Full opinion text
PHILLIPS, Circuit Judge. In this habeas case, Jeremy Alan Williams challenges his Oklahoma conviction for first-degree murder and his accompanying sentence of death. The district court denied relief but issued a certificate of appealability, giving Williams the ability to appeal his claims of ineffective assistance of counsel. In addition, this court also agreed to hear Williams’s sufficiency-of-the-evidence and cumulative-prejudice claims. Exercising jurisdiction under 28 U.S.C. §§ 1291 and 2253(a), we agree with the district court and conclude that Williams is not entitled to relief. I. BACKGROUND The following facts come from the direct-appeal decision of the Oklahoma Court of Criminal Appeals (OCCA) unless otherwise noted. See Williams v. State, 188 P.3d 208, 214-218 (Okla.Crim.App. 2008). We presume that the OCCA’s factual findings are correct. See 28 U.S.C. § 2254(e)(1). On the morning of June 22, 2004, two gunmen (one wearing a black-hooded sweatshirt and the other wearing a white-hooded sweatshirt) robbed the First Fidelity Bank in Tulsa, Oklahoma. Williams, 188 P.3d at 214. Both men wore ski masks. Id. During the robbery, the gunmen shot three people — -bank customer Howard Smith, bank president Mark Poole, and bank teller Amber Rogers. Id. When the gunmen entered the bank, the one wearing white ordered Poole to open the safe. He complied, but the safe would not open because it was on a fifteen-minute time delay. Id. Not long after, Smith entered the bank. He saw the gunman wearing white, but not the one wearing black. As Smith raised his arms, the gunman in black shot him twice from behind. Id.; (Trial. Tr. vol. Ill at 745-46.) That gunman then went behind the teller area, where the gunman wearing white was arguing with Poole. The gunman in black shot Poole in his side, with the bullet traveling through his right arm before entering his chest. (Trial Tr. vol. III at 666, 679-80). Then the one in white stood above Poole and also shot him, hitting Poole in the leg. Williams, 188 P.3d at 214; (Trial Tr. vol. Ill at 671). As the two gunmen left, the one wearing white turned around and fired a shot that killed Rogers as she lowered her head and crouched on the floor. Id.; (Trial. Tr. vol. III at 721-22). Smith and Poole survived their gunshot wounds. A witness’s description of the getaway car led police to Jeremy Williams and, soon after, to Alvin Jordan. The state charged both men with first-degree murder (under alternate theories of malice murder and felony murder), armed bank robbery, and shooting with intent to kill. Williams alone went to trial. The evidence connecting Williams to the robbery was compelling. One of Jordan’s girlfriends testified that, sometime before the June 22 bank robbery, she overheard Williams tell Jordan about having previously robbed a bank located on the second floor of a building. First Fidelity was on the second story of a multi-use office building. In fact, a single gunman had robbed that same bank on May 11. After arresting Williams for the second bank robbery, police matched his fingerprints to those lifted from the bank after this first robbery. Before the June 22 bank robbery, the same girlfriend went to Williams’s apartment with Jordan. While there, she saw a revolver resembling the one that the masked gunman dressed in black used on June 22. She also heard Williams tell Jordan that he would kill if he had to. Another one of Jordan’s girlfriends placed Williams, Jordan, and the alleged getaway driver together at 4:00 a.m. the morning of the crime. In addition, Jordan’s aunt placed the three men together soon after the robbery and testified that Williams had boasted that he had shot some people and that he had divided the money with Jordan and the driver. According to her testimony, Williams said that he and Jordan each came away with $1100, leaving $700 for the driver. The bank reported just under $3000 stolen during the June 22 bank robbery. Williams’s girlfriend testified that he arrived at their apartment later that morning with the same wad of stolen cash. That evening, the girlfriend saw Williams retrieve a ski mask and guns from the yard of an abandoned house and wipe the guns clean. Williams owned those guns, and their caliber and appearance matched the firearms used in the robbery. Police later determined that Williams’s DNA matched that found on the ski mask and that a footprint left at the bank matched the shoes he was wearing when police arrested him.' On top of all this, Williams testified that he had robbed First Fidelity in May. He said he had jumped off the second-floor balcony when fleeing, just as one of the June 22 robbers had done. Nevertheless, Williams maintained that he did not rob First Fidelity on June 22. Both gunmen shot people during the robbery — although it was not entirely clear who shot Amber Rogers. The state’s theory was that Williams was the gunman in black and that Jordan was the gunman in white. Eyewitnesses said that the gunman in black shot Smith from behind while the gunman in white commanded Rogers to unload the till. The gunman in black then went behind the teller area, where he and the other gunman both shot Poole; the gunman in black first shot Poole because Poole could not immediately open the time-delayed safes. As the gunmen fled the bank, one turned around and delivered the fatal shot to Rogers as she crouched on the floor. A bank employee identified the gunman in white as the killer. Yet in the wall behind Rogers’s teller station, investigators found a slug of the same caliber as the revolver used by the robber in black. Still images from the bank’s security cameras showed both gunmen in various positions, but they did not clearly depict how and when Rogers had been shot. The state argued that it did not matter whether Williams was the actual trigger-man. The felony-murder charge certainly did not depend on it, and Williams could be guilty of malice-murder too, so long as he aided and abetted Jordan. The trial court instructed the jury to this end. Ultimately, using separate verdict forms, the jury found Williams guilty of both felony murder and malice murder. At the penalty phase of trial, the state argued that Williams deserved the death penalty because of three aggravating circumstances: (1) the murder involved a great risk of death to more than one person; (2) the murder was committed to avoid arrest or prosecution; ' and (3) Williams posed a continuing threat to society. The state presented evidence of the life-threatening nature of Smith’s and Poole’s injuries and impact statements from Amber Rogers’s family. Otherwise, the state relied on the evidence it presented at trial. The defense conceded the presence of the first aggravating circumstance but argued the state had failed to prove the other two. The defense also presented evidence of several mitigating circumstances, arguing that Williams: (1) did not have a prior criminal record; (2) was likely to be rehabilitated; (3) was just 21 at the time of the murder; (4) was under the influence of an emotional disturbance or intoxicants or both; and (5) had a difficult upbringing and home life. Social historian, Dr. Wanda Draper, and Williams’s mother recounted Williams’s turbulent family history for the jury. In the end, the jury found that the murder involved a great risk of death to more than one person and that Williams was a continuing threat to society. The jury further found