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Jones v. Hendrix/Opinion of Justice Jackson

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Marcus DeAngelo Jones v. Dewayne Hendrix, Warden
Supreme Court of the United States
4267431Marcus DeAngelo Jones v. Dewayne Hendrix, WardenSupreme Court of the United States

SUPREME COURT OF THE UNITED STATES


No. 21–857


MARCUS DEANGELO JONES, PETITIONER v. DEWAYNE HENDRIX, WARDEN
ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR THE EIGHTH CIRCUIT
[June 22, 2023]

Justice Jackson, dissenting.

Today, the Court holds that an incarcerated individual who has already filed one postconviction petition cannot file another one to assert a previously unavailable claim of statutory innocence.[1] The majority says that result follows from a “straightforward” reading of 28 U. S. C. §2255. Ante, at 10, 12. But the majority reaches this preclusion decision by “negative inference.” Ante, at 10. And it is far from obvious that §2255(h)’s bar on filing second or successive postconviction petitions (with certain notable exceptions) prevents a prisoner who has previously sought postconviction relief from bringing a newly available legal innocence claim in court. See Part II, infra.

In any event, putting aside its questionable interpretation of §2255(h), the majority is also wrong to interpret §2255(e)—known as the saving clause—as if Congress designed that provision to filter potential habeas claims through the narrowest of apertures, saving essentially only those that a court literally would be unable to consider due to something akin to a natural calamity. See Part I, infra. This stingy characterization does not reflect a primary aim of §2255(e), which was to “save” any claim that was available prior to §2255(h)’s enactment where Congress has not expressed a clear intent to foreclose it. Jones’s legal innocence claim fits that mold.

I am also deeply troubled by the constitutional implications of the nothing-to-see-here approach that the majority takes with respect to the incarceration of potential legal innocents. See Part III, infra. Apparently, legally innocent or not, Jones must just carry on in prison regardless, since (as the majority reads §2255) no path exists for him to ask a federal judge to consider his innocence assertion. But forever slamming the courtroom doors to a possibly innocent person who has never had a meaningful opportunity to get a new and retroactively applicable claim for release reviewed on the merits raises serious constitutional concerns.

Thus, in my view, all roads lead to an interpretation of §2255 that is diametrically opposed to the one that the majority announces. Whether one gets there by virtue of a proper reading of §2255(e) or an informed understanding of §2255(h), or by affording due respect to the core constitutional interests at stake, Jones’s successive petition alleging legal innocence should have been considered on the merits.[2] Therefore, I respectfully dissent.

I

Section 2255(e) saves postconviction claims by authorizing the filing of a habeas petition under §2241 if the procedures §2255 affords are “inadequate or ineffective to test the legality of [a prisoner’s] detention.” §2255(e). I see no reason why the only circumstance in which §2255’s procedures qualify as inadequate or ineffective for saving clause purposes is when it is impossible or impractical for a prisoner to file a §2255 motion. Contra, ante, at 6–7. Quite to the contrary, the enactment history of §2255 plainly establishes that Congress wanted to ensure that a prisoner’s claim was “saved” in at least one additional set of circumstances: Where the prisoner would have been able to bring such a claim prior to the enactment of §2255 (or any subsequent changes, like those made by the Antiterrorism and Effective Death Penalty Act of 1996 (AEDPA)), but somehow cannot bring that claim after a change to the statutory framework (unless Congress has clearly expressed its intent to restrict the scope of relief in that regard). As the majority has interpreted §2255(h), that is precisely the situation here.

A

To understand why Congress meant for Jones to be able to invoke the saving clause and bring his statutory innocence claim in a habeas petition filed under §2241, a firm grasp of the text, history, and intended operation of §2255(e) is required.

1

The saving clause is the latter part of §2255(e), which states in full:

“An application for a writ of habeas corpus [o]n behalf of a prisoner who is authorized to apply for relief by motion pursuant to this section, shall not be entertained if it appears that the applicant has failed to apply for relief, by motion, to the court which sentenced him, or that such court has denied him relief, unless it also appears that the remedy by motion is inadequate or ineffective to test the legality of his detention.” §2255(e) (emphasis added); see also §2255 (1946 ed., Supp. II) (§2255 (1948)).

Before §2255 was enacted in 1948, federal prisoners collaterally attacked their convictions by filing a habeas petition. See United States v. Hayman, 342 U. S. 205, 210–213 (1952). Such petitions sought judicial review of the legality of the individual’s detention, and were filed in the district where the person was incarcerated. Ibid. This led to some problems: Districts that housed large federal prisons were disproportionately burdened with habeas petitions. Id., at 213–214. Also, in many cases, the court deciding the petition was both unfamiliar with the underlying facts and far away from the relevant record, evidence, and witnesses. Ibid.

Congress created §2255—an entirely new process for federal prisoners to use when seeking postconviction judicial review—to solve these practical problems. Ante, at 5–6. Under the procedures laid out in §2255, in lieu of filing a traditional habeas petition, federal prisoners must file a §2255 motion. And any such motion is to be filed in the sentencing court, not in the district of confinement. §2255(a) (2018 ed.); see Hayman, 342 U. S., at 219.

Congress crafted (what is now) §2255(e) to ensure that the new §2255 procedure successfully ousted the outdated habeas regime it replaced. Per the first part of that provision, as a general matter, §2255 becomes the exclusive procedure by which federal prisoners can collaterally attack their convictions. See §2255(e) (providing that “[a]n application for a writ of habeas corpus … shall not be entertained” where, in essence, the prisoner fails to bring an authorized §2255 motion, or does so and is denied relief). Yet Congress also specified that, in a circumstance in which §2255 is “inadequate or ineffective to test the legality of his detention,” an individual could still file a habeas petition. Ibid.

There are multiple ways in which §2255 might be “insufficient” or “[n]ot capable of performing the required work” of postconviction review of federal convictions. Webster’s New International Dictionary 1254, 1271 (2d ed. 1934) (defining “inadequate” and “ineffective” in this manner); see also Funk & Wagnalls New Standard Dictionary of the English Language 1239, 1255 (1942) (similar). For example, §2255 would not be up to the task if it would be impossible or impracticable for a federal prisoner to file a §2255 petition. Ante, at 6, 11.

The case before us involves another way that §2255 can be inadequate or ineffective—where the newly created §2255 procedure, perhaps inadvertently, blocks a prisoner from bringing a claim that was previously cognizable in habeas. This is an inadequacy concerning the operation of §2255 from Congress’s perspective, because the “sole purpose” of §2255 “was to minimize the difficulties encountered in habeas corpus hearings” while still “affording the same rights in another and more convenient forum.” Hayman, 342 U. S., at 219 (emphasis added); see also Davis v. United States, 417 U. S. 333, 343 (1974) (“Th[e] history makes clear that §2255 was intended to afford federal prisoners a remedy identical in scope to federal habeas corpus” (emphasis added)); Sanders v. United States, 373 U. S. 1, 14 (1963) (“[I]t conclusively appears from the historic context in which §2255 was enacted that the legislation was intended simply to provide in the sentencing court a remedy exactly commensurate with that which had previously been available by habeas corpus” (emphasis added; internal quotation marks omitted)).

That much is not in dispute—the majority acknowledges that Congress intended to maintain equivalence with the claims available in habeas when it enacted §2255. See ante, 5–6. Consequently, in any circumstance in which the new §2255 procedure actually operates to foreclose a postconviction claim that a prisoner could have brought previously in a habeas petition, the §2255 process is patently inadequate to accomplish Congress’s aim of allowing prisoners to test the legality of their detention under §2255 to the same extent as they could have in the habeas regime that §2255 replaced.

Thus, the saving clause can be properly interpreted as effectuating Congress’s intent in this regard. As the Government persuasively argues, by inserting a provision that allows prisoners to still file habeas petitions, Congress “ensure[d] that Section 2255 does not disadvantage federal prisoners as compared to habeas.” Brief for Respondent 17; see also Boumediene v. Bush, 553 U. S. 723, 776 (2008) (noting that the purpose of §2255 was “to strengthen, rather than dilute, the writ’s protections” and further recognizing that the saving clause served that purpose). That is, where a federal prisoner could have brought a particular habeas claim prior to 1948, but could not bring such a claim in a §2255 petition after that date, the saving clause kicks in to permit that individual to resort to habeas to raise that claim.

