Brianna, and (e) Cole deserved
mercy from the jury.
      5
         On cross-examination, O’Neil conceded that he did not actually see
Wright molest Cole, but he testified that he nevertheless believed that Wright had,
in fact, molested Cole.

                                         20
in the family were “slow” or mentally retarded. Lastly, O’Neil testified that even

though he did not agree with Cole’s actions, he still loved Cole and that Cole’s

life had value to him.

      Cole’s second mitigation witness was psychologist Jeanne Russell. Russell

testified that she was hired by defense counsel to perform a risk assessment on

Cole. According to Russell, Cole admitted to her that he had been sexually

abused on one occasion, but that he tended to minimize the effect this incident

had on him. Russell testified that, in her opinion, Cole did not exhibit any

symptoms indicating that he was psychotic or out of touch with reality. Likewise,

Russell testified that Cole scored fairly low on the psychopathy test she

administered to him. In Russell’s view, Cole had issues with the abuse of

alcohol, and his risk for violence, especially domestic abuse, tended to occur in

connection with his abuse of alcohol. Russell also testified that Cole was

impulsive, had very poor coping skills, and had a personality disorder that caused

him to focus on his own needs and, in turn, to fail to recognize the needs of

others. Russell opined that Cole would not have any problems in a structured

setting such as prison, but that his risk of engaging in violence would increase if

he were released into the community. Without access to alcohol, Russell

testified, Cole tended to retreat into and obtain comfort from his religious beliefs.

Consequently, she testified, Cole’s behavior during the first-stage proceedings did

not surprise her. Russell concluded her testimony by opining that Cole would

                                          21
likely be viewed by other prisoners as a weak person and would thus likely be

preyed upon in a prison situation.

      Cole’s third mitigation witness was Michael Basso, an associate professor

of psychology at the University of Tulsa. Basso testified that he was hired by

defense counsel to evaluate Cole and to prepare a report outlining his findings.

According to Basso, Cole may have suffered two types of brain damage. First,

Basso testified, Cole reported that in 1985, while arguing with an acquaintance,

he was struck over his right forehead with a hammer and lost consciousness for

some period of time. In Basso’s view, this incident posed a possible risk of brain

damage to Cole. Second, and more significantly, Basso testified that Cole’s

longstanding history of excessive alcohol use posed a significant threat of brain

damage. Basso explained that brain damage resulting from alcohol use leads to a

deterioration in function that is often expressed in terms of “slowing people.”

Trial Tr., Vol. VIII at 67. For example, Basso testified, it would take a person

longer to think things through, would negatively impact their memory, and would

reduce their ability to pay attention and concentrate. Basso also testified that it

would negatively impact concept formation, abstract reasoning, and problem

solving. All of this, Basso testified, could have negatively impacted Cole’s

impulsivity. With respect to Cole specifically, Basso testified, his testing

indicated that Cole had mild brain dysfunction, meaning that his brain did not

function normally compared to other people his age.

                                          22
      The fourth mitigation witness to testify was Bill Sharp, a licensed

psychologist hired by defense counsel to evaluate Cole. Based upon his testing of

Cole, Sharp diagnosed Cole as having a “personality disorder otherwise not

specified.” Id. at 110. According to Sharp, this diagnosis is usually reserved for

situations when an individual has traits from more than one personality disorder

and those traits are of such a nature that they have been long-term and chronic.

In Cole’s case, Sharp testified, these traits included narcissism and some paranoia

or suspiciousness. Sharp further diagnosed Cole as having intermittent explosive

disorder. Sharp described this diagnosis as encompassing situations “where

there’s a repetition of discrete reoccurrences of a pattern where an individual fails

to inhibit aggressiveness towards people or property to the extent that it winds up

that there’s either damage to the property or to the person.” Id. at 114. In other

words, Sharp testified, it involves “a reaction that is way off the scale of

normalcy.” Id. at 115. According to Sharp, alcohol abuse can “inflame” both an

intermittent explosive disorder and a personality disorder. Id. at 116. Sharp

explained that alcohol “disinhibits” a person, and when a person does not have

much impulse control to begin with, they have even less when they are consuming

alcohol. Id. Lastly, Sharp opined that Cole was likely an alcoholic.

      The fifth and final mitigation witness was Jolynn Elkin-Hohenstein (Elkin),

a detention officer employed by the Rogers County (Oklahoma) Sheriff’s Office.

Elkin testified that Cole had been an inmate at the Rogers County Jail for nearly

                                          23
two years and that, during that time, she had become acquainted with him while

transporting him back and forth for court proceedings. She further testified that

Cole seemed to interact well with the other people in his housing unit, was quiet,

had not received any write-ups, and had never done anything violent while in the

Rogers County Jail. Elkin opined that Cole was not a “problem inmate.” Id. at

133.

        Notwithstanding the presentation of this evidence, Cole now suggests that

“[m]ajor elements of available mitigation, which would have saved [his] life and

assisted his experts in evaluating him and explaining his actions were omitted due

to trial counsel’s incomplete investigation and utter failure to effectively present

what was known.” Aplt. Br. at 31. In support, Cole alleges that “the OIDS

investigator assigned to [his] capital trial,” Steve Leedy, “did not ‘conduct

personal interviews or make appeals to’ [Cole’s brother] Darren Cole, Darren’s

wife Tammy, and Robert Cole [another of Cole’s brothers] due to: (1) Tammy

being ‘less than helpful’ on the phone; (2) Robert stating that . . . Cole should get

death; and (3) the fact that he was not able to speak to Darren.” Id. at 32 (quoting

ROA, Vol. 1, Part 1, Doc. 16, Attach. 21, ¶¶ 1-2; footnote omitted). Had his trial

counsel or Leedy actually interviewed these family members, Cole asserts, they

would have obtained and could have presented to the jury evidence establishing

that:

        1) “Cole grew up in a family that suffered from extreme alcohol and

                                          24
      substance abuse problems.” Id. at 41. This would have included
      evidence that “[c]hildren in the Cole family . . . were given drugs and
      alcohol whenever they wanted it, including Cole at the . . . age of
      six,” and that “oftentimes Cole and his siblings would drink and do
      drugs with their parents,” id.;

      2) “[R]ampant incest, sexual abuse, and inappropriate relationships .
      . . occurred throughout the Cole family.” Id. at 42. This would have
      included evidence that “Cole’s biological father . . . sexually abused
      children in the family,” that “Cole’s cousins had sexual relationships
      with each other,” “Cole’s stepmother prior to marrying Cole’s
      biological father was married to Cole’s father’s nephew,” “Cole’s
      aunt had sexual relations with her son-in-law,” “at the age of
      fourteen, Cole had a sexual relationship with his thirteen year-old
      stepsister,” and “Cole’s first wife was his first cousin.” Id.;

      3) “[G]enetic factors were present that increased the likelihood that
      Cole would have a mental illness.” Id. This would have included
      evidence “that two of Cole’s brothers were mentally retarded and . . .
      received social security benefits,” id., and “at least four of [Cole’s]
      paternal cousins have been diagnosed with paranoid schizophrenia,”
      id. at 42-43.;

      4) “Cole’s paranoid schizophrenia with persecutory and grandiose
      delusions affected his behavior/appearance at trial.”6 Id. at 43.;

      5) Cole has “damage to the left frontal-temporal region of Cole’s brain”
      that, through no choice of his own, affects his behavior in terms of reducing
      his impulse control and making him more likely to act violently, id. at 43-
      45; and



      6
         On April 4, 2009, Raphael Morris, a clinical assistant professor of
psychiatry at New York University School of Medicine, issued a report
concluding that Cole has “schizophrenia, paranoid type, with grandiose delusions,
which have manifested as [his] hyper-religiosity,” and that, as a result, “his
inability to assist is not under his control and his behavior towards his legal team
is not based on rational thought.” ROA, Vol. 1, Part 1, Doc. 16, Attachment 5 at
2. Notably, Cole did not mention or otherwise rely on Morris’s report in his
application for state post-conviction relief.

                                         25
      6) Cole’s first child, Benjamin Robert Cole, Jr., who as an infant was the
      victim of Cole’s prior felony conviction for willful and unlawful infliction
      of cruel and inhuman corporal punishment, “ha[d] no long term injuries
      from the actions his father inflicted on him,” and “he expressed forgiveness
      for his father and a desire to have a relationship with [Cole].” App. for
      State Post-Conviction Relief at 25.

      Cole in turn argues that, had this information been presented on his behalf

during the second-stage proceedings, the outcome of those proceedings likely

would have been different. More specifically, Cole argues, based upon the above-

described evidence, that he “had a strong and compelling case in mitigation in the

form of the abuse and trauma he suffered as a child, his mental illness, and his

brain damage,” and “[t]his is precisely the type of evidence where there exists a

reasonable probability that at least one jury [sic] could have been moved by it and

voted for a sentence less than death.”7 Aplt. Br. at 45.

      b) The OCCA’s ruling on the issue

      Cole first asserted this issue in Proposition Two of his application for state

post-conviction relief. The OCCA rejected it, stating as follows:

         In proposition two, Petitioner claims trial counsel’s failure to
      present compelling mitigation evidence in the second stage of trial
      rendered their performance deficient. This claim also could have
      been raised on direct appeal, but it was not. Therefore it is waived.
      And to the extent that it was not waived (by appellate counsel’s


      7
         In his application for state post-conviction relief, Cole argued that this
additional information would have caused his expert witness, Dr. Bill Sharp, to
alter his diagnosis from Alcohol Abuse to Alcohol Dependence. Application for
State Post-Conviction Relief at 26. But Cole does not make this specific
argument in his appellate brief in this case.