that the mitigating factors did not outweigh the aggravating factors and voted to impose the death penalty. The OCCA affirmed the convictions and sentence on direct appeal, see Williams, 188 P.3d 208, and later denied post-conviction relief, see Williams v. State (First Application for Post-Conviction Relief), No. PCD-2006-1012, slip op. (Okla.Crim. App. Jan. 13, 2009) (unpublished). In response to Williams’s habeas petition, the federal district court denied his claims without an evidentiary hearing. But the district court did issue a certificate of appealability for two claims: (1) ineffective assistance of counsel (mostly during the guilt phase of trial) and (2) ineffective assistance of counsel at sentencing. This court then expanded the certificate of appealability to include two more claims: (1) sufficiency of the evidence to support Williams’s malice-murder conviction and (2) cumulative error. These four claims are now before us on appeal. II. DISCUSSION A. Standard of Review “In general, if a convicted state criminal defendant can show a federal habeas court that his conviction rests upon a violation of the Federal Constitution, he may well obtain a writ of habeas corpus that requires a new trial, a new sentence, or release.” Trevino v. Thaler, — U.S. -, 133 S.Ct. 1911, 1917, 185 L.Ed.2d 1044 (2013). 28 U.S.C. § 2254 governs our review of habeas petition and focuses on how the state court resolved the claim. Byrd v. Workman, 645 F.3d 1159, 1165 (10th Cir.2011). For claims that the state court adjudicated on the merits, we will only grant habeas relief if a petitioner establishes that the state court decision was “contrary to, or involved an unreasonable application of, clearly established Federal law, as determined by the Supreme Court of the United States,” or “was based on an unreasonable determination of facts in light of the evidence presented in the State court proceeding.” 28 U.S.C. § 2254(d)(l)-(2). We review de novo claims that the state court did not adjudicate on the merits. Hooks v. Workman, 689 F.3d 1148, 1163-64 (10th Cir.2012). A habeas petitioner must first exhaust his claims in state court before a federal court may review them. § 2254(b)(1)(A). B. Sufficiency of the Evidence We begin with Williams’s claim that the evidence was insufficient to support his conviction for first-degree malice murder. Even if Williams were to prevail, he would still be guilty of first-degree felony murder based on the jury’s separate verdicts. Why not then disregard this claim altogether and let Williams’s first-degree murder conviction stand on felony-murder grounds? There are at least two reasons why addressing the sufficiency claim is the better course. First, the OCCA construed Williams’s verdict as one of malice murder. Williams, 188 P.3d at 225. This is Oklahoma’s practice in cases involving separate convictions of malice and felony murder because it avoids the need to vacate the underlying felony conviction (otherwise a source of double-jeopardy concerns). See Alverson v. State, 983 P.2d 498, 521 (Okla. Crim.App.1999). Thus, upholding Williams’s first-degree-murder conviction based solely on felony murder would disturb the OCCA’s preferred construction. It would also require dismissal of the underlying robbery conviction. See Harris v. Oklahoma, 433 U.S. 682, 682, 97 S.Ct. 2912, 53 L.Ed.2d 1054 (1977) (per curiam) (‘When, as here, conviction of a greater crime ... cannot be had without conviction of the lesser crime ... the Double Jeopardy Clause bars prosecution for the lesser crime, after conviction of the greater one.”). Second, if Williams’s first-degree-murder conviction rested on felony murder alone, we would need to address a separate question: whether Williams is even eligible for the death penalty. See Ring v. Arizona, 536 U.S. 584, 609,122 S.Ct. 2428,153 L.Ed.2d 556 (2002) (holding that a jury, not a judge, must find facts necessary for imposition of the death penalty); Tison v. Arizona, 481 U.S. 137, 158, 107 S.Ct. 1676, 95 L.Ed.2d 127 (1987) (clarifying that the death penalty may be imposed on a felony murder defendant who was not the actual killer and who had no specific intent to kill, if evidence shows “major participation in the felony committed, combined with reckless indifference to human life.”) Although Williams would like us to reach this question, there is no need to do so if the evidence supporting his malice-murder conviction was sufficient. For the reasons discussed below, we conclude that it was. In Jackson v. Virginia, the Supreme Court held that a conviction based on insufficient evidence violates the Due Process Clause of the Fourteenth Amendment. 443 U.S. 307, 316, 99 S.Ct. 2781, 61 L.Ed.2d 560 (1979). Weighing this constitutional guarantee against the jury’s exclusive role as fact-finder, Jackson extended the familiar sufficiency-of-the-evidence standard to the habeas realm: “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, 99 S.Ct. 2781 (emphasis original). In applying Jackson, we look to state law to determine the essential elements of the crime at issue. Id. at 324 n. 16, 99 S.Ct. 2781. Here, Oklahoma’s first-degree murder statute provides that: A person commits murder in the first degree when that person unlawfully and with malice aforethought causes the death of another human being. Malice is that deliberate intention unlawfully to take away the life of a human being, which is manifested by external circumstances capable of proof. Okla. Stat. tit. 21, § 701.7(A). Additionally, Oklahoma law punishes as a principal any person who aids and abets the commission of a crime. Okla. Stat. Ann. tit. 21, § 172 (“All persons concerned in the commission of crime, whether it be felony or misdemeanor, and whether they directly commit the act constituting the offense, or aid and abet in its commission, though not present, are principals.”). On this point, the state court instructed the jury that a principal “is one who directly and actively commits the act(s) constituting the offense or knowingly and with criminal intent aids and abets in the commission of the offense or whether present or not, advises and encourages the commission of the offense.” (Pleadings vol. VI at 1056). The state trial court also instructed the jury that: One who does .not actively commit the offense, but who aids, promotes, or encourages the commission of a crime by another person, either by act or counsel or both, is deemed to be a principal to the crime if he knowingly did what he did either with criminal intent or with knowledge of the other person’s intent. To aid or abet another in the commission of a crime implies a consciousness of guilt in instigating, encouraging, promoting, or aiding in the commission of that criminal offense. (Pleadings vol. VI at 1057). Williams argues, that even if the evidence was sufficient to prove his involvement in the robbery and his intentional shooting of Smith and Poole, no evidence proved that he caused the death of Amber Rogers. The state does not argue otherwise. Nor did the OCCA believe that the state’s evidence pointed to Williams as the actual killer. Williams, 188 P.3d at 226. Accordingly, like the OCCA, we address whether the evidence was sufficient to support Williams’s conviction under an aiding and abetting theory. A conviction for aiding and abetting can rest on a wide range of underlying conduct, including “acts, words or gestures encouraging the commission of the offense, either