This reading of §2255(e) means that the saving clause operates (at the very least, and as it was enacted in 1948) to preserve from inadvertent extinguishment postconviction claims that would have been previously cognizable for federal prisoners but cannot be brought by operation of §2255. And the flip side of that interpretation—that §2255 is inadequate or ineffective if it sub silentio extinguishes previously available habeas claims, triggering the saving clause—inexorably follows. This interpretation tracks Congress’s clear claim-preservation goal. And, as an added bonus, it also has the benefit of being in accordance with how saving clauses usually work. See 2 J. Sutherland, Statutory Construction §4830, pp. 376–377 (3d ed. 1943) (defining “saving clause” as a provision “said to preserve from destruction certain rights, remedies or privileges which would otherwise be destroyed by the general enactment”); see, e.g., Andrus v. Shell Oil Co., 446 U. S. 657, 666 (1980) (noting that Congress included a “savings clause” in the statute at issue to “preserv[e] pre-existing claims”); United States v. Menasche, 348 U. S. 528, 535 (1955) (noting that the purpose of a saving clause in the immigration context was to “manifes[t] a well-established congressional policy not to strip [noncitizens] of advantages gained under prior laws”).

2

Fast forward to 1996: Congress reenacted the saving clause—using identical language—when it passed AEDPA. §2255(e); §2255 (1948). Thus, because the saving clause operated in 1948 to “save” from inadvertent extinguishment habeas claims that were available before the enactment of §2255, the same was true when Congress revised those procedures in the mid-1990s, while keeping the saving clause intact. In other words, both in 1948 and to this day, the saving clause operates to (among other things) ensure that §2255—or the AEDPA amendments—did not, through inapt language, substantively alter the scope of available postconviction relief for federal prisoners.

This is not to say that Congress necessarily carried forward all of its previous policy determinations with respect to the availability of postconviction claims, or that it did not change its mind at all about the appropriate dimensions of postconviction relief. Indeed, habeas is a dynamic remedy, and congressional enactments contribute to its evolution. See Felker v. Turpin, 518 U. S. 651, 664 (1996); see also 2 R. Hertz & J. Liebman, Federal Habeas Corpus Practice and Procedure §28.4[a], p. 1738 (7th ed. 2020) (Hertz & Liebman) (“Anglo-American law … has imposed an evolving set of restrictions on second and subsequent petitions”). But, again, the saving clause—which served an important equalizing function—remained intact when Congress reenacted §2255 in 1996. Thus, while Congress can certainly act to change the scope of habeas or its statutory equivalent if it wants to do so, in order to overcome the operation of the saving clause (which, again, was inserted to maintain equivalence in the absence of intent to make a change), Congress has to make said change to the availability of postconviction relief deliberately and clearly, thereby unequivocally expressing its intent to do so. See Holland v. Florida, 560 U. S. 631, 646 (2010); infra, at 25–28.

All this means that today (as in 1948) the saving clause is best interpreted as allowing for the filing of a habeas petition under §2241 where a claim that was cognizable prior to AEDPA cannot be brought under §2255, unless Congress has clearly expressed its intent to foreclose that particular claim.

B

That brings us to the situation at issue here. When Congress amended §2255 by enacting AEDPA, it legislated against a legal background in which a federal prisoner could bring a statutory innocence claim in a §2255 petition. The majority does not dispute this. See ante, at 18–19. Nor could it, because this Court made crystal clear in 1974 in Davis that statutory innocence claims are legally cognizable in a §2255 motion. 417 U. S., at 343–347.[3]

Moreover, prior to AEDPA’s enactment, a federal prisoner could bring such a postconviction claim of statutory innocence in a successive petition. This Court had generally restricted successive postconviction filings by the 1990s, but a prisoner who had previously filed at least one petition could still file another one in order to assert innocence. That was because any bar to the filing of a successive petition was typically lifted if enforcing that bar would result in a “miscarriage of justice.” McCleskey v. Zant, 499 U. S. 467, 494–495 (1991); Hertz & Liebman §28.4[g], at 1757; see Brief for Respondent 22–24. And under our settled precedent, legal innocence claims fit that category. See Davis, 417 U. S., at 346 (“There can be no room for doubt” that “conviction and punishment … for an act that the law does not make criminal” “ ‘inherently results in a complete miscarriage of justice’ ”); see also Bousley v. United States, 523 U. S. 614, 623–624 (1998).

These background principles relate to the successive petition that Jones seeks to bring here as follows. If the majority is right that (by virtue of §2255(h)) prisoners like Jones are now unable to bring a successive §2255 petition to make the same kind of legal innocence claim that they could have brought prior to AEDPA, then Congress’s enactment of §2255(h) has dramatically altered the legal landscape in a manner that seems, at best, inconsistent with its original intent. To repeat: The saving clause expresses a congressional intent to maintain equivalence between what a prisoner could claim before and after §2255(h); yet under the majority’s reading, §2255(h)’s “second or successive” bar would effectively operate to preclude successive legal innocence claims—shrinking the universe of previously available claims—the opposite of what Congress set out to do when it set up §2255.

In my view, that is where the saving clause comes in. Reading the saving clause to perform its normal, intended function of “saving” previously available claims solves this problem, because it allows prisoners who could have brought a claim prior to the enactment of AEDPA (like Jones) to file a habeas petition to the extent that §2255 now precludes such a filing under that particular statutory mechanism. Thus, interpreting §2255(e)’s “inadequate and ineffective” language to permit the filing of a habeas petition that raises a legal innocence claim in these circumstances seems perfectly consistent with Congress’s intent.

This understanding of the saving clause also explains the clause’s application—or, more precisely, its inapplicability—to the types of claims specifically mentioned in §§2255(h)(1) and (2). Congress has expressly overridden operation of the saving clause with respect to those two provisions, because it has clearly expressed its intent to narrow the scope of postconviction relief where a federal prisoner brings a successive petition raising a claim of new evidence or new constitutional law.[4] “A legislature may adopt a policy different from that embodied in the general saving statute.” M. Ruud, The Savings Clause—Some Problems in Construction and Drafting, 33 Texas L. Rev. 285, 299 (1955). And here, no one questions that, with §§2255(h)(1) and (2), Congress clearly did so. Brief for Respondent 26–28. But the majority now reasons that, merely by omitting statutory innocence claims from that authorized-filings list, Congress should be deemed to have exhibited a narrowing intent with respect to those claims as well. See ante, at 1–2, 12.

I disagree. Indeed, in my view, it is precisely because the text of §§2255(h)(1) and (2) speaks unequivocally to the narrowing Congress wished to effect with respect to new-evidence and new-constitutional claims that we should not ascertain that Congress meant for the second or successive bar to have the same effect with respect to legal innocence claims—which, importantly, the statute does not mention. To put it bluntly: Congress knows how to speak clearly when it wants to disrupt the continuity of claims that are available to prisoners before and after it enacts legislation that addresses postconviction review procedures. And rather than providing any such clear statement as to how an intervening claim of statutory innocence should be treated vis-à-vis §2255(h)’s second or successive bar, Congress was conspicuously silent.[5]

C

The majority advances an entirely different theory of the work that §2255(e) does with respect to the postconviction review scheme—a theory that I do not find even remotely persuasive. Opting for the narrowest possible view of Congress’s intent regarding the saving clause, the majority generally claims that the saving clause only authorizes the filing of a habeas petition if filing a §2255 motion would be “impossible or impracticable.” Ante, at 6, 11. And in the majority’s telling, that circumstance only occurs, say, if the courthouse where a §2255 motion would have otherwise been filed has burned to the ground or been carried away by a mudslide. The majority’s parsimonious perspective on the meaning of “inadequate or ineffective” is flawed in many respects.

First and foremost, it is entirely atextual. The majority cites exactly zero dictionary definitions of the terms “inadequate” or “ineffective.” And while it does reference an earlier draft of the legislation that became §2255, ante, at 7 (quoting Hayman, 342 U. S., at 215, n. 23), it fails to mention that Congress specifically rejected language that embraced the majority’s “impracticable only” proposition. See Hayman, 342 U. S., at 215, n. 23; In re Dorsainvil, 119 F. 3d 245, 250 (CA3 1997).

Furthermore, while the majority opinion accurately recites the history and purpose of §2255, see ante, at 5–6, it ignores the import of that history. As explained above, when Congress enacted §2255 in 1948, it intended to ensure equivalence between traditional habeas and the new §2255 mechanism for postconviction review. Supra, at 5. Accordingly, Congress inserted the saving clause to ensure that certain pre-existing postconviction claims (say, a claim of statutory innocence) could still be heard even if the statutory language Congress was adopting inadvertently barred them. Supra, at 3–7. And Congress preserved the language of §2255(e)—the language that performs the equalizing function—in 1996, even as it made other significant changes to §2255. Supra, at 7–8.

Ignoring all this, the majority grounds its analysis of §2255(e) in a scattershot of lower court cases that the majority claims “[t]raditionally” viewed the saving clause as solving only for practical filing problems. Ante, at 6–7. To be sure, a handful of lower courts applied the saving clause where the sentencing court was dissolved. Ibid. But lower courts have also “[t]raditionally,” ante, at 6, treated the saving clause as permitting individuals with previously unavailable statutory innocence claims to file habeas petitions in light of §2255(h)’s successive-petition bar. Prost v. Anderson, 636 F. 3d 578, 605 (CA10 2011) (Seymour, J., concurring in part and dissenting in part).[6] The majority also fails to grapple with this Court’s own opinions that suggest a broader interpretation of the saving clause is proper. See Swain v. Pressley, 430 U. S. 372, 381–382 (1977); Sanders, 373 U. S., at 14–15; Hayman, 342 U. S., at 223; Brief for Respondent 17–18.

