OPINION
This case involves cross-appeals from the order of the Court of Common Pleas of Philadelphia County, which denied Antoine Ligons’ guilt phase claims under the Post Conviction Relief Act (PCRA), 42 Pa.C.S. §§ 9541-9546, but granted a new penalty hearing on the grounds that trial counsel was ineffective for failing to investigate mitigating evidence. For the reasons that follow, we affirm the denial of a new trial and reverse the grant of a new penalty hearing.
While the facts underlying Appellant’s1 conviction of first degree murder are set *1132forth in our opinion affirming his judgment of sentence on direct appeal, Commonwealth v. Ligons, 565 Pa. 417, 773 A.2d 1231 (2001), a brief recitation thereof will facilitate an understanding of the issues raised herein.
On the evening of April 6, 1996, Appellant, then 19 years of age, was with his girlfriend, Irene Williams, on the porch of her home in West Philadelphia. Williams’ home was located on the same street and within eyesight of Appellant’s residence. Two brothers, Cecil and Edward Jackson, who lived next door to Williams, were also present at her home. At some point during the evening, Appellant left Williams’ residence and returned to his own home. Shortly thereafter, he telephoned Williams and stated that he was going to do something and may not return. Williams then observed Edward Jackson carry an object wrapped in a jacket into Appellant’s home. Moments later, Williams noticed Appellant leaving his residence, dressed entirely in black.
At nearly 10:45 p.m. that night, a caller telephoned Stavros Pizza to place an order to be delivered to an address located one block from Appellant’s home.2 Clarence Johnson, the deliveryman for Stavros Pizza, left at 11:30 p.m. with the completed order and $10.00 with which to make change. Mr. Johnson’s wife, Sonja, accompanied him on the delivery. When Mr. Johnson arrived at the given address, he parked his vehicle in the middle of the street, where his wife waited in the car. As Mr. Johnson approached the porch of the residence, Appellant emerged from an adjacent alley. Appellant was wearing all black clothing and a black ski mask that had a large opening around the eyes. Appellant approached Mr. Johnson from behind and pushed him onto the porch. While holding a gun to his head, Appellant stated, “You know what this is.” When Mrs. Johnson opened the car door in an effort to help her husband, Appellant threatened to kill Mr. Johnson. Frightened, Mrs. Johnson remained in the car, which was parked seven to ten feet from where Appellant stood. Appellant demanded money and then pushed Mr. Johnson off the porch and into the alley. Mr. Johnson handed over the little cash he had and Appellant taunted him, repeatedly asking him whether he wanted to live. After Johnson pleaded for his life, Appellant fatally shot him in the back of his head and fled down the alley.
Upon hearing gunshots, nearby residents called the police, who arrived within minutes. Mr. Johnson was immediately taken to the hospital, where he was pronounced dead. Mrs. Johnson described the perpetrator to police as an African American male with a light complexion, hazel eyes, five feet eight inches in height, and weighing 150-160 pounds. She indicated that the robber wore a black ski mask, black Timberland boots, and black clothing. The police recovered a 9 mm. casing and a bullet that was consistent with either a .38 caliber or 9 mm. firearm.
After the shooting, Appellant telephoned Williams and explained that he may have just killed someone who had pulled a gun on him. In the days that followed, Appellant warned Williams not to report the incident and threatened her by stating, “I took a life and don’t you think that I won’t kill again.” Fearing that Appellant might act on his words, Williams and her mother left the Philadelphia area to stay with Williams’ cousin, Keith Wright, in Salisbury, Maryland. Upon learning of Williams’ departure, Appellant telephoned Wright, whom he had previously known, in an attempt to speak with Williams. Appel*1133lant admitted to Wright that he had killed a man, and said that his motive was to obtain money to impress Williams. Appellant acknowledged that a woman (Mrs. Johnson) witnessed the crime, but stated that he was not concerned because he had worn a mask during the incident.
Wright contacted the police, who traveled to Salisbury to interview him and Williams. Both Williams and Wright made statements to police in which they indicated that Appellant confessed to Johnson’s murder. Williams additionally explained that a day or two before the murder, she overheard Edward Jackson mention that he had a gun and, on the night of the murder, saw Jackson carry an object wrapped in a jacket into Appellant’s residence. Based upon this information, police obtained an arrest warrant for Appellant and search warrants for the residences of both Appellant and Edward Jackson. A search of Appellant’s residence revealed a pair of black boots and a matchbook with the telephone number of Stavros Pizza written on the cover. Menus from Stavros Pizza were also recovered from the Jackson residence.
Appellant was subsequently arrested and charged with murder, robbery, and possession of an instrument of crime.3 When questioned by police following his arrest, Appellant admitted that he robbed Johnson. He explained that he and his girlfriend had an argument, and that he thought that his girlfriend would stay with him if he gave her money. Appellant further stated that he needed money to pay his grandmother’s medical bills. He asserted that, on the night of the murder, Cecil Jackson placed the pizza order and Edward Jackson supplied the gun. Appellant described the clothing that he wore during the commission of the crime, which was consistent with that reported by Mrs. Johnson. Appellant also claimed that he pointed his gun toward Mr. Johnson’s head because Mr. Johnson threatened him with a gun. He stated that the next thing he knew, his gun discharged. Appellant denied taking any money.
Prior to trial, Appellant moved to suppress the statement he gave to police detectives on the grounds that the detectives fabricated the statement and beat him until he signed it, causing injuries which required medical treatment. The trial court denied suppression, crediting the testimony of the police detectives that Appellant had the alleged injuries when he arrived for questioning, and that no physical force had been used by the detectives in eliciting Appellant’s confession.
During voir dire, Appellant, who is African American, did not raise any claims of racial discrimination in jury selection under Batson v. Kentucky, 476 U.S. 79, 106 S.Ct. 1712, 90 L.Ed.2d 69 (1986). At trial in 1999, the Commonwealth presented Appellant’s statement and the testimony of Williams, Wright, Mrs. Johnson,4 and police detectives involved in the investigation. On direct examination, Williams recanted portions of her previous statement relating to Appellant’s confession of the murder and the Commonwealth introduced her prior statement through the detective who interviewed her. Additionally, the Commonwealth presented expert testimony, establishing that Mr. Johnson died from a single gunshot wound, with the gun being fired from six to twelve inches from his *1134head. The defense did not present any witnesses. Instead, the defense attacked the identification evidence linking Appellant to the crime, arguing that someone other than he committed the murder. On March 22, 1999, the jury found Appellant guilty of first degree murder, robbery, and possession of an instrument of crime.
During the penalty hearing on March 23, 1999, the Commonwealth alleged one aggravating circumstance, that Appellant committed a killing while in the perpetration of a felony, robbery, pursuant to 42 Pa.C.S. § 9711(d)(6) (“perpetration of a felony aggravator”). In support of this aggravator, the Commonwealth incorporated the record from the guilt phase of the trial and presented no additional evidence.
As mitigating circumstances, Appellant offered his lack of a significant history of prior criminal convictions, 42 Pa.C.S. § 9711(e)(1) (“lack of significant criminal history mitigator”), his age at the time of the crime, id. at 9711(e)(4) (“age miti-gator”), and other evidence of mitigation, i.e, life history and extenuating circumstances concerning the character and record of the defendant and the circumstances of his offense. Id. at § 9711(e)(8) (“catch-all mitigator”). In support of these mitigating circumstances, as discussed in detail infra, Appellant first presented the testimony of Williams, his mother, and his grandmother. Williams testified that she had a child with Appellant; that Appellant was a good father; and that he had never been violent. Appellant’s mother testified about Appellant’s difficult childhood in a crime-ridden neighborhood; his car thefts, which led to his being adjudicated a delinquent; his later success when in a structured environment, and his difficulties arising from his mother’s intimate relationship with Cecil Jackson.5 Appellant’s grandmother testified that Appellant’s mother never loved him and that Appellant was a nice person who never mistreated anyone. She also stated that, prior to the murder, she was in danger of losing her home due to her failure to pay medical bills, presumably hoping to corroborate Appellant’s justification for the crime and to engender some sympathy for him.
Appellant further presented the testimony of Dr. Tepper, a licensed psychologist, who had conducted psychological testing on Appellant and interviewed Williams, Appellant’s mother, and grandmother. Based upon the psychological testing and interviews, as well as Dr. Tepper’s examination of police records and several reports and evaluations examining Appellant’s background, Dr. Tepper testified that: Appellant had a difficult childhood in a rough neighborhood due to the absence of his father and the indifference of his mother; that his mother on occasion physically abused him; that he was in the low range of intelligence; that he excelled in the structured environment of the Glenn Mills School6 after having been adjudicated delinquent for auto theft; that he maintained a caring relationship with his girlfriend and grandmother; that at the time of the offense, he was hurt by his mother’s intimate relationship and cohabitation with his childhood friend, Cecil Jackson; and that he was concerned about his grandmother’s health and ability to pay her medical bills.
In the closing arguments at the penalty hearing, the prosecutor referred to the evidence presented at trial that Appellant killed Johnson during a robbery to support the perpetration of a felony aggrava*1135tor. Discounting the age mitigator, the prosecutor argued that, at age nineteen, Appellant was not so young and immature that age should be a mitigating factor. To rebut the lack of a significant criminal history mitigator, the prosecutor emphasized Appellant’s previous juvenile adjudications for auto theft. Further, the prosecutor attempted to rebut the catch-all mitigating factor by noting that Appellant did not suffer any organic brain damage, was of average intelligence, and knew that what he did was wrong. Finally, the prosecutor requested that the jury consider the impact of the murder upon the victim’s family.
