Full opinion text
OPINION SUHRHEINRICH, Circuit Judge. Finding the petitioner’s claims of prose-cutorial misconduct and ineffective assistance of counsel meritorious, the district court conditionally granted a writ of habe-as corpus to Petitioner Charles L. Lorraine. Respondent Ralph Coyle appeals. Por the reasons set forth below, we REVERSE. I. Background A. Facts On the evening of May 6, 1986, Petitioner went to the home of Doris and Raymond Montgomery, age 80 and 77, respectively. The Montgomerys had in the past hired Petitioner to do jobs around the house. Petitioner lured Raymond upstairs. Petitioner stabbed Raymond five times in the back with a butcher’s knife. Petitioner went back downstairs and stabbed Doris, who was bed-ridden, nine times. He then burglarized the home. Petitioner proceeded to a bar and bought drinks with the stolen money. Petitioner bragged about killing two “old people.” He and a friend left the bar. They broke into a house and stole $40 and a car. They then went back to the Montgomerys’ house and stole money, jewelry, and a gun. Afterwards, Petitioner and his friend went to Denny’s for breakfast. Petitioner confessed to the killings on videotape. B. Procedural History Petitioner was indicted under Ohio Rev. Code §§ 2903.01(A) and (B) for the aggravated murders of the Montgomerys. Each of those counts carried a capital specification that the murder was committed in the course of an aggravated burglary (felony-murder specification) and was in the course of killing two or more people (mass-murder specification). Petitioner was also charged with two counts of aggravated burglary in violation of Ohio Rev.Code § 2911.11, one for the burglary of the Montgomery home and one for a different home. Petitioner’s jury trial began on November 4, 1986. On November 19, 1986, he was found guilty of all counts and specifications. On December 1,1986, the penalty phase began. Petitioner presented ten lay witnesses, a forensic psychologist, and his unsworn statement. The State called four rebuttal witnesses. On December 4, 1986, the jury recommended two death sentences, one for the aggravated murder of each of the victims. On December 9,1986, the trial court adopted the jury’s death sentence recommendation. The court also sentenced Petitioner to ten to twenty-five year terms of incarceration on his aggravated burglary convictions. Petitioner raised twenty-eight assignments of error on direct appeal to the Ohio Court of Appeals. On August 13, 1990, the Ohio Court of Appeals affirmed Petitioner’s conviction and sentence. See State v. Lorraine, No. 3838, 1990 WL 116921 (Ohio Ct.App. Aug. 10, 1990). Petitioner appealed to the Ohio Supreme Court, raising twenty-two assignments of error. On June 16, 1993, the Ohio Supreme Court affirmed the conviction and sentence. See State v. Lorraine, 66 Ohio St.3d 414, 613 N.E.2d 212 (Ohio 1993). The United States Supreme Court denied certiorari. See Lorraine v. Ohio, 510 U.S. 1054, 114 S.Ct. 715, 126 L.Ed.2d 679 (1994). On September 14, 1994, Petitioner filed a post-conviction petition pursuant to Ohio Rev.Code § 2953.21, raising twenty-nine claims for post-conviction relief and requesting an evidentiary hearing. On January 5, 1995, the trial court denied the petition without a hearing. On February 23, 1996, the Ohio Court of Appeals affirmed the trial court’s judgment. See State v. Lorraine, No. 95-T-5196, 1996 WL 207676 (Ohio Ct.App. Feb. 23, 1996). Petitioner appealed to the Ohio Supreme Court. On September 18, 1996, the Ohio Supreme Court declined jurisdiction over Petitioner’s case and dismissed the appeal as not involving a substantial constitutional question. State v. Lorraine, 76 Ohio St.3d 1473, 669 N.E.2d 856 (Ohio 1996) (table). On April 10, 1996, Petitioner filed with the trial court a Rule 60(B) motion for relief from its judgment denying post-conviction relief. The trial court denied the motion. Petitioner appealed from this order, raising five assignments of error. The Ohio Court of Appeals reversed on the sole ground that the trial court did not have jurisdiction to decide the Rule 60(B) motion because, at the time of its decision, Petitioner’s appeal to the Ohio Supreme Court was pending. See State v. Lorraine, No. 96-T-5494, 1997 WL 799551, at *3 (Ohio Ct.App. Dec. 12,1997). On April 10, 1998, the trial court granted the Rule 60(B) motion and ordered the post-conviction petition reactivated. On May 3, 1999, the trial court denied the reactivated petition. On September 5, 2000, the Ohio Court of Appeals affirmed the trial court’s ruling. On January 24, 2001, the Ohio Supreme Court declined jurisdiction due to a lack of any substantial constitutional question. On April 24, 1997, Petitioner filed this habeas petition. On March 30, 2001, the district court conditionally granted the writ of habeas corpus on two grounds. First, the court determined that Petitioner had been deprived of effective assistance of counsel at the mitigation phase due to counsel’s failure to investigate, develop, and present available factors relevant to mitigation under Ohio Rev.Code § 2929.04(B), More specifically, the district court faulted defense counsel for failing to develop evidence to establish that Petitioner has a mental disease or defect which significantly affected his ability to appreciate the crime, a mitigating factor under § 2929.04(B)(3). See Ohio Rev.Code § 2929.04(B)(3). The court further held that prosecutorial misconduct infected the trial. It therefore ordered that Respondent release Petitioner, unless the Court of Common Pleas of Trumbull County, Ohio resentenced him within 120 days of the accompanying judgment. Respondent appeals. II. Standards of Review A. Merits Our review is governed by the Antiter-rorism and Effective Death Penalty Act of 1996, Pub.L. No. 104-132, 110 Stat. 1214 (1996) (“AEDPA”). See Lindh v. Murphy, 521 U.S. 320, 326-27, 117 S.Ct. 2059, 138 L.Ed.2d 481 (1997). Under the AEDPA, a federal court may not grant a writ of habeas corpus to a state prisoner with respect to any claim adjudicated on the merits unless (1) the state court’s decision was “contrary to, or involved an unreasonable application of, clearly established Federal law, as determined by the Supreme Court,” 28 U.S.C. § 2254(d)(1) (1994 & Supp. VII), or (2) the state court’s decision “was based on an unreasonable determination of the facts in light of the evidence presented in the State court proceedings.” Id. § 2254(d)(2). A state court’s legal decision is “contrary to” clearly established federal law under § 2254(d)(1) “if the court arrives at a conclusion opposite to that reached by [the Supreme] Court on a question of law or if the state court decides a case differently than [the Supreme] Court on a set of materially indistinguishable facts.” Williams v. Taylor, 529 U.S. 362, 412-13, 120 S.Ct. 1495, 146 L.Ed.2d 389 (2000). An “unreasonable application” occurs when “the state court identified the correct legal principle from [the Supreme] Court’s decisions but unreasonably applies that principle to the facts of the prisoner’s case.” Id. Under this standard, a state court decision is not unreasonable simply because the federal court concludes that the state decision is erroneous or incorrect. Id. at 411, 120 S.Ct. 1495. Rather, the federal court must determine that the state court decision is an objectively unreasonable application of federal law. Id. at 410-12., 120 S.Ct. 1495 Factual findings by state courts are presumed correct. 