It appears the majority’s interpretation of §2255(e) is primarily attributable to its concern that interpreting the saving clause to permit Jones to file a habeas petition might authorize an “end-run” around §2255’s procedures. Ante, at 10–11, 14. I think those fears are vastly overblown.

Properly interpreted, a §2255 motion is only “inadequate or ineffective” when the potential procedural bar does not provide a prisoner with any meaningful opportunity to present a claim. And that circumstance does not exist any time a procedural limitation in §2255 screens out a claim. For example, if an individual does not raise his legal innocence claim in a §2255 motion in a timely fashion, see §2255(f), he cannot resort to the saving clause to file a habeas petition; that individual did have a meaningful opportunity to raise his claim pursuant to the §2255 process, but missed the window of opportunity. Similarly, where Congress has clearly narrowed the scope of postconviction relief—as it has done for claims of new evidence and new constitutional rules—it has overridden the equivalence aim that would otherwise render §2255 inadequate or ineffective, such that the saving clause does not apply. On top of this, given the congruence purpose underlying §2255(e), an individual can resort to habeas via §2255(e) only where the particular claim he seeks to bring would have been cognizable under pre-AEDPA principles.

Thus, the majority has no good answer to interpreting the saving clause as doing what Congress crafted it to do—among other things, ensuring equivalence between §2255 and the prior postconviction remedy being replaced or modified, unless Congress clearly establishes otherwise. A successive statutory innocence claim could have been brought prior to the 1996 addition of §2255(h), and Congress has not clearly foreclosed such claims in the text of §2255. Therefore, the saving clause applies, and Jones should have been permitted to raise his legal innocence claim by filing a habeas petition under §2241.

II

The foregoing analysis assumes, as the majority does, that the only hope of a prisoner in Jones’s position is to assert his statutory innocence claim via a habeas petition filed under §2241 per the saving clause, because §2255(h) prevents the filing of such a successive §2255 motion. But I would not be so quick to assume that a successive §2255 motion asserting statutory innocence is impermissible due to §2255(h). Here is why.

Nothing in the whole of §2255 suggests that Congress ever considered the scenario presented in this case—one in which a prisoner who has already filed a postconviction motion suddenly gets a new claim of legal innocence (after his first petition was filed) based on a development in Supreme Court case law. Therefore, it is not at all clear that Congress determined that such an individual is simply out of luck. Far from making the decision that a prisoner in this circumstance should not be permitted to raise that newly available claim by filing another §2255 motion—as the majority maintains—Congress has simply never spoken to what is supposed to happen with newly available claims of legal innocence.

To reach today’s conclusion, then, the majority draws a “negative inference” that Congress intended for §2255’s “second or successive” bar to preclude successive filings that contain legal innocence claims. Ante, at 10. But the majority’s inferential reasoning is highly problematic in at least two respects.

First, negative inferences drawn without proper context can be notoriously unreliable. And, as detailed below, there are myriad reasons for skepticism here. Section 2255(h)’s anti-claim-splitting purpose is one. Another is the likely reason that legal innocence claims do not appear in the text of the statute (spoiler alert: they were inadvertently omitted). Background equitable principles and the practical consequences of preventing the filing of successive petitions in this circumstance are additional key contextual clues that the majority seems to have missed.

Second, I am suspicious of the majority’s choice to resort to inferential reasoning at all, given that this Court has long held that we will not read a statute to displace access to “the great writ” unless Congress has been clear about its intention to accomplish this result. Ex parte Yerger, 8 Wall. 85, 95, 102 (1869). The clear-statement rule is plainly applicable here, and the majority offers the flimsiest of explanations for its decision to deviate from its application at the threshold of today’s interpretation.

In short, as shown below, the initial assumption that Congress necessarily meant for §2255(h) to bar Jones’s successive petition asserting statutory innocence is shaky, at best. I would have held that Jones’s petition can proceed, even without reliance on the saving clause, because §2255(h) does not bar it.

A

The majority says that “since [AEDPA], second or successive §2255 motions are barred unless they rely on” one of two (and only two) circumstances: “ ‘newly discovered evidence,’ §2255(h)(1), or ‘a new rule of constitutional law,’ §2255(h)(2).” Ante, at 1. Legal innocence claims are barred, the majority holds, pursuant to this “straightforward negative inference.” Ante, at 10. But there is a good reason that the negative-inference canon “must be applied with great caution.” A. Scalia & B. Garner, Reading Law: The Interpretation of Legal Texts 107 (2012). And the reason is that “its application depends so much on context.” Ibid. In this case, for instance, there are several strong contextual clues that substantially undercut the majority’s purportedly “straightforward” inferential reasoning.

1

First of all, while the majority interprets §2255(h) as if Congress designed that provision to impose “finality” without regard to the claims at issue (other than the two listed situations), see ante, at 12, as it turns out, that is not the primary purpose of §2255(h). Instead, §2255(h)’s “second or successive petition” bar was inserted into AEDPA to ensure that all available claims a prisoner has are brought in a single postconviction petition. In circumstances where the prisoner seeks to assert a claim that was previously unavailable (i.e., a claim that could not have been raised before), Congress permitted successive petitions.

Explaining this fully requires me to make a preliminary big-picture point. Section 2255 (originally and as amended by AEDPA) is not a gauntlet of arbitrary hurdles that Congress has erected to stymie prisoners who seek to obtain judicial review of their detention. Indeed, as explained, when Congress first enacted §2255, it had no intention of shrinking the catalog of available postconviction claims. Ante, at 5–6; see also Part I, supra. To be sure, Congress has undertaken to restrict the writ’s availability somewhat since §2255 was first enacted, but it has nevertheless continued to appreciate the significance of access to postconviction review of the legality of a prisoner’s detention. Hence, even after AEDPA, Congress permits all incarcerated individuals—including those who have been convicted of serious crimes and who are serving sentences that have been imposed by courts of competent jurisdiction—to seek collateral relief. See §§2254(a), 2255(a).

Still, when it enacted AEDPA in 1996, Congress was aware of how §2255’s postconviction processes had been operating on the ground since §2255’s enactment. Thus, Congress quite rationally sought to “ ‘balance’ ” the “ ‘individual interest in justice that arises in the extraordinary case’ ” with “ ‘the societal interests in finality, comity, and conservation of scarce judicial resources.’ ” McQuiggin v. Perkins, 569 U. S. 383, 393 (2013) (quoting Schlup v. Delo, 513 U. S. 298, 324 (1995)).

Section 2255(h) reflects this balancing. “What emerges from a review of the debates over the successive petition restrictions is a clear sense that” Congress wanted to “preven[t] manipulation of the system through relitigation of previously presented claims or strategic withholding of claims for later presentation,” while still creating “a mechanism that would allow prisoners to have one full, fair chance to present their meritorious … claims to the federal courts.” B. Stevenson, The Politics of Fear and Death: Successive Problems in Capital Federal Habeas Corpus Cases, 77 N. Y. U. L. Rev. 699, 772 (2002). As Senator Hatch said at the time: “We have provided for protection of Federal habeas corpus, but we do it one time and that is it—unless, of course, they can truly come up with evidence of innocence that could not have been presented at trial. There we allow successive petitions.” 141 Cong. Rec. 15042 (1995). Then-Senator Biden similarly explained that the goal of AEDPA was “essentially giving one bite out of the apple to drastically reduce the ability to have successive petitions unless there is some egregious action that is learned about after the petition is filed, the first petition.” Id., at 15027.[7]

Thus, Congress enacted §2255(h) to prevent prisoners from engaging in manipulative filing practices—such as claim splitting, i.e., the inefficient business of prisoners with time on their hands doling out their existing postconviction claims in a series of successive motions filed in court seriatim. See Sanders, 373 U. S., at 18 (noting that a prisoner may “deliberately withhol[d]” or “deliberately abando[n]” claims in a first postconviction petition “in the hope of being granted two hearings rather than one”).[8] And, tellingly, because Congress was focused on that problem—not attempting to impose “finality” writ large—it did not bar all successive petitions; to the contrary, it proceeded to identify particular circumstances in which another collateral challenge would be authorized. §§2255(h)(1)–(2).

Additional doubts about the majority’s negative inference surface when one recognizes that the two circumstances Congress carved out of the successive-petition bar share an important common thread: Both situations relate to the newness of the claim that the prisoner seeks to assert in a successive petition. That is, both prongs of §2255(h) that authorize a successive petition do so where a petitioner brings a claim that arose after the time in which the prisoner would or could have filed his first petition. Ibid. (authorizing successive petitions raising “newly discovered evidence” or “a new rule of constitutional law” (emphasis added)).