On March 24, 1999, the jury returned a verdict of death, finding the perpetration of a felony aggravator and no mitigating circumstances. Trial counsel continued to represent Appellant on his direct appeal, in which he challenged Mrs. Johnson’s alleged photographic identification and portions of the prosecutor’s closing argument during the penalty phase. On July 6, 2001, this Court affirmed Appellant’s judgment of sentence of death. Commonwealth v. Ligons, supra. The United States Supreme Court denied certiorari on October 7, 2002. Ligons v. Pennsylvania, 537 U.S. 827, 123 S.Ct. 122, 154 L.Ed.2d 40 (2002).
Appellant filed a timely pro se PCRA petition on January 13, 2003, challenging trial counsel’s ineffectiveness for allegedly failing to investigate mitigation evidence.7 New counsel (“PCRA counsel”) was appointed and, on September 15, 2003, an amended PCRA petition was filed. Therein, Appellant contended that trial counsel was ineffective for: failing to investigate adequately potential mitigating factors in his background, including his medical history and educational records; failing to preserve issues regarding the weight and sufficiency of the evidence; failing to preserve various objections to the testimony of Irene Williams and Keith Wright; failing to request a cautionary instruction concerning the testimony of the police detectives; failing to properly cross-examine the police detectives; and failing to demonstrate to the jury that Appellant did not fit into boots that had been seized from his home by the police detectives. Letter briefs were filed in support of the amended PCRA petition on September 12, 2003 and November 6, 2003. On March 2, 2005, Appellant filed a supplement to the Amended PCRA petition in which he included reports of Kirk Heilbrun, Ph.D., relating to additional mitigation evidence that could have been presented on Appellant’s behalf.
The supplemental PCRA filings specifically contended that trial counsel was ineffective for failing to investigate the following documents: (1) a March 24,1999 court-ordered mental health evaluation, which indicated no mental illness, but noted that Appellant felt rejected by his mother, was forced to live with his grandmother, and maintained several jobs; (2) a pre-sen-tence investigation report indicating that Appellant was only functionally literate, was dismissed from school in the 9th grade, and attended church; (3) Appellant’s prison medical records which indicated that Appellant had no major psychiatric syndrome or anti-social personality disorder, had self-reported previous drug abuse, was placed on an anti-depressant while incarcerated as a result of the instant offense, and handled incarceration *1136well; (4) Appellant’s school records indicating vacillating academic performance, Appellant’s failure of fourth grade, and his mother’s inability to attend parent/teacher conferences; (5) Appellant’s juvenile file (“j-file”), which referenced that Appellant excelled in the structured setting of Glen Mills School, but was unable to adjust to probation after being released, as well as Appellant’s history of juvenile offenses; and (6) documentation from Kirk Heilbrun, Ph.D., indicating that he could have testified in support of the age mitigator that Appellant was immature and lacked social skills and could have testified in support of the catchall mitigator regarding the specific details set forth in the aforementioned documents listed in items (1) through (5) above.
A PCRA evidentiary hearing was conducted on June 23, 2005, but no fact witnesses were presented by either party. Instead, the parties argued the merits of their positions regarding the issue of trial counsel’s ineffectiveness for failing to investigate mitigation evidence.8 In support of this claim, Appellant relied entirely upon the documentary evidence referenced above, as well as a July 27, 2003 letter written by trial counsel, which set forth his trial strategy.
At the conclusion of the hearing, the PCRA court denied the request for a new trial and granted a new penalty hearing on the ground that trial counsel was ineffective for failing to investigate relevant, mitigating evidence pursuant to the then-recent decision in Rompilla v. Beard, 545 U.S. 374, 125 S.Ct. 2456, 162 L.Ed.2d 360 (2005) (finding trial counsel ineffective for failing to investigate the court file concerning the defendant’s prior conviction after the prosecution gave notice that it would be presenting testimony from the prior trial in support of the significant history of felony convictions aggravator).
Appellant thereafter presented to the court a pro se motion for the appointment of new counsel, which was time-stamped as having been received on June 30, 2005, but was never formally accepted for filing. Therein, Appellant asserted that he wanted his current PCRA attorneys removed from the case because they did not visit him in prison or investigate his case. Appellant further maintained that he wanted to raise a “Hardcastle issue,” which, as discussed infra, is a claim of racial discrimination in jury selection based on Hardcastle v. Horn, 368 F.3d 246 (3d Cir. 2004). On July 11, 2005, the parties appeared before the trial court and Appellant’s counsel formally raised the Batson claim. On July 25, 2005, new counsel entered their appearance on behalf of Appellant and filed a timely notice of appeal.
In its August 4, 2005 opinion, the PCRA court addressed the guilt-phase issues included in Appellant’s PCRA petition and denied relief on the merits. The court also addressed the “Hardcastle issue” and concluded that any claim of discrimination in jury selection was frivolous on its face because Appellant’s jury consisted of 7 African Americans, 4 Caucasians, and 1 Latino. PCRA Court Opinion at 16. The court further explained that it had granted Appellant a new penalty hearing, holding that trial counsel was ineffective for failing to undertake a meaningful investigation of Appellant’s background for purposes of presenting mitigation evidence in the penalty phase. Id. at 3.
As noted, both Appellant and the Commonwealth have appealed. This Court has jurisdiction over appeals from the grant or denial of post-conviction relief in a death penalty case pursuant to 42 Pa.C.S. § 9546(d). Our standard of review is whether the findings of the PCRA court *1137are supported by the record and are free from legal error. Commonwealth v. Washington, 592 Pa. 698, 927 A.2d 586, 593 (2007).
I. Cognizability of Claims
In order to be eligible for PCRA relief, Appellant must prove by a preponderance of the evidence that his conviction or sentence resulted from one or more of the enumerated circumstances found at 42 Pa.C.S. § 9543(a)(2)(setting forth the eligibility requirements of the PCRA). Further, Appellant must demonstrate that the issues raised in his PCRA petition have not been previously litigated or waived. Id. at § 9543(a)(3). An issue has been previously litigated if “the highest appellate court in which the petitioner could have had review as a matter of right has ruled on the merits of the issue.” Id. at § 9544(a)(2). A PCRA claim is waived “if the petitioner could have raised it but failed to do so before trial, at trial, during unitary review, on appeal or in a prior state postconviction proceeding.” Id. at § 9544(b). Further, we no longer apply the relaxed waiver doctrine in capital PCRA appeals. Commonwealth v. Albrecht, 554 Pa. 31, 720 A.2d 693, 700 (1998).
Appellant raises several issues for review, many of which allege the ineffective assistance of counsel. It is well-established that counsel is presumed effective, and the defendant bears the burden of proving ineffectiveness. Commonwealth v. Cooper, 596 Pa. 119, 941 A.2d 655, 664 (2007). To overcome this presumption, Appellant must satisfy a three-pronged test and demonstrate that: (1) the underlying substantive claim has arguable merit; (2) counsel whose effectiveness is being challenged did not have a reasonable basis for his or her actions or failure to act; and (3) the petitioner suffered prejudice as a result of counsel’s deficient performance. Commonwealth v. (Michael) Pierce, 567 Pa. 186, 786 A.2d 203, 213 (2001). A claim of ineffectiveness will be denied if the petitioner’s evidence fails to meet any of these prongs. Id. at 221-222.9
In Commonwealth v. Grant, 572 Pa. 48, 813 A.2d 726 (2002), this Court abrogated the rule that ineffectiveness claims based on trial counsel’s performance must be raised at the first opportunity where appellant has new counsel, see Commonwealth v. Hubbard, 472 Pa. 259, 372 A.2d 687, 695 n. 6 (1977), and held that a defendant “should wait to raise claims of ineffective assistance of trial counsel until collateral review.” Grant, 813 A.2d at 738. That holding, however, does not apply here because Appellant’s direct appeal concluded prior to our decision in Grant. Rainey, 928 A.2d at 225. Thus, we shall analyze Appellant’s ineffectiveness claims under the pre-Grant framework. Id.
As Appellant was represented by the same counsel at trial and on direct appeal, the first opportunity for him to challenge trial counsel’s performance was on collateral review. Thus, no “layering” 10 is necessary as to the claims of trial *1138counsel ineffectiveness that were raised in Appellant’s PCRA petition. See Commonwealth v. Hughes, 581 Pa. 274, 865 A.2d 761, 775 n. 7 (2004) (providing that when appellant was represented by the same counsel at trial and on direct appeal, the PCRA proceeding is the first opportunity to challenge the stewardship of prior counsel and the analysis of such issue does not involve a layered claim of ineffectiveness).
However, the majority of Appellant’s issues further allege PCRA counsel ineffectiveness for failing to raise certain substantive claims before the PCRA court in the proceedings from which this appeal was taken.11, 12 Appellant is required to layer properly the claims of PCRA counsel ineffectiveness. In Commonwealth v. McGill, supra, this Court addressed the proper layering of a claim of ineffective assistance of counsel and held that a PCRA petitioner must present argument as to each layer of ineffectiveness, establishing all three prongs of the ineffectiveness standard for each attorney. Id. at 1022. Because this Court had not been entirely clear as to what was required of a PCRA petitioner seeking to plead and prove a layered claim of ineffectiveness before McGill, we stated that “a remand to the PCRA court may be appropriate for cases currently pending in the appellate courts where the petitioner has failed to preserve, by pleading and/or presenting, a layered ineffectiveness claim in a manner sufficient to warrant merits review.” Id. at 1024. A remand is unnecessary, however, where the post-conviction petitioner fails to “thoroughly plead and prove” the underlying allegation that trial counsel was ineffective. Commomvealth v. D’Amato, 579 Pa. 490, 856 A.2d 806, 812 (2004).
