Opinion
Petitioner, the defendant in criminal proceedings pending in the Municipal Court for the Central Judicial District of the County of Sonoma, filed a petition for writ of prohibition and/or mandamus in which he sought an alternative writ of prohibition restraining that court from taking any further proceedings in the pending action until further order of this court, a peremptory writ of prohibition prohibiting any such proceedings, and alternative and peremptory writ of mandamus directed to requiring that court to dismiss the criminal action against petitioner, or, in the alternative to grant petitioner a change of venue. He contends that he has been denied a speedy trial because the municipal court failed to set his retrial within 30 days after a mistrial was declared as required by subdivision 3 of section 1382 of the Penal Code, 1 that the municipal court erred in failing to dismiss the pending charge because further prosecution of that charge subjects him to multiple prosecution in violation of the provisions of section 654 of the Pena] Code, 2 and that the municipal court erred in denying his *346 mоtion for change of venue because the publicity attendant to his arrest and prosecution for the pending charge and other related charges renders it unlikely that he can secure a fair trial within the jurisdiction where the action is pending. This court issued an alternative writ of prohibition, which stayed further proceedings, and the matter has been submitted on the petition, the People’s opposition thereto (see Cal. Rules of Court, rule 56(b)), petitioner’s supplemental memorandum, and the People’s return to the alternative writ.
The principal issue is whether an amended complaint, which was filed after the petitioner’s first trial ended in a mistrial, served to initiate a new 45-day period in which the defendant could be brought to trial. (See Pen. Cede, § 1382, fn. 1 above.) It is concluded that under the circumstances of this case, the amendments actually made did not serve to do so, that the defendant was denied a speedy trial, and that a peremptory writ of mandate must issue ordering the municipal court to dismiss the pеnding charge.
Although the foregoing conclusion renders petitioner’s other contentions moot, since the facts and issues relating to his alleged multiple prosecution and claim of inability to get a fair trial bear in part on the principal issue, those facts and contentions are also reviewed.
On March 20, 1971 petitioner was arrested for driving a vehicle upon a public highway while under the influence of intoxicating lic[uor in violation of subdivision (a) of section 23102 of the Vehicle Code. A complaint charging him with that offense was filed in respondent court on March 22, 1971. Apparently as the result of an investigation following his arrest, a second complaint was filed on April 1, 1971. This complaint charged in one count that petitioner on January 6, 1971 lewdly exposed his person and private parts in a public place where there was another person to be offended and annoyed thereby in violation of section 314 of the Penal Code, and in a second count that on March 20, 1971 (the day of his arrest on the Vеhicle Code charge) he violated section 272 of the Penal Code in that he caused a named individual, of the age of 19 years, to place his hand on the penis of the petitioner which act tended to encourage that individual to come within the provisions of section 601 of the Welfare and Institutions Code, to wit: to become and remain a minor person who is leading or in danger of leading an idle, dissolute and immoral life. 3
*347 According to the newspaper clippings tendered in support of petitioner’s claim for a change of venue, on May 27, 1971 petitioner’s first motion for change of venue on the sex charges was denied. He did, however, obtain an order severing the two charges in the second complaint. Trial on the first count was set for June 29, 1971, 4 and trial on the second count was continued to September 14, 1971.
On June 9, 1971 petitioner moved the department of the respondent court in which the second count, violation of Penal Code section 272, was pending for consolidation of that trial with the trial on the Vehicle Code violation, which was pending in the second and sole other department of the court. That motion was resisted by the district attorney and. was argued but not decided on June 11, 1971. That afternoon petitioner, who had a blood alcohol test of .20 percent at the time of his arrest, appeared in the second department and entered a plea of guilty to the *348 Vehicle Code violation in return for a recommendation, followed by the court, that one-half of the usual fine be suspended. In the course of these proceedings, the district attorney sought a waiver of any rights the defendant might have to raise the question of multiple prosecution under the remaining charge of violation of Penal Code section 272, and the court refused to require such a waiver because it had not been bargained for. The judge indicated that there had been a prior motion concerning consolidation of the trials in his department and that he was of the opinion that comрulsory joinder, to prevent multiple prosecution, did not apply.