before or at the time of the offense.” Wingfield v. Massie, 122 F.3d 1329, 1332 (10th Cir.1997) (quoting VanWoundenberg v. State, 720 P.2d 328, 333 (Okla.Crim.App. 1986)) (internal quotation marks omitted). Some mental state beyond “mere assent” or “acquiescence” is also required, Wingfield, 122 F.3d at 1332, but in the malice-murder context, the OCCA has required even more. To convict an aider and abettor as a principal in a first-degree-malice-murder prosecution, the state must prove: “(1) that the defendant [that is, the aider and abettor] personally intended the death of the victim; and (2) that the defendant aided and abetted with full knowledge of the perpetrator’s intent.” Id. (citing Johnson v. State, 928 P.2d 309, 315 (Okla.Crim. App.1996)). At least, this was the law. On Williams’s direct appeal, the OCCA suggested in a footnote that Johnson’s two-pronged intent requirement might be outdated: According to Appellant’s brief, we must determine whether the evidence was sufficient to show that either Williams shot and intended to kill Amber Rogers, or Williams aided and abetted the Rogers’ killer with a personal intent to kill or he aided and abetted with full knowledge of the intent of the killer. See Johnson v. State, 1996 OK CR 36, ¶ 20 928 P.2d 309, 315. We overrule the language in Johnson which indicates this is the proper test and we continue to abide by the general aiding and abetting language. See Banks v. State, 2002 OK CR 9, ¶ 13, 43 P.3d 390, 397 (“Aiding and abetting in a crime requires the State to show that the accused procured the crime to be done, or aided, assisted, abetted, advised or encouraged the commission of the crime.”) We note that Appellant would even lose this proposition under the Johnson test, because his involvement was such that he personally had the intent to kill or knew that his codefendant had the intent to kill, when Amber Rogers was shot. Williams, 188 P.3d at 225 n. 18. We are unsure what to make of footnote 18. On one hand, the OCCA appears to have rejected the two-pronged intent requirement from Johnson. On the other hand, as we discuss below, the OCCA still seems to consider Williams’s case under Johnson in evaluating the sufficiency of the evidence. Further muddling matters is the OCCA’s treatment of Banks. The OCCA cited Banks to state its adherence to “the general aiding and abetting language” as the “proper test” for malice murder under an aiding and abetting theory. Williams, 188 P.3d at 225 n. 18 (citing Banks, 43 P.3d at 397 (“Aiding and abetting in a crime requires the State to show that the accused procured the crime to be done, or aided, assisted, abetted, advised or encouraged the commission of the crime.”)). Yet, the OCCA in Banks also stated nearly identical language to that from Johnson: To convict Banks of malice aforethought murder, the jury had to find that he caused the unlawful death of a human with malice aforethought, or aided and abetted another in the commission of the murder with the personal intent to kill, and with knowledge of the perpetrator’s intent to kill. See Banks, 43 P.3d at 397 (emphasis added). We are uncertain why the OCCA overruled Johnson without any mention of this similar language from Banks. We also note that, as far as we can tell, the only meaningful difference between the Johnson and Banks standards is that Johnson states that the aider and abettor must intend the death “of the victim,” 928 P.2d at 315, and Banks does not, 43 P.3d at 397. Further adding to our confusion is the OCCA’s statement that it •will abide by its “general aiding and abetting language.” Williams, 188 P.3d at 225 n. 18. This language — found in the very next sentence of Banks — features no mens rea requirement at all, but simply provides that the aider and abettor must advise, encourage, assist — or, father unhelpfully, aid and abet. Banks, 43 P.3d at’ 397. This suggests to us that an Oklahoma conviction for aiding and abetting malice murder may no longer require intent of any kind. That would cause serious problems. We generally disfavor offenses that require no mens rea. See Staples v. United States, 511 U.S. 600, 606, 114 S.Ct. 1793, 128 L.Ed.2d 608 (1994). One of the “basics” about aiding and abetting is the intent requirement — “a person aids and abets a crime when (in addition to taking the requisite act) he intends to facilitate that offense’s commission.” Rosemond v. United States, — U.S. -, 134 S.Ct. 1240, 1248, 188 L.Ed.2d 248 (2014). Oklahoma’s provision for aiding and abetting, which apparently requires nothing more than “advising or encouraging,” seems to miss the mark. Williams asserts that, whatever the OCCA did, it did not give him the benefit of Johnson. According to him, footnote 18 shows that the OCCA failed to consider whether the evidence was sufficient to prove the crime. He maintains that no rational jury could have found him guilty of the essential elements of aiding and abetting malice murder as those elements are set forth in Johnson — namely, that he “intended” Rogers’s death. See Johnson, 928 P.2d at 315. Additionally, he argues that the OCCA’s overruling of Johnson violated due-process limitations on the retroactive application of new rules of law. See Rogers v. Tennessee, 532 U.S. 451, 459, 121 S.Ct. 1693, 149 L.Ed.2d 697 (2001). The state responds that Williams cannot raise the Rogers argument because he failed to exhaust it in state court. Of course, Williams had no way of knowing that the OCCA would purportedly overrule Johnson on direct appeal. He did seek rehearing on that basis, which the OCCA denied. Still, according to the state, Williams did not fairly present his claim because a petition for rehearing is discretionary. See Castille v. Peoples, 489 U.S. 346, 349, 109 S.Ct. 1056, 103 L.Ed.2d 380 (1989) (holding that presentation of claims to a State’s highest court on discretionary review does not satisfy exhaustion requirements of 28 U.S.C. § 2254.) We assume (without deciding) that the state is right and that Williams should have raised his “ex post facto” argument by way of post-conviction application. Because footnote 18 intertwines with Williams’s properly exhausted Jackson claim, however, we will consider Williams’s arguments on the merits. See 28 U.S.C. § 2254(b)(2) (“An application for a writ of habeas corpus may be denied on the merits, notwithstanding the failure of the applicant to exhaust the remedies available in the courts of the State.”) In the end, despite the OCCA’s confusion in, and our concern about, footnote 18, we do not believe Williams is entitled to habeas relief because of it. While the OCCA may have overruled Johnson, it also indicated that Williams’s sufficiency claim failed under that very standard. See Williams, 188 P.3d at 225 n. 18 (“Appellant would even lose this proposition under the Johnson test.”) True, as Williams points out, the OCCA then proceeded to misstate Johnson in the very next breath — claiming it requires evidence of intent to kill or knowledge of the perpetrator’s intent, instead of evidence that “the aider and abetter personally intended the death of the victim and aided and abetted with full knowledge of the intent of the perpetrator.” Johnson, 928 P.2d at 315 (emphasis added). Even so, in the body of its opinion, the OCCA was faithful to Johnson. It considered whether the evidence was sufficient to prove Williams’s intent to kill, and it discussed Williams’s knowledge of Jordan’s intent. Williams, 188 P.3d at 226. Although the OCCA overruled Johnson, it still evaluated Williams’s arguments under what Johnson previously required. See id. at 226. Regardless, and no matter what footnote 18 says or means, we believe the OCCA weighed the evidence against the essential elements of the crime. In one respect, however, the OCCA did not adopt Williams’s view of the elements. As Johnson stated, a person aids and abets malice murder if he intends the death “of the victim.” 