28 U.S.C. § 2254(e)(1). We review the district court’s grant of a writ of habeas corpus de novo. Sanford v. Yukins, 288 F.3d 855, 858-59 (6th Cir.2002); Northrop v. Trippett, 265 F.3d 372, 376 (6th Cir.2001), cert. denied, — U.S. -, 122 S.Ct. 1358, 152 L.Ed.2d 354 (2002). We review the district court’s legal conclusions de novo, and its factual findings for clear error. Greer v. Mitchell, 264 F.3d 663, 671 (6th Cir.2001), cert. denied, — U.S. -, 122 S.Ct. 1323, 152 L.Ed.2d 231 (2002). B. Procedural Default If a habeas petitioner fails to raise an issue in state court, the claim is proee-durally defaulted and may not be considered by the federal court on habeas review. Wainwright v. Sykes, 433 U.S. 72, 80, 84-87, 97 S.Ct. 2497, 53 L.Ed.2d 594 (1977); Seymour v. Walker, 224 F.3d 542, 549-550 (6th Cir.2000), cert. denied, 532 U.S. 989, 121 S.Ct. 1643, 149 L.Ed.2d 502 (2001). A petitioner may avoid procedural default however, if he demonstrates cause and prejudice for the default, or that a miscarriage of justice will result from enforcing the procedural default in his case. Sykes, 433 U.S. at 87, 90-91, 97 S.Ct. 2497; Seymour, 224 F.3d at 550. III. Analysis A. Ineffective Assistance Respondent challenges the district court’s ruling that trial counsel were ineffective in the mitigation/penalty phase for various reasons. Before turning to Respondent’s challenge to the merits, however, we must first address Respondent’s contention that Petitioner defaulted this particular ineffectiveness claim because he never presented it to the state courts, and because the ineffective assistance claims he did raise lacked evidentiary support, all in violation of Ohio’s established procedural rules. 1. Failure to Raise in State Courts Petitioner did not raise any ineffective assistance of trial counsel claims on direct appeal. He raised the following three ineffective assistance of trial counsel claims on postconviction in the trial court: First, he claimed that trial counsel were deficient “by failing to acquire experts who could have established the effect upon the Petitioner of the combination, content, and amount of alcohol and drug use by him on the night of the homicides.” He added that “[t]he use of a pharmacologist could have proven the effect of the combination of drugs and alcohol used by the Petitioner upon his ability to control his actions and form a specific intent.” Second, Petitioner argued that “his trial attorneys failed to proceed with a defense of not guilty by reason of insanity notwithstanding the existence of psychological evidence in support of this plea.” Third, he claimed that counsel were ineffective for assorted reasons, including (a) permitting petitioner to make an unsworn statement to the jury during sentencing and failing to prepare him to make that statement effective or meaningful; (b) making statements during mitigation indicating their lack of experience and familiarity with death penalty proceedings; (c) failing to bring an improper out-of-court contact with a juror to the attention of the court and failing to move for a mistrial based upon juror bias and predisposition; (d) waiving the right to be present and to have petitioner present during the in-chambers voir dire of a juror who was excused from further service during the trial based upon perceived inebriation during the proceedings; (e) failing to interview and prepare for witness testimony during the mitigation phase of the trial; (f) failing to persist in objecting to the prosecutor’s improper closing argument during mitigation following admonishment by the trial court; (g) failing to make proper objections during both the guilt and mitigation phases of the trial; and (h) failing to communicate to the judge that lead counsel had effectively abandoned inexperienced junior counsel during the trial. On appeal of the trial court’s denial of his § 2953.21 petition, Petitioner alleged that the trial court erred in denying his request for an evidentiary hearing on the claims as raised by his postconviction petition. See State v. Lorraine, 1996 WL 207676, at *1. The Ohio Court of Appeals ruled that Petitioner’s ineffective assistance of trial counsel claims were barred because they could have been raised on direct appeal. See id. at *2-3. In the case sub judice, the first claim made by appellant relates to ineffective assistance of trial counsel. Appellant asserts that his trial counsel were also his appellate counsel and that they made numerous errors in his representation depriving him of a fair trial. However, a review of the court record reveals that appellant had three attorneys from the public defender’s office to represent him at trial, and four attorneys from the public defender’s office represent him on appeal. Thus, appellant’s three different appellate attorneys could have raised the ineffectiveness of his trial counsel on direct appeal. Id. at *2. The appeals court therefore held that res judicata applied because Petitioner had new counsel on appeal. Id. (citing State v. Cole, 2 Ohio St.3d 112, 443 N.E.2d 169 (Ohio 1982)). In his federal habeas petition, Petitioner raised seven categories of claims, including ineffective assistance of counsel and ineffective mitigation/expert assistance. The district court ruled that Petitioner’s ineffectiveness claims were not procedurally defaulted in the state courts because on direct appeal Petitioner’s trial counsel continued to represent him with the addition of new counsel, creating a potential conflict of interest as to raising ineffective assistance of trial counsel claims, a situation that was not addressed in State v. Cole, supra. See Opinion Dated May 30, 2000 at 9-12; Opinion Granting Writ at 50-51. Although Ohio courts generally require defendants to raise ineffective assistance of trial counsel claims on direct appeal, see Greer, 264 F.3d at 674 (quoting State v. Cole, 2 Ohio St.3d 112, 443 N.E.2d 169 (Ohio 1982) (syllabus)), as the district court ruled, the default is not necessarily fatal here because one of Petitioner’s trial counsel remained on the direct appeal team. See Combs v. Coyle, 205 F.3d 269, 276-77 (6th Cir.) (holding that the petitioner’s ineffective assistance of trial counsel claims, which were first presented in state postconviction proceeding, were not procedurally defaulted on state res judicata grounds because petitioner’s trial counsel continued to represent him with the addition of new counsel, and the potential conflict of interest was not addressed by state procedural rules in effect at the time), cert. denied, 531 U.S. 1035, 121 S.Ct. 623, 148 L.Ed.2d 533 (2000). Thus, as in Combs, we are not barred from reviewing the merits because no firmly established procedural rule mandated that Petitioner’s ineffective assistance of trial counsel claims had to be raised on direct appeal under these circumstances. See id. at 277. Nonetheless, Petitioner’s ineffective assistance counsel claims raised on federal habeas rest on different theories than those raised in the state postconviction proceedings, and are therefore procedurally defaulted anyway. See Wong v. Money, 142 F.3d 313, 322 (6th Cir.1998) (holding that a claim was procedurally defaulted because it “rest[ed] on a theory which is separate and distinct from the one previously considered and rejected in the state court”); Lott v. Coyle, 261 F.3d 594, 607, 619 (6th Cir.2001) (holding that “relatedness” of issue did not save claim; citing Wong), cert. denied, — U.S. -, 