On August 2, 1971 petitioner moved for dismissal of the pending Penal Code section 272 charge on the grounds that further prosecution after disposition of the Vehicle Code charge would constitute prohibited multiple prosecution. (See
Kellett
v.
Superior Court
(1966)
According to a clipping submitted by petitioner, on September 10, 1971 the trial date was continued to October 13, 1971 on motion of the petitioner when his attorney represented that he was undergoing surgery and sought time to interpose a motion for change of venue and to seek review of the order denying petitioner’s motion to dismiss.
On September 20, 1971 petitioner interposed a motion for change of venue which was denied.
Thereafter, petitioner filed a petition for a writ of prohibition and/or mandamus with the Superior Court for the County of Sonoma seeking review of the denial of his motion to dismiss and his motion for change of venue and a stay of the trial date. Following hearing on October 7 and 8, 1971 the superior court denied petitioner any relief by order made on the latter date. A petition for an extraordinary writ to review the multiple prosecution issue was denied by the Court of Appeal on October 12, 1971 (1 Civ. 30471, Div. Four), and a petition for hearing in the Supreme Court was dismissed as moot on November 4, 1971 because the trial of the case had already concluded.
The trial which commenced October 13, 1971 terminated on October 22, 1971 in a mistrial, when the jury, which stood 9 to 3 for acquittal, failed to arrive at a verdict. The judge after declaring a mistrial continued the matter to October 29, 1971 for further proceedings.
On October 29 the district attorney filed an amended complaint in three counts. Each count accuses the petitioner of violating section 272 of the Penal Code on March 20, 1971 by words, conduct and acts which “tended *349 to cause the said [identical named individual], a person under the age of 21 years, to become and remain a minor* who is leading, оr is in danger of leading, an idle, dissolute, lewd and immoral life.” [*The word person is inserted after minor in the second and third counts.] The first count echoes the charge upon which petitioner was tried but the words “did encourage by words and conduct one [named individual] to place his hand on the penis of the defendant” are substituted for “did wilfully and unlawfully cause one [named individual] to place his hands on the penis of the defendant.” The second count alleges that petitioner, as defendant, “did solicit one [named individual] to participate in an act of oral copulation of the defendant’s penis”; and the third count charges that he “did take down his pants and expose his person to [named individual].” At the request of petitioner’s attorney the matter was continued to November 4, 1971 for plea and the filing of certain motions.
On November 4, 1971 petitioner filed a demurrer and objections to the amended complaint, a motion to strike and set aside the complaint, and a motion to dismiss. The court took these matters under submission for the purposes of legal research and continued the matter until November 15, 1971 for ruling on the motions and for plea.
On November 15 all of petitioner’s motions were denied and he entered a plea of not guilty to each count. At his request the matter was continued to November 18 for setting.
Meanwhile the defendant had made a new motion for change of venue. On November 18 that motion was denied. When the court approached the matter of setting a trial date petitioner’s attorney advised the court that the petitioner would refuse to waive time. Thereupon the court set the trial for December 21, 1971 and placed the matter on the calendar for confirmation on December 15, 1971. Petitioner’s attorney then stated, “Your Honor, at this time for the record we would object to that date set or any date set on this trial on the grounds previously raised in all motions at the first trial in all pretrial motions including the appellate motion and all motions during a trial including but limited to the 1181 motion made; we would also object on the grounds set forth on the motion of dismissal, demur filed in this Court on November 5, on the basis that any trial in this matter would be a violation of the defendant’s right to due process and to a fair and speedy right to a trial and the double jeopardy under Penal Code Section[s] 1181, 1382 and 1385.” The court overruled all of petitioner’s objections.