                                         26
      alleged ineffective assistance in failing to raise the claim in the direct
      appeal), we find it is without merit.

         This case is unlike, say, Garrison v. State, 2004 OK CR 35, ¶ 150,
      ¶ 169, 103 P.3d 590, where we found the defendant’s trial counsel
      “failed to provide a significant case in mitigation during the second
      stage of . . . trial” and that his appellate counsel had been ineffective
      for failing to raise the obvious claim on appeal. Here, a
      constitutionally adequate amount of mitigation evidence was offered
      and admitted through various expert and lay witnesses, including one
      family member. We layed [sic] out that evidence throughout our
      Opinion in Petitioner’s direct appeal, including a detailed listing in
      our mandatory sentence review of his capital conviction. See Cole v.
      State, 2007 OK CR 27, ¶ 63, 164 P.3d 1089.

          Furthermore, the affidavits attached to Petitioner’s post-
      conviction application do not provide convincing support for a claim
      of ineffective assistance in trial counsel’s interview of Petitioner’s
      family. Rather than dropping the ball on the issue by not
      interviewing some family members face-to-face, counsel instead
      made reasonable strategic choices when, upon contacting certain
      family members by phone, their investigator was confronted by less
      than sympathetic responses. The fact that Petitioner’s first son was
      not contacted was understandable because counsel had fought hard to
      keep out Petitioner’s abuse of that son from being admitted into
      evidence. It was a reasonable decision to not present that testimony
      to the jury, as any focus on the earlier abuse was arguably unhelpful
      to Petitioner’s case.

         We therefore find this proposition is without merit.

Cole II, No. PCD-2005-23 at 5-6.

      c) Procedural bar

      Respondent argues that Cole’s claim is procedurally barred because the

OCCA held that the claim could have been, but was not, raised on direct appeal

and was thus waived for purposes of state post-conviction review. Aplee. Br. at


                                          27
24. Although respondent concedes that the OCCA proceeded to review the claim

on the merits, respondent asserts that the OCCA did so only because Cole, “[i]n

an effort to avoid waiver, . . .also raised [a claim of ] ineffective assistance of

appellate counsel.” Id. Consequently, respondent asserts, the OCCA had to

“review[] the substantive claim” on the merits “in order to evaluate [Cole’s]

appellate counsel claim.” Id. Nevertheless, respondent argues, the OCCA’s

ultimate holding was that the ineffective assistance of trial counsel claim was

waived. Therefore, respondent asserts, we must treat the claim as procedurally

barred for purposes of federal habeas review. 8

      Respondent’s arguments are supported by Tenth Circuit precedent and the

record in this case. In Thacker v. Workman, 678 F.3d 820 (10th Cir. 2012), a

recent federal habeas proceeding brought by an Oklahoma capital defendant, we

held, under similar circumstances, that we had to “acknowledge and apply the

OCCA’s procedural bar ruling, even though the OCCA, on an alternative basis,

briefly addressed and rejected the merits of [the habeas petitioner’s] claim.” Id.

at 834 n.5. In this case, as respondent correctly notes, the OCCA’s primary basis


      8
         In his appellate brief, Cole argues that we should not consider
respondent’s procedural bar argument because “[r]espondent readily admitted in
district court that ‘the [OCCA] addressed this claim on the merits by and through
the evaluation of trial counsel’s actions and the non-record evidence produced in
Petitioner’s post-conviction affidavits.’” Aplt. Br. at 46 (quoting Doc. 23 at 62).
But a careful review of the response filed by respondent in the district court
indicates that respondent clearly argued that Cole’s claim of ineffective assistance
was procedurally barred. Doc. 23 at 52.

                                           28
for rejecting Cole’s ineffective assistance claim was that it had been waived. In

turn, the OCCA’s sole reason for addressing the claim on the merits was to

address and reject Cole’s ineffective assistance of appellate counsel claim. Thus,

as in Thacker, we must acknowledge and apply the OCCA’s procedural bar ruling.

      Before treating Cole’s ineffective assistance claim as procedurally barred

for purposes of federal habeas review, however, we must determine whether the

OCCA’s procedural bar ruling was both independent and adequate. In Coleman v.

Thompson, 501 U.S. 722 (1991), the Supreme Court held that “federal habeas

review . . . is barred” in any case “in which a state prisoner has defaulted his

federal claims in state court pursuant to an independent and adequate state

procedural rule[,] . . . unless the prisoner can demonstrate cause for the default

and actual prejudice as a result of the alleged violation of federal law, or

demonstrate that failure to consider the claims will result in a fundamental

miscarriage of justice.” Id. at 750. In other words, “[i]f a particular claim was

defaulted in state court on an independent and adequate state procedural ground,

we recognize the state courts’ procedural bar ruling and do not address the claim

on the merits unless cause and prejudice or a fundamental miscarriage of justice is

shown.” Thacker, 678 F.3d at 835 (internal quotation marks omitted). “To be

independent, the procedural ground must be based solely on state law.” Id. “To

be adequate, the procedural ground must be strictly or regularly followed and

applied evenhandedly to all similar claims.” Id. (internal quotation marks

                                          29
omitted).

      It is beyond dispute that the procedural bar rule applied by the OCCA in

Cole’s case was based upon Oklahoma state law and thus is considered

“independent” for purposes of federal habeas review. Therefore, that leaves only

the question of adequacy. We have held that “[t]he Oklahoma requirement that a

claim of ineffective assistance of trial counsel be raised on direct appeal is an

adequate ground for procedural default if (1) the defendant’s counsel on direct

appeal [wa]s different from trial counsel and (2) the claim[] c[ould have] be[en]

resolved on the trial record alone.” Welch v. Workman, 639 F.3d 980, 1012 (10th

Cir. 2011). In this case, it is undisputed that Cole was represented on direct

appeal by private counsel, rather than the two OIDS attorneys who represented

him at trial. And, although Cole’s claim of ineffective assistance could not be

resolved on the trial record alone since it relied on evidence that was never

presented at trial, respondent argues that OCCA Rule 3.11 would have allowed

Cole on direct appeal to request an evidentiary hearing on his claim, and that such

a hearing would have allowed Cole to effectively supplement the record on appeal

with the additional evidence relevant to his claim. Moreover, respondent

correctly notes that Cole “does not make any argument that Rule 3.11 is

[in]adequate or that he could not supplement the record to the state court.”

Aplee. Br. at 27. “[B]ecause [Cole] did not challenge the method by which he

could supplement the facts on appeal to the State . . . , any argument that he was

                                          30
not provided an adequate procedure is waived.” Welch, 639 F.3d at 1014.

      We therefore conclude that Cole’s claim of ineffective assistance of trial

counsel is procedurally barred for purposes of federal habeas review.

      d) Clearly established federal law applicable to the claim

      Out of an abundance of caution, we shall proceed to review the merits of

Cole’s ineffective assistance claim. In identifying the clearly established federal

law applicable to his challenge to the OCCA’s determination, Cole begins by

acknowledging that “[t]he two prong test of Strickland requires [him] to establish

[that] counsel’s performance at the sentencing stage was deficient and [that] he

suffered prejudice.” Aplt. Br. at 30. In terms of investigating and presenting

mitigating evidence, “Strickland does not require counsel to investigate every

conceivable line of mitigating evidence no matter how unlikely the effort would

be to assist the defendant at sentencing,” nor does it “require defense counsel to

present mitigating evidence at sentencing in every case.” Wiggins v. Smith, 539

U.S. 510, 533 (2003). Further, the Supreme Court in Strickland emphasized that

the deference to be granted a strategic judgment by counsel is directly related to

the adequacy of counsel’s investigation:

      [S]trategic choices made after thorough investigation of law and facts
      relevant to plausible options are virtually unchallengeable; and
      strategic choices made after less than complete investigation are
      reasonable precisely to the extent that reasonable professional
      judgments support the limitations on investigation. In other words,
      counsel has a duty to make reasonable investigations or to make a
      reasonable decision that makes particular investigations unnecessary.

                                           31
      In any ineffectiveness case, a particular decision not to investigate
      must be directly assessed for reasonableness in all the circumstances,
      applying a heavy measure of deference to counsel’s judgments.

466 U.S. at 690-91.

      In addition to the principles outlined in Strickland, Cole argues that, under

Wiggins, 539 U.S. at 524, we must look to the ABA Guidelines in order to

determine the professional standards applicable to defense counsel in capital

cases. Id. That argument is supported by our recent decision in Littlejohn, where

we noted that “[i]n capital cases, we refer to the ABA Guidelines for the

Appointment and Performance of Counsel in Death Penalty Cases . . . in

assessing” the prevailing “professional norms.” 704 F.3d at 859 (internal

quotation marks omitted). Under those Guidelines, “the topics defense counsel

[generally] should investigate and consider presenting include medical history,

educational history, employment and training history, family and social history,

prior adult and juvenile correctional experiences, and religious and cultural

influences.” Id. (emphasis and internal quotation marks omitted).