122 S.Ct. 1106, 151 L.Ed.2d 1001 (2002). Petitioner’s closest state claim is that trial counsel failed to use a pharmacologist in the guilt phase to establish an insanity defense, which is an entirely different theory than the failure to develop evidence of organic brain damage and head injuries as mitigation. On the other hand, as Petitioner points out, Respondent did not present this particular default argument — that Petitioner failed to present his ineffective assistance of trial counsel at mitigation — -in direct response to Petitioner’s habeas petition. Respondent did, however, raise this theory of default in its response to a motion filed by Petitioner to expand the record with information going to the question of mental defect which was or would have been available to trial counsel. See Respondent’s Memorandum in Opposition to Lorraine’s Proposed Expansion of the Record with Sealed Documents Pertaining to his Claim of a Mental Defect, pp. 2 6. Petitioner therefore had an opportunity to respond. Cf. Magouirk v. Phillips, 144 F.3d 348, 359 (5th Cir.1998) (holding that district court did not abuse its discretion in raising procedural default problem sua sponte because the petitioner had an opportunity to respond; proceeding involving a § 2254 motion). Furthermore, this Court has held in a § 2255 context that it may sua sponte raise procedural default despite the Government’s failure to defend on that ground. See Elzy v. United States, 205 F.3d 882, 886 (6th Cir.2000); see also Morse v. Trippeit, No. 00-1868, 2002 WL 257207, at *9 n. 4 (6th Cir. Feb.20, 2002) (applying Elzy in § 2254 context); Smith v. Johnson, 216 F.3d 521, 523-24 (5th Cir.2000) (raising procedural default in a § 2254 case sua sponte at the appellate level). 2. Failure to Attach Documentation Respondent raises a second procedural default argument. He claims that Petitioner failed to attach documentation in support of his state postconviction ineffective assistance claims. Petitioner attached the affidavits of trial attorneys Ken Murray and Michael Gleespen to the post-conviction petition, but the affidavits do not mention the pharmacologist claim (which was raised) or the deficiencies concerning the penalty phase (which were not raised). Petitioner has thus defaulted those claims otherwise properly preserved by failing to present the necessary proof in the state postconviction review. See Byrd v. Collins, 209 F.3d 486, 512 (6th Cir.2000), cert. denied, 531 U.S. 1082, 121 S.Ct. 786, 148 L.Ed.2d 682 (2001); Mapes v. Coyle, 171 F.3d 408, 421-22 (6th Cir.1999). This procedural rule has been routinely and regularly applied in the Ohio courts. See, e.g., State v. Calhoun, 86 Ohio St.3d 279, 714 N.E.2d 905, 910 (Ohio 1999); State v. Jackson, 64 Ohio St.2d 107, 413 N.E.2d 819, 823 (Ohio 1983). See generally Maupin v. Smith, 785 F.2d 135, 138 (6th Cir. 1986) (setting forth four factor test to determine if a claim is proeedurally defaulted); Greer, 264 F.3d at 672-73 (discussing Maupin). However, the state court of appeals in this case (the last explained state court judgment addressing this issue) did not rely on this procedural ground in denying Petitioner relief. Thus, we are not barred from reviewing this issue due to procedural default. And again, Respondent did not raise this defense in his Return of the Writ, although he did raise it in a separate district court proceeding. See Respondent’s Brief Regarding AEDPA’s Effect on Lorraine’s Expansion of the Record, Discovery and Evidentiary Hearing Requests, p. 7. In short, Petitioner’s various claims of ineffective assistance of trial counsel in mitigation, as articulated in his federal ha-beas petition, are arguably proeedurally defaulted. It would therefore not be improper for us to decline review of these claims, since the state courts did not have the opportunity to address them. See Buell, 274 F.3d at 349 (noting that a petitioner’s failure to raise his claims in Ohio courts is an adequate and independent state law ground for denying the writ). Furthermore, Petitioner has not shown actual prejudice or a fundamental carriage of justice will result if we enforce the procedural default doctrine. See Seymour, 224 F.3d at 550. Notwithstanding, given the somewhat oblique manner in which Respondent raised the defense, we opt to address the merits. 3. Merits The district court concluded that counsel “were seriously and objectively ineffective in their planning and carrying out of the mitigation/sentencing phase of the trial.” Opinion Granting Writ at 62-63. Respondent claims that the district court misapplied the Strickland test in reaching the conclusion that Petitioner received constitutionally ineffective assistance. To show that counsel were constitutionally ineffective, a defendant must demonstrate that counsel’s performance was deficient in that it fell below an objective standard of reasonableness, and also that counsel’s deficiencies prejudiced his defense. Strickland v. Washington, 466 U.S. 668, 687, 104 S.Ct. 2052, 80 L.Ed.2d 674 (1984). With respect to the first requirement, the defendant must demonstrate “that counsel made errors so serious that counsel was not functioning as the ‘counsel’ guaranteed the defendant by the Sixth Amendment.” Id. Regarding the second, the defendant must demonstrate that there exists a reasonable probability that, absent counsel’s professional errors, the results of the proceeding would have been different. Id. at 694, 104 S.Ct. 2052. The Supreme Court has cautioned that scrutiny of defense counsel’s performance must be “highly deferential.” Id. at 689, 104 S.Ct. 2052. “[Cjounsel is strongly presumed to have rendered adequate assistance and made all significant decisions in the exercise of reasonable professional judgment.” Id. at 690, 104 S.Ct. 2052. To evaluate this claim, it is best to begin with the evidence Petitioner actually presented in mitigation, namely ten lay witnesses, one forensic psychologist, and his unsworn statement in mitigation. His father, Clarence D. Lorraine, described Petitioner’s hyperactive behavior when a young child, his early use of alcohol and drugs, and his fathering of a child. He told the jury that Petitioner loved his child, who had developed spinal meningitis and was institutionalized as a result. Clarence also told the jury that Petitioner, while still a child, had witnessed his aunt’s murder and that “it shook him up pretty good.” Petitioner’s brother, Steven J. Lorraine, testified that Petitioner started using drugs and alcohol when he was thirteen or fourteen years old. Steven stated that Petitioner was calm and kind when he was not high. He told the jury that Petitioner was doing drugs on the day of the crime, that “he wasn’t in his right mind[,]” and that “[h]e’s always trying to help people and he really didn’t mean what he did.” Brother Richard Lorraine, attested to the violent and chaotic family life that he and Petitioner and his other siblings experienced. Richard testified that both he and his sister Kathy had attempted suicide while teenagers due to the abuse in the home. He told the jury about Petitioner’s drug use, and the burglaries he committed to get bingo money for their mother. Anita Carroll, Lorraine’s aunt, described how Petitioner would clean the house when his mother went to bingo, and how Petitioner’s mother would take him to buy “wacky weed.” Carroll also stated that she never heard either of Petitioner’s parents express any love toward