On November 26, 1971 petitioner served by mail and mailed to the court his notice of motion to dismiss (filed November 29, 1971) on the
*350
grounds that he had not been brought to retrial within 30 days of the declaration of a mistrial, which he computes to be November 22, 1971 by virtue of November 21 being a Sunday. (See
Dulsky
v.
Municipal Court
(1966)
On December 15, 1971 the court denied the motion and filed its written order so ruling. The order erroneously recites that no objection was made by petitioner to the trial date of December 21, 1971 when the matter was set for trial on November 18, 1971, and concludes that there was an implied consent to a hearing beyond the statutory period. It further states that the petitioner, by interposing motions for dismissal, change of venue and demurrers, impliedly consented to waive the time for trial, and that the petitioner had made no showing that the 51 days which would elapse between October 22 and December 21 would prejudice him. The order continues, “The continuances previously granted to defendant’s counsel for granting defendant the opportunity to file and have considered his pretrial motions was and is good cause within the discretion of the Court to have delayed setting of this case for trial to December 21, 1971. That the known congested trial calendar of the one court available to defendant is further good cause for the trial setting.” It concludes that the motion should be denied for the foregoing reasons.
On the same day the petitioner sought a writ of prohibition/mandate in the superior court to review the trial court’s orders of December 15 refusing to dismiss the complaint, and the order of November 18 which had denied a change of venue. On Jаnuary 17, 1972 the court signed and filed its order denying a peremptory writ of mandate, denying a peremptory writ of prohibition, and discharging the alternative writ it had theretofore issued. The recitals of the order indicate that the court ruled that the intervening delays from October 29 through November 18 were fairly chargeable to petitioner because it was either occasioned by motions advanced by petitioner or by continuances requested by him. He further ruled, advancing a contention not theretofore raised in the record, that the filing of the amended complaint rendered applicable the provisions of section 1382 (see fn. 1 above) which provide for trial within 45 days after the arraignment of one accused of a misdemeanor who is not in custody, and that such period only began to run when petitioner entered his plea on November 15, 1971.
On January 20, 1972 petitioner sought reconsideration on the grounds that he had no opportunity to brief or argue the legal theory on which *351 relief had been denied, 5 and that such theory was erroneous. He also sought a ruling on his alternative prayer for a change of venue. On January 26 the motion for reconsideration was denied, the order of January 17, 1972 was reaffirmed, and the time within which petitioner was to appear for resetting was extended to February 15, 1972 at his request to afford him an opportunity to seek further review of the court’s orders.
The petition giving rise to these proceedings was filed on the last day of the period provided by the trial court. Upon advice that the case had been set for March 7, 1972 with a confirmation calendar setting of March 1, 1972, a stay was granted by this court, and was continued when the alternative writ issued on March 24, 1972.
I
Preliminarily it is noted that the order of the superior court denying petitioner any relief was an appealable order. (See
Patterson
v.
Municipal Court
(1971)
*352
Such an objection was interposed in
Caputo
v.
Municipal Court
(1960)
“The application of this policy to petitioner in the within case may unduly postpone, if not entirely defeat his right to be promptly relieved of the act of the trial court done in excess of its jurisdiction. If he were required to first pursue his appeal from the order of the superior court denying his petition for writ he might well find himself at time of determination of such appeal to have already- been unlawfully tried, convicted and sentenced. He would thus be compelled to rely on a second appeal from such judgment. The appellate court might well find that, in the interim, appellant had been convicted in the municipal court and that this judgment was being appealed; that, since the trial on the merits is completed, and appeal is now pending in the superior court, there are no longer any judicial acts pending in the municipal court to prohibit. (See
Lambert
v.