928 P.2d at 315. Given this, Williams argues the evidence in his case needed to show — but did not show — that he intended the death of Amber Rogers, not just anyone. The OCCA disagreed. In its view, it was enough that there was sufficient evidence of Williams’s general intent to Mil and his knowledge of Jordan’s similar general intent. Williams, 188 P.3d at 226. Addressing Williams’s Jackson claim, we decline the invitation to consider whether the OCCA should have required proof of intent to kill Rogers because, in our view, this is fundamentally a matter of state law. See Anderson-Bey v. Zavaras, 641 F.3d 445, 448-52 (10th Cir.2011) (rejecting Jackson claim that amounted to a challenge to the state court’s interpretation of an “uncertain” statutory term.) This is not to say that courts may simply ignore elements previously (and unequivocally) deemed essential in resolving a sufficiency-of-the-evidence claim. However, before Williams’s case, the OCCA had not yet addressed the requirements of aiding and abetting malice murder under truly analogous circumstances — that is, where two gunmen shot different people during the same criminal enterprise, but only one of the shooting victims died. Other cases addressing aiding and abetting in the malice-murder context involved the death of the targeted victim. See, e.g. Young v. State, 12 P.3d 20, 29-30, 40 (Okla.Crim. App.2000); Torres v. State, 962 P.2d 3, 8, 16-17 (Okla.Crim.App.1998). It would make sense in those cases that the question would be phrased as whether the aider and abettor intended the death “of the victim” — ie. the targeted person who died. Here, however, the OCCA determined that, where there are multiple targets and only one death, the gunman whose target survives may be convicted of first-degree malice murder if he knows his cohort intended to kill, and the cohort’s gunshot turns out to be fatal. Although it would have been reasonable to reach a different conclusion, the OCCA did not— and its interpretation is authoritative. See Estelle v. McGuire, 502 U.S. 62, 67-68, 112 S.Ct. 475, 116 L.Ed.2d 385 (1991) (“[I]t is not the province of a federal habeas court to reexamine state-court determinations on state-law questions.”). Nor are we persuaded that the OCCA’s resolution of Williams’s Jackson claim offended the due process guarantee of fair warning. The Supreme Court has “repeatedly held that a state court’s interpretation of state law, including one announced on direct appeal of the challenged conviction, binds a federal court sitting in habeas corpus.” Bradshaw v. Richey, 546 U.S. 74, 76, 126 S.Ct. 602, 163 L.Ed.2d 407 (2005) (per curiam) (emphasis added). This makes sense in light of the discussion above; it is not unusual that courts need to clarify and interpret prior opinions as new circumstances and fact patterns come up against the law — particularly against common law doctrines (such as intent). See Rogers, 532 U.S. at 461, 121 S.Ct. 1693. So long as any interpretation (or alteration) is not “unexpected and indefensible by reference to the law which had been expressed prior to the conduct in issue,” there are no due process concerns. Id. at 462, 121 S.Ct. 1693 (citation omitted). Whatever measure of evolution the OCCA took in extending its aiding and abetting law to Williams’s malice-murder conviction, we can hardly say it was unexpected or indefensible. Having addressed footnote 18 and Williams’s due-process arguments on that score, we turn now to the sufficiency of the evidence. As discussed, the OCCA weighed the evidence against the requirements set forth in Johnson, with the exception of the particular requirement that Williams needed to intend the death of Amber Rogers. We approve that weighing. The question now is whether the evidence met the constitutional threshold — or, more precisely, because we address the question on habeas — whether the OCCA’s determination that the evidence was sufficient to support the jury’s verdict was itself reasonable. Hooks, 689 F.3d at 1167. Once the jury concluded that Williams robbed First Fidelity, the evidence was susceptible to limited interpretations. See Torres v. Mullin, 317 F.3d 1145, 1155 (10th Cir.2003) (deciding that a rational juror could conclude that the defendant had the requisite intent to kill, despite evidence that was susceptible to interpretation). As the state argued, the jury could have concluded that Williams and Jordan jointly planned to rob the bank and to kill whoever stood in their way. Alternatively, the jury might have concluded that the plan was just to rob the bank and that Williams never intended for anyone to die. But we cannot consider that option, because the jury found that Williams shot with intent to kill when it convicted him of two counts of that crime. Another possibility is that Williams intended to kill but that Jordan did not. But the evidence belies this theory because Jordan shot Rogers at close range in the middle of her torso while she was crouching on the ground. This leaves just one possible interpretation that might lead to acquittal: that Williams intended to kill without knowing that Jordan intended to do the same. This is an unflattering defense to say the least. Apparently, Williams would like us to believe that he knew himself to be capable of murder but that he thought better of his friend. The OCCA was skeptical of this notion on direct appeal and said as follows: It is clear that [Williams] intended to kill at the bank. It is also clear that he knew that his codefendant was armed with a loaded weapon and both of them had spoken of killing, “if they had [to],” in preparation for this robbery. If he had intended to kill when he shot, how could he not know that his codefendant also shot with intent to kill? These two defendants acted with one accord and the evidence shows that they shot each person with intent to kill. Williams, 188 P.3d at 226. Some of the OCCA’s observations are more persuasive than others. Least persuasive in our view is the observation that Jordan spoke of killing if he had to. We find no record support for attributing this remark to Jordan. In fact, it was Williams who said that “he would kill if he had to” — as the OCCA correctly noted in its recitation of the record. (Trial Tr. vol. V at 1106.) The OCCA may have merely intended to observe that Jordan participated in conversations about killing. Regardless, this finding, one that Williams does not challenge here, was just one supporting the OCCA’s conclusion. Somewhat more persuasive is the OCCA’s observation that Williams’s own clear intent to kill made it unlikely that Williams could be ignorant that Jordan shot with a different purpose. This might suggest that the OCCA believed that Williams became aware of Jordan’s intent to kill when Jordan first shot Poole. That could be. More likely, however, we think the OCCA simply meant to point out that it was unlikely that Williams was ignorant of Jordan’s intent to kill based on