their children. Catherine Lovash, Petitioner’s grandmother, told the jury that she loved Petitioner and stated that “I don’t think he should get the electric chair. He should get life because you know, he needed help or something, really; I think so.” Phyllis Gregory, a neighbor and friend of the Lorraine family, described the living conditions in the Lorraine home as “chaotic.” Gregory also testified that Petitioner used drugs on the day of the murders. Jule Brown, the children’s director at the Lorraines’ church, told the jury that the Lorraine parents sent the children to church because they thought it was a good babysitting service, and did not attend church themselves. She described the Lorraine children as “the most unusual children I have ever seen. They had no discipline at all.... I think that they were taught to take whatever they could get any way they could get it.” A teacher, Delores Jeffries, testified that she taught Petitioner in a sixth-grade math class for kids with learning disabilities. She testified that Petitioner was always “level” with her. John Evanovich, another sixth grade teacher, testified that Petitioner was stealing from him as early as the third grade. He stated that Petitioner had a “poor sense of what was right and wrong or a poor sense of truth.” Doug Dennis, another special education teacher, testified that although he felt that Petitioner knew that there was appropriate behavior, “he didn’t seem to understand or care that someone was getting upset or irritated.” Dr. Jackson, a clinical forensic psychologist, was Petitioner’s final mitigation witness. As the district court noted, Dr. Jackson reviewed “school and medical records, work history, reports of treatment for mental conditions and history of legal problems, as well as interviews with petitioner’s neighbors, friends, relatives and teachers. Dr. Jackson also conducted his own individual examination of the petitioner and administered psychological testing, including tests for intelligence, personality and efficiency of brain functioning.” Opinion Granting Writ at 80. The district court recounted his testimony: At trial, Dr. Jackson reviewed the petitioner’s personal history for the jury in considerable detail. He noted that petitioner’s family is quite dysfunctional from early on. The father was “passive or uninvolved” with respect to the children’s development and the mother was “overwhelmed and unable to really provide them with the kind of discipline and constructive life that young children very much need.” (MP at 802). During first grade, petitioner was identified as emotionally mentally retarded, with an IQ of 83, suggesting borderline mental functioning. (MP at 804). At that time there were already incidents which showed extreme “socially deviant behavior ... [which] was not something that was a one-time occurrence of a mischievous child.” (Id.). In third grade, petitioner was placed in a learning disability class and referred to a doctor for evaluation regarding his hyperactivity and possible attention deficit disorder. (MP at 805). Records state that one of his teachers thought he was exhibiting “a poor ability to differentiate between right and wrong.” (Id.). By the end of his third grade year, when petitioner was age nine, a school psychologist noted that he had “deteriorated in his behavior, that he was more resistant to receiving help, and he was exhibiting more anti-authoritative attitudes.” (MP at 808). At the age of ten, he was given permission by his mother to smoke because his mother felt she could not stop him and she did not want him burning down the house when smoking in secret. Dr. Jackson opined that this showed petitioner’s parents’ inability “to provide proper control and guidance.” (Id.) When the petitioner was in fifth grade and approaching 12 years old, both an older brother and an older sister attempted suicide. (MP at 809). At the end of that school year, he went to another new school and “first began to commit antisocial acts in the form of theft on a regular basis.” (MP at 810). In March of 1980, his IQ tested at 73, which Dr. Jackson believed more accurately represented petitioner’s “true intellectual ability.” (Id.). By the age of 13, enjoying little supervision from his parents and suffering under a father who abused alcohol and prescription medication upon which he had grown reliant, petitioner was “exhibiting clearly symptoms of a conduct disorder!.]” (MP at 811). In June of 1981, petitioner began to appear in the records of the Department of Youth Services. He was delinquent, committed theft and curfew violations, and engaged in disorderly conduct and criminal trespass. On one occasion, he took his mother’s car and drove around with his brother in it; when his brother fell out the door and broke his leg, petitioner did not even stop to help. (MP at 813). In September 1981, petitioner was put in a group home where he received home instruction. The staff notes indicate that he was an “agitator” who “liked to stir things up,” and that he sought negative attention which accelerated in severity over time. (MP at 814). When petitioner was 16 years old, he met Rhonda, a 14 year old girl who would eventually become his wife. Within a few months, she was pregnant because Rhonda’s mother permitted them to engage in sex in her home. (MP at 816). In April 1983, he was arrested for breaking and entering, a crime committed with Rhonda’s mother. (Id.). He was sent to Cuyahoga Hills Boys School where he stayed until August 1983. He returned to the ninth grade but was expelled in December because “his behavior exhibited a danger to the other students and to the faculty.” (MP at 817). Around this time, a neighbor began to involve the petitioner and other children in B & Es [breaking & entering], providing them with drugs and alcohol. Petitioner also began to abuse hallucinogens like acid and cocaine. (Id.). In November 1983, petitioner’s son was born. The baby developed spinal meningitis and was rendered blind in both eyes and suffered brain damage. In 1984, petitioner stopped attending school. In February of that year, he was charged with two counts of assault, unauthorized use of a motor vehicle and criminal trespass, all of which were dismissed when he pled true to two counts of theft. (MP at 818). In February 1985, petitioner and Rhonda married. They lived at first with her mother and then with one A1 Richards, a disabled man whose mother paid the rent and who involved petitioner in more B & Es. The couple got their own apartment in June 1985, but after one day there, petitioner was arrested and jailed for three weeks on two counts of aggravated burglary and two counts of strong-armed robbery. Rhonda moved in with petitioner’s parents. After petitioner got out of jail, the records show a “chaotic relationship” with Rhonda, including physical violence between them. (MP at 818-19).... Petitioner continued to abuse drugs, injecting cocaine. He basically lived “to get high and party.” (MP at 821). In March 1986, petitioner was sentenced to 3 to 15 years in prison for purse snatching.