      Finally, Cole cites to a number of other Supreme Court cases, but does not

provide pinpoint citations for most of these cases and otherwise does not explain

their relevance. And a review of those cited cases indicates that they are, at best,

only marginally relevant to the ineffective assistance claim he is now asserting.

See Eddings v. Oklahoma 455 U.S. 104, 112 (1982) (“the sentencer in capital

cases must be permitted to consider any relevant mitigating factor”); id. at 115

                                          32
(“Evidence of a difficult family history and of emotional disturbance is typically

introduced by defendants in mitigation.”); Lockett v. Ohio, 438 U.S. 586, 607

(1978) (noting general principle that sentencer in capital case must be allowed to

consider as mitigating factors any aspect of the defendant’s character and record

or any circumstances of the offense); Woodson v. North Carolina, 428 U.S. 280,

304 (1976) (“We believe that in capital cases the fundamental respect for

humanity underlying the Eighth Amendment requires consideration of the

character and record of the individual offender and the circumstances of the

particular offense as a constitutionally indispensable part of the process of

inflicting the penalty of death.”); Gregg v. Georgia, 428 U.S. 153, 206 (1976)

(approving of a Georgia capital sentencing procedure that “focus[ed] the jury’s

attention on the particularized nature of the crime and the particularized

characteristics of the individual defendant”).

      e) Cole’s challenge to the OCCA’s ruling on the merits

      Cole argues that the OCCA’s analysis of his ineffective assistance of trial

counsel claim was unreasonable in two respects. First, Cole argues that, contrary

to the conclusion reached by the OCCA, his “trial counsel’s decision not to

contact [his] entire family cannot be deemed strategic because counsel had no

way of knowing what information other family [members] had.” Aplt. Br. at 47.

And, Cole argues, “counsel’s excuse not to find and contact the rest of the Cole

family because two members were unsympathetic is nonsensical.” Id. Second,

                                         33
Cole argues that “the OCCA was unreasonable in finding that counsel’s actions

were reasonable not to present testimony from [his] first son as ‘any focus on the

earlier abuse was arguably unhelpful to [him].’” Id. at 47-48 (quoting Cole II,

PCD-2005-23, at *6). According to Cole, “once the trial court allowed . . .

evidence [of Cole’s abuse of his first son] to come in, [Cole’s trial] counsel had a

duty to respond” to that evidence. Id. at 48. Cole argues that “[h]ad counsel

done the [c]onstitutionally required investigation: (1) counsel would have learned

that Cole’s son had no hostile feelings towards his father and would like the

opportunity to visit, correspond, and get to know him; and (2) the damage to the

left frontal-temporal region of Cole’s brain resulted in Cole’s inappropriate

response to his first son’s need for assistance.” Id.

      Addressing these arguments in order, we agree with Cole that the

unsympathetic attitudes displayed by two of his brothers, when contacted by

Cole’s investigator, did not provide Cole’s investigator or his trial counsel with a

rational basis for failing to contact other members of Cole’s family. Because

“family and social history” is one of the crucial areas of investigation emphasized

in the ABA Guidelines, we will therefore assume that Cole can satisfy

Strickland’s first prong, i.e., that his trial counsel’s failure to contact other

members of Cole’s family was constitutionally deficient.

      The focus then turns to Strickland’s second prong, i.e., whether counsel’s

deficient performance so prejudiced Cole’s second-stage defense that there is a

                                           34
reasonable probability that, but for counsel’s unprofessional errors, the result of

the second-stage proceedings would have been different.9 Strickland, 466 U.S. at

694. On this point, however, Cole clearly cannot prevail. To begin with, Cole’s

trial counsel attempted during the second-stage proceedings to give the jury a

glimpse into Cole’s family and social history by presenting testimony from Cole’s

stepbrother. As noted, that testimony focused on some of the key difficulties that

Cole faced during his childhood: living in a blended family on the grounds of a

junkyard; an early introduction into substance (gasoline) and alcohol use; and the

molestation of Cole and his siblings by a family friend. To be sure, Cole now

points to a variety of additional background evidence that could have been

presented. But none of that evidence could have altered the jury’s findings that

the murder was especially heinous, atrocious or cruel, or that Cole had been

previously convicted of a felony involving the use or threat of violence to the

person. Nor, more importantly, is it probable that this additional background

evidence would have altered the jury’s balancing of the aggravating and



      9
        The district court chose to proceed directly to Strickland’s second prong
and applied AEDPA’s deferential standard of review. See Cole v. Workman, No.
08-CV-0328-CVE-PJC, 2011 WL 3862143, at *30 (N.D. Okla. Sept. 1, 2011).
However, Hooks v. Workman, 689 F.3d 1148 (10th Cir. 2012), counsels that the
portion of the Strickland test the district court never addressed should be
reviewed de novo, and this is the standard we apply. See id. at 1163–64 (“For
federal habeas claims not adjudicated on the merits . . . , we exercise our
independent judgment and review the federal district court’s conclusions of law
de novo.” (internal quotation marks omitted)).

                                          35
mitigating factors. More specifically, it is not probable that additional evidence

regarding the difficulties that Cole faced during his childhood could have

reasonably persuaded the jury, given the horrific nature of Brianna’s injuries and

Cole’s initial, relatively callous response to those injuries, that the mitigating

factors outweighed the aggravating factors.

      As noted, Cole also points to additional expert testimony that he contends

should have been presented that would have established that he suffers from

paranoid schizophrenia. The problem for Cole, however, is that he cannot

establish that his defense counsel performed deficiently in failing to obtain this

evidence prior to trial. Indeed, a review of the state court records indicates that

Cole’s defense counsel vigorously attempted to establish that Cole was

incompetent and, in doing so, obtained professional opinions from several expert

witnesses (and in turn presented some of those opinions to the jury during the

second-stage proceedings). None of those experts concluded that Cole suffered

from paranoid schizophrenia. Although Cole has, since the time of his trial, been

diagnosed by a psychiatrist as having paranoid schizophrenia, Cole has not

alleged, let alone established, that his trial counsel was deficient in failing to

secure an expert witness for trial who would have offered a similar opinion. In

short, Cole cannot satisfy the first Strickland prong with respect to this evidence.

      Lastly, Cole complains that his trial counsel failed to obtain and present

testimony from Cole’s first child, Benjamin Robert Cole, Jr. (Cole Jr.). In

                                           36
resolving this challenge, we elect to proceed directly to the second prong of

Strickland. That is, we focus on the question of whether trial counsel’s failure to

present testimony from Cole Jr. during the second-stage proceedings was

prejudicial. See Gilson v. Sirmons, 520 F.3d 1196, 1248 (10th Cir. 2008)

(proceeding directly to second prong of Strickland test). According to the record,

had Cole’s trial counsel interviewed Cole Jr., they would have learned that Cole

Jr. (a) did not suffer any long-term injuries from Cole’s abuse, (b) did not harbor

ill will towards Cole, and (c) was interested in developing a relationship with

Cole. We are not persuaded, however, that there is a reasonable probability that

the outcome of the second-stage proceedings would have been different had Cole

Jr. testified on Cole’s behalf. To begin with, had Cole Jr. been presented as a

defense witness during the second-stage proceedings, the prosecution undoubtedly

would have questioned him regarding the serious injuries that Cole inflicted upon

him when he was six months old. Those injuries included: a broken ankle; a

cigarette burn to his left lower eyelid; bruises on the crown of his head, his

forehead, his torso, and his arms; a swollen and bruised penis; and a large, deep

red bruise mark across the back of his neck. Thus, Cole Jr.’s testimony may well

have reinforced the jury’s decision to sentence Cole to death, rather than

persuading it otherwise. In any event, as with the other familial evidence cited by

Cole, the testimony from Cole Jr. would not, and indeed could not, have altered

the jury’s findings regarding the two aggravating circumstances. Ultimately, we

                                          37
cannot say that there is a reasonable probability that Cole Jr.’s testimony would

have altered the jury’s determination that the aggravating factors outweighed the

mitigating factors in the case.

      For these reasons, we conclude that Cole was not prejudiced by his trial

counsel’s failure to investigate and present the various items of mitigating

evidence that Cole now identifies.

                         Admission of autopsy photographs

      In Proposition Three of his appellate brief, Cole argues that he was denied

his constitutional rights to due process, a fundamentally fair trial, and a reliable

sentencing hearing as a result of the state trial court’s erroneous admission of

“gruesome autopsy photographs” during the first-stage proceedings. Aplt. Br. at

iv. According to Cole, “the prejudicial effect of this evidence was not limited to

the jury’s guilt determination” because “[t]he State incorporated all of the guilt

stage evidence into the second stage.” Id.

      a) Facts pertaining to the claim

      As Cole notes in his opening brief, “[t]hree of the photographs [at issue]

were full-on autopsy photos depicting internal injuries and removed organs,” and

“[t]he medical examiner had to explain what exactly the pictures entailed.” Id. at

55. State’s Exhibit 7 “depicted the victim’s broken spine and a separation

between the third and fourth thoracic vertebrae where the spine was ‘opened up.’”