his own obvious intent. This brings us to the OCCA’s final and most persuasive point-that Williams and Jordan acted together with a shared understanding. The following evidence supports this conclusion: • According to one witness, Williams and Jordan hung out nearly every day in the six months leading up to the robbery. Another witness said that the two “was running together,” and neither one was really the leader of the other. (Trial Tr. vol. V at 1118, 1157).' • During this time, Jordan was nearly always armed — and Williams supplied him with a gun on at least one occasion. • Williams knew that Jordan used guns to get what he wanted. In fact, Williams testified that Jordan had pulled a gun on him more than once. • Williams also testified that he knew that Jordan had shot some people during his robbery of a convenience store the week before the robbery. • Williams testified that he “wasn’t surprised” that Jordan had shot people at the convenience store. (Trial Tr. vol. VII at 1547.) His friend had a reputation for being particularly “crazy” and “violent.” (Trial Tr. vol. V at 1148). • Jordan did not back out of the robbery even though Williams said that he was prepared to kill if he had to. • Finally, following the robbery, there was no evidence that Williams was surprised that Jordan shot people (including Amber Rogers) at close range when they were inside the bank. In view of this evidence, we cannot say that the OCCA’s decision was contrary to or an unreasonable application of Jackson. Certainly, the OCCA’s reasoning was not altogether clear, accurate, or comprehensive. In supporting our conclusion, we rely on additional evidence that the OCCA did not. Still, we pay deference to the OCCA’s ultimate decision — “after all, what matters is that the evidence support the OCCA’s result.” Torres, 317 F.3d at 1156 (emphasis added). We are confident that the evidence supporting Williams’s malice-murder conviction was constitutionally sufficient. See Jackson, 443 U.S. at 313-14, 99 S.Ct. 2781 (stating that conviction can occur only when there is “evidence that is sufficient fairly to support a conclusion that every element of the crime has been established beyond a reasonable doubt.”). C. Ineffective Assistance of Counsel (Guilt Phase) 1. The Applicable Standard We turn now to Williams’s claim that his lawyer inadequately responded to the state’s evidence and witnesses — primarily during the guilt phase. Although Williams had two lawyers, he appears to focus this ineffective-assistance claim on lead counsel’s alleged failures. We imagine this is because Williams contends that lead counsel was under the influence of drugs and alcohol throughout the trial. To prevail on a Sixth Amendment claim of ineffective assistance, a defendant must show both that (1) counsel “committed serious errors in light of prevailing professional norms such that his legal representation fell below an objective standard of reasonableness,” and (2) there is “a reasonable probability that, but for counsel’s unprofessional errors, the result of the proceeding would have been different.” Grant v. Trammell, 727 F.3d 1006, 1017 (10th Cir.2013) (internal quotation marks omitted) (citing Strickland v. Washington, 466 U.S. 668, 694, 104 S.Ct. 2052, 80 L.Ed.2d 674 (1984)). 2. The OCCA’s Decision In rejecting on direct appeal the ineffective assistance claim based on his counsel’s failure-to-object during both trial and sentencing, the OCCA relied in part on its resolution of Williams’s related claim that the trial court committed plain error by not disallowing certain testimony even absent objection. See Williams, 188 P.3d at 230 n. 20 (referring to the discussion of Williams’s proposition that the state introduced highly prejudicial evidence during trial). This claim regarding certain trial testimony is not before us on habeas. Nonetheless, in evaluating Williams’s ineffective assistance claims, the OCCA considered whether the trial court’s admission of that testimony rose to the level of “plain error affecting substantial rights.” Id. at 222; see also Okla. Stat. Ann. tit. 12, § 2104 (“Nothing in this section precludes taking notice of plain errors affecting substantial rights although they were not brought to the attention of the court.”). Under Oklahoma law, an error affects the defendant’s substantial rights if it “affect[s] the outcome of the proceeding.” Hogan v. State, 139 P.3d 907, 923 (Okla. Crim.App.2006). The OCCA concluded that no proposition of error rose to this level. Turning then to Williams’s Strickland claim, the OCCA referred back to its plain-error determinations: Williams points out that counsel failed to object to the introduction of several pieces of testimonial and real evidence, which he has complained about in several propositions in this appeal. In discussing these propositions of error, we found that either there was no error or that the error did not rise to the level of plain error. Williams also argues that counsel was ineffective for failing to object to several instances of prosecutorial misconduct which are raised as error in proposition six. We noted that counsel did object to the most egregious instances of misconduct. We further find that counsel’s failure to object to the introduction of certain items of evidence and the prosecutor’s alleged misconduct did not rise to the level of ineffective assistance of counsel under the Strickland standard. Williams, 188 P.3d at 231. Williams does not challenge the OCCA’s approach to resolving his Strickland claim. Initially, we had. our own doubts as to whether the OCCA’s approach was faithful to federal law. True enough, when a defendant fails to show that a trial court’s admission of evidence was improper for some reason, it likely follows that the lawyer did not perform deficiently by failing to object to its admission. See Cannon v. Mullin, 383 F.3d 1152, 1162 (10th Cir.2004) (finding no deficient performance in defense counsel’s failure to object when there was “no meritorious state-law objection available” to counsel). However, it does not necessarily follow that there can be no prejudice under Strickland when there is no plain error under Oklahoma’s plain error standard. This is because, as far as we can tell, Oklahoma’s substantial rights/plain error standard requires a defendant to show more than what is necessary to satisfy the prejudice standard under Strickland. That is, for a defendant to meet Oklahoma’s plain error standard, he must show that the error affected the outcome of the proceeding. Hogan, 139 P.3d at 923. But to satisfy Strickland, a defendant need only show that counsel’s error created a reasonable probability that the proceeding’s outcome would be different. Strickland, 466 U.S. at 694, 104 S.Ct. 2052 (emphasis added). Of course, if the OCCA made a positive finding that certain evidence did not affect the outcome of trial, then this would necessarily include a finding that the evidence did not influence the outcome to some lesser degree — or put another way, that the evidence did not create a reasonable probability of a different outcome. Here, however, the OCCA simply concluded that there was no plain error. Under that general conclusion, it is impossible to say whether Williams lost because he just could not make the requisite showing that the error was outcome-determinative or because the OCCA affirmatively concluded that the error did not determine the outcome. The distinction