[ ] The sentence was delayed because Rhonda was pregnant again and due in May. (MP at 821). The Montgomery homicides occurred in May of 1986. Dr. Jackson characterized petitioner’s school history as follows: a repeated pattern of failure to meet the expectations of his teachers and the inability to learn and profit from experience and the inability to form genuine friendships, the terrible effects of drugs and alcohol at a very early age which prevents the child from learning how to cope in a meaningful way with the challenges that life brings. All of these, I think, contributed to arresting his development, to stopping the growth that he would need later to be considered able to handle affairs as a responsible person. (MP at 822). Dr. Jackson said petitioner was born “with a defect” which caused him not to identify with others and “stopfped] [him] from acting on [his] impulses and in [his] own behalf.” (MP at 823). He characterized petitioner as “a leader because he will agitate” but also as a “stimulation seeker[ ]” who “looks for excitement.” (MP at 824). Dr. Jackson testified that petitioner was “pressure oriented” and “has little or no way of identifying with others;” that “his internal controls involving a conscience are virtually nill [sic];” that “he acts ... to avoid punishment and seek pleasure;” and that “he can be charming and pleasant, but at the same time ... shallow and self-directed.” (MP at 825-26). In summary, Dr. Jackson stated that, although petitioner was reading at about fourth grade level, emotionally he functioned only at the level of a pre-schooler, somewhere around the age of 4 or 5 at most. (IcL). Dr. Jackson stated that petitioner “has a mask of socialization” but actually never developed beyond the very early years and has not reached the stage of development where he acts so as to avoid disappointing someone he loves. (MP at 826-27). Ultimately, Dr. Jackson concluded as follows: Charles Lorraine suffers a defect in personality development which includes features of an anti-social personality disorder; additionally, that his history indicates abuse of alcohol and illicit drugs, and that additionally, the information gathered indicates that he has some features of an anxiety disorder within his personality and also some defects in his mental functioning regarding memory and recall. As a result of all of these conditions, it appears to me that [petitioner] at the time of the murders which he committed, was suffering these defects and that they contributed substantially to the offenses that occurred. (MP at 796-97). He characterized petitioner’s disorder as severe, stating: This is not something he picked up later in life as an easy way out of responsibility. This is built into him from the earliest records we have, that he may be able to tell you particularly whether something is right or wrong, but that does not control his behavior. (MP at 832). “[E]ven though he, technically, knows right from wrong, [ ] his ability to actually choose the right without external support or barriers is very limited.” (Id). When asked about mitigating factors, Dr. Jackson said one must consider early presence of some kind of impairment in brain functioning leading to difficulties in reading and being placed in special education classes; lack of development of normal socialization patterns; no family support or guidance; early use of drugs and alcohol; lack of self-respect; and early marriage. (MP 839-40). Opinion Granting Writ at 80-85. On cross-examination, Dr. Jackson admitted that he had not seen the results of the EEG or CT scans, but had been told that the tests found no evidence of organic brain disease or dysfunction. Also on cross, Dr. Jackson conceded that Petitioner has no mental disease, but that he has “a personality disorder [that is] enduring, a repetitive pattern of maladapted behavior that is very resistant to change.” Finally, Dr. Jackson gave his opinion whether Petitioner qualified under the third mitigating factor of “mental disease or de-feet” under Ohio Rev.Code § 2929.04(B)(3): Well, I think that he does in one way and he doesn’t in another. It depends on how you define the words used in number 3. Number 3 say whether, at the time of committing the offense, the offender, because of a mental disease or defect, lacked substantial capacity to appreciate the criminality of his conduct or to conform his conduct to the requirements of the law. I believe that this man suffers from a personality defect. I believe that that defect substantially impairs his ability to conform his conduct to the requirements of the law. There is no question in my mind about that.... It’s a personality defect, and since personality is part of your mental functioning, it could be considered a mental defect. If you did not consider, by defining it that way if you limited that definition to mental defect having to do with retardation, he would not qualify- The prosecution offered several rebuttal witnesses, including (over Petitioner’s objection), Dr. Kurt Bertschinger, a psychiatrist. Dr. Bertschinger agreed with Dr. Jackson’s diagnosis of antisocial personality disorder, but found no evidence of mental disease or illness. Dr. Bertschinger acknowledged on cross-examination that an antisocial personality disorder can be debilitating. The district court ultimately concluded that: At best, defense counsel presented a disjointed, underdeveloped social history which, understandably, did little to cast doubt in the minds of jurors regarding petitioner’s mental capacity. Although the record now before this Court shows there was significant information available to counsel which suggested mental incapacity, petitioner’s counsel ... simply failed to pursue or adequately develop the available information. Opinion Granting Writ at 59. Initially, the district court criticized the “timeliness” of counsel’s investigative efforts. The court faulted defense counsel for waiting until September 30, 1986, “a mere five weeks before trial,” to file a motion for funds to hire a psychologist, neurologist, and a pharmacologist. Id. at 55. The court noted that on October 10, 1986, counsel moved for leave to transport Petitioner to Columbus for psychological and neurological evaluation by Dr. James Tanley and Dr. DeMaria, between October 18 and 20, 1986, “a mere two weeks before trial.” Id. The court concluded that the tests were not performed “in any timely fashion.” Id. The court further concluded that the “final outcomes” of the tests were not reported to defense counsel until November 18 and 19, 1986, the day before and the day of the guilty verdicts. Thus, in the district court’s view, counsel had no time to effectively respond to these outcomes or plan any effective strategy for dealing with them. Id. at 56. The district court then observed that Dr. Jackson was the only mitigation expert who testified for the defense. The district court noted that Dr. Jackson testified on December 2, 1986, but did not give his report to counsel until November 29, 1986. The court further noted that a preliminary report dated October 19, 1986 was provided to defense counsel, but that the two reports “differ[ed] significantly.” Id. at 56 n. 49. The district court concluded that Dr. Jackson’s report was therefore unavailable during voir dire, and further found that the expert report reflected “a very circumscribed role for the expert, namely to focus [his examination] upon understanding and explaining [petitioner’s] developmental history and socialization.” Id. Nothing in the report reflects a request by counsel to develop or present evidence of “mental capacity” or of “mental disease or defect.” Id. The district court continued its criticism by noting that Dr. Jackson’s November 29 report stated that he administered psychological tests to Petitioner on October 11, October 