Id. (quoting Trial Tr., Vol VII at 17). State’s Exhibit 8 “was a close up view

                                          38
‘with the organs removed but the aorta remaining in place and the spinal fracture

remaining in place.’” Id. (quoting Trial Tr., Vol. VII at 19). State’s Exhibit 9

“was a picture of the removed ‘abdominal block of organs,’ in other words, the

medical examiner had removed, as a unit, then photographed the victim’s

‘stomach and gastrointestinal tract and so forth.’” Id. (quoting Trial Tr., Vol. VII

at 18). “Lastly, State[’s] Ex[hibit] 6 . . . depicted [the victim’s] face and chest

while laying on the autopsy table, but prior to the actual autopsy.” Id. When the

trial court admitted Exhibit 6, it stated on the record, referring to the victim, “I

think people need to know who she is and this at least gives somebody an

opportunity to see a picture of her.” Trial Tr., Vol. VI at 47.

      b) The OCCA’s ruling on the issue

      Cole raised a similar issue on direct appeal in Proposition Three of his

direct appeal brief. Specifically, Cole argued in Proposition Three of his direct

appeal brief that the trial court improperly admitted the three photographs of

Brianna that were taken during or after the autopsy. Although Cole referred to

the pre-autopsy photograph (Exhibit 6) and contrasted it with the remaining three

photographs, he did not expressly challenge its admission.

      The OCCA rejected Cole’s arguments, stating as follows:

         In proposition three, Appellant claims the admission of three
      gruesome autopsy photographs at trial deprived him of his
      Constitutional right to a fundamentally fair trial pursuant to the
      Sixth, Eighth, and Fourteenth Amendments to the U.S. Constitution
      and Article II, Sections 7 and 9 of Oklahoma’s Constitution. These

                                           39
three autopsy photos were admitted over defense objections that they
were unfairly prejudicial, cumulative, and depictions of the medical
examiner’s handiwork—and in spite of the trial court's own concerns
that they are gruesome. Additionally, another photo was admitted of
the deceased child as she lay on the autopsy table, but before any
procedures were performed.

   The State, on the other hand, claims the photographs were
corroborative, rather than cumulative, to the medical examiner’s
testimony. The State also sets forth the general rule that admission
of evidence lies within the sound discretion of the trial court “whose
rulings will not be disturbed unless that discretion is clearly abused,
resulting in manifest prejudice to the accused.” Davis v. State, 2004
OK CR 36, ¶ 30, 103 P.3d 70, 79.

   The issue of gruesome photographs has been discussed by this
Court in case after case, and the issues relating thereto are well
known. As we have said before, “Gruesome crimes result in
gruesome pictures.” Patton v. State, 1998 OK CR 66, ¶ 60, 973 P.2d
270, 290. On the other hand, post-autopsy photographs have often
been found to be inadmissible by this Court on the basis that their
probative value was substantially outweighed by prejudicial effect
due to their shocking nature and tendency to focus on the handiwork
of the medical examiner, rather than the defendant. See, e.g., Wilson
v. State, 1998 OK CR 73, ¶ 92, 983 P.2d 448, 468; Sattayarak v.
State, 1994 OK CR 64, ¶ 8, 887 P.2d 1326, 1330; Oxendine v. State,
1958 OK CR 104, ¶¶ 6–8, 335 P.2d 940, 942–43.

    Here, the photos at issue fall squarely on the line between what is
relevant and what is prejudicial. The photos at issue are extremely
grotesque, the sort of pictures that we would all like to avoid in our
lives. However, this was an extremely brutal crime, one that can
fairly be described as a grown man breaking a helpless child in half.
The nature of those injuries, unlike most first degree murders, was
hidden inside the child’s body. Indeed, medical personnel attempting
to rescue the child’s life were unaware of the precise nature of the
injury until an autopsy was performed.

   The photos did not show crude Frankenstein stitching, but instead
focused on close up shots of the victim’s wounds, i.e., the broken
spine and separated aorta, after the medical examiner had done what

                                   40
      was necessary in order to reveal them. We think two of these shots,
      rather than three, would have sufficed, given the fact that Appellant
      admitted being the cause. One photo (State’s Exhibit 7) focused on
      the injury to the spine while another (State’s Exhibit 9) focused on
      the aorta. State’s Exhibit 8 was fairly redundant as to the injuries
      and gruesomeness. But we also note that these three shots were
      clearly preferable to others that were curiously proffered by the
      State, but denied admission by the Court.

         Still, the State had to prove a willful or malicious use of
      unreasonable force by the defendant, and therefore it was important
      for the jury to consider fully the force applied by Appellant’s actions.
      When speaking of malice and unreasonableness, pictures are worth
      much more than words. We find, therefore, the trial judge did not
      abuse his discretion in admitting two of these photos in the first
      stage. FN8 Moreover, we find a lack of first stage prejudice regarding
      the admission of the other photo, given Appellant’s admissions of
      responsibility. We withhold judgment, however, regarding what
      inflammatory impact this additional photo may have had on
      sentencing until our review of proposition twelve, cumulative error,
      and later in our mandatory sentence review.

             FN8 .The fourth photo, a picture of Brianna’s face and
             upper torso after she had died but before the autopsy
             began had no particular relevance and should not have
             been admitted. But at the same time, the photo was not
             really prejudicial either, and we decline to grant any
             relief with respect to it.

Cole I, 164 P.3d at 1096-1097 (internal paragraph numbers omitted).

      In the “Mandatory Sentence Review” section of its opinion, the OCCA

effectively concluded that the improper admission of State’s Exhibit 8 did not

prejudice Cole: “Upon review of the record and after carefully weighing the

aggravating circumstance and the mitigating evidence, along with the errors

alleged in this appeal, we find the sentence of death to be factually substantiated


                                         41
and appropriate. We cannot say the sentence of death is being imposed under the

influence of passion, prejudice, or any other arbitrary factor.” Id. at 1101.

      c) Clearly established federal law applicable to the claim

      Cole points to Romano v. Oklahoma, 512 U.S. 1 (1994), as providing the

clearly established federal law applicable to this claim.10 Aplt. Br. at 58. In

Romano, the Supreme Court held that “the Due Process Clause of the Fourteenth

Amendment . . . applies to the sentencing phase of capital trials.” 512 U.S. at 12.

In turn, the Court held, when a defendant claims that the introduction of evidence

during the penalty phase of a capital trial violates the Due Process Clause, “[t]he

relevant question . . . is whether the admission of [the challenged] evidence . . . so

infected the sentencing proceeding with unfairness as to render the jury’s

imposition of the death penalty a denial of due process.” Id.

      d) Cole’s challenge to the OCCA’s ruling

      In challenging the OCCA’s ruling, Cole does not explain precisely why, in

his view, the OCCA was wrong in concluding that two of the three autopsy

photographs (i.e., State Exhibits 7 and 9) were properly admitted. Although Cole

acknowledges that the OCCA concluded these two photographs were “‘highly

probative to show both cause of death and the conscious physical suffering


      10
         Cole also points to a number of Tenth Circuit cases. Aplt. Br. at 58.
But, as we have noted, none of those cases are applicable in determining whether
the OCCA’s decision was contrary to, or an unreasonable application of, clearly
established federal law under § 2254(d)(1).

                                          42
required by the especially heinous, atrocious, or cruel aggravator,’” Aplt. Br. at

56 (quoting Cole I, 164 P.3d at 1099 n.9), he makes no attempt to explain how

that conclusion was contrary to, or an unreasonable application of, the

constitutional principles outlined in Romano.

      In any event, we conclude, after carefully examining the record on appeal,

that the OCCA’s ruling on these two exhibits was entirely consistent with

Romano. The two photographs were relevant in the first-stage proceedings for

purposes of aiding the jury in understanding the medical examiner’s testimony

regarding the injuries suffered by Brianna (which, as the OCCA correctly noted,

were not visible to the naked eye) and the cause of her death. The photographs

were in turn probative during the second-stage proceedings to establish that

Brianna, prior to her death, likely endured conscious physical suffering as a result

of the injuries inflicted by Cole. That finding was relevant to the jury’s finding

that the crime was especially heinous, atrocious, or cruel.

      As for the third autopsy photograph, State’s Exhibit 8, Cole acknowledges

that the OCCA concluded it was redundant and thus improperly admitted. Cole I,

164 P.3d at 1097 (“We think two of these shots, rather than three, would have

sufficed, given that Appellant admitted being the cause.”; “State’s Exhibit 8 was

fairly redundant as to the injuries and gruesomeness.”). Cole takes issue,

however, with the OCCA’s ultimate conclusion that the improper admission of

this photograph did not deprive him of a fair sentencing proceeding. In

                                         43
particular, Cole also asserts that the OCCA’s “analysis [of Exhibit 8] is at odds

with itself; given [that] the [OCCA] termed Exhibit 8 as potentially prejudicial

then a few sentences later held the trial’s errors could not have conceivably

impacted the sentencing decision.” Aplt. Br. at 57 (emphasis in original).

      Again, however, we conclude that the OCCA’s analysis was neither

contrary to, nor an unreasonable application of, Romano. Because Exhibit 8 was

simply duplicative of the two exhibits the OCCA concluded were properly

admitted, its admission did not “so infect[] the sentencing proceeding with

unfairness as to render the jury’s imposition of the death penalty a denial of due

process.” Romano, 512 U.S. at 12.

      As a final matter, Cole argues that the OCCA was wrong in concluding that

the introduction of State’s Exhibit 6, the pre-autopsy photo, was not prejudicial.