We have held that a defendant in a capital case may challenge the stewardship of PCRA counsel on appeal to this Court because it is his only opportunity to do so. Commonwealth v. Hall, 582 Pa. 526, 872 A.2d 1177, 1182 (2005); Commonwealth v. Pursell, 555 Pa. 233, 724 A.2d 293 (1999); Commonwealth v. Albrecht, 554 Pa. 31, 720 A.2d 693 (1998). In Albrecht, we recognized that Pa.R.Crim.P. 904 embodies an enforceable right to effective PCRA counsel in a first PCRA petition and therefore we must permit'claims challenging PCRA counsel’s stewardship in an appeal to this Court. Albrecht, 720 A.2d at 699-700.
There has been some debate, however, regarding what level of development is necessary to entitle the petitioner to merits review of claims alleging the ineffectiveness of PCRA counsel. In Commonwealth v. Bond, 572 Pa. 588, 819 A.2d 33 (2002), we denied relief due to lack of development, holding that mere boilerplate assertions of PCRA counsel’s ineffectiveness for failing to raise enumerated claims before *1139the PCRA court were fatal to the claim. Id. at 41. Acknowledging mr decision in Bond, we nevertheless declined to deny relief based upon a petitioner’s failure to develop claims of PCRA counsel ineffectiveness in Hall, supra. Instead, this Court in Hall examined the merits of “those issues of [PCRA counsel] ineffectiveness that are properly framed to determine whether there is any arguable merit to the claims of trial counsel ineffectiveness.” Id. at 1183. This analysis was based on the fact that: (1) since Bond was decided, our Court in McGill acknowledged that the manner of properly layering a claim of ineffective assistance of counsel had been unclear and clarified the procedure for presenting layered claims; and, (2) the Commonwealth did not argue that the appellant’s claims of PCRA counsel ineffectiveness were time-barred or should fail as undeveloped. Hall, 872 A.2d at 1183. We further noted that all of the appellant’s claims of PCRA counsel’s ineffectiveness would ultimately fail for lack of merit. Id.
We see no reason to deviate from Hall, as the Commonwealth’s claims of waiver in the instant case relate to Appellant’s failure to raise issues at trial, and do not suggest that claims of PCRA counsel ineffectiveness should fail because they are undeveloped or untimely. Further, Appellant’s claims of PCRA counsel’s ineffectiveness ultimately fail for lack of merit. Thus, consistent with Hall, we shall examine the merits of “those issues of ineffectiveness that are properly framed to determine whether there is any arguable merit to the claims of trial counsel ineffectiveness.” Id. at 1183.
In his concurring opinion, Chief Justice Castille views a claim of PCRA trial counsel ineffectiveness as a new' claim, which needs to be raised in a serial PCRA petition, and maintains that this Court lacks jurisdiction to address such “new” claims on appeal from the denial of PCRA relief. Consistently, he opines that, in addressing claims of PCRA counsel’s ineffectiveness, we are applying a “no-waiver rule,” which negates both judicial issue preservation principles as espoused in Pa.R.A.P. 302(a) (providing that “[i]ssues not raised in the lower court are waived and cannot be raised for the first time on appeal.”), and the one-year filing requirement of the PCRA. See 42 Pa.C.S. § 9543(b)(1) (providing that “[a]ny petition under this sub-chapter, including a second or subsequent petition, shall be filed within one year of the date the judgment becomes final” unless the petitioner proves one of the exceptions to the time-bar, which are not at issue here).
While the concurring opinion’s distinction is theoretically appealing, the practical application of such approach renders a PCRA petitioner’s right to effective representation unenforceable and, therefore, meaningless. This consequence directly conflicts with controlling precedent of this Court that reaffirms that a PCRA petitioner has an enforceable right to effective assistance of counsel in a first PCRA petition. See Albrecht; Pursell; Hall, supra.
To illustrate the quandary that a capital PCRA petitioner faces when he receives deficient representation by PCRA trial counsel, we initially note that a petitioner can never abide by Pa.R.A.P. 302(a) when challenging PCRA trial counsel’s performance because the first opportunity to raise such claim is in his appeal from the PCRA court’s denial of relief. Stated differently, a petitioner cannot challenge PCRA counsel’s effectiveness before the PCRA court because the alleged ineffectiveness is playing out as that proceeding occurs, and ineffectiveness cannot be identified until the proceeding has concluded. Similarly, absent invocation of one of the three statutory exceptions to the timeliness require*1140ment set forth at 42 Pa.C.S. § 9545(b)(l)(i)~(iii), ‘ it would be virtually impossible for a petitioner to ever file a serial petition raising PCRA counsel’s ineffectiveness in a timely manner as his first PCRA petition would not be disposed of before the one-year statutory filing period expires. See Commonwealth v. Lark, 560 Pa. 487, 746 A.2d 585, 588 (2000) (holding that when PCRA appeal is pending, subsequent PCRA petition cannot be filed until resolution of review of pending PCRA petition by highest state court in which review is sought, or at the expiration of time for seeking such review).
Thus, the only way to afford a capital PCRA petitioner an opportunity to enforce his right to effective PCRA trial counsel is to permit the filing of such claims on appeal from the denial of PCRA relief. Admittedly, this puts our Court in the position of reviewing claims that were not reviewed by the PCRA court. However, there is no viable alternative to ensure that the right to effective PCRA counsel can be enforced and a remedy granted in the appropriate case where the petitioner has satisfied the rigorous burden as announced in McGill, supra, of establishing a multiple-layered claim of ineffectiveness.
Purportedly recognizing the dire consequences arising from deeming all PCRA counsel ineffectiveness claims either waived or outside our jurisdictional reach, the concurring opinion poses alternatives a petitioner may pursue to enforce the right to effective PCRA counsel, other than in his appeal to this Court from the denial of PCRA relief, as occurred here. Concurring Opinion at 17. We find such suggestions laudable, but wholly inadequate. First, the concurring opinion suggests that the PCRA judge, who oftentimes is the same judge who presided over the petitioner’s trial, “can direct counsel to amend or further develop claims, can conduct colloquies with the defendant, and can easily assess whether counsel is adequately discharging his duty.” Id. This approach is unrealistic as the PCRA court has no way to identify or investigate collateral claims that do not appear on the face of the record (e.g., a claim challenging trial counsel’s failure to present sufficient mitigating evidence that existed at the time of the penalty hearing). Further, the petitioner, himself, is unable to understand the intricacies of the law in a manner sufficient to convey foregone claims to the PCRA court. Thus, the only way to bring final resolution to these case and to meaningfully consider whether PCRA trial counsel was, in fact, effective, is to follow the procedure set forth herein.
The concurring opinion additionally states that this Court “is also in a position, although from a different perspective, to assess the sort of effort counsel has made, and to take corrective action where it appears counsel has not completely discharged his duties.” Id. at. 17-18. We fail to see how our Court would be equipped to identify, investigate, and sua sponte raise such collateral claims. This alternative is clearly more violative of the judicial issue preservation principles set forth in Pa. R.A.P. 302 than the approach followed herein, where we address the claims of PCRA counsel ineffectiveness actually raised by the petitioner, himself.
It should be noted that our decision herein to address claims of PCRA counsel ineffectiveness is not new law; but rather is based on well-established case law of this Court. As noted, in Albrecht, we held that Pa.R.Crim.P. 904 (formerly Rule 1504) makes the appointment of counsel in PCRA proceedings mandatory. We stated:
It is axiomatic that the right to counsel includes the concomitant right to effective assistance of counsel. Indeed the right to counsel is meaningless if effective assistance is not guaranteed.
*1141Id., 720 A.2d at 699-700, citing Commonwealth v. Albert, 522 Pa. 331, 561 A.2d 736, 738 (1989). Thus, our express holding was that a PCRA petitioner has an enforceable right to effective post-conviction counsel. 720 A.2d at 700. Accord Pursell, 724 A.2d at 302 (holding that our Court may review claims of ineffective assistance of PCRA counsel in a capital appeal from the denial of PCRA relief because it is the first opportunity to challenge the stewardship of PCRA counsel).
The concurring opinion suggests that these cases are no longer good law in that they represent the jurisprudence of this Court prior to our seminal decision in Grant, which abolished the rule that a defendant must raise claims of counsel’s ineffectiveness at the first available opportunity when new counsel entered the case. This reasoning is flawed for two significant reasons. First, Grant did not involve a collateral appeal pursuant to the PCRA, and instead involved a direct appeal in which we abrogated the rule of law that previously required a defendant to raise a claim of ineffectiveness of counsel at the first opportunity, i.e., on direct appeal. Simply put, Gmnt could not have overruled law regarding a PCRA petitioner’s enforceable right to counsel, when it did not address such issue. Thus, we decline to hold that Gmnt sub silentio overruled the holdings of Albrecht and Pursell, which established that there is an enforceable right to effective assistance of counsel in a first PCRA petition. Secondly, we respectfully point out that our decision in Hall was decided in 2005, years after Grant was decided. Our Court was keenly aware of Grant when we ruled in Hall that the petitioner could pursue his challenges to PCRA counsel’s stewardship on appeal from the denial of PCRA relief. Thus, we are not only guided by Hall, but are bound by it.