12, and November 30. Id. at 57. The latter date of course, would have been after the report was issued. Id. The record belies the district court’s criticisms. Trial counsel Kenneth Murray testified that mitigation investigation had begun by mid-June 1986. Murray testified that counsel decided to focus primarily on mitigation because of Petitioner’s “devastating” confession to the crime on videotape. Murray stated that “[w]e had decided for trial — We did have the strategy at trial, to my recollection, that this was a sentencing case, not a “who done it” type of case.” Id. He also explained that “we did a lot of criminal investigation and we did a lot of mitigation investigation, but I thought it was more for the sentencing case from the beginning.” Murray testified that trial counsel assembled a “team” to prepare for trial and mitigation presentation. In addition to trial attorneys Murray and Gleespen, the team included David Stebbins, the head of the Public Defenders Death Penalty Unit, Scott Kenney, the senior attorney of the Unit, Jane Core, a mitigation specialist, John O’Connor, the criminal investigator, and two other mitigation specialists, Linda Pudvan and Michael Coconis (hereinafter “Mitigation Team”). Gleespan testified that Murray took the lead on mitigation, because of his experience as an assistant psychologist. Murray has a master’s degree in clinical psychology, but is not a licensed psychologist. The record also undermines the district court’s suggestion that trial counsel failed to timely investigate and develop an adequate defense. The record reflects that the mitigation team collected numerous records, which they provided to their experts. Jane Core stated in an affidavit attached to a motion for continuance filed on August 15, 1986, that she had done some initial interviews and requested records from schools and institutions. Counsel had also secured Dr. Jackson at that point. The record shows that over the next three months, the mitigation specialists assembled numerous documents, including records from Petitioner’s schools, Department of Youth Services, Juvenile Court, and psychological and medical records. Dr. Jackson’s November 29, 1986 report lists the materials the team sent him. The team also interviewed approximately forty witnesses and compiled a witness report, which it supplied to Dr. Jackson. Dr. Jackson’s billing statement reflects that he began working intensely on Petitioner’s case on October 9,1986, by reviewing the documentation sent him by Petitioner’s Mitigation Team. He met with the Mitigation Team on October 10, 1986, for three-and-one-half hours, and reviewed more records and witness interviews on October 11, 1986. Also on October 11, 1986, Dr. Jackson administered psychological tests to Petitioner for over two hours. On October 12, 1986, Dr. Jackson interviewed Petitioner for two hours and spent another two hours reviewing and integrating the case history and information. On October 13, 1986, Dr. Jackson scored the psychological testing and sent copies of it to Dr. Tanley, a neuropsychologist in Columbus, as instructed by the Mitigation Team. On October 19, 1986, Dr. Jackson prepared his preliminary summary of findings for the Mitigation Team. The Mitigation Team also administered psychological tests to five of Petitioner’s family members, and Dr. Jackson scored them. The Mitigation Team consulted a pharmacologist, who evaluated the results of a drug screen that was performed on Petitioner several days after the crimes. Dr. Sanberg issued his report on October 21, 1986. In short, the district court’s decision is at odds with the facts in the record. The district court also faulted counsel for failing to develop evidence of organic brain damage. The court based its ruling on Dr. Jackson’s conclusion that “ ‘[t]he overall pattern of [Petitioner’s] test scores suggests that some degree of organic brain dysfunction is present....’” Opinion Granting Writ at 58 (quoting Dr. Jackson’s November 29,1986 report). The district court correctly found that Dr. Jackson suggested the possibility of organic brain damage. Indeed, Dr. Jackson testified that he suggested to the Mitigation Team that such testing be performed on Petitioner. Dr. Jackson’s recommendation can also be found in his October 19, 1986 report to the Mitigation Team, where he not only suggested possible brain damage, but also suggested medical testing. The overall pattern of his test scores indicates a strong suspicion of organic brain dysfunction exists, though this would not likely be demonstrated in areas involving visuospatial function or, for example, construction apraxia. Further evaluation of the 'possibility of organic brain dysfunction should be pursued through neurological and medical assessment techniques. (Emphasis added.) And counsel followed this lead. As the record shows, the Team consulted a neurologist, Dr. DeMaria. Dr. DeMaria administered an EEG on Petitioner on October 20, 1986, wrote two follow-up reports on October 21 and 22, and evaluated the results of a CAT scan and an MRI on November 17 and 18. In his October 21, 1986 report, Dr. DeMaria opined that I can find no clinical evidence of neuro-logic dysfunction in this man’s history or physical exam. He may have suffered some vascular-muscular contraction headaches in the past, but that hardly accounts for his behavioral problems. He may, indeed, have a mild learning disability, but he does not appear to be retarded. He seems to be competent for his own actions. I obviously can’t exclude the possibility of an underlying organic dysfunction as the cause of the patient’s behavior problem, but on this evaluation I could certainly find no supporting evidence for such dysfunction. Dr. DeMaria also noted that Petitioner refused at that time to have a CAT scan. On October 22, 1986, Dr. DeMaria reported that Petitioner’s EEG did contain a mild degree of diffuse non-specific slowing of background electrical frequencies, which is a nonspecific finding of uncertain clinical significance. It can be seen with excessive drowsiness, metabolic and toxic dysfunctions and degenerative proccesses, [sic] among others. They are non-specific but do suggest underlying organic neu-rologic dysfunction. However, this finding cannot be construed as explaining violent or deviant behavior. The Mitigation Team arranged for a CAT scan to be taken at Trumbull Memorial Hospital on November 4, 1986. Dr. Mah, who interpreted the test results, found no significant abnormalities. The Mitigation Team also had an MRI done the same day at Mt. Sinai in Cleveland. Dr. Wiener, who interpreted the test results, found a “[n]ormal MRI of the head.” Dr. DeMaria also evaluated these test results. On November 18, 1986, he reported to Jane Core that Petitioner’s “CT and MRI of the brain were both normal, indicating the absence of any significant underlying and structural brain disease to explain his behavior. Thus, aside from the minor nonspecific changes noted on the EEG, ... Mr. Lorraine appears to be completely normal from a neurological standpoint. I, therefore, can find no neu-rologic reason to explain violent behavior. One other way to evaluate Mr. Lorraine for such a line between underlying organic neurologic disorder and violent behavior would be through the use of psychological testing,” The district court faulted trial counsel for failing to perform these tests in a “timely” fashion. But the court overlooked the fact that