In support, Cole argues that this photo “appeared to depict an infant peacefully

sleeping” and thus “was extremely damaging when considered in comparison to

the other pictures.” Aplt. Br. at 55. We note that this argument, however, is in

direct contrast to the argument Cole asserted on direct appeal. In his direct

appeal brief, Cole argued that it was the autopsy photographs, i.e., Exhibits 7, 8

and 9, when contrasted with Exhibit 6, that “acted to inflame the passions of the

jury to [his] unending detriment.”11 Direct Appeal Br. at 46. In any event, we


      11
           Cole’s direct appeal brief thus mentioned, but did not otherwise directly
                                                                        (continued...)

                                           44
conclude that the OCCA’s assessment of the prejudicial impact of Exhibit 6 was

neither contrary to, nor an unreasonable application of, clearly established federal

law. Indeed, we readily agree with the OCCA that the admission of Exhibit 6 did

not deprive Cole of a fair sentencing proceeding.

           Sufficiency of evidence - heinous, atrocious or cruel aggravator

      In Proposition Four of his appellate brief, Cole argues that his rights under

the Eighth and Fourteenth Amendments were violated because the evidence

presented during the second-stage proceedings was insufficient to allow the jury

to reasonably find that the murder was especially heinous, atrocious or cruel.

      a) The OCCA’s ruling on the issue

      Cole first raised this issue in Proposition Six of his direct appeal brief. 12 In

support, Cole argued that “[t]he medical examiner’s findings, at most, indicate[d]

the possibility that some pain might have been felt by Brianna as the result of the

fracture of the spine, but there [wa]s no evidence that Brianna was conscious

during the time the injury was inflicted; and even if she was, [the medical

      11
        (...continued)
challenge, the admission of Exhibit 6. The OCCA, of its own accord, commented
on the admissibility of Exhibit 6 in a footnote to its discussion of the
admissibility of Exhibits 7, 8 and 9. Cole I, 164 P.3d at 1097 n.8. In light of the
OCCA’s sua sponte ruling regarding the admissibility of Exhibit 6, we will not
treat Cole’s challenge to the admissibility of Exhibit 6 as procedurally barred.
      12
          As part of Proposition Six of his direct appeal brief, Cole also
challenged the jury instruction on this aggravator and asserted that the aggravator
was unconstitutionally vague and overbroad. Neither of those issues are before
on in this appeal.

                                          45
examiner] testified that such consciousness would not have lasted any more than

thirty . . . seconds.” Direct Appeal Br. at 64 (emphasis in original). Cole further

argued that “[t]he logical inference” from his own statements to authorities that

Brianna stopped crying immediately after he flipped her over “[wa]s that the

injury was inflicted so swiftly and was so severe that Brianna lost consciousness

immediately or otherwise went into shock and died very quickly.” Id. (emphasis

in original).

       The OCCA, however, rejected Cole’s arguments:

          We now turn to Appellant’s second argument, that the evidence
       supporting this particular aggravator is insufficient. The evidence on
       this point is somewhat brief and circumstantial. Therefore, the
       question of whether the evidence admitted at trial was sufficient for
       the jury’s finding that the murder was preceded by torture of the
       victim or serious physical abuse is one worthy of considerable
       deliberation.

          Appellant admitted his part in the crime, although his explanation
       was brief and lacking in helpful details. Appellant originally told
       authorities that Brianna was crying. Appellant’s wife was doing
       laundry, so he went in to calm her, then went back to playing video
       games. Later, he described similar events, although on this occasion
       Appellant did not mention going in to calm his daughter. Rather, his
       wife noticed she didn’t look right, and Appellant came in, looked her
       over, and said she was fine. Appellant even wrote a statement of this
       version of the events on the night of the murder, State’s Exhibit 1.

          The next day, however, authorities first confronted Appellant with
       the medical examiner’s ruling that the death was by homicide.
       Appellant’s first words were, “How many years am I looking at?”,
       thus demonstrating guilty knowledge. Appellant then told a revised
       version of his story—that he had attempted to get Brianna to stop
       crying, but she wouldn’t; that he then grabbed his daughter by her
       ankles while she was lying on her stomach, then pushed her legs

                                         46
towards her head, until she flipped over. The testifying officer,
while recounting Appellant’s version of the events, physically
demonstrates how this was accomplished, but our written record does
not adequately reflect what occurred. But after he did this, Brianna
stopped crying, at some point. Appellant’s wife then returned to the
room to find Brianna not looking right, and the rest of the events are
similar to Appellant’s previous explanations.

   Appellant also wrote out a statement after this interview, State’s
Exhibit 2. Therein, he states, “Brianna was crying so I went into the
room to flip her over by grabbing her by the leg and flipping her over
backwards.” His wife did not reenter the room for ten to fifteen
minutes after the fatal actions.

   A fair reading of this record, however, is consistent with the
State’s description, that Appellant forcefully folded his daughter over
until her spine snapped and her aorta tore.

     The medical examiner testified that the autopsy revealed
Brianna’s lumbar spine, the lower part of her back, had been “broken
and was splayed open in the front . . . .” Also, Brianna suffered a
“complete tear or what we call a transaction or laceration of the aorta
. . . an aorta which is completely torn into two pieces.” The breaking
of the spine “can really only occur when there’s what we call
hyperextension or a bending backward of the back such that it snaps
open. And this doesn’t occur with normal bending, but would only
occur with . . . abnormal bending backward of the back.” The
medical examiner further testified that the injury would take a “great
amount of force and a deliberate force.” And the aorta was not
severed by the bone breaking. The medical examiner testified that it
is elastic like a rubberband and had been stretched and stretched and
stretched until it finally passed the breaking point. His conclusion,
then, was that “we’re talking about basically folding the back in
half.” FN9

      FN9 .
          This testimony makes the autopsy photographs
      highly probative to show both cause of death and the
      conscious physical suffering required by the especially
      heinous, atrocious, or cruel aggravator.

   The medical examiner testified that this injury would “absolutely”

                                   47
      be painful to a nine-month-old child. Moreover, he stated “[t]here’s
      no [reason why] unconsciousness would occur instantaneously . . . It
      takes a little bit of time for enough blood to leave the vessels and not
      feed the brain before one becomes unconscious with an injury like
      that . . . .” The medical examiner testified that the child was
      probably conscious for no more than 30 seconds after the spine
      snapped and that she probably died within two or three minutes.

         And so, we have a crying child who is essentially snapped in two
      by great force at the hands of her father. She was alive when the
      painful force was applied and she continued to feel pain for another
      thirty seconds afterward until she went unconscious and then expired
      a few minutes later. The amount of force required was great and the
      stretching before the breaking of the spine and tearing apart of the
      aorta would have been protracted and not instantaneous.

         The especially heinous, atrocious, or cruel aggravator requires a
      finding of torture or great physical abuse. In the DeRosa instruction,
      torture is further qualified as requiring the infliction of “great
      physical anguish or extreme mental cruelty” and “serious physical
      abuse” and “great physical anguish” are further qualified as requiring
      the victim to experience “conscious physical suffering.”

         While Brianna Cole suffered a fairly quick death, it was far from
      painless. Indeed, the pain was likely excruciatingly horrible. One
      cannot read this chilling record without concluding that Brianna
      suffered both torture and serious physical abuse at the hands of
      Appellant. She experienced a heinous death with great conscious
      suffering to a degree unlike “virtually all murders,” thereby placing
      this crime within the narrowed class of individuals for which capital
      punishment is a valid option. Accordingly, we find the evidence
      admitted at trial, when viewed in a light most favorable to the State,
      was sufficient to find beyond a reasonable doubt that the murder was
      especially heinous, atrocious or cruel. Black v. State, 2001 OK CR
      5, ¶ 79, 21 P.3d 1047, 1074; Malicoat v. State, 2000 OK CR 1, ¶ 16,
      992 P.2d 383, 397, cert. denied 531 U.S. 888, 121 S.Ct. 208, 148
      L.Ed.2d 146 (2000).

Cole I, 164 P.3d at 1098-99 (internal paragraph numbers omitted).

      b) Clearly established federal law applicable to the claim

                                         48
       Cole points to Jackson v. Virginia, 443 U.S. 307 (1979), and Hicks v.

Oklahoma, 447 U.S. 343 (1980), as providing the clearly established federal law

applicable to this claim. Aplt. Br. at 67. In Jackson, the Supreme Court held

“that a state prisoner who alleges that the evidence in support of his state

conviction cannot be fairly characterized as sufficient to have led a rational trier

of fact to find guilt beyond a reasonable doubt has stated a federal constitutional

claim.” 443 U.S. at 321. The Court further held that in reviewing such a claim,

“the relevant question is whether, after viewing the evidence in the light most

favorable to the prosecution, any rational trier of fact could have found the

essential elements of the crime beyond a reasonable doubt.” Id. at 319 (emphasis

in original).