The approach to examining claims of PCRA counsel ineffectiveness taken herein may not be ideal, but it is essential to preserve an enforceable right to effective PCRA counsel. Otherwise, we would be perpetrating little more than a myth that the right to effective PCRA counsel exists, when, in reality, such right would be illusory.
As Appellant’s issues are each identified in varying levels of detail and development, we shall independently review each allegation to determine whether it is cognizable under the PCRA and whether it is properly framed to warrant merits review. We begin with the claims challenging Appellant’s conviction of first degree murder.
II. Batson Claim
Appellant’s first claim is that his conviction should be vacated because the prosecutor exercised her peremptory strikes in a racially discriminatory manner in violation of Batson v. Kentucky, supra. The Commonwealth properly notes that this claim is waived as it was not raised at trial. 42 Pa.C.S. § 9544(b). Further, it was not raised in Appellant’s PCRA petition, but was presented to the PCRA court after the request for a new trial was denied and a new penalty hearing was granted.
This does not end our discussion, however, because Appellant has raised in his appellate brief filed in this Court the separate issue of PCRA counsel’s ineffectiveness for failing to properly raise and litigate in the PCRA court the issue of trial counsel’s ineffectiveness for failing to raise the Batson claim. As this issue is properly framed pursuant to Hall, we shall determine whether there is any arguable merit to the claim of trial counsel ineffectiveness, which necessitates an examination of the underlying Batson claim.13
*1142In Batson, the United States Supreme Court held that a prosecutor’s challenge of potential jurors solely on account of their race violates the Equal Protection Clause. 476 U.S. at 89, 106 S.Ct. 1712. Batson set forth a three-part test for examining a criminal defendant’s claim that a prosecutor exercised peremptory challenges in a racially discriminatory manner. Commonwealth v. Harris, 572 Pa. 489, 817 A.2d 1033, 1042 (2002); Batson, 476 U.S. at 97, 106 S.Ct. 1712. First, the defendant must make a prima facie showing that the circumstances give rise to an inference that the prosecutor struck one or more prospective jurors on account of race. Id. Second, if the prima facie showing is made, the burden shifts to the prosecutor to articulate a race-neutral explanation for striking the juror(s) at issue. Id. Third, the trial court must then make the ultimate determination of whether the defense has carried its burden of proving purposeful discrimination. Id.
Generally, in order for a defendant to satisfy the first requirement of demonstrating a prima facie Batson claim, he must establish that he is a member of a cognizable racial group, that the prosecutor exercised peremptory challenges to remove from the venire members of his race,14 and that other relevant circumstances combine to raise an inference that the prosecutor removed the jurors for racial reasons. Harris, 817 A.2d at 1042; Batson 476 U.S. at 96, 106 S.Ct. 1712. Whether the defendant has carried this threshold burden of establishing a primei facie case should be determined in light of all the relevant circumstances. Id.
In cases like the one before us, however, where no Batson challenge was raised during the voir dire process, we have held that a post-conviction petitioner is not entitled to the benefit of Batson’s burden-shifting formula, but instead, bears the burden in the first instance and throughout of establishing actual, purposeful discrimination by a preponderance of the evidence. Commonwealth v. Uderra, 580 Pa. 492, 862 A.2d 74, 86 (2004.), citing McCrory v. Henderson, 82 F.3d 1243, 1251 (2nd Cir.1996) (“Batson’s burden-shifting formula makes sense when applied to an objection raised sufficiently promptly that the attorney exercising the challenges can reasonably be expected to remember the reasons for the challenges. On the other hand, it would be altogether unreasonable to shift the burden of explanation if the objection is so tardily made that the challenging attorney cannot be reasonably expected to remember.”). Additionally, in cases involving an unpreserved claim of discrimination in jury selection, this Court has generally enforced a requirement of a full and complete record of the asserted violation. Uderra, 862 A.2d at 83, citing, Commonwealth v. Spence, 534 Pa. 233, 627 A.2d 1176, 1182-83 (1993). We have held that, under such circumstances, the defendant must present a record identifying the *1143race of the venirepersons stricken by the Commonwealth, the race of prospective jurors acceptable to the Commonwealth but stricken by the defense, and the racial composition of the final jury selected. Id.15, 16
As noted, Appellant did not raise a Bat-son claim at trial, on direct appeal, or in his PCRA petition. Thus, the only viable claim for review is that of PCRA counsel ineffectiveness for failing to challenge trial counsel’s omission in this regard. Due to this procedural posture, no evidentiary hearing has been conducted, although Appellant currently requests that we remand the matter for such a proceeding. To determine PCRA counsel’s effectiveness, our inquiry at this juncture concerns whether Appellant’s proffer, if believed, would establish actual, purposeful discrimination, Uderra, 862 A.2d at 87, and whether an evidentiary hearing is required on such claim. Pa.R.Crim.P. 907 provides that a PCRA petition may be denied without a hearing when the court determines “that there are no genuine issues concerning any material fact and that the defendant is not entitled to post-conviction collateral relief, and no purpose would be served by any further proceedings.... ” Pa.R.Crim.P. 907(1).
Initially, we note that Appellant has complied with the Spence requirement by providing a full and complete record and has demonstrated that the prosecutor exercised 12 of her 20 available peremptory strikes against 9 African Americans, 2 Caucasians, and 1 Hispanic;17 that all of the 11 venirepersons who were acceptable to the prosecution, but were struck by the defense were Caucasian; and that the final racial composition of the jury was 7 African Americans, 4 Caucasians, and 1 Hispanic, with the alternate jurors being 1 African American and 1 Caucasian.
In support of the Batson claim, Appellant makes several distinct arguments that require separate examination. He first asserts that he is an African American man and that the prosecutor engaged in a pattern of exercising her peremptory strikes primarily against African Americans. Relying on information garnered from the jury questionnaires, Appellant contends that 10 out of 12, or 83%, of the prosecutor’s peremptory strikes were exercised against “people of color,” when such individuals constituted only 51% of jury pool.
Appellant’s calculations, however, are misleading. The record discloses that the prosecutor exercised 9 peremptory challenges against African Americans, but *1144actually accepted 7 African Americans to serve on the jury panel, while having 9 of her 20 available peremptory challenges remaining. The prosecutor further accepted an African American as an alternate juror. While it is clear that the prosecutor peremptorily struck more African Americans than Caucasians, this fact, in and of itself, is insufficient to demonstrate purposeful discrimination when considering the totality of the circumstances. See Commonwealth v. Cook, 597 Pa. 572, 952 A.2d 594, 608 (2008) (holding that the racial composition of the jury and the race of the victim and of the defendant serve as circumstantial evidence relevant to evaluation of a Batson claim); Spotz, 896 A.2d at 1212-14 (holding that prosecutor’s acceptance of 8 female jurors, 4 of whom were impaneled and 4 of whom were peremptorily struck by defense, were relevant factors in determining that defendant failed to demonstrate a prima facie case of gender discrimination); and Commonwealth v. Jones, 542 Pa. 464, 668 A.2d 491, 518 (1995) (holding that the presence of 6 females on the jury and 2 female alternates were relevant factors in determining that defendant failed to demonstrate a prima facie case of gender discrimination). Moreover, the record does not contain any questionable remarks made during jury selection that would indicate a motive to discriminate based on race, nor is this case racially sensitive as Appellant and the victim share the same race. See Spotz, 896 A.2d at 1213-1214 (in evaluating a Batson claim alleging gender discrimination, a court may look to whether the prosecutor made any questionable remarks during jury selection).
We further find that Appellant’s proffer of additional allegations, if believed, is insufficient to establish actual, purposeful discrimination. Appellant contends: (1) that the prosecutor improperly exercised a “for-cause” challenge against African American potential juror Shirley Morris; (2) that there were obvious reasons for the prosecutor’s striking of Cáuea-sian jurors, while African Americans Linda Lamar and Roxanne Tully were struck when they possessed characteristics that generally would be favorable to the Commonwealth; (3) that the same prosecutor who tried Appellant’s case in 1999 engaged in discriminatory jury selection practices when she prosecuted Donald Hardcastle in 1982;18 (4) that the prosecutor possessed personal notes in Hardcastle in 1982 and in Commonwealth v. Tilley, Dec. Term, 1985, Nos. 1078-82, which purportedly evidenced her consciousness of race during jury selection; (5) that Appellant’s own statistical analysis of 23 unrelated homicide cases tried by his prosecutor indicates racially disparate exercise of peremptory *1145challenges; and (6) that there was a “culture of discrimination” in the Philadelphia District Attorney’s Office.19
These claims are not persuasive. The prosecutor’s “for-cause” challenge exercised against African American Shirley Morris has no relevance to the prosecutor’s exercise of peremptory challenges, particularly because Ms. Morris was ultimately excused by agreement of both parties.20 Further unavailing is Appellant’s claim that two African Americans, Linda Lamar and Roxanne Tully, were peremptorily struck when they “possessed characteristics that normally would be favored by the Commonwealth.” Appellant’s Brief at 14. The characteristics upon which Appellant relies are Ms. Lamar’s employment as a civilian secretary for the Philadelphia Authority Police Department and Ms. Tully’s employment by the Internal Revenue Service. These facts do not suggest that Ms. Lamar or Ms. Tully would necessarily be favorable to the Commonwealth or that the prosecutor’s peremptory strikes of such individuals were improperly based on race.