is a subtle one, but it matters if the OCCA treated its plain-error determinations as dispositive. The OCCA did not. Instead, that court made the “further finding” that Williams failed to satisfy the requirements of Strickland — not just the requirements of plain error. Williams, 188 P.3d at 231. Because of this, we believe that the OCCA rejected Williams’s claims under the appropriate federal standard. Moreover, based on our review of the record, we cannot say that the OCCA’s decision was an unreasonable application of that standard. See Thornburg v. Mullin, 422 F.3d 1113, 1138-39 (10th Cir.2005) (reaching the same conclusion when the OCCA found no plain error but also separately concluded that there was no prejudice under Strickland ). None of this is to say that the OCCA’s disposition under Strickland was a model of clarity. Again, the OCCA simply concluded that Williams’s claims “did not rise to the level of ineffective assistance of counsel under the Strickland standard.” Williams, 188 P.3d at 231. From this statement, it is unclear which of Strickland’s prongs the OCCA believed Williams failed to satisfy. See Hooks, 689 F.3d at 1187 (recognizing that a court can decide a Strickland claim under either prong). The OCCA’s reference to its plain-error determinations does not help. By finding no error, the OCCA might have concluded that counsel did not perform deficiently. Conversely, it might just as reasonably have assumed deficient performance and concluded that there was no resulting prejudice, particularly since Williams often did not explain why his lawyer should have objected. When the OCCA found error not requiring reversal, it might still have concluded that the lawyer’s representation was reasonable. Alternatively, it might have concluded that any error (actual or assumed) did not undermine confidence in the outcome. In short, we have no way of knowing what the OCCA was thinking. This uncertainty does not change our deference. Even “[w]here a state court’s decision is unaccompanied by an explanation, the habeas petitioner’s burden still must be met by showing there was no reasonable basis for the state court to deny relief.” Harrington, 131 S.Ct. at 784; see Lafler v. Cooper, — U.S. -, 132 S.Ct. 1376, 1396, 182 L.Ed.2d 398 (2012) (“The state court’s analysis was admittedly not a model of clarity, but federal habeas corpus is a guard against extreme malfunctions in the state criminal justice systems, not a license to penalize a state court for its opinion-writing technique.”) (internal quotation marks omitted). This is true when, as here, the state court does not reveal which element of a claim it found insufficient. See Harrington, 131 S.Ct. at 784. Our task is still to evaluate the reasonableness of the OCCA’s application of Strickland, considering the reasonableness of the theories that “could have supported” the OCCA’s decision. Id. at 786. This panel must identify what those theories are. We believe that the OCCA reasonably could have resolved Williams’s challenges under the first prong of Strickland by concluding that Williams’s lawyer did not commit any “serious errors in light of prevailing professional norms such that his legal representation fell below an objective standard of reasonableness.” Wackerly v. Workman, 580 F.3d 1171, 1176 (10th Cir. 2009) (internal quotation marks omitted). First, we consider Williams’s argument that lead counsel was constructively absent because of counsel’s substance abuse. We then will discuss Williams’s challenges involving his trial counsel’s alleged errors. Next, we address the challenges involving Officer Felton’s and Dyra Malone’s testimony. In those two cases, we assume deficient performance but nonetheless uphold the OCCA’s decision for lack of prejudice under prong two of Strickland. Finally, we decline to consider Williams’s challenge to alleged prosecutorial misconduct because he inadequately briefed it. 3. Trial Counsel’s Alleged Substance Abuse Williams recognizes that Strickland is the default standard for ineffective-assistance claims, but he argues that a different standard should apply in his case. Because of the alleged substance abuse, Williams contends that his lawyer “may have been” constructively absent from trial, thereby entitling him to relief under United States v. Cronic, 466 U.S. 648, 658-59, 104 S.Ct. 2039, 80 L.Ed.2d 657 (1984). Williams raised this argument in his second application for state post-conviction relief after he read a list-serv email that his lawyer authored. In that email, the lawyer acknowledged the toll of taking on death-penalty cases. He also wrote that he “pop[s] valium like candy just to face the day,” yet he “can only lay off the valium and alcohol during trial.” (R. vol. I at 617, 747-49.) Both the OCCA and the district court rejected the notion that the substance abuse mattered. They also denied Williams’s requests for an evidentiary hearing to explore the subject. Just as the OCCA and the district court did, we apply Strickland here. In evaluating Williams’s claims, we turn to Cronic, where the Supreme Court identified three extreme situations “so likely to prejudice the accused that the cost of litigating their effect in a particular case [under Strickland ] is unjustified.” Bell v. Cone, 535 U.S. 685, 695, 122 S.Ct. 1843, 152 L.Ed.2d 914 (2002) (citing Cronic, 466 U.S. at 658-59, 104 S.Ct. 2039). See also Hooks v. Workman, 606 F.3d 715, 724 (10th Cir.2010). Williams’s bases his constructive-absence argument on Cronic’s second situation: “a presumption of prejudice is warranted if counsel entirely fails to subject the prosecution’s case to meaningful adversarial testing.” Hooks, 606 F.3d at 724 (internal quotation marks omitted) (emphasis added). This means that the lawyer’s failures must run throughout the entire proceeding, Hooks, 689 F.3d at 1186, and that the lawyer’s performance “be so inadequate that, in effect, no assistance of counsel is provided.” Cronic, 466 U.S. at 654 n. 11, 104 S.Ct. 2039. There is simply no way that the isolated failures of Williams’s lawyer (assumed below) rise to this level of complete failure. See Bell, 535 U.S. at 696-97,122 S.Ct. 1843 (‘When we spoke in Cronic of the possibility of presuming prejudice based on an attorney’s failure to test the prosecutor’s case, we indicated that the attorney’s failure must be complete.”). Both of Williams’s lawyers fought vigorously for acquittal, and later, against the death penalty. The lawyers filed numerous pre-trial motions, made compelling arguments during first- and second-stage proceedings, asked for sidebars and hearings outside the jury’s presence, raised numerous objections to the state’s evidence and arguments, and presented a cogent theory of innocence. See Hooks, 689 F.3d at 1186 (collecting cases and finding Cronic standard inapplicable based on similar findings). Even if Williams could prove that one of his lawyers was really under the influence of drugs or alcohol at trial, this would not negate their professional efforts on his behalf. For this reason alone, there is no need for an evidentiary hearing to assess Cronic’s applicability. See Littlejohn v. Trammell, 704 F.3d 817, 858 (10th Cir. 2013) (recognizing that, even when we owe no deference to the state court’s decision, we can grant a habeas petitioner an evidentiary hearing only when his allegations, if true, “would entitle him to habeas relief.”) (internal quotation marks omitted). Nor