Municipal Court,
The two
Lambert
cases demonstrate the reality of the
Caputo
court’s fear that the remedy by appeal from a superior court judgment denying a writ to dismiss a pending case in the municipal court may be inadequate. Nevertheless, more recent recognition of an appellate court’s power to preserve the status quo- indicates that the remedy of appeal from the denial of the writ by the superior court may be effective. Formerly it was questionable to» what extent an appellate court by writ of supersedeas could prohibit action by the litigants, as distinguished from action by the court which rendered the judgment or made the order under review. (See 6 -Witkin,
op. cit.,
Appeal, §§ 197 and 201, pp. 4187-4188 and 4194; but cf. § 192 at p. 4183 re staying a trial when reviewing an order on a motion for change of venue by former procedure of appeal.) In 1966 the Constitution was revised and in 1968 section 923.was added to the Code of Civil Procedure to» provide: “The provisions of this chapter shall not limit the power of a reviewing court or of a judge thereof to stay proceedings during the pendency of an appeal or to issue a writ of supersedeas or to suspend or modify an injunction during the pendency of an appeal or to make any order appropriate to preserve the status quo, the effectiveness of the judgment subsequently to be entered, or otherwise in aid of its jurisdiction.” (See
People
ex rel.
S. F. Bay etc. Com.
v.
Town of Emeryville
*353
(1968)
On this state of the law it would appear proper to' remit the party seeking review of the superior court’s action on a writ to an appeal, rather than to a further application for а writ. The reviewing court on proper showing would have power to stay the trial in the municipal court in aid of its jurisdiction, and a possible conflict in judgments of the superior court and the appellate court would be avoided.
In this case, however, the alternative writ was issued without objection noting the adequacy of the remedy by appeal. The merits of the controversy have been fully briefed and submitted to the court. Under these circumstances the issue may be disposed of on the merits. In
County of Santa Clara
v.
Superior Court
(1971)
II
In
Kellett
v.
Superior Court, supra,
A distinction is drawn between the criteria precluding double punishment and those which will prevent multiple prosecution. In
Kellett
the court stated, “If needless harassment and the waste of public funds are to be avoided, some acts that are divisible for the purpose of punishment must
*354
be regarded as being too interrelated to permit their being prosecuted successively. When there is a course of conduct involving several physical acts, the actor’s intent or objective аnd the number of victims involved, which are crucial in determining the permissible punishment, may be immaterial when successive prosecutions are attempted.”
(Id.
See also
In re Hayes
(1969)
In this case there were definitely two criminal acts involved. Whether considered under a “necessarily included offense” test, or an intent “and objective” test or a “criminal acts” test, the offense of driving a vehicle while under the influence of intoxicating liquor, and the offense of contributing to the delinquency of a minor could be separately punished. (See
People
v.
Hartfield
(1970)
It is, however, unnecessary at this stage of the proceedings, to review the action of the trial court in failing to order such consolidation, nor, on the record before this court, can it be determined whether the trial court erred in refusing to dismiss the contributing charge after the petitioner had pled guilty to the Vehicle Code violation and been sentencеd. In the first place, there is no record of the proceedings at which the motion requesting the foregoing relief was denied. All that appears with respect to relationship of the incidents is identity of dates. (See
Thompson
v.
Superior Court
(1968)
*355 Finally, the order denying pеtitioner’s motion to dismiss on the grounds of multiple prosecution was denied September 2, 1971 and was reviewed by the superior court, and another division of this court, which both denied relief to petitioner. It is true that final review by the Supreme Court was denied on the grounds that the trial had already started. The question may not be res judicata, and it was presented, in general terms at the proceedings on November 18, 1971 when the case was set for trial. Nevertheless, since neither the municipal court nor the superior court expressly dealt with this issue in their respective orders of December 15, 1971 and January 17, 1972, since it was not pressed on rehearing before the superior court, it should not again be considered initially by this court in these proceedings. Moreover the conclusions reached on the issue of the time for resetting render it unnecessary to do so.