Additionally, the fact that Appellant’s prosecutor was found to have violated Batson during the trial of Donald Hardcastle in 1982 is too tenuous to demonstrate that the prosecutor impermissibly struck jurors during Appellant’s voir dire 17 years later, in 1999. In fact, the trial in Hardcastle occurred before Batson was even decided. Similarly irrelevant is the fact that Appellant’s prosecutor may have kept notes in two unrelated cases in 1982 (Hardcastle) and in 1985 {Tilley), which evidenced her consciousness of race during jury selection. We also find little value in Appellant’s personal statistical analysis of 23 random and unrelated homicide cases tried by his prosecutor, which he maintains indicates racially disparate exercise of peremptory challenges in those cases. Such assertions, individually and collectively, fail to demonstrate that the prosecutor engaged in purposeful discrimination in selecting the jury in Appellant’s case.
Finally, for this same reason, we conclude that Appellant’s blanket claim of a “culture of discrimination” in the Philadelphia District Attorney’s Office is insufficient to demonstrate purposeful discrimination as the various assertions do not involve the prosecutor who selected Appellant’s jury and have no connection to his individual case. This Court has repeatedly rejected Batson claims based on generalized claims of bias or discrimination. See Uderra, 862 A.2d at 87 (rejecting proffer of McMahon tape in support of Batson claim because the training tape was substantially remote from the appellant’s trial, both temporally and factually); Common*1146wealth v. Lark, 560 Pa. 487, 746 A.2d 585, 588-89 (2000) (holding that the mere existence of the videotape of the lecture of Jack McMahon does not establish intentional discrimination in a particular case, nor does it relieve a PCRA petitioner of the burden of proving his claim under Batson); Commonwealth v. Rollins, 558 Pa. 532, 738 A.2d 435, 443 n. 10 (1999) (holding that mere existence of McMahon tape does not demonstrate that there was discrimination in selection of appellant’s jury)-
Upon review of the totality of the circumstances, we conclude that, even if believed, Appellant’s proffer fails to demonstrate that the prosecutor engaged in purposeful discrimination. Thus, neither Pa.R.Crim.P. 907 nor due process as a matter of law require an evidentiary hearing on the Batson issue. As the substantive Batson claim lacks arguable merit, trial counsel cannot be deemed ineffective for failing to raise it and Appellant’s derivative claim of PCRA counsel’s ineffectiveness fails. Pursell, 724 A.2d at 304.
III. Brady Claim
Appellant next contends that his conviction should be vacated because the Commonwealth violated Brady v. Maryland, 373 U.S. 83, 83 S.Ct. 1194, 10 L.Ed.2d 215 (1963) by failing to disclose that, at the time of Appellant’s trial, Edward Jackson had a pending charge of armed robbery that involved circumstances that were “remarkably similar” to Appellant’s instant robbery offense.21 The robbery leading to Jackson’s criminal charges occurred three years after Appellant’s offenses and purportedly arose from an armed assault of an individual on a Philadelphia street while Jackson was wearing a “dark Dickie jumpsuit,” a ski mask, and Timberland boots. According to Appellant, such evidence would have supported his trial defense theory of misidentification and would have implicated Jackson in the instant offense.
The Commonwealth properly notes that Appellant’s Brady claim is waived. 42 Pa.C.S. § 9544(b). The evidence allegedly withheld, ie., Edward Jackson’s pending criminal charges, existed at the time of trial, was a matter of public record, and was therefore equally accessible to the defense. See Commonwealth v. Brown, 582 Pa. 461, 872 A.2d 1139, 1148 (2005) (holding that the Commonwealth has no obligation to provide a defendant with the criminal history of the victim where that record is equally accessible to the defense). Therefore, the Brady claim could have been raised on direct appeal, but was not.22 Further, the Brady claim was not raised in Appellant’s PCRA petition.
Relying on Commonwealth v. Strong, 563 Pa. 455, 761 A.2d 1167 (2000), Appellant asserts that his Brady claim cannot be waived because a waiver ruling would unjustly reward the Commonwealth for withholding information. Strong, however, does not stand for this proposition and, unlike the instant case, involved circumstances where the petitioner raised the Brady claim for the first time in his PCRA petition because he was unable to discover the basis of the Brady issue until the collateral stage of his proceedings. More*1147over, Appellant’s assertion that a Brady claim cannot be waived is inconsistent with the case law of this Court. See Commonwealth v. Abdul-Salaam, 570 Pa. 79, 808 A.2d 558, 560 (2001) (finding a Brady claim waived under the PCRA because the appellant could have raised the issue on direct appeal, but failed to do so); Pursell, 724 A.2d at 306 (same).
Alternatively, Appellant raises the separate claim that trial counsel had an obligation to discover Jackson’s pending criminal charges and that he rendered ineffective assistance in failing to do so. He asserts that trial counsel did not have any tactical reason for failing to obtain this evidence because it was consistent with his defense of misidentification. Finally, Appellant alleges that he was prejudiced by trial counsel’s omission because such evidence would have supported his misidentification defense, cast doubt on the Commonwealth’s investigation, and undermined the Commonwealth’s evidence of guilt.
This independent claim of trial counsel ineffectiveness is waived as Petitioner failed to raise it in his PCRA petition. Nevertheless, pursuant to Hall, Appellant has properly framed a claim of PCRA counsel ineffectiveness for failing to challenge trial counsel’s effectiveness in this regard. To evaluate the issue of PCRA counsel ineffectiveness, we must examine the underlying claim of trial counsel ineffectiveness. We conclude that Appellant’s claim of trial counsel ineffectiveness fails for lack of arguable merit because Edward Jackson’s criminal offense occurred three years after Appellant’s robbery and is completely unrelated to such offense. The mere fact that the two robberies occurred on a Philadelphia street and were committed by an individual wearing dark clothing in no way renders the two offenses so similar to one another and so distinctive from other crimes as to indicate that the same perpetrator committed both crimes. As we conclude that trial counsel was not ineffective for failing to discover Edward Jackson’s pending criminal charges, Appellant’s challenge to PCRA counsel’s effectiveness likewise fails. Pursell, 724 A.2d at 304.
IV. Voluntariness of Appellant’s Statement
Appellant next contends that the trial court erred in refusing to suppress his statement to the police, in which he confessed to robbing and murdering the victim. Prior to trial, Appellant moved to suppress his statement. As noted, at the suppression hearing, Appellant alleged that the police detectives fabricated the statement and beat him until he signed it. He further asserted that the beatings caused bruises and a black eye, which necessitated hospital treatment. The trial court denied suppression, crediting the testimony of the police detectives that Appellant had the alleged injuries when he arrived for questioning and that no physical force had been used by the detectives in eliciting Appellant’s confession. Because Appellant did not challenge the suppression ruling on direct appeal or in his PCRA petition, the claim is waived. 42 Pa.C.S. § 9544(b).
Appellant, however, additionally argues that trial counsel was ineffective for: (1) failing to challenge the trial court’s erroneous admission of the coerced statement; and (2) failing to present to the jury evidence establishing that his statement was physically coerced and therefore involuntary. These separate claims of trial counsel ineffectiveness were not raised in Appellant’s PCRA petition and are therefore waived.
For purposes of addressing Appellant’s properly framed derivative claims of PCRA counsel’s ineffectiveness *1148in this regard, we look to the claims of trial counsel ineffectiveness and the underlying substantive suppression issue. Our standard of review in addressing a challenge to a trial court’s denial of a suppression motion is whether the factual findings are supported by the record and whether the legal conclusions drawn from those facts are correct. Commonwealth v. Eichinger, 591 Pa. 1, 915 A.2d 1122, 1134 (2007). When reviewing the ruling of a suppression court, we must consider only the evidence of the prosecution and so much of the evidence of the defense as remains uncontradicted when read in the context of the record as a whole. Id, Where the record supports the findings of the suppression court, we are bound by those facts and may reverse only if the legal conclusions drawn therefrom are in error. Id.
We conclude that any challenge to the suppression ruling is meritless because the trial court made a finding of fact that the detectives did not use force in eliciting Appellant’s confession and such finding was supported by the testimony of the police detectives. Appellant himself implicitly acknowledges this fact. Appellant’s Brief at 31 (“all of the evidence except the self-serving testimony of the detectives shows that the statement was not voluntary”) (emphasis added). Thus, the trial court did not err in refusing to suppress Appellant’s confession on the ground that it was physically coerced and trial counsel was not ineffective for failing to challenge that ruling. Accordingly, PCRA counsel was not ineffective for failing to raise that issue in Appellant’s PCRA petition.
We also are not persuaded by Appellant’s claim that trial counsel was ineffective for failing to present to the jury evidence establishing that his statement was physically coerced. This claim is refuted by the record as Appellant specifically informed the trial court that he was aware of his right to present such evidence, but decided not to do so. The record demonstrates that at trial, before the defense rested, the trial judge collo-quied Appellant regarding the strategy not to present evidence at trial challenging the voluntariness of his confession. Appellant indicated that he understood that he presented such evidence at the suppression hearing, that he had the right to do so again at trial, and that he decided not to present this evidence at trial after consultation with his attorney. N.T. 3/19/99, 25-26. Having made an informed decision not to present evidence challenging the volun-tariness of his confession, Appellant cannot now fault trial counsel for failing to do so. See Commonwealth v. Paddy, 569 Pa. 47, 800 A.2d 294, 316 (2002), citing Commonwealth v. Abu-Jamal, 553 Pa. 485, 720 A.2d 79, 93 (1998), (holding that “a defendant who makes a knowing, voluntary, and intelligent decision concerning trial strategy will not later be heard to complain that trial counsel was ineffective on the basis of that decision.”) As the claim of trial counsel ineffectiveness lacks arguable merit, the derivative claim of PCRA counsel ineffectiveness likewise fails.