is there a need for a hearing under Strickland, where our concern is the objective reasonableness of the lawyer’s conduct — not the lawyer’s subjective reasoning. See Harrington v. Richter, 562 U.S. 86, 131 S.Ct. 770, 790, 178 L.Ed.2d 624 (2011) (“Strickland ... calls for an inquiry into the objective reasonableness of counsel’s performance, not counsel’s subjective state of mind.”). We turn now to Williams’s other arguments of ineffective assistance of counsel. First, he argues that-his lawyer failed to object to several pieces of evidence and to various statements by the prosecutor — we count seven total alleged deficiencies. Second, he argues that his lawyer failed to prepare to impeach one of the state’s witnesses. Williams raised both of these challenges on direct appeal, although the OCCA resolved only his failure-to-object arguments. Even so, we presume “that the state court adjudicated the claim on the merits in the absence of any indication or state-law procedural principles to the contrary.” Johnson v. Williams, — U.S. -, 133 S.Ct. 1088, 1094, 185 L.Ed.2d 105 (2013). Although this presumption is rebuttable, see id. at 1096-97, Williams offers no argument why the presumption should not apply. Thus, the deferential standards of § 2254(d) apply to Williams’s failure-to-object and failure-to-prepare claims. Hooks, 689 F.3d at 1163. Yet, we note, the outcome would remain the same even under de novo review. 4. Failure to Object to Evidence of the Stolen Watch Williams first complains that his lawyer should have objected to evidence about a watch found in the apartment of Jordan’s girlfriend, Tarina Clark. Notably, this is the same apartment where Williams, Jordan, and the getaway driver met the night before the June 22 robbery. The state first presented evidence of Williams’s DNA on the watch. On cross-examination, the prosecutor then asked Williams if he knew the watch was stolen. Williams said he did not know and that Jordan gave him the watch. Williams seems to argue that his lawyer should have objected to both the DNA evidence and to the question about whether he knew that the watch was stolen. Except for relevance, he does not identify a basis for the objection, but he instead complains that the evidence was irrelevant and portrayed him as a thief. Regardless of whether the question elicited relevant evidence, we believe that the DNA evidence was highly relevant because it tied Williams to Clark’s apartment and corroborated her testimony about his presence there soon before the bank robbery. On these grounds, we imagine the trial court would have overruled any objection from Williams. The DNA evidence itself had nothing to do with the watch’s being stolen and, as the OCCA pointed out, the presence of Williams’s watch at Clark’s apartment corroborated her testimony that Williams was there. See Williams, 188 P.3d at 220. Addressing the question about the watch’s status as stolen, we defer to the OCCA’s view that it was improper. See Okla. Stat. Ann. tit. 12, § 2404 (“Evidence of other crimes, wrongs, or acts is not admissible to prove the character of a person in order to show action in conformity therewith.”) The question elicited testimony that Williams possessed stolen things. Its sole purpose was to suggest Williams’s propensity to steal — as he rightly claims. The OCCA nonetheless could reasonably conclude that trial counsel was not deficient for failing to object. As the OCCA recognized, the stolen-watch evidence was hardly significant when compared to the evidence of Williams’s other crimes, much of which the defense introduced. Williams, 188 P.3d at 220. Williams himself relied on his general thievery to explain the wad of cash that police seized from him the day of the robbery (he claimed that the money came from his stealing and selling his girlfriend’s TV). In addition, to distance himself from the shoeprint found at First Fidelity, he claimed that he had stolen several identical pairs of shoes and sold them to others. Other evidence did not tend to show innocence. Along the same line, the defense elicited testimony from Dyra Malone that Williams stole most of the things he owned. Williams himself admitted that he sold stolen weapons and used drugs. He also admitted that he robbed First Fidelity in May. Nor can we say that Williams’s counsel was deficient in introducing this evidence. The wad of cash and matching shoeprints needed an explanation. Moreover, by “owning up” to conduct he could hardly deny, the defense had a chance to bolster credibility. If Williams freely admitted his other crimes, the jury might conclude that he was telling the truth when he denied his involvement in the June 22 robbery. See Bullock v. Carver, 297 F.3d 1036, 1051 (10th Cir.2002) (“As a general matter, we presume that an attorney performed in an objectively reasonable manner because his conduct might be considered part of a sound strategy.”) (emphasis original). Had Williams’s lawyer objected to the evidence of the stolen watch, he might have drawn unnecessary attention to it or otherwise suggested to the jury that Williams had something to hide. A reasonable defense lawyer could choose a strategy of not objecting under the circumstances, and “it would be well within the bounds of a reasonable judicial determination for the state court to conclude” that counsel’s performance was not deficient. Harrington, 131 S.Ct. at 789. 5. Failure to Object to Photographs of Tarina Clark’s Apartment The state introduced photographs of the apartment that Jordan shared with his girlfriend, Tarina Clark. Except perhaps relevance, Williams simply does not identify a valid objection to admission of the photographs. He repeats his assertion from direct appeal that the photographs prejudiced him. In particular, he complains that the photographs invited “impermissible inferences about his lifestyle and the people with whom he associated.” (Appellant’s Br. at 69). We agree with the OCCA that the photographs had probative value. Williams, 188 P.3d at 223. They helped corroborate Clark’s testimony. For example, one photograph showed towels pushed up against the dishwasher; Clark had testified that she was angry with Jordan the night before the robbery for allowing the dishwasher to.overflow. Another photograph showed a pair of Fubu tennis shoes like the ones Williams owned (with soles matching the footprint taken from the first robbery of First Fidelity). Clark testified that Jordan owned those shoes but rarely wore them because they were too small. Accordingly, we think the OCCA reasonably could have concluded that Williams’s lawyer’s failure to object to the photographs was not deficient performance. 