       In Hicks, the petitioner, an Oklahoma state prisoner, was convicted by a

jury of unlawfully distributing heroin. Because petitioner had two prior felony

convictions, the members of the jury were instructed, in accordance with the then-

existing habitual offender statute, that if they found petitioner guilty, they were

required to assess a forty-year term of imprisonment. The jury complied with this

mandate and imposed the forty-year prison term. Shortly after petitioner was

convicted, “the provision of the habitual offender statute under which the

mandatory 40-year prison term had been imposed was in another case declared

unconstitutional by the [OCCA].” 447 U.S. at 345. “On his appeal, the petitioner

sought to have his 40-year sentence set aside in view of the unconstitutionality of

                                          49
this statutory provision.” Id. “The [OCCA] acknowledged that the provision was

unconstitutional, but nonetheless affirmed the petitioner’s conviction and

sentence, reasoning that the petitioner was not prejudiced by the impact of the

invalid statute, since his sentence was within the range of punishment that could

have been imposed in any event.” Id.

      The Supreme Court “granted certiorari to consider the petitioner’s

contention that the State deprived him of due process of law guaranteed to him by

the Fourteenth Amendment.” Id. Although the State of Oklahoma “argued that

all that [wa]s involved in th[e] case [wa]s the denial of a procedural right of

exclusively state concern,” the Court disagreed. “Where,” the Court held, “a

State has provided for the imposition of criminal punishment in the discretion of

the trial jury, . . . [t]he defendant in such a case has a substantial and legitimate

expectation that he will be deprived of his liberty only to the extent determined

by the jury in the exercise of its statutory discretion, and that liberty interest is

one that the Fourteenth Amendment preserves against arbitrary deprivation by the

State.” Id. at 346. In turn, the Court held that the OCCA had denied petitioner

“the jury sentence to which he was entitled under state law, simply on the frail

conjecture that a jury might have imposed a sentence equally as harsh as that

mandated by the invalid habitual offender provision.” Id. “Such an arbitrary

disregard of the petitioner’s right to liberty,” the Court held, “is a denial of due

process of law.” Id.

                                            50
      c) Cole’s challenge to the OCCA’s ruling

      In his federal habeas appeal, Cole first asserts that “the OCCA employed an

incorrect appellate standard of review” in assessing “the sufficiency of the

evidence supporting the HAC aggravator.” Aplt. Br. at 67. Although he concedes

the OCCA “applied substantially the same standard of review as the one

articulated [by the Supreme Court] in Jackson,” he asserts that, “[c]onsistent with

Oklahoma law, the OCCA should have applied the reasonable hypothesis

standard” discussed in Lay v. Oklahoma, 179 P.3d 615, 623 (Okla. Crim. App.

2008). Aplt. Br. at 68. “The [OCCA’s] misapplication of state law,” Cole argues,

“result[ed] in a deprivation of a liberty interest . . . and is therefore cognizable on

federal habeas corpus review” consistent with the holding in Hicks. Id.

      We note, at the outset, that Cole has never presented this argument to the

Oklahoma state courts and it is therefore unexhausted and subject to an

anticipatory procedural bar. See Anderson v. Sirmons, 476 F.3d 1131, 1139-40

n.7 (10th Cir. 2007) (“‘Anticipatory procedural bar’ occurs when the federal

courts apply procedural bar to an unexhausted claim that would be procedurally

barred under state law if the petitioner returned to state court to exhaust it.”

(internal quotation marks omitted)).

      Further, even assuming the claim is not procedurally barred, it clearly lacks

merit. The “reasonable hypothesis” test cited by Cole was first adopted by the

OCCA in 1911 to apply in criminal cases where the only evidence in support of a

                                           51
defendant’s guilt was circumstantial. See Easlick v. State, 90 P.3d 556, 558

(Okla. Crim. App. 2004) (citing Sies v. State, 117 P. 504 (Okla. Crim. App.

1911)). At that time, the OCCA described the test in the following manner:

      If the facts and circumstances are of such a character as to fairly
      permit an inference consistent with innocence, they cannot be
      regarded as sufficient evidence to support a conviction. The general
      rule in criminal cases is that, where the evidence is circumstantial,
      the facts shown must not only be consistent with and point to the
      guilt of the defendant, but must be inconsistent with his innocence.

Id. (quoting 117 P. at 505). At some point thereafter, the “reasonable hypothesis”

test was adopted for use in the second stage of Oklahoma capital cases, and was

incorporated into Oklahoma’s uniform jury instructions for capital cases.

      In 2004, however, the OCCA “abolish[ed] the ‘reasonable hypothesis’ test

and adopt[ed] a unified approach[, based upon Jackson,] in examining sufficiency

issues.” Id. at 557. In doing so, the OCCA noted that the “reasonable

hypothesis” test, which it described as “antiquated,” id., “was formed at a time

when circumstantial evidence was universally distrusted,” id. at 558. The OCCA

held that, “given the current instructions defining direct and circumstantial

evidence, the equal footing on which both types of evidence stand, along with the

strength of the reasonable doubt standard, the fear of circumstantial evidence

becomes unfounded.” Id.

      In Lay, the case cited by Cole, a capital defendant filed a direct appeal

complaining, in part, “that the trial court erred in failing to instruct the jury [with


                                           52
regard to the “reasonable hypothesis” test] as required by OUJI-CR (2d) 4-77.”

179 P.3d at 623. The trial court had “modified this instruction . . . to conform to

the holding of Easlick,” which, as noted, “overruled years of settled law and

abolished the ‘reasonable hypothesis’ standard in the guilt/innocence instructions

and on appellate review of sufficiency of the evidence claims.” Id. The OCCA

concluded that, because “Easlick did not address OUJI-CR (2d) 4-77,” that was

“still the required instruction for aggravating circumstances proven, entirely or in

part, by circumstantial evidence.” Id. However, because the defendant in Lay

“failed to object to the instruction as modified,” the OCCA concluded there was

no plain error. Id.

      Seven years later, in Harmon v. State, 248 P.3d 918, 938-939 (Okla. Crim.

App. 2011), the OCCA expressly abolished the “reasonable hypothesis” test as

applied to second-stage jury instructions regarding aggravating circumstances. In

doing so, the OCCA noted that the reasons it outlined in Easlick for abandoning

the “reasonable hypothesis” test for guilt/innocence instructions “appl[ied] to”

second-stage aggravating circumstance instructions “as well.” Id. at 938. Thus,

under current Oklahoma law, the Jackson standard applies equally to a jury’s

first-stage guilt/innocence determinations and its second-stage aggravating

circumstance determinations.

      Notably, the trial court in Cole’s case, consistent with then-existing

Oklahoma law, instructed the jury regarding the “reasonable hypothesis” test as

                                         53
part of its second-stage instructions regarding the aggravating circumstances

alleged by the prosecution. In particular, the trial court instructed the jury that,

“[i]n order to warrant a finding of any aggravating circumstance or circumstances

upon circumstantial evidence, each fact necessary to prove the existence of the

circumstance must be established by the evidence beyond a reasonable doubt,”

and that “[a]ll of the facts and circumstances, taken together, must be inconsistent

with any reasonable theory or conclusion other than the existence of the

aggravating circumstance.” State ROA, Vol. III at 464.

      Although the OCCA did not in turn apply the “reasonable hypothesis” test

in conducting its appellate review of the sufficiency of the evidence supporting

the heinous, atrocious or cruel aggravator, its failure to do so was not contrary to

Hicks, nor did it otherwise deprive Cole of his right to due process. Indeed,

Hicks, which involved a defendant who was effectively deprived of the right to

have a jury exercise its discretion to impose a sentence on him, is not remotely on

point. Further, our review of OCCA case law indicates that the OCCA, at the

time it decided Cole’s direct appeal, routinely applied the Jackson standard, rather

than the “reasonable hypothesis” test, in assessing the sufficiency of evidence

supporting a heinous, atrocious or cruel aggravator. E.g., Black v. State, 21 P.3d

1047, 1074 (Okla. Crim. App. 2001); Malicoat v. State, 992 P.2d 383, 397 (Okla.

Crim. App. 2000). Finally, and most importantly, the OCCA applied the proper

constitutional standard in assessing the sufficiency of the evidence supporting the

                                          54
jury’s second-stage findings in Cole’s case (Cole concedes that the OCCA

effectively applied the constitutional standard of review outlined in Jackson).

Consequently, Cole’s due process rights were not violated by the manner in which

the OCCA conducted its appellate review on that issue.

      Finally, we conclude that the OCCA’s decision was neither contrary to, nor

an unreasonable application of, Jackson. In particular, we fully agree with the

OCCA that the medical examiner’s testimony was sufficient to allow a rational

trier of fact to find beyond a reasonable doubt that the murder was especially

heinous, atrocious or cruel.

                               Prosecutorial misconduct

      In Proposition Five of his appellate brief, Cole asserts that prosecutorial

misconduct in seeking sympathy for the decedent, by way of repeated references

to God and religion in both stages of the trial, resulted in violations of his rights

under the Eighth and Fourteenth Amendments to the United States Constitution.

Cole further asserts that his rights under the First Amendment were also violated

by the prosecutorial misconduct. Additionally, Cole asserts, as part of

Proposition Five, that his trial counsel was ineffective for failing to object to the

alleged instances of prosecutorial misconduct.

      a) Facts pertaining to the claim

      Cole alleges that the prosecution “presented argument designed to inflame

the passions and prejudice of the jury and evoke sympathy for Brianna by

                                           55
repeatedly injecting religion and God into the trial.” Aplt. Br. at 76. In support,

Cole first notes that the lead prosecutor, during first-stage opening statements and

closing arguments, made repeated references to Christmas:

      • “Brianna Victoria Cole was born March 27th of 2002 and five days,
      five days before her first Christmas she was dead. Four days before
      her first Christmas she was laying on an autopsy table.” ROA, Vol.
      VI at 57 (opening statement).