V. Failure to Investigate Mitigation Evidence
Having concluded that the guilt phase issues do not entitle Appellant to relief, we now entertain the penalty phase issues. Pursuant to the Commonwealth’s appeal, we first address the claim upon which the PCRA court granted relief, i. e., that trial counsel was ineffective for failing to undertake a meaningful investigation of Appellant’s background and/or failing to provide Dr. Tepper with the fruits of counsel’s investigation to facilitate the effective presentation of mitigation evidence in the penalty phase. We reiterate that the penalty jury found one aggravating circumstance, that the offense was committed *1149during the perpetration of a felony, and no mitigating circumstances.
Generally, the question of whether the PCRA court erred in its determination that trial counsel was ineffective for failing to investigate and present sufficient mitigating evidence depends upon a myriad of factors, including the reasonableness of counsel’s investigation, the mitigation evidence that was actually presented, and the mitigation evidence that could have been presented. Commonwealth v. Collins, 585 Pa. 45, 888 A.2d 564, 580 (2005); Commonwealth v. Malloy, 579 Pa. 425, 856 A.2d 767 (2004). None of these factors, by itself, is dispositive of the question presented, because even if the investigation conducted by counsel was unreasonable, such fact alone will not result in relief if the defendant cannot demonstrate that he was prejudiced by counsel’s conduct. Collins, 888 A.2d at 580.
In awarding a new penalty hearing, the PCRA court held that “the psychologist retained by trial counsel was not provided with [Appellant’s] medical records, history of drug abuse, school records, or juvenile background, hampering his ability to present an adequate case for mitigation.” PCRA Court Opinion at 3. Relying on Rompilla v. Beard, supra, the court further held that “failing to investigate [Appellant’s] childhood and juvenile convictions is not a rationale, tactical decision, as such evidence is well within what one would expect a reasonable attorney or mitigation expert to examine during the penalty phase of a capital trial for a young attorney.” PCRA Court Opinion at 4. In regard to trial counsel’s submissions to Dr. Tepper, the PCRA court found that trial counsel did not provide Dr. Tepper with the requisite tools to perform his job. Id. Finally, the PCRA court held that Appellant was prejudiced by counsel’s omission because “the evidence not investigated or presented at trial may have both humanized [Appellant] and suggested that he would succeed in a structured correctional environment.” Id. at 4. The PCRA court concluded that such evidence, which directly relates to the catchall mitigator, may have convinced at least one juror that Appellant’s background outweighed the only aggravating circumstance found. Id. at 5.
The Commonwealth argues that the record simply does not support the PCRA court’s determination that trial counsel failed to discover and/or disclose to the mental health expert Appellant’s medical records, history of drug abuse, childhood background, and juvenile convictions. It asserts that there was no concession, stipulation, or any evidence establishing that these documents were not discovered and disclosed.23 According to the Commonwealth, the record only reflects that Appellant’s public school records were not provided to Dr. Tepper, and that fact alone does not carry Appellant’s burden of proving that trial counsel lacked a reasonable basis for failing to investigate or disseminate necessary mitigation evidence to Dr. Tepper. The Commonwealth further maintains that Appellant has failed to demonstrate that he was prejudiced by trial counsel’s performance as it is unlikely that the information in the school records would have caused the jury to return a life sentence. It concludes that Appellant *1150should not be afforded a second opportunity to correct any defects of proof after failing to demonstrate trial counsel’s ineffectiveness at the PCRA evidentiary hearing.
While these arguments challenge Appellant’s evidence as to each of the three prongs of the ineffectiveness test, Appellant’s claim may be denied if his evidence fails to meet any one of the three prongs. Pierce, 786 A.2d at 221-222. Thus, for purposes of discussion, we shall assume that there is arguable merit to the claim that trial counsel was ineffective for failing to investigate and provide to Dr. Tepper the records Appellant presented to the PCRA court. We shall further assume that trial counsel lacked a reasonable basis for failing to do so. Based on the following discussion, we conclude, however, that Appellant was not prejudiced by trial counsel’s performance.
To establish prejudice in a case involving the failure to investigate and present mitigating evidence, we must consider not only the evidence and argument presented at the penalty phase, but also the evidence and argument that would have been presented at the penalty hearing had trial counsel properly investigated such evidence. Malloy, 856 A.2d at 789 (citation omitted). Prejudice is demonstrated when it is probable that at least one juror would have accepted at least one mitigating circumstance and found that it outweighed the aggravating circumstance found. Id. Here, as the following shows, the evidence overlooked is not of the nature or quality that would cause a juror to alter his or her verdict of death.
The documentary evidence presented to the PCRA court, which Appellant maintains should have been discovered by trial counsel and presented to the penalty jury, consists of: (1) a March 24, 1999 court-ordered mental health evaluation; (2) a pre-sentence investigation report; (3) Appellant’s prison medical records; (4) Appellant’s public school records; (5) Appellant’s juvenile or “j-file;” and, (6) correspondence from Dr. Heilbrun, including a January 20, 2005 evaluation and February 14, 2005 letter.24
Appellant maintains that these records would have provided mitigation evidence establishing that Appellant: felt rejected by his mother; suffered from mental health problems such as anxiety, tension, restlessness, and insomnia; was treated for such conditions while incarcerated for the instant offense; has difficulty reading; has “poor anticipatory planning and organizing skills;” has impaired insight; suffered from cognitive and learning problems as a child, which had been ignored by his mother; adapted well to juvenile and adult incarcerations; and demonstrated low levels of aggression.25
*1151Our independent review of the documentation presented to the PCRA court indicates that the evidence that trial counsel is faulted for overlooking fails to demonstrate any significant area of mitigation evidence that was not already explored by trial counsel and presented to the jury in some form. As noted, at the penalty hearing, Appellant’s mother, grandmother, girlfriend, and a licensed psychologist testified in support of the three mitigation circumstances alleged: the lack of significant criminal history mitigator; the age miti-gator; and the catch-all mitigator. Appellant’s girlfriend, Irene Williams, testified that she has a fourteen-month-old child with Appellant, Notes of Testimony dated 3/23/1999, at 7; that Appellant is a very good father and is a nice person; id. 10; and that in the three years that she had known Appellant, she had never seen him act violently towards anyone. Id. at 11.
Appellant’s mother, Carole Ligons, testified that Appellant grew up without a father or a father-figure in a neighborhood that was “buck wild,” id. at 19, 22; that when Appellant was approximately thirteen, he got into trouble stealing cars and was sent to the Glenn Mills School for eighteen months; and that Appellant did well in the structured environment of the school. Id,, at 22. Carole Ligons stated that Appellant achieved certificates of completion at the school in auto body shop and computer education, and received his GED. Id. at 32. She acknowledged, however, that two months after Appellant was released from Glenn Mills School, he was arrested for stealing another car. Id. at 32. Carole Ligons further testified that in 1996, she began an intimate relationship with Appellant’s childhood friend, Cecil Jackson; that she permitted Jackson to move into her home, id. at 23; that Jackson did not allow Appellant to come to his mother’s home; and that Appellant therefore left his mother’s home to live down the street with his grandmother. Id. at 24.
Appellant’s maternal grandmother, Andrea Ligons, testified at the penalty hearing that Appellant is a nice, useful boy who never mistreated anyone. Id. at 43, 46. She explained that she has helped raise Appellant and cares for him very much, unlike Appellant’s mother who has never *1152loved him and, instead, cast him aside for her boyfriend, Cecil Jackson. Id. at 45. Andrea Ligons stated that, prior to the murder, she was in danger of losing her home because she could not afford to pay her medical bills arising from an extensive hospital stay. Id. at 49.
Finally, trial counsel presented the testimony of licensed psychologist, Dr. Allen Tepper. Regarding the basis for his opinion, Dr. Tepper explained that he reviewed police reports of the incident, id. at 55, and a number of other “background reports or evaluations which may have been done in the past.” Id. at 56. Dr. Tepper stated that he had interviewed Appellant and conducted psychological testing on him and also interviewed Appellant’s girlfriend, mother, and grandmother. Id. The only records that Dr. Tepper expressly stated that he did not receive from trial counsel were Appellant’s school records. Id. at 56.
Based upon his review of the foregoing, Dr. Tepper asserted that Appellant was raised without a father-figure and began exhibiting childhood behavioral problems soon after he began inquiring about his father. Id. at 59. He acknowledged the poor relationship between Appellant and his mother and referenced incidents during Appellant’s childhood when his mother physically struck Appellant with a baseball bat, a chair, and a broom. Id. at 65. While Dr. Tepper found Appellant to be in the low to average range of intelligence, he noted that Appellant had excelled in the structured environment of the Glenn Mills School. Id. at 60. He explained that when Appellant committed the murder, he was feeling abandoned and was having difficulty with his mother’s intimate relationship with Cecil Jackson, who became his rival. Id. at 61. Appellant’s grandmother was also gravely ill. Id. Dr. Tepper further opined that Appellant had no severe mental illness or psychosis and did not suffer from an organic brain injury. Id. at 62, 67. He recognized, however, that Appellant had been treated in recent months, purportedly while incarcerated, for stress and depressive mood. Id. at 63.
We have little difficulty concluding that the evidence presented during the penalty phase did not materially differ from the evidence that trial counsel allegedly failed to investigate and provide to its mental health expert. Both the evidence presented and that allegedly overlooked portrayed Appellant as a non-violent, caring person who had a difficult childhood without a father in a rough neighborhood, who was never loved by his mother, and who excelled in a structured environment. Under these circumstances, we are not convinced that, had such evidence been presented, at least one juror would have accepted at least one mitigating circumstance and found that it outweighed the perpetration of a felony aggravator.