6. Failure to Object to Post-Autopsy Photographs of Amber Rogers The state admitted without objection two photographs taken at the medical examiner’s office showing Amber Rogers’s nude body. Williams argues that any reasonably competent lawyer would have objected to the photographs, “which served only to evoke the passions and sympathy of the jury.” Appellant’s Br. at 70. Williams also suggests that the photographs were not relevant because the manner of death was not disputed and because the body bore signs of medical intervention by that point in time. The prosecutor referred to the photographs in second-stage closing argument. The OCCA found that the trial court did not err in admitting the photographs, which “show[ed] the handiwork of the defendant” and “more closely depict[ed] the nature and extent of the gunshot wound on the victim’s body than any other evidence available.” Williams, 188 P.3d at 223. We similarly conclude that photographs of a victim’s body, while gruesome, can be relevant when they depict the extent of injuries and are probative of intent to kill. See, e.g., Wilson v. Sirmons, 536 F.3d 1064, 1115 (10th Cir .2008). Nothing Williams says leads us to believe that the photographs were so obviously prejudicial that counsel’s failure to object was deficient. The OCCA could have reasonably rejected this claim on the same theory. During penalty-phase closing argument, the prosecutor referred to the photographs as the “most powerful image.” (Trial Tr. vol. VIII at 1872). But even if a reasonably competent lawyer would have objected to this, Williams does not explain why the same lawyer would have anticipated the prosecutor’s comment as a reason to object to the photographs themselves. See Harrington, 131 S.Ct. at 789 (“Reliance on the harsh light of hindsight ... is precisely what Strickland and AEDPA seek to prevent.”) (internal quotation marks omitted). The photographs are the subject of this challenge — nothing else. 7. Failure to Object to Testimony of Treating Physicians Amber Rogers’s treating physician testified at length about the medical treatment he gave Rogers before her death. This testimony included details of surgery. The state also presented testimony during the penalty phase from Smith’s and Poole’s treating physicians. These doctors similarly testified about what they did to treat the gunshot-related injuries. On direct appeal, Williams contended that the testimony of the treating physicians was irrelevant. The OCCA disagreed: The State is obligated to show that the death was caused by the criminal actions of the defendant. In order to show that, in this case, the State had to show that Amber Rogers died despite the heroic efforts of the surgery team. There was no plain error here. Williams also complains about the second stage testimony of the surgeons that treated the other victims who did not die. Again, there was no objection to this testimony, thus we review for plain error only. 12 O.S.2001, § 2104. Here, one of the aggravating circumstances alleged was that Williams created a great risk of death to more than one person. Although, Williams claims that evidence that these two victims were shot was sufficient to show a great risk of death to more than one person, our cases reveal that testimony about the nature and extent of gunshot wounds are relevant for this aggravating circumstance. Williams, 188 P.3d at 224. In connection with his Strickland claim, Williams argues that certain unspecified details of the doctors’ testimony were “unfairly prejudicial and were introduced only to inflame the passions of the jury.” Appellant’s Br. at 71. With respect to the penalty-phase testimony, he goes even further, claiming that the doctors’ testimony was “entirely irrelevant.” Id. Given the OCCA’s observations to the contrary, we cannot agree. In our view, it was reasonable to conclude that the testimony was relevant because it supported the state’s theory that Williams’s crime showed “a great risk of death to more than one person.” Williams, 188 P.3d at 224. We think it follows that the OCCA could have reasonably concluded that counsel’s failure to object on relevance grounds was not deficient performance. 8. Failure to Object to Detective Felton’s Testimony The investigating police officer, Detective Felton, testified that shortly after Williams’s arrest, he saw abrasions and lacerations on Williams’s shin. When asked if he found anything significant about the injuries, Felton testified: “Meeting with the other detectives it was determined that one of the suspects had fled the bank by jumping off the second floor balcony. These looked just like injuries that one might receive by, you know, jumping and falling.” (Trial Tr. vol. V at 1181). Williams contends that this testimony was plainly inadmissible because it was not based on Felton’s perceptions as a lay witness. Presumably, he thinks that his counsel should have objected for this reason. The OCCA concluded that Felton’s testimony was improper because it was based on specialized knowledge. Williams, 188 P.3d at 225. We accept this and assume that a reasonably competent lawyer would have objected. Still, we think the OCCA could have reasonably concluded that there was no reasonable probability of acquittal but for counsel’s unprofessional errors. See Strickland, 466 U.S. at 694, 104 S.Ct. 2052. "While Felton’s testimony certainly linked Williams to the crime, and while testimony from a police officer can be particularly persuasive to juries, we believe that Felton’s opinion may have bordered on pure speculation. The OCCA concluded similarly. Williams, 188 P.3d "at 225 (concluding that the opinion, without specialized knowledge, would be “pure speculation”). The photographs Felton referenced showed generic injuries that any number of accidents could have caused. The jury might even have believed Williams that he did not know what caused the injuries. Further, Felton did not flatly declare that Williams had jumped off the balcony; he merely said that Williams’s injuries were consistent with those someone might sustain by “jumping and falling.” Given the isolated, and limited nature of the offending testimony and the overwhelming evidence that Williams robbed the bank, we cannot begin to say that, absent this testimony, Williams would have had a reasonable probability of acquittal. The OCCA’s decision under Strickland was objectively reasonable. 9. Failure to Object to Dyra Malone’s Testimony Williams next complains about a portion of the redirect testimony of his girlfriend, Dyra Malone. Malone testified on direct examination about her interactions with Williams on the day of the robbery. She said that Williams came to her apartment around 11:00 a.m. with “wads” of cash and said that he had “jacked a white man.” (Trial Tr. vol. V at 1019, 1023). She did not say that Williams had confessed to anything more. On cross-examination, Malone admitted that she had spoken with prosecutors at least a dozen times, and first spoken with defense counsel on the day she testified. She further testified that she did not ask Williams any questions after he displayed wads of cash after supposedly having “jacked a white guy.” (Trial Tr. vol. V at 1063). Malone briefly described her own arrest and how police had questioned her at length, but she did not say what the police had asked her or what she had told them. On redirect examination, however, the prosecutor began with this: Prosecutor: Ma’am, you had been asked about the statements to police. What did you tell police when they talked to you? Malone: Um— Prosecutor: Let me rephrase the question .... Did you tell police that Jeremy had told you something about a bank, his cousin Tony, and a lady, and that he said his cousin started shooting? Did you tell police .that Jeremy had told you that? Malone: Yes. Prosecutor: And that was in the first statement to police; is that correct? Malone: Yes. Prosecutor: And at the preliminary hearing you said that you didn’t say that, is that correct, or that he didn’t tell you that? Malone: He didn’t .tell me that. (Trial Tr. vol. V at 1069). Malone further explained this earlier statement by saying that police had threatened her that if she “didn’t start t