In light of this key observation, the majority’s assumption that §2255(h) bars Jones’s claim is significantly hobbled. Jones’s statutory innocence claim is also “new”—in the sense that it was not available to him when his first §2255 petition was filed.[9] And Jones’s claim shares other features of the circumstances that Congress exempted from the “second or successive” general prohibition as well—including that it implicates innocence, see §2255(h)(1), and stems from a retroactively applicable Supreme Court opinion, see §2255(h)(2). Nor does the filing of Jones’s successive petition implicate any anti-claim-splitting rationale, as Jones did not manipulatively withhold his legal innocence claim during his initial §2255 proceedings. Indeed, he could not possibly have done so, since this Court did not decide Rehaif v. United States, 588 U. S. ___ (2019), which provided the basis for his claim, until nearly two decades after Jones filed his first petition.

In short, it is hard to believe that a Congress that expressly authorized “new” claims involving innocence or those that arise from developments in Supreme Court case law despite §2255(h)’s successive-petition bar also meant for §2255(h) to preclude Jones from bringing the claim that he seeks to file here.

2

The majority’s negative inference also rests on the bald assumption that Congress intentionally left statutory innocence out of its list of carveouts, because it wanted those claims to be barred if brought in a successive petition. Ante, at 12 (asserting that “Congress has chosen finality over error correction” with respect to statutory innocence claims brought in successive petitions (emphasis added)). But there is a perfectly logical alternative explanation for why statutory innocence claims do not appear as express exclusions in the text of §2255(h), an explanation that is based on another important contextual reference point: the enactment history of the statute.

Section 2255(h) was enacted in the same Public Law as §2244(b), a provision that contains analogous second-or-successive petition limitations for state prisoners. Indeed, Congress “appears to have modeled §2255(h)(2)” on those state-prisoner provisions. Chazen v. Marske, 938 F. 3d 851, 863 (CA7 2019) (Barrett, J., concurring) (citing R. Fallon, J. Manning, D. Meltzer, & D. Shapiro, Hart and Wechsler’s The Federal Courts and the Federal System 1362 (7th ed. 2015) (Hart & Wechsler)). Like §2255(h), §2244(b)—the model provision—does not address statutory innocence claims in any fashion. But that is simply because there is no such thing as a statutory innocence claim in the realm of federal collateral relief for state prisoners. See Hart & Wechsler 1362; see also Estelle v. McGuire, 502 U. S. 62, 67 (1991) (“[F]ederal habeas corpus relief does not lie for errors of state law” (internal quotation marks omitted)).

Thus, as others have observed, when Congress crafted §2255(h) based on the state-prisoner model in §2244(b), it seems to have “ ‘lost sight of the fact that’ ” federally incarcerated individuals “ ‘can raise federal statutory claims in their collateral attacks.’ ” Chazen, 938 F. 3d, at 863 (quoting Hart & Wechsler 1362; emphasis added); Chazen, 938 F. 3d, at 863 (suggesting that the omission of legal innocence claims from §2255(h) was due to “congressional oversight”); Reply Brief for Respondent 15.

To me, this contextual revelation rocks the foundation of the majority’s negative inference. That is, it is plausible (and perhaps even likely) that Congress did not appreciate fully that the modeled-after language establishing a successive-petition bar did not capture the full scope of available claims for federal prisoners.[10] And, of course, if Congress simply overlooked statutory innocence claims when it crafted §2255(h), then the omitted language that the majority puts so much stock in is not actually indicative of Congress having “chosen finality” with respect to statutory innocence claims. Ante, at 12. Instead, the absence of any textual reference to statutory innocence would be wholly unremarkable.

3

Given the purpose and history of §2255(h) as I have just described them, I find quite compelling the Government’s observation that “[n]othing in AEDPA [actually] justifies an inference that Congress silently repealed the traditional [postconviction] remedy for federal prisoners who have been imprisoned for conduct that Congress did not criminalize.” Brief for Respondent 28. I proceed here to add that nothing outside of AEDPA—not the background legal principles that existed at the time Congress enacted the statute, nor the practical consequences of reading §2255(h) in this manner—supports that inference either.

Take equity, for instance. When Congress crafted §2255(h), it legislated against an important background equitable principle pertaining to postconviction relief: Courts should not interpret statutory provisions governing habeas review to even “ ‘run the risk’ ” of causing prisoners to “ ‘forever los[e] their opportunity for any federal review of their … claims.’ ” Panetti v. Quarterman, 551 U. S. 930, 945–946 (2007) (quoting Rhines v. Weber, 544 U. S. 269, 275 (2005)); see also Stewart v. Martinez-Villareal, 523 U. S. 637, 645 (1998). This means that Congress was well aware that courts consistently “rel[y] on equitable doctrines to carve out … ways petitioners can bypass [otherwise applicable] procedural obstacles” when a prisoner has “not had a full and fair opportunity to litigate their federal claims.” E. Primus, Equitable Gateways: Toward Expanded Federal Habeas Corpus Review of State-Court Criminal Convictions, 61 Ariz. L. Rev. 291, 305 (2019).[11] Knowing that courts are equitable tribunals that tend to operate in this fashion should have prompted Congress to express its intention to override that value (assuming that it actually intended to completely foreclose new legal innocence claims). Congress did not do so; yet the majority reads its silence to accomplish that same extraordinarily inequitable result.[12]

The practical consequences that inure from the majority’s reading also undercut substantially the negative inference upon which the majority relies. We have consistently warned that courts should “resis[t] an interpretation of [AEDPA] that would ‘produce troublesome results’ [and] ‘create procedural anomalies.’ ” Panetti, 551 U. S., at 946 (quoting Castro v. United States, 540 U. S. 375, 380 (2003)). The majority does not speak to this at all, but its interpretation of §2255 produces bizarre outcomes.

First, there is the quirky procedural anomaly that arises due to the fact that statutory innocence claims are fully authorized in the postconviction review context. This Court’s recognition that a statute covers a narrower scope of criminal conduct than was previously acknowledged falls within the narrow subset of criminal law decisions that are fully retroactive, meaning that a federal prisoner can rely upon that new determination whether his case is still on direct review or not. Schriro v. Summerlin, 542 U. S. 348, 351–352 (2004); Bousley, 523 U. S., at 620–621. But reading §2255(h) to bar a successive petition raising legal innocence would mean that most prisoners who would (remarkably) be eligible for such retroactive relief would turn out to have no mechanism for actually requesting it. A strange practical conundrum, to say the least.

Inferring that §2255(h) bars legal innocence claims when brought in a successive petition also produces stunningly disparate results that bear no relationship to Congress’s purported finality goals. Consider two individuals who have been convicted of the same federal crime—perhaps two codefendants who were tried and sentenced together. Both complete their direct appeals, but only one files a §2255 motion within AEDPA’s statute of limitations, while the other one decides not to or misses the deadline. If §2255(h) bars a successive petition raising a legal innocence claim, then when Rehaif is handed down—altering the elements of the crime of conviction such that both prisoners have a colorable claim of legal innocence—only the one who did not previously file a §2255 petition can raise this retroactive statutory innocence claim.

Reference to Congress’s interest in “finality” cannot explain this odd unequal treatment. Under the Court’s interpretation, a prisoner whose conviction became final 30 years ago can assert a Rehaif claim if he never previously filed a §2255 motion, whereas someone whose conviction became final 2 years ago cannot if he has already had a §2255 petition adjudicated.[13]

Interpreting §2255(h) as completely foreclosing successive petitions bringing statutory innocence claims also places prisoners in an untenable catch-22 that cannot be what any rational Congress actually intended. Consider what has happened in this very case. Per AEDPA’s statute of limitations, Jones had to file his first §2255 petition within one year of his conviction becoming final. §2255(f). He did so, and that petition was successful; the Eighth Circuit found that Jones had received ineffective assistance of counsel. United States v. Jones, 403 F. 3d 604, 605 (2005). In the majority’s view, by seeking to vindicate his Sixth Amendment rights in this way, Jones has forfeited, forever and for all time, his right to rely on any new retroactive Supreme Court opinion that suggests he is incarcerated for noncriminal behavior. There is no indication that Congress meant for Jones and other prisoners in his position to have to choose between pursing an ineffective-assistance-of-counsel claim and a claim of legal innocence. *** Despite all this, the majority clings to its “straightforward” negative inference and interprets §2255(h) as a bar to a court’s consideration of Jones’s legal innocence claim. My point is that, with so many contextual indicators that Congress did not really mean for §2255(h) to be read to preclude new claims of statutory innocence, the Court should have simply determined that Jones’s petition, which asserts such a claim, was not plainly barred by §2255(h), and could thus proceed in a successive §2255 petition.