Additionally, we find that the quality and nature of the mitigation evidence that trial counsel purportedly failed to present renders this case factually distinguishable from Rompilla v. Beard, upon which Appellant and the PCRA court relied. In Rompilla, the United States Supreme Court granted the defendant a new penalty hearing because trial counsel was ineffective for failing to present sufficient mitigation evidence. The High Court recognized that trial counsel failed to investigate school records, files from the defendant’s juvenile and adult incarcerations, and the defendant’s history of alcohol dependence.
The Supreme Court, however, focused upon the fact that trial counsel failed to investigate the file from the defendant’s previous conviction, after the prosecution had given the defense notice that it would be presenting the actual testimony from the trial of such conviction to support its contention that the defendant’s past implicated the significant history of felony con*1153victions aggravator. Id. at 383, 125 S.Ct. 2456. The Court emphasized that trial counsel’s obligation to review the court file was particularly pressing because of the similarity between the prior offense and the crime charged. The Court concluded that without making reasonable efforts to assess the file from the prior trial, trial counsel was unaware whether the prosecution was quoting selectively from its transcript, or whether there were extenuating circumstances, militating against the applicability of the significant history of felony convictions aggravator. Id. at 386, 125 S.Ct. 2456. Finally, the Court noted that, if trial counsel had obtained the file from the defendant’s prior conviction, he would have uncovered other mitigation evidence that bore no relation to the few naked pleas for mercy trial counsel actually put before the jury. Id. at 393, 125 S.Ct. 2456.
We find that Rompilla does not control this case because the evidence trial counsel is faulted for overlooking was not intended to contradict the evidence the Commonwealth presented in support of its only proffered aggravator, as was the case in Rompilla; nor would it have led to wholly new material mitigation evidence. Rather, the allegedly undiscovered or undisclosed evidence in this case did not so materially differ from the evidence actually presented to the penalty jury, that we can find prejudice to Appellant arising from counsel’s failure to discover or disclose it. In other words, we find that the evidence proffered by Appellant would have primarily been cumulative to that which was in fact presented. Thus, the PCRA court erred in relying on Rompilla to grant Appellant a new penalty hearing.
Appellant’s reliance on Williams v. Taylor, 529 U.S. 362, 120 S.Ct. 1495, 146 L.Ed.2d 389 (2000), and Wiggins v. Smith, 539 U.S. 510, 123 S.Ct. 2527, 156 L.Ed.2d 471 (2003), is likewise misplaced as those cases involve factual circumstances where the mitigating evidence that trial counsel failed to present to the sentencing jury drastically differed from the mitigating evidence actually presented at the penalty phase. In Williams, the defendant was convicted of capital murder for the beating death and robbery of a man while in his residence. At the sentencing hearing, trial counsel presented the testimony of the defendant’s mother and two neighbors, who briefly described him as a “nice boy” and not a violent person. Williams, at 369, 120 S.Ct. 1495. Trial counsel also presented a recorded excerpt from a psychiatrist’s statement, which indicated that during the commission of an earlier unrelated robbery, the defendant had removed bullets from a gun so as not to injury anyone. Further, in cross-examination and in his closing argument, trial counsel emphasized that the defendant had initiated the contact with the police that enabled them to identify him as the perpetrator, and cooperated with the police thereafter. Id.
The mitigation evidence that trial counsel was faulted for not investigating in Williams demonstrated the defendant’s deplorable living conditions as a child, the fact that his parents had been imprisoned for neglecting him and his siblings, that the defendant had been severely and repeatedly beaten by his father, had been committed to the custody of the social services bureau for two years during his parents’ incarceration (including one period in an abusive foster home), and had been returned to his parents upon their release from prison. Id. at 395, 120 S.Ct. 1495. Trial counsel in Williams further failed to introduce available evidence that the defendant was “borderline mentally retarded,” that he did not advance beyond sixth grade in school, that he cooperated with prison officials to uncover a prison drug ring, and that he thrived in the structured environment of the prison. Id. at 396, 120 S.Ct. 1495.
*1154Due to the great disparity between the nature and quality of mitigation evidence overlooked as compared with the scant mitigation evidence actually presented, the High Court concluded that counsel’s unprofessional service prejudiced the defendant within the meaning of Strickland. Williams at 396, 120 S.Ct. 1495. To the contrary, as demonstrated supra, such prejudice is lacking in the instant case as the evidence presented during Appellant’s penalty phase did not materially differ from the evidence that trial counsel allegedly failed to investigate and provide to his mental health expert.
The United States Supreme Court’s decision in Wiggins is likewise distinguishable. The defendant in Wiggins was convicted of first degree murder and theft offenses after a 77-year-old woman was found drowned in her bathtub in her ransacked apartment. At the sentencing hearing in Wiggins, trial counsel discounted the defendant’s direct responsibility for the murder, emphasized his lack of criminal history, and presented the testimony of a criminologist, suggesting that inmates serving life sentences tend to adjust well and refrain from further violence in prison. Id. at 526, 123 S.Ct. 2527. No evidence whatsoever was presented demonstrating the defendant’s life history. Specifically, trial counsel failed to present evidence indicating the absolute neglect and severe physical abuse the defendant suffered during his childhood at the hands of his mother, who was a chronic alcoholic who left Wiggins and his siblings at home alone for days, forcing them to beg for food. Id. at 516-17, 123 S.Ct. 2527. Trial counsel further failed to present evidence of the repeated molestation and rapes the defendant endured while in the care of a series of foster parents, and the fact that the defendant ran away from such foster homes and began living on the streets at the age of 16. Id. at 517, 123 S.Ct. 2527. Finally, trial counsel failed to present evidence that, after leaving the foster care system, the defendant was sexually abused by a Job Corps program supervisor. Id.
The United States Supreme Court in Wiggins concluded that had the jury been confronted with the considerable mitigation evidence that was omitted, there is a reasonable probability that it would have returned with a different sentence. Id. at 536, 123 S.Ct. 2527. The same cannot be said of the instant case. Here, Appellant faults trial counsel for failing to present evidence that he felt rejected by his mother, had both confirmed and denied drug use, had poor academic performance in grade school leading to his failure of fourth grade, was immature, lacked social skills, and excelled in a structured environment. We reiterate that trial counsel had already presented to the sentencing jury evidence that Appellant was never loved by his mother, had a difficult childhood without a father in a rough neighborhood, was in the low to average range of intelligence, and excelled in the structured environment of the Glen Mills School. Under these circumstances, the United States Supreme Court’s decision in Wiggins offers Appellant no relief.
Considering the possibility that this Court may ultimately reverse the PCRA court’s grant of a new penalty hearing premised upon trial counsel’s ineffectiveness, Appellant further raises the independent layered claim that PCRA counsel was ineffective for failing to provide the PCRA court with the full range of mitigating evidence that was available to support the claim of trial counsel ineffectiveness. Appellant maintains that if we reverse the PCRA court’s grant of a new penalty hearing, he is at least entitled to an evidentiary hearing on the claim of PCRA counsel’s ineffectiveness in litigating trial counsel’s ineffectiveness. In support of the claim of PCRA counsel ineffectiveness, Appellant presents a variety of records and reports, *1155which were not presented to the PCRA court,26 which, in turn, allegedly support the claim of trial counsel ineffectiveness.
As noted, generally a layered ineffectiveness claim cannot be sustained where the underlying claim lacks merit. See McGill, 832 A.2d at 1024-25. Here, however, Appellant alternatively complains that the underlying claim of trial counsel ineffectiveness lacks merit, not because it is frivolous, but solely because PCRA counsel failed to present sufficient mitigating evidence to support it. Appellant’s claim, however, misses the mark. The mere fact that PCRA counsel did not ultimately succeed does not establish that his performance during the collateral proceeding was unreasonable or that he was ineffective. Appellant himself repeatedly referenced the extensive documentation PCRA counsel provided his expert, Dr. Heilbrun. See ex. Reply/Answer Brief of Appellant at 11 (“PCRA counsel produced volumes of records that had not been provided to Dr. Tepper.”). In fact, Dr. Heilbrun’s report indicated that PCRA counsel provided him with 29 documents. Appellant’s argument that such efforts were ineffective is not persuasive. Moreover, Appellant has not demonstrated that PCRA counsel lacked a reasonable basis for submitting to the PCRA court the above detailed extensive mitigating evidence, instead of the different, but not more extensive mitigation evidence offered in Appellant’s brief to this Court. We find that Appellant’s claim of PCRA counsel ineffectiveness utterly fails when considered in light of the extensive and laudatory efforts by that counsel. Consequently, Appellant is not entitled to an evidentiary hearing for further development of the post-conviction record pursuant to Pa.R.Crim.P. 907.
VI. Death Qualification of Jury
Appellant next contends that his death sentence should be vacated because he was tried by an improperly “death-qualified” jury in violation of Witherspoon v. Illinois, 391 U.S. 510, 88 S.Ct. 1770, 20 L.Ed.2d 776 (1968). The Commonwealth properly notes that this claim is waived as it was not raised at trial.27 42 Pa.C.S. § 9544(b). Further, it was not raised in Appellant’s PCRA petition. Appellant, *1156however, additionally claims that trial counsel was ineffective for failing to object to the trial court’s “death-qualification” of the jury and that PCRA counsel was ineffective in failing to challenge trial counsel’s performance in his PCRA petition. As the issue of PCRA counsel ineffectiveness is properly framed pursuant to Hall, we shall determine whether there is any arguable merit to the claim of trial counsel ineffectiveness. In order to do so, we examine the underlying Witherspoon claim.