      • “Four days before Christmas, Dr. Sibley [the medical examiner]
      will testify that he performed an autopsy on this little girl.” Id. at 60.

      • “Dr. Sibley . . . will testify that . . . this little girl could not even
      make it to her first Christmas.” Id. at 63.

      • “There’s no Oklahoma statute that says you have to buy your child
      a birthday present. Or in Brianna’s case, a Christmas present.” Id.,
      Vol. VII at 43 (closing argument).

      Cole next asserts that the prosecutor, during first-stage closing arguments,

“dove head first into religion, God, and how children are a blessing,” Aplt. Br. at

48, by stating:

      • “But if you look at any mother-father, mother, father, grandparent,
      guardian that is blessed enough to have a little baby that is perfect,
      what would they give for that child?” ROA, Vol. VI at 42-43.

      • “Cole received one of the most precious gifts that anyone can
      receive. Cars are nice. Houses are nice. Careers are great. There’s
      no better gift than a healthy child. None. And as I sit down after
      this first closing, I will not ask what type of man would do this to a
      baby. As I said in the beginning of this closing, it was his duty to
      protect that little girl. God entrusted him with that little girl and
      what did he do with that trust?” Id. at 48.

According to Cole, “[t]hese statements were not designed to . . . highlight


                                             56
important points, evidence, or testimony,” Aplt. Br. at 77, but rather “were

designed to inflame the passions and prejudices of the jury, to convict Cole not

based on Oklahoma law, but because Cole violated God’s law; broke God’s trust;

and was an affront to God because the homicide occurred five days before we

celebrate the birth of God’s son,” id. at 78.

        Cole contends that “the prosecutor continued down this same path during

second stage closing arguments,” id., when he described a personal incident to the

jury:

        I remember once, after going on a long trip – and my older two
        children were 14 months apart. It was like one of those trips that
        everything went pretty well and then you finally get there and decide
        you need to haul everything in, you know. And I don’t know about
        other people’s experience, but mine always were whenever you got to
        where you were going and you were tired, they weren’t. So anyhow,
        we go hauling into my mom and dad’s house and take the babies in
        and, you know, clean them up and get the wonderful – you know, the
        grapes that you stopped in Missouri and got but you don’t know why,
        since they’re all purple at that point. So anyhow, we got up there
        and I remember getting the kids cleaned up, putting their PJ’s on.
        Well, there was no reason to put their PJ’s on because they were
        wide awake, you know. So after messing around for awhile, they
        finally go to sleep. And then I got out of the shower, I laid down and
        I know just as my head hit the pillow I heard one of them cry, you
        know. So I got up and my dad looks at me and he says, he goes, you
        know what a baby’s cry is? And I looked at him. I’m like I know
        you’re going to tell me. Okay, what is a baby’s cry? And he said a
        baby’s cry is God asking you to help them.

           My dad loved babies. There was nothing – there was nothing
        more important to my father than when we went up there to visit of
        grabbing one of the little babies and he would just walk in the yard
        with them and he would talk to them. And I remember – he’s gone
        now, but I remember when we sat there, you know, the horrible times

                                          57
      when you have to make final arrangements for them and you’re
      happy and sad and you cry and you laugh. And you know, looked at
      me and they said, Patrick, you know, what do you want to say? I
      said I don’t know. You know, he loved babies. And that was it.

Trial Tr., Vol. VIII at 144-45.

      Cole asserts that “[t]he religious overtones and content of the prosecutor’s

argument acted to obliterate the separation between church and state in violation

of [his] rights under the First Amendment.” Aplt. Br. at 79. The prosecutor’s

arguments, Cole asserts, “blurred the distinction between Oklahoma law and

Christian religion,” and resulted in “the jury’s determination [being] based upon

Cole’s purported affront to God.” Id.

      Lastly, Cole asserts that his trial counsel “failed to object [to any of this

misconduct] and allowed this highly prejudicial and sympathetic evidence to be

heard by Cole’s jury.” Aplt. Br. at 81.

      b) The OCCA’s ruling on the issue

      Cole asserted some, but not all, of these arguments in Proposition Five of

his direct appeal brief. In particular, Cole framed Proposition Five in the

following manner: “PROSECUTORIAL MISCONDUCT IN SEEKING

SYMPATHY FOR THE DECEDENT VIOLATED COLE’S RIGHT TO A

FUNDAMENTALLY FAIR TRIAL AND SENTENCING PROCEEDING IN

VIOLATION OF THE SIXTH, EIGHTH, AND FOURTEENTH AMENDMENTS

TO THE UNITED STATES CONSTITUTION AND ARTICLE II, SECTIONS 7


                                          58
AND 20 OF THE OKLAHOMA CONSTITUTION.” Direct Appeal Br. at 54

(capitalization in original). In turn, Cole pointed to the same instances of alleged

misconduct that he now complains of in these federal habeas proceedings.

Although Cole argued that the misconduct violated his right to a fair trial and

sentencing proceeding, he did not argue that his First Amendment rights were

violated.

      As for his claim of ineffective assistance, it was asserted only in a footnote

to his discussion of the alleged prosecutorial misconduct:

      Trial counsel made no objection to these improper arguments and
      thus this Court must review for plain error. To be entitled to relief
      under the plain error doctrine, the defendant must prove: 1) the
      existence of an actual error; 2) that the error is plain or obvious; and
      3) that the error affected his substantial rights, meaning the error
      affected the outcome of the proceeding. If these elements are met,
      this Court will correct plain error only if the error seriously affects
      the fairness, integrity, or public reputation of the judicial
      proceedings. Cole asserts that plain error is present in this claim and
      reversal is warranted. In addition, Cole asserts that plain error
      review can be avoided because Cole received ineffective assistance
      of counsel because of trial counsel’s failure to object to these plain
      errors in violation of the Sixth and Fourteenth Amendments to the
      United States Constitution as well as article II, §§ 7 and 20 of the
      Oklahoma Constitution.

Direct Appeal Br. at 55-56, n.10 (internal citations, quotation marks, and brackets

omitted).

      The OCCA rejected Cole’s prosecutorial misconduct claim, stating as

follows:

            In proposition five, Appellant claims prosecutorial misconduct in

                                          59
seeking sympathy for the decedent violated his right to a
fundamentally fair trial and sentencing proceeding in violation of the
Sixth, Eighth, and Fourteenth Amendments to the United States
Constitution and Article II, Sections 7 and 20 of Oklahoma’s
Constitution.

   Appellant points to four brief examples from the nine-day trial.
First, during first stage opening statement the prosecutor made two
references about the death occurring just prior to what would have
been Brianna’s “first Christmas.” No objection was made to the
comment, and we find no error, plain or otherwise. The occurrence
of this murder on the week before Christmas is a tragic circumstance
that is instantaneously obvious to everyone, this Court included.
Certain facts simply cannot be disentangled from a criminal trial on
the basis that they also evoke sympathy.

   Next, Appellant points to first stage closing arguments, when the
prosecutor argued that children are a blessing, one that most parents,
grandparents, etc. would give anything for and value highly. No
objection was made, however, and for good reason. These comments
fall within the wide latitude of discussion permitted both the state
and the defense in closing argument. Short v. State, 1999 OK CR 15,
¶ 72, 980 P.2d 1081, 1104.

   Next, Appellant points to brief comments at the end of first stage
closing arguments when the prosecutor argued that children are a
precious gift, entrusted to parents by God. Again, no objection was
raised, and we find no plain error. Simpson v. State, 1994 OK CR
40, ¶ 2, 876 P.2d 690, 692–93. It is probably safe to say that most
Americans, probably a strong majority, would agree with this
statement wholeheartedly. While the statement is perhaps
objectionable, as possibly injecting God into the mix and for its
intentional melodrama, it does not, standing alone, amount to plain
error.

   Appellant’s last example, which occurred during the prosecutor’s
penalty phase closing, concerns the prosecutor’s story of how his
father told him that a “baby’s cry is God asking you to help them,”
along with a later reference to an earlier unobjected to description of
the victim as God’s gift. No objections were made by defense
counsel. Again, we find no plain error. While the sentimental

                                   60
      statement [sic] above were, in our opinion, slightly beyond that
      “wide latitude” given to parties to discuss the evidence and make
      reasonable arguments therefrom, Appellant’s trial or sentencing was
      not rendered unfair by these last remarks, or when all of the
      examples are considered together. The record indicates that
      Appellant was himself responsible for injecting religion into this trial
      by his bizarre behavior, so much so that his counsel, at times, had to
      do their best to convince jurors that Appellant was simply a devout
      man, rather than a troubling zealot. In context, then, the prosecutors’
      brief arguments about God were no more than an adversarial balance
      to Appellant’s positions on religion.