B

Instead of drawing an inference about the operation of §2255(h), the most “straightforward” way of determining whether Jones’s legal innocence claim is precluded by statute, ante, at 12, would have been to apply our clear-statement rule to today’s interpretation.

1

A “longstanding rule” of this Court, INS v. St. Cyr, 533 U. S. 289, 298 (2001), the clear-statement rule directs that, before interpreting a congressional enactment as “ ‘clos[ing the Court’s] doors to a class of habeas petitioners,’ ” the Court must search for a “ ‘clear indication that such was Congress’ intent,’ ” Panetti, 551 U. S., at 946 (quoting Castro, 540 U. S., at 381). This principle recognizes that Congress must “speak unambiguously when it seeks to effect a result that, although constitutional, would undermine a constitutionally derived value.” J. Manning, Textualism and the Equity of the Statute, 101 Colum. L. Rev. 1, 121–122 (2001) (Manning). And, before today, this Court has repeatedly recognized the importance of the clear-statement rule with respect to any analysis of an Act of Congress that potentially restricts access to the writ of habeas corpus or its statutory equivalent.[14] In fact, “where a provision precluding review is claimed to bar habeas review,” we have “required a particularly clear statement.” Demore v. Kim, 538 U. S. 510, 517 (2003) (emphasis added).

The clear-statement rule is plainly implicated here. Under the state of the law at the time AEDPA was enacted, prisoners were entitled to bring a petition to assert a new claim of legal innocence, even a second or successive petition. Supra, at 8–9. Congress could change that state of affairs, but, under the clear-statement rule, if it intended to do so, it needed to speak clearly to effectuate that result.

At a more general level of analysis, the clear-statement rule also applies to these circumstances because the interpretive question in this case touches upon the venerated writ of habeas corpus—the only writ that is expressly mentioned in the Constitution. Art. I, §9, cl. 2; Holland, 560 U. S., at 649. We have long recognized that the clear-statement rule serves the core liberty interests protected by the writ of habeas corpus. See Ex parte Yerger, 8 Wall., at 103 (holding, more than 150 years ago, that the Court had jurisdiction over a particular habeas petition and relying on the clear-statement rule to reach that conclusion, explaining that, to conclude otherwise, would “greatly weaken the efficacy of the writ” and “deprive the citizen in many cases of its benefits”). Likewise, in modern times, we have been especially careful to reference clear-statement principles, and thereby eschew statutory interpretations that would (perhaps unintentionally) foreclose judicial review of postconviction claims, even where the text of the statute might (sometimes even strongly) suggest otherwise.[15]

Furthermore, and significantly for present purposes, we have already determined that the necessary “clear statement” here—i.e., the signal from Congress that justifies reading a statute as foreclosing access to venerated postconviction review processes—cannot be derived from negative inferences drawn from statutory text. In Ex parte Yerger, for instance, we declared that interpreting a statute to “[r]epea[l] by implication” habeas jurisdiction is “not favored.” 8 Wall., at 105. More recently, we warned (again) that “[i]mplications from statutory text or legislative history are not sufficient to repeal habeas jurisdiction; instead, Congress must articulate specific and unambiguous statutory directives to effect a repeal.” St. Cyr, 533 U. S., at 299 (citing Ex parte Yerger, 8 Wall., at 105). And, again, in Holland, this Court explained that the clear-statement rule generally prohibits a court from inferring that the “inclu[sion of] one item … is to exclude other similar items” in order to read a statute as forbidding review of a postconviction claim. 560 U. S., at 648; see also id., at 649 (“counsel[ing] hesitancy before interpreting AEDPA’s statutory silence as indicating a congressional intent to close courthouse doors”). Yet, here, as the majority appears to admit, the only way to read §2255(h) as barring Jones’s statutory innocence claim is to infer that such preclusion is what Congress intended. Ante, at 10, 23.

This case would have been easily resolved if we had applied the clear-statement rule at the outset, as we have always done in cases of this nature. Doing so would have appropriately eliminated a reading of §2255(h) that forecloses access to habeas relief by negative implication. Use of the rule would have thus protected core constitutional norms by “ensur[ing] Congress does not, by broad or general language, legislate on a sensitive topic inadvertently or without due deliberation.” Spector v. Norwegian Cruise Line Ltd., 545 U. S. 119, 139 (2005) (opinion of Kennedy, J.); see also Will v. Michigan Dept. of State Police, 491 U. S. 58, 65 (1989).

2

In the last few pages of its opinion, the Court makes the unceremonious (but still startling) announcement that the clear-statement rule is inapplicable to today’s analysis of §2255(h). Ante, at 23–25.[16] Try as it might, in my view, the majority has failed to provide a single persuasive reason for this dramatic break.

First, the majority suggests that the clear-statement rule is not appropriate when interpreting provisions related to “finality”—and seems to draw a line between AEDPA’s statute of limitations, which does get clear-statement treatment, and its provisions governing successive petitions. Ante, at 23–24. This is nonsense. Both AEDPA provisions use similar language. §2255(f) (“A 1-year period of limitation shall apply to a motion under this section”); §2255(h) (“A second or successive motion must … contain …”). And both procedural limitations relate to Congress’s interest in finality. Ante, at 24; Wood v. Milyard, 566 U. S. 463, 472 (2012) (noting that AEDPA’s statute of limitations “lends finality to … court judgments within a reasonable time” (emphasis added; internal quotation marks omitted)).[17]

Next, the majority conspicuously downplays the stakes in this case. Not once does its opinion make direct mention of the fact that the claim the majority says §2255(h) silently precludes is one that implicates core values because it involves legal innocence. Instead, the majority repeatedly describes Jones’s bid for access to the postconviction review process as bringing a mere “statutory” claim. Ante, at 2, 12, 21, 23.[18] But statutory claims that suggest a person’s innocence are different in kind from more run-of-the-mill statutory claims, such as a technical, nonprejudicial violation of a criminal procedure rule. See United States v. Addonizio, 442 U. S. 178, 186–187 (1979); Davis, 417 U. S., at 346–347 (citing Hill v. United States, 368 U. S. 424, 428–429 (1962)). In any event, the majority does not cite a single case that suggests that an Act of Congress that threatens to cut off access to habeas (or its statutory equivalent) should be treated any differently for purposes of application of the clear-statement rule if a petitioner’s claim has a statutory basis.

The majority’s most full-throated defense of its jettisoning of clear-statement principles lies in its attempt to cast statutory innocence claims as not “historically or constitutionally grounded.” Ante, at 24–25. The first and most obvious problem with this effort is that the historical pedigree of a claim is irrelevant for clear-statement purposes. The clear-statement rule is applicable here because the statute being interpreted involves access to the writ of habeas corpus—a significant constitutional value that we would not assume Congress would discard without careful consideration. See Manning 121–122; see also Holland, 560 U. S., at 646–649. And, so triggered, our clear-statement canon of construction is not rendered inapplicable just because the particular type of claim that a prisoner seeks to advance in the context of a habeas or postconviction proceeding (if he is afforded one) might not date back to the founding era. This must be why the majority cites no precedent that splices the clear-statement rule in this fashion.

Looking back to the time of the founding to determine whether the clear-statement rule applies to our interpretation of a statute passed in 1996 also makes no sense. The clear-statement question relates to what Congress intended with respect to the meaning of the statute at the time it was enacted. When Congress introduced §2255(h), it codified or changed the law that existed at that time (i.e., in 1996). See, e.g., Slack v. McDaniel, 529 U. S. 473, 483 (2000) (noting that AEDPA’s certificate-of-appealability provisions codified the prevailing judicial standard). Thus, when this Court has previously applied the clear-statement rule and analyzed the meaning of particular AEDPA provisions, the feelings of the Framers were of no moment. Instead, we properly examined the law leading up to AEDPA’s enactment, not founding-era sources. See, e.g., Panetti, 551 U. S., at 944; Magwood v. Patterson, 561 U. S. 320, 337 (2010) (plurality opinion).

Even if the majority was right with respect to its assumption that founding-era practices bear on whether the clear-statement rule applies here, historical practice plainly undermines its assertion that legal innocence claims are of recent vintage. Supreme Court Justices riding circuit in the early 19th century repeatedly considered the merits of habeas petitions filed by individuals who argued they were being wrongfully incarcerated because the laws that had been invoked to justify their confinement, properly construed, did not reach their conduct.[19] Moreover, and importantly, since the mid-19th century, the statutory scheme for postconviction review has permitted petitions based not only on a “violation of the constitution” but also on a “violation of the … law of the United States.” Judiciary Act of Feb. 5, 1867, ch. 28, §1, 14 Stat. 385; see also §2255; W. Church, Writ of Habeas Corpus §169, p. 249 (2d ed. 1893) (“The issue raised on the hearing of a habeas corpus may be one of law simply”).[20]

To the extent the majority’s assessment of the purportedly nascent nature of statutory innocence claims rests on its view that, at the time of the founding, habeas relief was rarely available when a petition was brought by a convicted individual (as opposed to a pretrial detainee), ante, at 15–19, there are two additional problems. For one thing, even assuming that a detainee-versus-convict scope-of-habeas distinction existed at the dawn of our Nation, Congress has now squarely rejected it.[21] However grounded in history and tradition the Court’s own view of the scope of habeas might be, it is obviously not shared by the Legislature that enacted the statute we are now interpreting.