Petitioner refused to take the MRI and CT tests on October 18 and 20, 1986, as originally scheduled by trial counsel. Trial counsel cannot be faulted for their client’s lack of cooperation. See Byrd, 209 F.3d at 527 (declining to hold that defense counsel’s performance at the mitigation phase was constitutionally ineffective for failing to employ a psychologist or psychiatrist when the petitioner refused to be interviewed by either). The district court also criticized defense counsel for not conducting a more timely drug screen. However, as the pharmacologist in this case observed, any screen was going to be of limited value because the crimes were committed days before Petitioner was caught. Furthermore, counsel pursued the lead with Dr. Jackson, who testified about the significance of such drug abuse. Counsel also called numerous lay witnesses, who attested to Petitioner’s drug abuse, both in the past and on the day of the murders. In light of the foregoing, we simply cannot agree with the district court’s conclusion that “counsel was utterly and objectively ineffective during the mitigation phase of trial,” and that they “simply did not pursue leads with respect to mitigation.” Opinion Granting Writ at 62, 63. The foregoing recitation clearly reveals that trial counsel investigated and presented to the jury a comprehensive depiction of Petitioner by exploring his family history, school records, prison record, and medical history. The Mitigation Team also pursued various leads as to potential organic brain damage, but found no evidence of mental disease or defect. It simply cannot be said that trial counsel’s conduct fell below an objective standard of reasonableness under Strickland simply because the leads led to nowhere. Nor did the district court find prejudice. Rather, it merely had “grave doubt” whether counsel’s alleged deficiencies could have led to mitigation: “it is speculation where those leads might have taken them.” Opinion Granting Writ at 63. This is not the Strickland test. Indeed, habeas counsel did not find evidence of organic brain damage, despite the opportunity. On May 30, 2000, the district court allowed the record to be expanded by accepting an in camera proposal for expansion of the record to include information going to the question of mental defect which was or would have been available to trial counsel. After that proposal was made, the court granted further expansion of the record. Opinion Granting Writ at 53. And Petitioner’s own habeas psychological expert failed to report organic brain damage. Dr. Thomas Paulucci, a psychologist, faulted Dr. Jackson’s testing procedures, but ultimately concluded that it was “impossible” to determine Petitioner’s psychological or neuropsychological status in 1986, his sanity, or whether his conduct was influenced by symptoms of psychopathology or substance abuse. In other words, if habeas counsel could not find evidence of organic brain damage, then trial counsel cannot be deemed ineffective here. Nor can there be any prejudice. A comparison with other cases holding that ineffective assistance of counsel at mitigation warranted issuance of the writ reveals that trial counsel’s conduct in this case in no way fell below an objective standard of reasonableness resulting in prejudice. Cf. Terry Williams v. Taylor, 529 U.S. 362, 395-98, 120 S.Ct. 1495, 146 L.Ed.2d 389 (2000) (finding ineffective assistance of counsel because they failed to investigate and introduce evidence of the petitioner’s nightmarish childhood, including severe and repeated beatings by his father, and available evidence showing that the petitioner was borderline mentally retarded; also finding prejudice in that the evidence “might well have influenced the jury’s appraisal of his moral culpability”); Coleman v. Mitchell, 268 F.3d 417, 449-53 (6th Cir.2001) (finding ineffective assistance for failure to investigate and present mitigating evidence concerning the petitioner’s horrific childhood at the hands of his grandmother, his primary caretaker, who abused him physically and psychologically while running her home as a brothel and gambling house, and who involved him in her voodoo practice and group sex practices; and failure to present available proof of his borderline mentally retarded I.Q. score, as well as school reports, psychological reports, hospital records, prison records, and previous psychiatric and psychological evaluations, which revealed that at the time of trial the petitioner had a borderline personality disorder; and finding prejudice because it was “reasonably probable that the presentation of even a substantial subset of the mitigating evidence” would have “humanized” the petitioner), cert. denied, — U.S. -, 122 S.Ct. 1639, 152 L.Ed.2d 647 (2002); Cone v. Bell, 243 F.3d 961, 977-79 (6th Cir.2001) (holding that trial attorney was ineffective where he presented no mitigating evidence at all and made no final argument and did not even ask the jury to spare the defendant’s life), cert. granted, — U.S. -, 122 S.Ct. 663, 151 L.Ed.2d 578 (2001); Skaggs v. Parker, 235 F.3d 261, 266-75 (6th Cir.2000) (finding counsel constitutionally ineffective at the penalty phase for failing to investigate and present mitigating evidence, and for deciding to use an incompetent and fraudulent “psychologist” as the central mitigation witness, despite his bizarre and often incoherent performance at the guilt phase as well as his failure to discuss mitigating evidence including borderline mental retardation and diminished mental capacity), cert. denied, — U.S. -, 122 S.Ct. 322, 151 L.Ed.2d 241 (2001); Carter v. Bell, 218 F.3d 581, 594-600 (6th Cir.2000) (concluding that trial counsel’s failure to investigate and present mitigating evidence fell below objective standard of reasonableness where the record revealed that the petitioner’s childhood was extremely poor, violent, and unstable; medical records showed both childhood and adult head injuries from accidents and fights, and shortly before trial, a prison physician recommended that the petitioner be considered for psychiatric hospitalization due to his nerves and paranoid behavior; as well as positive relationships with his step-children, family, and friends; and concluding that the foregoing “constituted deficiencies so severe as to dispense with the need to establish prejudice”); Combs, 205 F.3d at 287-88 (finding that trial counsel’s failure to question his only expert witness about his opinion regarding whether the petitioner possessed the requisite intent to commit the crimes before putting him on the stand during the guilt phase was objectively unreasonable where the expert’s testimony that the petitioner did not lack the requisite intent due to intoxication “contradicted the sole defense theory” and “was completely devastating to the defense”); Rickman v. Bell, 131 F.3d 1150 (6th Cir.1997) (holding that trial counsel’s portrayal of his own client as “vicious and abnormal” during the guilt and penalty phases was not a legitimate trial strategy, depriving his client of effective assistance of counsel, and presuming prejudice); Groseclose v. Bell, 130 F.3d 1161, 1169-71 (6th Cir.1997) (finding ineffective assistance in trial counsel’s failure to have “any defense theory whatsoever,” and its failure during sentencing to present mitigating factors such as the petitioner’s lack of any criminal history, active role in his church, positive military and numerous family members willing to