In Witherspoon, the United States Supreme Court held that a sentence of death cannot be carried out if the jury that imposed it was chosen by methods which excluded venirepersons for cause simply because they voiced general objections to the death penalty. The High Court explained that “[ujnless a venireman states unambiguously that he would automatically vote against the imposition of capital punishment no matter what the trial might reveal, it simply cannot be assumed that that is his position.” Id. at 515 n. 9, 88 S.Ct. 1770 (internal citations and quotation marks omitted).
In the instant case, the trial judge asked the three panels of venire the following question:
For the purposes of the question, I am asking you to assume that the Defendant is found guilty of Murder in the First Degree and that you have heard additional evidence and additional legal arguments and additional charges by me, the Judge, and after hearing all of this, you are convinced that an appropriate case for the death penalty has been made out; under those circumstances, would any of you be unable to vote for the death penalty; in other words, would you have any religious, moral or conscientious objections to the imposition of the death penalty in a proper case?
N.T. 3/15/1999, at 7, 71; N.T. 3/16/1999 at 6. All of the jurors who answered the question affirmatively were dismissed for cause. Appellant asserts that this jury selection process violated Witherspoon because the dismissed venirepersons did not state that they would be unable to follow the court’s instructions regarding imposition of the death penalty, but only voiced “general objections” to the death penalty. This claim is not persuasive. By responding affirmatively to the court’s inquiry, the venirepersons clearly indicated that they were unable to vote for the death penalty in an appropriate case. Thus, the trial court did not violate Witherspoon when it struck such venirepersons for cause. See Commonwealth v. Jones, 912 A.2d at 286 (holding that the trial court properly dismissed juror who testified that she would be unable to impose the death penalty); Commonwealth v. Rollins, 558 Pa. 532, 738 A.2d 435, 442 (1999) (holding that the trial court properly struck jurors who indicated that their views on the death penalty would make them unable to apply the law as instructed to them by the judge).
As the substantive Witherspoon claim is meritless, trial counsel cannot be deemed ineffective for failing to raise it and Appellant’s derivative claim of PCRA counsel’s ineffectiveness fails. Pursell, 724 A.2d at 304.
VII. Prosecutorial Misconduct at Penalty Stage
Appellant next contends that his death sentence should be vacated due to the following allegations of prosecutorial misconduct during the penalty phase: (1) that the prosecutor made a victim impact argument28 without having presented vic*1157tim impact evidence and after having indicated that there would be no victim impact presentation;29 (2) that the prosecutor improperly urged the jury to disregard the age mitigator in violation of due process and the 8th Amendment to the United States Constitution.
Appellant’s first claim of prosecutorial misconduct is not cognizable under the PCRA because it was previously litigated on direct appeal. 42 Pa.C.S. § 9543(a)(3). As noted, a claim has been previously litigated for purposes of the PCRA if “the highest appellate court in which the petitioner was entitled to review as a matter of right has ruled on the merits of the issue.” Id. at 9544(a)(2). See Ligons, 773 A.2d at 1238-39 (rejecting Appellant’s claim that the prosecutor’s closing argument in the penalty phase improperly interjected victim impact evidence into the case). To the extent that Appellant also raises an ineffectiveness claim arising from counsel’s failure to object to the prosecutor’s references to victim impact evidence, see Commonwealth v. Collins, 888 A.2d at 573 (holding that, for purposes of the PCRA’s previous litigation bar, a Sixth Amendment claim of ineffectiveness raises an issue distinct issue from the underlying substantive claim), we find the ineffectiveness claim to lack arguable merit because the prosecutor’s argument did not constitute victim impact evidence, but rather was a permissible response to Appellant’s mitigation evidence.
Appellant’s second claim of prose-cutorial misconduct is waived because it was not raised at trial. 42 Pa.C.S. § 9544(b). Further it was not presented in Appellant’s PCRA petition. Appellant, however, additionally claims that trial counsel was ineffective for failing to object to the prosecutor’s argument to disregard the age mitigator and that PCRA counsel was ineffective in failing to challenge trial counsel’s performance in his PCRA petition. As the issue of PCRA counsel ineffectiveness is properly framed pursuant to Hall, we shall determine whether there is any arguable merit to the claim of trial counsel ineffectiveness. In order to do so, we examine the underlying claim of prose-cutorial misconduct.
In considering a claim of pros-ecutorial misconduct, our inquiry “is centered on whether the defendant was deprived of a fair trial, not deprived of a perfect trial.” Commonwealth v. LaCava, 542 Pa. 160, 666 A.2d 221, 231 (1995) (citing Commonwealth v. Holloway, 524 Pa. 342, 572 A.2d 687, 693 (1990)). Thus, a prosecutor’s remarks do not constitute reversible error unless their unavoidable effect was to prejudice the jury, forming in their minds fixed bias and hostility toward the defendant so that the jury could not weigh the evidence objectively and render a true verdict. Commonwealth v. Bond, 539 Pa. 299, 652 A.2d 308, 315 (1995). Further, the allegedly improper remarks must be viewed in light of the entire context of the closing argument as a whole. LaCava, 666 A.2d at 235.
Here, Appellant submitted the age miti-gator to the jury at the penalty phase and argued that his youth at the time of the murder militates against imposing the *1158death sentence. N.T. 3/23/99 at 4, 86-87.30 Appellant argues that the prosecutor, however, improperly told the jury to disregard the mitigating effect of Appellant’s youth. The prosecutor stated:
I submit to you, ladies and gentlemen, that the age of the Defendant at that time was not so young and that he was not so immature that age should be a factor. He wasn’t fourteen or fifteen years old at the time. He was a man. He was nineteen years old. He was old enough to serve in the armed forces; old enough to vote; old enough to serve on a jury.
N.T. 3/23/99, 82. Appellant contends that this argument violated the 8th and 14th Amendments to the United States Constitution because it precluded the jury from considering his youth as mitigating evidence and distorted the meaning of the age mitigator.
We disagree as the prosecutor did not inform the jury that it was precluded from considering Appellant’s youth as mitigation evidence, but only that it should not do so under the facts presented. Viewed in the context of the closing argument as a whole, the prosecutor’s comments were permissible as argument supporting the death penalty. See Commonwealth v. Hughes, 581 Pa. 274, 865 A.2d 761, 800 (2004) (prosecutor’s argument that defendant’s age should not be a determinative factor was permissible because it was in response to defense evidence and argument); Commonwealth v. Stokes, 576 Pa. 299, 839 A.2d 226, 233 (2003) (holding that it is not improper for the prosecution to ask the jury to reject defendant’s age as a mitigating factor); Commonwealth v. Dennis, 552 Pa. 331, 715 A.2d 404, 415 (1998) (same). Moreover, the trial court specifically instructed the jury that it was to determine, based on the facts, whether the age mitigator applied. See N.T. 3/23/99 at 99-100 (“the evidence is incontrovertible that [Appellant] was nineteen years of age at the time of the crime; accordingly, it is for you to determine from the facts whether or not [Appellant’s] age constitutes a mitigating circumstance”).
Accordingly, the claim of prosecutorial misconduct is meritless and trial counsel cannot be deemed ineffective for failing to raise it. Under these circumstances, Appellant’s claim of PCRA counsel ineffectiveness fails. Pursell, 724 A.2d at 304.
VIII. Racial Discrimination in Death Sentence
Finally, Appellant maintains that his death sentence should be vacated because it is a product of racial discrimination in violation of the United States and Pennsylvania Constitutions, Pennsylvania’s Sentencing Statute, and International Law. In support of this claim, Appellant relies on various items of documentary evidence that are completely unrelated to his individual case. He maintains that, at the very least, he is entitled to an eviden-tiary hearing. Appellant’s racial discrimination claim, however, is waived because it was not raised on direct appeal. 42 Pa. C.S. § 9544(b). Further it was not presented in Appellant’s PCRA petition. Appellant, however, additionally claims that trial counsel was ineffective for failing to raise the issue and that PCRA counsel was ineffective in failing to challenge trial counsel’s performance in this regard. As the issue of PCRA counsel ineffectiveness *1159is properly framed pursuant to Hall, we shall determine whether there is any arguable merit to the claim of trial counsel ineffectiveness.
We find that such claim clearly lacks arguable merit as this Court recently rejected nearly the identical claim in Commonwealth v. Rios, 591 Pa. 583, 920 A.2d 790 (2007), wherein we stated:
In this case, Appellant only proffers statistics and generalized claims that the death penalty is applied in Philadelphia County in a racially discriminatory manner. He has not set forth any evidence to show that the allegedly pervasive discriminatory atmosphere affected his individual case. Mere allegations of general bias and statistics are not sufficient to meet the burden of proving discrimination as to Appellant’s case. As such this claim fails.
Id. at 822 (emphasis supplied).
Thus, the claim of racial discrimination is meritless and trial counsel cannot be deemed ineffective for failing to raise it. Accordingly, the claim of PCRA counsel ineffectiveness fails. Pursell, 724 A.2d at 304.
Accordingly, for the reasons set forth herein, we affirm that portion of the PCRA court’s order denying Appellant a new trial and reverse that portion granting Appellant a new penalty hearing.31
Justice GREENSPAN did not participate in the consideration or decision of this case.
Justice TODD joins the opinion.
Chief Justice CASTILLE files a concurring opinion in which Justice EAKIN and McCAFFERY join.
Justice SAYLOR files a concurring and dissenting opinion.