Cole I, 164 P.3d at 1096-97 (internal paragraph numbers omitted). The OCCA

did not mention Cole’s allegation of ineffective assistance of trial counsel. Nor

did the OCCA discuss whether the alleged prosecutorial misconduct violated

Cole’s First Amendment rights.

      c) Clearly established federal law applicable to the prosecutorial
      misconduct claim

      Prosecutorial misconduct can result in constitutional error in one of two

ways. “First, prosecutorial misconduct can prejudice ‘a specific right, such as the

privilege against compulsory self-incrimination, as to amount to a denial of that

right.’” Matthews v. Workman, 577 F.3d 1175, 1186 (10th Cir. 2009) (quoting

Donnelly v. DeChristoforo, 416 U.S. 637, 643 (1974)). Second, absent the

infringement of a specific constitutional right, prosecutorial misconduct can result

in constitutional error if it “so infected the trial with unfairness as to make the

resulting conviction a denial of due process.” Donnelly, 416 U.S. at 643. In

other words, in the habeas context, the petitioner must establish that the


                                           61
prosecutor’s misconduct was “of sufficient significance to result in the denial of

the [petitioner]’s right to a fair trial.” Greer v. Miller, 483 U.S. 756, 765 (1987)

(internal quotation marks omitted). In considering whether a habeas petitioner

has satisfied this standard, the offending prosecutorial remark or action must be

placed in the context of the whole trial, and not viewed in isolation. Id. at

765-66.

      Notably, Cole does not cite to Donnelly or Greer. Instead, he cites to

several other Supreme Court cases, as well as circuit cases. But none of the

Supreme Court cases cited by Cole are remotely on point. And, as we have noted,

circuit cases are inapplicable in our determination of whether the OCCA’s rulings

were contrary to, or an unreasonable application of, clearly established federal

law under § 2254(d)(1). Consequently, we will treat Donnelly and Greer as the

“clearly established federal law” applicable to Cole’s claim for purposes of §

2254(d)(1) analysis.

      d) Cole’s challenge to the OCCA’s analysis of the prosecutorial misconduct

      In challenging the OCCA’s analysis and rejection of his claims, Cole

begins by asserting it was “unreasonable” for the OCCA to find that “‘the

occurrence of th[e] murder on the week before Christmas [wa]s a tragic

circumstance that [wa]s instantaneously obvious to everyone” and that could not

“‘be disentangled from a criminal trial on the basis that they also evoke

sympathy.’” Aplt. Br. at 83 (quoting Cole I, 164 P.3d at 1101). More

                                          62
specifically, Cole argues that “[w]hile it is painfully obvious that Brianna was

killed days before Christmas, there was absolutely no need for the prosecutor to

continually emphasize that fact.” Id. at 83-84. “The prosecutor’s arguments,”

Cole asserts, “pulled on the heart strings of the jury by placing before it God’s

gifts and blessing – children, particularly healthy and ‘perfect’ children (like

Brianna), and God’s gift of his Son who gave us all eternal life – counterposed

with Cole’s action of killing this ‘blessing’ from God, and giving the gift of

death.” Id. at 84.

      Focusing solely on the prosecutor’s references to the timing of the murder

in proximity to Christmas, we are not persuaded that the OCCA’s analysis was

contrary to, or an unreasonable application of, Donnelly or Greer. As the OCCA

noted, the fact that Brianna’s death occurred just days before Christmas was

obvious to the jury. Further, although Cole suggests that the prosecutor

“continually emphasize[d] that fact,” in actuality the prosecutor made only two

references to this fact during his first-stage opening statement. Considering the

trial as a whole, which lasted over a week, these references were not of sufficient

significance to deprive Cole of his right to a fair trial.

      As for the prosecutor’s references during first-stage closing arguments to

children being a blessing or gift from God, the OCCA concluded that “[t]hese

[blessing] comments f[e]ll within the wide latitude of discussion permitted both

the state and the defense in closing argument.” Cole I, 164 P.3d at 1101. The

                                           63
OCCA also concluded that “[i]t is probably safe to say that most Americans,

probably a strong majority, would agree . . . wholeheartedly” with the

prosecutor’s suggestion that children are a “gift” from God. Id. Although the

OCCA conceded that this statement from the prosecutor was “perhaps

objectionable, as possibly injecting God into the mix and for its intentional

melodrama,” it concluded that the statement, “standing alone, [did not] amount to

plain error.” Id.

      Cole argues that “[t]his finding is unreasonable because the question is not

whether [he] violated God’s laws and trust, but whether [he] violated the laws of

Oklahoma.” Aplt. Br. at 84. While Cole is certainly correct in stating that the

proper question before the jury was whether he violated Oklahoma law, we

conclude that the OCCA’s analysis of this prosecutorial comment was neither

contrary to, nor an unreasonable application of, Donnelly or Greer. Although the

comment was certainly melodramatic and likely improper, we are not persuaded,

after reviewing the entire trial transcript, that the comment resulted in a

deprivation of Cole’s due process right to a fair trial. In particular, it was not

seriously disputed that Cole was guilty of causing Brianna’s death. Likewise, the

jury’s second-stage findings regarding the aggravating factors, and its

determination that a sentence of death was warranted, were more than amply

supported by the evidence. Indeed, the evidence supporting the aggravating

factors was quite powerful, if not overwhelming. Lastly, there is no dispute that

                                          64
the jury was properly instructed regarding its tasks in both the first and second

stages of trial.

       Finally, Cole argues that it was unreasonable for the OCCA to conclude

that Cole, through his behavior during trial, injected religion into the trial and that

the prosecutor’s arguments about God were nothing more than an “adversarial

balance” to Cole’s positions on religion. We construe the OCCA’s comments as

addressing not only the prosecutor’s remarks from the first-stage proceedings, but

also the prosecutor’s comments in second-stage closing arguments, including

notably the comments regarding a baby’s cry and what God asks from parents.

See Cole I, 164 P.3d at 1101 (finding that neither “[Cole’s] trial [n]or sentencing”

was “rendered unfair” “or when all of the examples [we]re considered together”).

Nevertheless, Cole cannot prevail on this challenge. Although we agree with

Cole that “at no time did [he] or his attorneys present any evidence of [his]

position on religion, or [his] religious views, or assert [his] religiousness as a

defense,” Aplt. Br. at 85, we nevertheless conclude, for the reasons already

discussed above, that the prosecutor’s comments, when considered in light of the

trial as a whole, see Cole I, 164 P.3d at 1101, did not result in a deprivation of

Cole’s due process right to a fair trial and sentencing proceeding.

       e) Cole’s ineffective assistance claim

       As for Cole’s assertion that his trial counsel was ineffective for failing to

object to the alleged instances of prosecutorial misconduct that occurred during

                                          65
the trial, our review of the state court record leads us to conclude that Cole did

not properly raise the issue on direct appeal. OCCA Rule 3.5 outlines the

requirements of an appellant’s brief, and subsection (A)(5) thereof specifically

provides that “[m]erely mentioning a possible issue in an argument or citation to

authority does not constitute the raising of a proposition of error on appeal.”

OCCA R. 3.5(A)(5). That same subsection further provides that “[f]ailure to list

an issue pursuant to the[] requirements [of the rule] constitutes waiver of alleged

error.” Id. In Cole’s case, his claim of ineffective assistance was neither listed

nor treated as a distinct issue in his direct appeal brief. Rather, as we have noted,

the issue was mentioned by Cole in one sentence in a footnote to his discussion of

the alleged prosecutorial misconduct. In turn, the OCCA did not acknowledge, let

alone address, the issue in disposing of Cole’s direct appeal, and it thus appears,

consistent with OCCA Rule 3.5(A)(5), to have treated the issue as not properly

raised. Consequently, the issue is unexhausted and, in turn, procedurally barred

for purposes of federal habeas review. 13

                                  Cumulative error

      In his sixth and final proposition of error, Cole asserts that the cumulative



      13
         Even if the issue was not waived and we were somehow free to review
the issue de novo, we would conclude there is no merit to it. In short, we are not
persuaded there is a reasonable probability that the outcome of either stage of
Cole’s trial proceedings would have been different had Cole’s trial counsel
objected to the prosecutor’s comments.

                                            66
effect of the errors that occurred at his trial deprived him of his rights under the

Eighth and Fourteenth Amendments to the United States Constitution. “In the

federal habeas context, a cumulative-error analysis aggregates all constitutional

errors found to be harmless and analyzes whether their cumulative effect on the

outcome of the trial is such that collectively they can no longer be determined to

be harmless.” Alverson v. Workman, 595 F.3d 1142, 1162 (10th Cir. 2010)

(internal quotation marks and brackets omitted). 14

      Having reviewed all of the state court records in this case, we conclude

that, notwithstanding the constitutional errors alleged by Cole in these federal

habeas proceedings, Cole received a fundamentally fair trial. In other words,

even aggregating the constitutional errors alleged by Cole, we conclude that those

errors did not have a substantial and injurious effect or influence on either the

jury’s determination of Cole’s guilt or its decision to sentence Cole to death. See

generally Brecht v. Abrahamson, 507 U.S. 619, 637 (1993) (outlining the

harmless error standard to be applied on federal habeas review).

                                          III

      The judgment of the district court is AFFIRMED. Cole’s motion to expand


      14
          In Hooks, 689 F.3d at 1194 n.24, we “note[d] that there is a split in the
circuits on whether the need to conduct a cumulative-error analysis is clearly
established federal law under § 2254(d)(1).” We also noted that Tenth Circuit
“precedent may very well signal where our court has come down on this
issue—viz., that cumulative-error analysis is clearly established law.” Id. We
need not resolve that question in this case.

                                          67
the certificate of appealability is DENIED.




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