Second, here again, the majority evaluates the historical pedigree of legal innocence claims based on faulty history. It maintains that, historically, a court could review a habeas petition filed by a convicted individual only for “jurisdictional” errors (which the majority defines narrowly). Ante, at 15–18, 24–25; cf. Edwards v. Vannoy, 593 U. S. ___, ___–___ (2021) (Gorsuch, J., concurring) (slip op., at 2–8). But those who have researched this contention have called it “narrative and myth but not history.” L. Kovarsky, Habeas Myths, Past and Present, 101 Texas L. Rev. Online 57, 79 (2022) (Kovarsky); see also J. Siegel, Habeas, History, and Hermeneutics, 64 Ariz. L. Rev. 505, 524–532 (2022) (Siegel); Brown v. Davenport, 596 U. S. ___, ___–___ (2022) (Kagan, J., dissenting) (slip op., at 2–8).[22]

At the very least, this take on early habeas practice appears contradicted by United States v. Bainbridge, 24 F. Cas. 946 (No. 14,497) (CC Mass. 1816) (Story, J.). There, Justice Story considered a statutory innocence claim on the merits even though the individual had already pleaded guilty. Id., at 949, 951–952. And the postconviction/preconviction distinction also runs headlong into other precedents that have looked back on history and do not subscribe to such a narrow view. St. Cyr, 533 U. S., at 302 (“[T]he issuance of the writ was not limited to challenges to the jurisdiction of the custodian”); Fay v. Noia, 372 U. S. 391, 404 (1963) (“Nor is it true that at common law habeas corpus was available only to inquire into the jurisdiction, in a narrow sense, of the committing court” (citing Bushell’s Case, Vaughn. 135, 124 Eng. Rep. 1006 (C. P. 1670))).

Thus, assuming, arguendo, that the historical grounding of the particular type of claim Jones sought to bring even matters, the majority is mistaken when it contends that a statutory innocence claim (including one brought in a successive petition) is not sufficiently historical to warrant application of our clear-statement rule. *** If the majority had applied the clear-statement rule, as it should have, to determine whether §2255(h) precludes successive postconviction petitions that assert statutory innocence claims, today’s interpretive task would have merely involved answering one simple question: Is there an unambiguous sign in the text of §2255 that Congress meant for §2255(h) to strip an incarcerated individual of any opportunity to raise a new claim of legal innocence in a motion brought in federal court? No such sign exists.[23] Therefore, we could have (and should have) easily concluded that there is no statutory impediment to Jones’s §2255 motion being entertained by a court.

III

Finally, I believe that the canon of constitutional avoidance also does important work to guide—and constrain—the Court’s interpretation of §2255 in this case. See Zadvydas v. Davis, 533 U. S. 678, 689 (2001); cf. Pressley, 430 U. S., at 381–382 (relying on the saving clause to conclude that the District of Columbia’s postconviction statute, which mirrored §2255, was constitutional). The majority’s bottom line, reading “the interplay” between §2255(h) and §2255(e), ante, at 1, is that a person in prison for noncriminal conduct cannot ask a federal court to review the legality of his detention if he has previously filed a §2255 petition. This position is stunning in a country where liberty is a constitutional guarantee and the courts are supposed to be dispensing justice. It also raises hackles under at least two provisions of our founding charter.

First, the Eighth Amendment. There is a nonfrivolous argument that the Constitution’s protection against “cruel and unusual punishment” prohibits the incarceration of innocent individuals. See In re Davis, 557 U. S. 952, 953 (2009) (Stevens, J., concurring) (citing Triestman v. United States, 124 F. 3d 361, 377–380 (CA2 1997)); see also Herrera v. Collins, 506 U. S. 390, 432, n. 2 (1993) (Blackmun, J., dissenting) (“It … may violate the Eighth Amendment to imprison someone who is actually innocent”); Robinson v. California, 370 U. S. 660, 667 (1962). This is not to say that the Eighth Amendment creates a “freestanding entitlement to a second or successive round of postconviction review.” Ante, at 20. But here Jones seeks a single meaningful opportunity to have a federal court consider his claim of legal innocence.

The majority’s interpretation also implicates the Suspension Clause. Art. I, §9, cl. 2. The majority admits that, at a minimum, the Suspension Clause protects the right of habeas corpus as it existed at the time of the founding.[24] See ante, at 15. The majority also seems to acknowledge that, in the late 18th century, an individual—even one who had been convicted of a crime—could invoke habeas to raise a “jurisdictional” error. Ante, at 15, 24–25. Historically, the term “ ‘jurisdictional’ ” when used by habeas courts “meant something much broader then than it means now.” Kovarsky 75; see also Siegel 524. And, importantly, a court lacked “jurisdiction”—and thus the writ could issue—when a person was incarcerated for noncriminal behavior.[25]

Thus, it appears that, by its own lights, the majority today renders an interpretation of §2255 that has potentially significant constitutional implications.

IV

I conclude with an observation. Today’s ruling follows a recent series of troubling AEDPA interpretations.[26] All of these opinions have now collectively managed to transform a statute that Congress designed to provide for a rational and orderly process of federal postconviction judicial review into an aimless and chaotic exercise in futility. The route to obtaining collateral relief is presently replete with imagined artificial barriers, arbitrary dead ends, and traps for the unwary. And today’s turn makes the journey palpably absurd: It begins with the Supreme Court’s (rare) announcement that a certain claim for release exists and is retroactively available to incarcerated individuals on collateral review, and ends with the realization that only an arbitrarily determined sliver of eligible prisoners (those who have not had the temerity to file a prior motion) are actually in a position to even ask a court to consider whether any such relief might be provided.

It is quite clear that the Court’s rulings in this area of the law reflect a general ethos that convicted prisoners should not be permitted to file §2255 motions or obtain postconviction relief at all. But what matters is what Congress wants with respect to the operation of the statutory provisions it enacts. And, as I have shown, Congress’s aim in crafting §2255 was to permit convicted prisoners to file postconviction motions asserting claims for collateral relief in a manner that also curbs abusive filings. Congress did not speak—one way or the other—as to what should happen if a prisoner who has previously filed a §2255 motion gets a new claim of legal innocence due to an intervening change in the law.

Given Congress’s silence on this matter, in my view, there is simply no justification for drawing a negative inference that Congress meant for §2255 to operate in a manner that is patently inconsistent with the reasons it passed that statute, or the background principles that animated the law more broadly at the time of the statute’s enactment, or even (possibly) core constitutional principles. Instead, §2255(e) should be read—consistent with Congress’s general intent to ensure equivalence between the claims available in habeas and those that its new postconviction mechanism allowed—to permit prisoners who have a new and retroactive statutory innocence claim to file a habeas petition in lieu of a §2255 motion. Alternatively, we should honor Congress’s clear interest in preserving a prisoner’s ability to have one meaningful opportunity to have all of his claims presented to a court, by allowing Jones to file a petition asserting his new and retroactive claim of statutory innocence, notwithstanding what might otherwise be perceived as an ironclad bar in §2255(h).

In other words, as I see it, the negative inference that the majority draws today rests on nothing—and certainly nothing that actually derives from Congress’s intent. Nothing in the text of §2255, background principles concerning habeas relief, or AEDPA’s enactment history compels (or even supports) the conclusion that Congress intended to completely foreclose claims like Jones’s. And it is especially perverse to read the statute to lead to that result when doing so gives rise to legally dissonant, arbitrary, and untenable outcomes. So, the majority’s “straightforward” determination that this statute does preclude a prisoner in Jones’s position from filing a successive petition to assert a legal innocence claim (which it reaches by refusing to follow the procedural norm that would have correctly framed the issue as a matter of congressional intent relative to clear-statement principles) appears to stem from the Court’s own views concerning finality, not the will of Congress.

Ultimately, of course, this all begs the question of how (and whether) Congress will respond to the Court’s systematic neutering of the balanced postconviction processes that the Legislature has established. It seems to me that today’s opinion—which unjustifiably closes off all avenues for certain defendants to secure meaningful consideration of their innocence claims—creates an opening for Congress to step in and fix this problem.