Ill
Attached to the petition filed with this court are copies of press clippings bearing dates commencing with February 5, 1971, when it was reported that the school bоard which employed petitioner had voted to remove him as principal of a school but to retain him as a teacher, through January 27, 1972, when it was reported that the superior court had denied petitioner's request for a rehearing. An examination of these clippings reveals that they fairly and accurately chronicle the events which have been set forth herein in the procedural history of this case, and throw little, if any, light on the guilt or innocence of the defendant. Under these circumstances it is questionable whether petitioner has demonstrated any abuse of discretion by the denial of his motion for change of venue by the municipal court on November 18, 1971, or by the superior court’s refusal on January 26, 1972 to disturb that ruling. (See
Groppi
v.
Wisconsin
(1971)
In any event the necessity of dismissing the case renders it inopportune to further consider the propriety of ordering a change of venue.
IV
In
Klopfer
v.
North Carolina
(1967)
“Article I, section 13, of our Constitution declares that ‘In criminal prosecutions, in any court whatever, the party accused shall have the right to a speedy and public trial; The relationship betweеn [Pen. Code, § 1382] and the constitutional guarantee of a speedy trial has been variously described in the cases [citations]; it is sufficient for present purposes to adopt the statement of this court in
People
v.
Godlewski
(1943)
The function of section 13 of article I of the state Constitution is “to protect those accused of crime against possible delay, caused either by willful oppression,
or the neglect of the state or its officers.” (In re Begerow
(1901)
The People recognize the foregoing principles but assert, as did the superior court, and as the municipal court judge, according to a clipping, may have conjectured, that the filing of the amended complaint gave rise to a new 45-day period in which the petitioner could be brought to- trial, which period only commenced when he entered his plea on November 15, 1971.
In
Huerta
v.
Superior Court
(1971)
The court, in granting a writ ordering the trial court to- grant the motion to dismiss, referred to the matter as “a very simple case in which both sides were ready for trial, the court was advised that the 60-day period was about to expire, there were trial departments available, the defendant did not consent to a delay, the prosecution did not seek a delay for any expressed cause, but the trial judge who had the case before him, on his own motion, continued the case beyond the 60-day period.” (Id.) In this case both sides were ready for trial when the matter was before the court on November 18, 1971. The court was advised that petitioner was not waiving his statutory right to a speedy trial. Although the court subsequently suggested that “the known congested trial calendar of the one court available to defendant [who had challenged the sole other judge] is further good cause for the trial setting,” this mattеr was not brought out at the time the *358 case was set. (See discussion below.) The prosecution did not seek a delay for cause and the date was set by the court on its own motion.
The People contend, as found by the superior court, that in this case there was an amendment of substance which started a new 45-day period running when the petitioner finally entered his plea on November 15, 1971. In People v. Romero, supra, upon which the People rely, the original information was dismissed. Subsequently a new information charging the identical offense was filed and he was tried 31 days later, but more than 60 days after the filing of the original information. The court overruled the defendant’s contention that he had been subjected to double jeopardy (13 Cal.App.2d at pp. 669-671). It further concluded that the period provided in Penal Code section 1382 for the trial of the case had properly been computed from the time of the filing of the new information (id., at pp. 671-672). In this case, a misdemeanor offense, a dismissal would have barred further prosecution. (Pen. Cedе, § 1387.)
It may be assumed, as in Huerta, that an amendment of substance would constitute a new charge which would start a new period for trial, following the petitioner’s arraignment. Here there is no new charge in substance. The allegations, which have been set forth above show that on October 22, 1971, following the declaration of a mistrial, the petitioner stood charged with violating section 272 of the Penal Code. The amendments to the complaint did no more than add two evidentiary allegations to the same charge.
It is clear that the charge of contributing by exposure was an included charge of contributing by the act charged in the original offense. The petitioner even though convicted on both counts could not be punished for contributing on each count. (See
People
v.
McKerney
(1967)
*359
Moreover the amendments themselves were illusory. They added, nothing to the issues presented by the original complaint. In
People
v.