testify on his behalf); Austin v. Bell, 126 F.3d 843, 849 (6th Cir.1997) (recognizing that the failure to present mitigating evidence when it was available could not be deemed a strategic decision, but instead an “abdication of responsibility”; finding ineffective assistance at sentencing due to counsel’s failure to present any mitigating evidence when several of the petitioner’s relatives, friends, death penalty experts and a minister were available and willing to testify on his behalf); Glenn v. Tate, 71 F.3d 1204, 1207-11 (6th Cir.1995) (finding trial counsel ineffective at mitigation due to their failure to develop and present evidence regarding the petitioner’s background, including the fact that in school he had been classified as mentally retarded, and organic brain damage, specifically global brain damage sustained before he was born, despite its availability). In contrast with the foregoing cases, Petitioner’s trial counsel not only conducted ample investigation into Petitioner’s background, but developed the mitigating information and actually presented it to the jury. Largely through the detailed narrative of Dr. Jackson, trial counsel presented a comprehensive picture of Petitioner’s chaotic and abusive childhood, and how this family pattern led to the defects in his personality development. Dr. Jackson also discussed his borderline IQ, his school record, his prison record, and his own tragic fatherhood. In short, Dr. Jackson’s “considerably] detailed]” testimony of Petitioner’s personal history, see Opinion Granting Writ at 80, combined with the corroborative testimony of friends and relatives, put a “human face” on Petitioner before the jury. See Coleman, 268 F.3d at 441 (mitigating evidence would have “humanized” the petitioner before the jury, quoting Carter)-, Carter, 218 F.3d at 592. As discussed, the record further reflects that trial counsel investigated potential brain dysfunction, but found none. Rather, this case is much like Campbell v. Coyle, 260 F.3d 531 (6th Cir.2001), cert. denied, — U.S. --, 122 S.Ct. 1448, 152 L.Ed.2d 390 (2002). There the petitioner claimed ineffective assistance of counsel at sentencing based on counsel’s alleged failure to discover that he suffered from post traumatic stress disorder (“PTSD”). This Court rejected his claim because the petitioner failed to point to anything in the record showing that he suffered from PTSD or any other psychological disorder. The Campbell court stated: We also note that, unlike in Seidel [v. Merkle, 146 F.3d 750, 752 (9th Cir.1998) ] and Glenn [v. Tate, 11 F.3d 1204 (6th Cir.1995) ] ..., Campbell has not pointed to anything in his childhood medical records indicating that he has either PTSD or some form of brain damage. He has never been diagnosed or treated for PTSD, whereas the medical records in Seidel explicitly noted the defendant’s mental afflictions. See Seidel, 146 F.3d at 755-56. At most, Campbell’s childhood medical records would have provided another list of people to interview. These former physicians and healthcare workers, Campbell argues, would have been able to expose his mental condition. This is much too tenuous a claim to support the conclusion that Campbell was prejudiced by his attorneys’ failure to look into his childhood medical records. Id. at 555. See also Martin v. Mitchell, 280 F.3d 594, 613-15 (6th Cir.2002) (holding that counsel were not ineffective in failing to investigate or prepare for mitigation; although investigation was not exhaustive, counsel presented some mitigating information at sentencing; and the petitioner did not establish prejudice because he failed to point to what mitigating evidence further action by his counsel would have uncovered). Here, Petitioner’s claim is even more tenuous than that in Combs, because trial counsel in this case actually pursued a lead regarding Petitioner’s organic brain damage. They cannot be deemed ineffective, since even at this late date, there is no medical proof of such a condition. In sum, the record shows that counsel’s efforts to investigate, develop, and present mitigating evidence were constitutionally effective, and that there was no prejudice, because counsel not only attempted to humanize Petitioner before the jury, it also did not deprive the jury of available mitigating evidence. The district court’s conclusion that counsel was ineffective is therefore an unreasonable application of Strickland. B. Prosecutorial Misconduct To grant habeas relief based on prosecutorial conduct that does not violate a specific guarantee under the Bill of Rights, the misconduct must be so egregious as to deny the petitioner due process. See Donnelly v. DeChristoforo, 416 U.S. 637, 643-45, 94 S.Ct. 1868, 40 L.Ed.2d 431 (1974). Respondent challenges several of the district court’s rulings pertaining to prosecutorial misconduct. We deal with each in turn. 1. Failure to Disclose Rebuttal Witness The district court held that the prosecutor’s failure to disclose the identity of its rebuttal witness, Dr. Bertschinger, rose to the level of a constitutional violation rendering the mitigation phase of the trial fundamentally unfair. Petitioner presented Dr. Jackson, a forensic psychologist, at the penalty phase, as his last witness. After recross examination, the prosecutor asked Dr. Jackson for the records the defense had provided him, stating that he had a psychiatrist who wanted to review them. At this point defense counsel requested a sidebar with the judge. Defense objected on the basis of Ohio Criminal Rule 16, claiming that the prosecutor had not provided Bert-schinger’s name, despite pretrial written requests. The next day, Wednesday, December 3, 1986, the State called Dr. Bert-schinger as its final rebuttal witness. At the end of the prosecutor’s direct examination, the defense approached the bench to reiterate its objection. Defense counsel also asked for a one-day continuance. When asked by the court why he had not provided defense counsel with Bertschinger’s name, the prosecutor responded that he “didn’t decide this physician would be a witness until their doctor testified.” Further, the prosecutor indicated that the defense had waited until the day before Dr. Jackson’s testimony to turn over Jackson’s report. The prosecutor stated that his expert would disagree with Dr. Jackson’s opinion on the (B)(3) mitigator and that Dr. Bertschinger “wouldn’t have been a witness but for the doctor’s answer.” After consulting with the doctor regarding his schedule, the court agreed to have the doctor return the next day at 2:30 p.m., essentially granting a one-day continuance. On direct appeal, the Ohio Supreme Court determined that the prosecutor did not violate Ohio Criminal Rule 16(B)(1)(e), which requires the prosecution to disclose the names of witnesses it reasonably anticipates calling. The court stated: The criterion for determining whether the state should have provided the name of a witness called for rebuttal is whether the state reasonably should have anticipated that it was likely to call the witness, whether during its case in chief or in rebuttal. State v. Howard, 56 Ohio St.2d 328, 383 N.E.2d 912, 915 [ (1978) ]. The prosecutor stated that he did not know he would use any of the witnesses until appellant’s witnesses testified on direct. We hold that the prosecutor did not have a duty to provide the names of witnesses that he reasonably did not anticipate would testify until testimony was presented by appellant w