  1. I use the terms “statutory innocence” and “legal innocence” in this opinion interchangeably. Both refer to a situation where an individual was convicted under a statute that, properly interpreted, did not reach his conduct.
  2. I take no position as to whether Jones’s legal innocence claim is actually meritorious. This case is about whether §2255 should be interpreted to prevent him from bringing the claim to a court in the first place.
  3. In this regard, Davis merely acknowledged what had been true since the founding. See infra, at 31–34; Davis v. United States, 417 U. S. 333, 343–345 (1974); see also L. Litman, Legal Innocence and Federal Habeas, 104 Va. L. Rev. 417, 488, n. 334 (2018) (“[A]t the time Section 2255 was enacted, federal prisoners could raise a claim, in successive petitions, that they were mistakenly convicted or sentenced because of an error of statutory interpretation”).
  4. Prior to AEDPA, an individual who wished to file a successive petition claiming factual innocence on the basis of new evidence needed only to show that it was “more likely than not” that the jury would have acquitted him. Schlup v. Delo, 513 U. S. 298, 327 (1995). But, with AEDPA, Congress narrowed the scope of available relief for factual innocence claims by requiring prisoners to make their showing by the more stringent “clear and convincing evidence” standard. §2255(h)(1); see also §2244(b)(2)(B)(ii); 141 Cong. Rec. 15040, 15042 (1995) (statement of Sen. Levin). Similarly, before AEDPA, an intervening change of circuit precedent arguably could warrant a successive petition raising a new constitutional argument. See Davis, 417 U. S., at 339–341, 346–347; Sanders v. United States, 373 U. S. 1, 17 (1963); United States v. Nolan, 571 F. 2d 528, 530 (CA10 1978); see also Hertz & Liebman §28.3[c][ii], at 1709–1710, and n. 108. Yet AEDPA permits successive petitions raising new constitutional claims only when premised on retroactive Supreme Court opinions. §§2255(h)(2), 2244(b)(2)(A).
  5. The text of §2255(h) says nothing about legal innocence claims, let alone clearly expresses an intent to narrow the scope of available postconviction relief for that category of claims, in contrast to what the statute says about claims of new evidence or new constitutional rules. Congress could have easily stated somewhere in §2255(h) or §2244 that “no circuit or district judge shall be required to consider a second or successive motion premised only on statutory claims, even claims suggesting innocence,” or that “a court of appeals shall not certify or authorize a second or successive §2255 petition that raises a statutory claim only.” Yet nothing close to this kind of language, or distinction, appears on the face of the statute. Nor does an intent to foreclose statutory innocence claims appear in the legislative history of §2255(h), even though that history does clearly reflect a congressional intent to narrow the scope of postconviction relief for the categories expressly mentioned in §§2255(h)(1) and (2) (like new evidence claims), see, e.g., 141 Cong. Rec., at 15040, 15042 (statement of Sen. Levin).
  6. See also, e.g., Triestman v. United States, 124 F. 3d 361, 363 (CA2 1997); In re Dorsainvil, 119 F. 3d 245, 250–252 (CA3 1997); In re Jones, 226 F. 3d 328, 333–334 (CA4 2000); Reyes-Requena v. United States, 243 F. 3d 893, 904 (CA5 2011); Hill v. Masters, 836 F. 3d 591, 599–600 (CA6 2016); In re Davenport, 147 F. 3d 605, 610–611 (CA7 1998); Stephens v. Herrera, 464 F. 3d 895, 898 (CA9 2006); Wofford v. Scott, 177 F. 3d 1236, 1245 (CA11 1999), overruled by McCarthan v. Director of Goodwill Industries-Suncoast Inc., 851 F. 3d 1076 (CA11 2017) (en banc).
  7. See also H. R. Rep. No. 101–681, pt. 1, p. 111 (1990) (explaining that the purpose of a predecessor bill was “to promote finality” but also “to ensure that habeas corpus petitioners have one fair opportunity to present their Federal claims to the Federal courts”).
  8. It appears that, in enacting restrictions on successive petitions, Congress was primarily worried about successive petitions filed by state prisoners on death row, because a petition could delay the execution of a death sentence. See Stevenson, 77 N. Y. U. L. Rev., at 723–730. Indeed, the law is called the Antiterrorism and Effective Death Penalty Act. That concern does not apply to a situation like Jones’s, since he is not serving a death sentence, and nothing about a successive petition delays the execution of his sentence of imprisonment.
  9. Prior to this Court’s holding in Rehaif v. United States, 588 U. S. ___ (2019), well-established Circuit precedent had barred Jones’s claim. United States v. Jones, 266 F. 3d 804, 810, n. 5 (CA8 2001) (citing United States v. Kind, 194 F. 3d 900, 906 (CA8 1999)). After Jones’s conviction became final, this Court decided Rehaif, which interpreted the elements of Jones’s crime of conviction more narrowly than some Courts of Appeals had, and thereby recognized a potential basis for Jones and other similar defendants to claim legal innocence. And because Rehaif was a Supreme Court ruling that changed the scope of a criminal statute, it applied retroactively to individuals (like Jones) whose convictions had become final at the time it was issued. Schriro v. Summerlin, 542 U. S. 348, 351–352 (2004); Bousley v. United States, 523 U. S. 614, 620–621 (1998).
  10. The rushed and emotionally charged manner in which AEDPA came into fruition makes Congress’s lack of attention to this detail a very realistic possibility. AEDPA was passed in reaction to the Oklahoma City bombing, and President Clinton had “demand[ed]” its passage by the 1-year anniversary of that event. J. Liebman, An “Effective Death Penalty”? AEDPA and Error Detection in Capital Cases, 67 Brooklyn L. Rev. 411, 413 (2011); see also Stevenson, 77 N. Y. U. L. Rev., at 701. Both this Court and commentators have observed that, likely as a result, AEDPA is “shoddily crafted and poorly cohered.” L. Kovarsky, Death Ineligibility and Habeas Corpus, 95 Cornell L. Rev. 329, 342 (2010); see also Lindh v. Murphy, 521 U. S. 320, 336 (1997) (“[I]n a world of silk purses and pigs’ ears, [AEDPA] is not a silk purse of the art of statutory drafting”).
  11. Many of the Courts of Appeals that had read §2255(e) as saving legal innocence claims invoked this equitable principle. See, e.g., In re Davenport, 147 F. 3d, at 609; Triestman, 124 F. 3d, at 378; In re Dorsainvil, 119 F. 3d, at 251. As lower courts also recognized, the impetus to provide a meaningful opportunity for review of a postconviction claim was especially strong when failure to hear the claim might result in a “miscarriage of justice.” See Reyes-Requena, 243 F. 3d, at 904; In re Dorsainvil, 119 F. 3d, at 251.
  12. Theoretically, Jones had “an” opportunity to raise his claim. But, in my view, it was not a meaningful one. Well-established Circuit precedent barred the claim at the time of Jones’s direct appeal and first petition. See n. 9, supra. Jones has never had any opportunity, meaningful or otherwise, to rely on Rehaif’s authoritative construction.
  13. Accommodating the possibility of retroactively applicable Supreme Court opinions, §2255 runs the statute of limitations not just from the date on which the conviction became final, but also from the date a new, retroactively applicable right was recognized by the Supreme Court. §2255(f)(3).
  14. See, e.g., Boumediene v. Bush, 553 U. S. 723, 738 (2008); McQuiggin v. Perkins, 569 U. S. 383, 397 (2013); Holland v. Florida, 560 U. S. 631, 646 (2010); Panetti v. Quarterman, 551 U. S. 930, 946 (2007); Hamdan v. Rumsfeld, 548 U. S. 557, 575 (2006); Demore v. Kim, 538 U. S. 510, 517 (2003); Castro v. United States, 540 U. S. 375, 381 (2003); INS v. St. Cyr, 533 U. S. 289, 298 (2001); Ex parte Yerger, 8 Wall. 85, 102 (1869).
  15. For example, we cited the clear-statement rule when declining to read §2244(b)(2), which generally prohibits second or successive habeas petitions filed by state prisoners, as blocking a second-in-time habeas petition that raised an incompetent-to-be-executed claim, even though, literally read, the statute could have done so. Panetti, 551 U. S., at 942–943, 945–946. Similarly, in Holland, the Court relied on the clear-statement rule when evaluating AEDPA’s 1-year statute of limitations, holding that the unequivocal statutory limitations period can be equitably tolled, even though the text of AEDPA did not include equitable tolling among the enumerated exceptions. 560 U. S., at 646–649. Likewise, in Castro, the Court used the clear-statement rule to reject the argument that §2244(b)(3)(E)—which prohibits habeas petitioners from seeking certiorari review of a “ ‘grant or denial of an authorization by a court of appeals to file a second or successive application’ ”—prevented this Court from reviewing whether the lower courts had mistakenly concluded that the federal prisoner’s petition was in fact a “second or successive” petition. 540 U. S., at 379–381. Finally, in St. Cyr, the Court utilized the clear-statement rule to dispense with the contention that AEDPA stripped federal courts of jurisdiction to review a noncitizen’s habeas petition raising a pure question of law. 533 U. S., at 298–299, 314.
  16. It appears that no one but the Court’s majority even thought it possible to sidestep the clear-statement rule with respect to today’s interpretive exercise. Both Jones and the Government expressly invoked it. And Court-appointed amicus did not dispute its applicability.
  17. This Court has also treated these two provisions as similarly susceptible to equitable exceptions; for instance, the “miscarriage of justice” principle that permits bypassing procedural barriers applies to both. McQuiggin, 569 U. S., at 386, 392–393; Schlup, 513 U. S., at 320.
  18. The euphemistic manner in which the Court’s opinion tiptoes around what Jones is actually arguing is noteworthy. The majority says that, by operation of §2255(h), prisoners in Jones’s position cannot take advantage of “a more favorable interpretation of statutory law,” ante, at 1, which it also obliquely characterizes as “an intervening change in statutory interpretation,” ante, at 3, or “a newly adopted narrowing interpretation of a criminal statute,” ante, at 9. In fact, the word “innocence” only appears in the Court’s opinion when recounting the Government’s arguments. Ante, at 21, 23. If the majority has spared a thought for the appropriate standard when a petitioner is claiming legal innocence, I could not find it in the Court’s opinion.
  19. Ex parte D’Olivera, 7 F. Cas. 853, 854 (No. 3,967) (CC Mass. 1813) (Story, J.) (construing a 1790 statute criminalizing desertion from a merchant ship by “seamen engaged in the merchants’ service of the United States” as not covering certain “foreign seamen in foreign vessels” and granting habeas relief to such persons); United States v. Bainbridge, 24 F. Cas. 946, 951–952 (No. 14,497) (CC Mass. 1816) (Story, J.) (considering on the merits, but ultimately rejecting, a habeas petitioner’s argument that an enlistment law did not apply to minors enlisted without parental consent); Ex parte Randolph, 20 F. Cas. 242, 254–257 (No. 11,558) (CC Va. 1833) (Marshall, C. J.) (granting habeas relief to an individual civilly imprisoned because the statute at issue, properly interpreted, did not apply to the petitioner); see also, e.g., Grant v. United States, 58 F. 694, 695–697 (CA9 1893) (granting writ of error to individuals who had been convicted following a trial, on the ground that the law at issue, “fairly interpreted,” did not reach the petitioners’ conduct because “the case does not come within the letter of the statute,” and citing cases reaching the same conclusion); In re Wahll, 42 F. 822, 825–826 (Minn. 1890) (considering, but rejecting on the merits, a convicted prisoner’s claim that his acts did not amount to a violation of a federal law criminalizing the mailing of obscene letters).