Lowell
(1946)
In short, the amendments upon which the People and the superior court relied as giving rise to a new period in which to bring the defendant to trial are of no substance. They, therefore, cannot serve to extend the time within which the petitioner was entitled to be tried after his mistrial.
The foregoing conclusion necessitates examination of the reasons advanced by the municipal court judge in his order denying petitioner’s motion to dismiss.
*360 V
In the first place it is clear that any waiver of time by the petitioner up to and including the time the trial court declared a mistrial, did not constitute a waiver of his right to a speedy trial in the future. (See
People
v.
Wilson, supra,
—A—
“A defendant’s consent that his trial be set for a date beyond the limit prescribed ‘is equivalent to a postponement upon his application’
(People
v.
Taylor
(1959)
Here the petitioner complied with the procedure prescribed by People v. Wilson. He not only objected on November 18, 1971 when the court set the matter for December 21, 1971, but he also thereafter filed a motion to dismiss. The trial court erred in its opinion indicating that no objection was made at the time of setting. There was no waiver by acceding to the date as set.
—B—
In reliance on
United States
v.
Ewell, supra,
As noted above, in this state the time for retrial has been fixed by the Legislature and must be followed in the absence of good cause to the contrary. Support for the trial court’s position, is found in
People
v.
Tahtinen, supra,
where the court observed, “The record does not disclose upon whose application, the continuances for plea and for disposition of the motion to set aside the information were granted. Since they were for defendant’s benefit, however, they are fairly chargeable to him.” (
Similarly in
Dulsky
v.
Municipal Court, supra,
the court stated, “. . . the record discloses that the delays in the proceeding were caused primarily by appellant’s conduct—his requests for continuance for plea, and his demurrer; this hardly qualifies him for a dismissal for delay in bringing him to trial. [Citations.] In fact, the court in
People
v.
Harrison,
Any such implied waiver is limited by its terms. Even if it be assumed that all of the delays up to November 18, 1971 were chargeable to the petitioner, 6 since there was no waiver at that time, the *362 court was bound, to set the case at the latest on December 20, 1971, December 18 being a Saturday. It is arguable that the latest date for trial would have been December 2 by virtue of the requirement that the case be set within 10 days after the last date on which the petitioner, assented to being tried, to wit, November 22, 1971. In any event, despite petitioner’s motion filed November 29, 1971, no attempt was made to advance the trial from the obviously improper date. There was no express or implied waiver of the 30-day period for retrial which extended the time to the date set by the trial court.
—C—
In
People
v.
Lohman, supra,
—D—
The trial court considered the petitioner’s pretriаl motions and the delays attendant thereto not only as an implied waiver of his right to a speedy trial (see B above), but also as “good cause within the discretion of the court to have delayed setting of this case for trial to December 21, 1971.”
In
People
v.
Morino
(1890)
In
People
v.
Bryant, supra,
Any subsequent delay occasioned by petitioner’s motion to dismiss and his application for extraordinary relief does not affect his right to a dismissal. The institution of such proceedings “does not have the legal effect of breathing jurisdictional new life into a dead body.”
(Schindler
v.
Municipal Court, supra,
—E—
The trial court also stated, “That the known congested trial calendar of the one court available to defendant is further good cause for the trial setting.”
In re Lopez, supra,
*365 The record in this case falls short of showing that the calendars of both departments were so taken up with criminal cases that it would have been impossible to try defendant within 30 days of Novеmber 18, 1971, nor is there the. showing, required by section 1050 of the Penal Code, that the court had notified the chairman of the Judicial Council of the inability of the court to try the case within the 30-day period for retrial required by section 1382. In view of the fact that the court set the date of December 21, 1971 without any comment, immediately following the petitioner’s statement that time would not be waived, it may be inferred that the question of the congested calendar was an afterthought. Moreover, the petitioner immediately thereafter raised the objection, among others, that “that date” violated the defendant’s right to a speedy trial under section 1382. No comment was made by the court with respect to the condition of the court’s calendar. In the absence of any record concerning the state of the court’s calendar the prosecution has failed to show good cause.