    The majority has plainly expended a considerable amount of effort to distinguish all of these cases. See ante, at 18–19, and n. 8. Still, its vigorous attempt falls short. For example, the majority tries to distinguish Wahll on the ground that the court “considered but rejected a similar argument for ordering pretrial release.” Ante, at 19, n. 8. But it ignores that the Wahll court still considered the merits of the statutory argument; the court did not dismiss the case on the ground that such statutory arguments were not cognizable after the prisoner’s conviction. 42 F., at 825–826.

  20. This argument that statutory claims are not cognizable in the postconviction or habeas context has already been considered—and rejected—by this Court. For example, in St. Cyr, this Court cited various 17th- and 18th-century cases to conclude that the “issuance of the writ” of habeas corpus “encompassed detentions based on errors of law, including the erroneous application or interpretation of statutes.” 533 U. S., at 302. And, in Boumediene, the Court reiterated that it is “uncontroversial … that the privilege of habeas corpus entitles the prisoner to a meaningful opportunity to demonstrate that he is being held pursuant to ‘the erroneous application or interpretation’ of relevant law.” 553 U. S., at 779 (quoting St. Cyr, 533 U. S., at 302; emphasis added). Not once does the majority engage with the propositions stated in these cases. Nor does the majority grapple with the express statutory language in both the Judiciary Act of 1867 and §2255 authorizing claims premised on violations of the “ ‘law of the United States.’ ” Supra, at 32.
  21. Section 2255 explicitly authorizes a convicted prisoner to “move the court which imposed the sentence” for the prescribed relief, and it allows petitions to be filed after “the date on which the judgment of conviction becomes final.” §§2255(a), (f)(1). Also, the major procedural change accomplished by Congress’s adoption of §2255 in 1948 was to transfer the filing of postconviction petitions from the district of confinement to the sentencing court, see United States v. Hayman, 342 U. S. 205, 215–216 (1952)—a shift that only makes sense if Congress contemplated postconviction challenges.
  22. The majority relies heavily on Ex parte Watkins, 3 Pet. 193 (1830), to support its purported “jurisdictional” line. Ante, at 15–18. But Watkins does not stand for the broad proposition that the majority derives. Watkins “itself relies on contested habeas history,” and is (as scholars have explained) distinguishable. Kovarsky 70–71. That Watkins cannot mean what the majority says is confirmed by the numerous “19th and early 20th century cases … that undeniably decided the merits of constitutional claims that were not premised on the detaining authority’s lack of jurisdiction or application of an unconstitutional statute or sentence.” Hertz & Liebman §2.4[c], at 44.
  23. The majority does not appear to dispute this conclusion, as it only engages with the clear-statement rule to categorically reject its applicability. Ante, at 23–25. The majority does not—and cannot—establish that, if applied here, the clear-statement rule is satisfied.
  24. I reject the majority’s suggestion that the Suspension Clause protects only the scope of the great writ as it existed in the founding era. Historical habeas practice provides the floor, and not the ceiling, of Suspension Clause protection. St. Cyr, 533 U. S., at 301 (“[A]t the absolute minimum, the Suspension Clause protects the writ ‘as it existed in 1789’ ” (quoting Felker v. Turpin, 518 U. S. 651, 664 (1996); emphasis added)). The habeas remedy has “a dynamic element which itself was adopted by the framers,” W. Hurst, The Process of Constitutional Construction, in Supreme Court and Supreme Law 61 (E. Cahn ed. 1954) (statement of P. Freund), such that “to truly understand the scope of the writ ‘as it existed in 1789’ is to understand its protean dynamism, not any of its specific applications,” S. Vladeck, The New Habeas Revisionism, 124 Harv. L. Rev. 941, 991 (2011); see also P. Halliday, Habeas Corpus: From England to Empire 160 (2010). But resolving that debate is unnecessary because Jones’s claim implicates even the majority’s crabbed view of the Suspension Clause.
  25. See, e.g., Ex parte Siebold, 100 U. S. 371, 376–377 (1880) (noting that a court’s “authority” to “try and imprison” an individual stems from a particular statute and therefore a court has “no jurisdiction” if the law does not lawfully apply to the prisoner); Ex parte Bollman, 4 Cranch 75, 136 (1807) (“[A]s the crime with which the prisoners stand charged has not been committed, the court can only direct them to be discharged”); Matter of Corryell, 22 Cal. 178, 181 (1863) (“The Court derives its jurisdiction from the law, and its jurisdiction extends to such matters as the law declares to be criminal, and none other, and when it undertakes to imprison for an offense to which no criminality is attached, it acts beyond its jurisdiction”); Bushell’s Case, Vaughn. 135, 124 Eng. Rep. 1006 (C. P. 1670); W. Church, Writ of Habeas Corpus §236, p. 327 (2d ed. 1893) (“[T]he prisoner may be discharged on habeas corpus, either before or after judgment, where the statute or ordinance under which the proceedings are inaugurated against him, is unconstitutional, as this is a jurisdictional defect”).
  26. See, e.g., Shoop v. Twyford, 596 U. S. ___, ___ (2022) (slip op., at 11) (restricting the ability of federal courts to use the All Writs Act in AEDPA cases); Shinn v. Martinez Ramirez, 596 U. S. ___, ___, ___–___, ___–___ (2022) (slip op., at 13, 15–16, 21–22) (holding that, although ineffective assistance of postconviction counsel can be cause to excuse a procedural default of a trial-ineffective-assistance-of-counsel claim, a federal court cannot gather evidence to establish postconviction counsel’s ineffectiveness); Brown v. Davenport, 596 U. S. ___, ___, ___–___, ___, ___ (2022) (slip op., at 1, 5–7, 14, 25) (holding that a state prisoner who shows that a trial error prejudiced him under this Court’s federal-habeas harmless-error standard must also run an AEDPA-derived gauntlet before receiving habeas relief); Edwards v. Vannoy, 593 U. S. ___, ___–___, ___ (2021) (slip op., at 10–11, 15) (eliminating, without any party requesting it, the ability of prisoners to argue that a new rule of criminal procedure announced by this Court should be fully retroactive as a “watershed” rule); see id., at ___–___ (Kagan, J., dissenting) (slip op., at 12–13).