It is therefore concluded that the trial court erred in failing to grant the petitioner’s motion to dismiss for failure to give him a speedy trial under the Constitution and laws of this state.
The alternative writ of prohibition heretofore issued is discharged. Let a peremptory writ of mandate issue commanding respondent court to set aside its order denying petitioner’s motion to dismiss and commanding it to dismiss the action against petitioner.
Molinari, P. J., and Elkington, J., concurred.
Notes
Section 1382 of the Penal Code provides in pertinent part: “The court, unless good cause to the contrary is shown, must order the action to be dismissed in the following cases:
“3. Regardless of when the complaint is filed, when a defendant in a misdemeanor case in an inferior court is not brought to trial within 30 days after he is arraigned if he is in custody at the time of the arraignment, or in all other cases, within 45 days after his arraignment or in case the cause is to be tried again following a mistrial . . . within 30 days after such mistrial has been declared . . . except that an action shall not be dismissed under this subdivision (1) if it is set for trial on a date beyond the prescribed period at the request of the defendant or with his consent express or implied, and the defendant is brought tо trial on the date so set for trial or within 10 days thereafter or (2) if it is not tried on the date set for trial because of the defendant’s neglect or failure to appear, . . .”
Section 654 of the Penal Code provides in pertinent part: “An act or omission which is made punishable in different ways by different provisions of this code may be punished under either of such provisions, but in no case can it be punished under more than one; an acquittal or conviction and sentence under either one bars a prosecution for the same act or omission under any other,”
Penal Code section 272 then provided in pertinent part: “Every person who commits any act or omits the performance of any duty, which act or omission causes or tends to cause or encourage any person under the age of 21 years to come within the provisions of Sections 600, 601, or 602 of the Welfare and Institutions Code or which act or omission contributes thereto, or any person who, by any act or omission, *347 or by threats, commands, or рersuasion, induces or endeavors to induce any person under the age of 21 years or any ward or dependent child of the juvenile court to fail or refuse to conform to a lawful order of the juvenile court, or to do or to perform any act or to follow any course of conduct or to so live as would cause or manifestly tend to cause any such person to become or to remain a person within the provisions of Sections 600, 601, or 602 of the Welfare and Institutions Code, is guilty of a misdemeanor . . . .”
Welfare and Institutions Code section 601 then provided in pertinent part: “Any person under the age of 21 years . . . who from any cause is in danger of leading an idle, dissolute, lewd, or immoral life, is within the jurisdiction of the juvenile court which may adjudge such person to be a ward of the court.”
In 1971 by chapter 1748, Statutes of 1971, adopted December 14, 1971, and effective March 4, 1972, the Legislature changed the age of majority to 18 years of age for most purposes. The act provides in part, “Section i. Except for the provisions relating to the minimum voting age, the provisions relating to minimum age for the sale, purchase or consumption of alcoholic beverages, the provisions relating to the sentencing and commitment of persons to the Department of the Youth Authority, or the provisions relating to veterans’ benefits, whenever, in any provision of law, the term ‘21 years of age’ or any similar phrase regarding such age appears, it shall be deemed to mean ‘18 years of age.’ ’’
Sections 64 through 66 amend sections 600 through 602 of the Welfare and Institutions Code to reduce the maximum age of those subject to the Juvenile Court Law from “under the age of 21 years" to “under the age of 18 years.”
Since these amendments were not effective at the time the current proceedings were initiated, the parties have not discussed their effect on the pending prosecution. (See Gov. Code, § 9708; 1 Witkin, Cal. Crimes (1963) § 35, d. 39. Cf.
People
v.
Harmon
(1960)
The same clippings reflect that the trial on the first count commenced as scheduled and that on July 6, 1971 the jury returned a verdict acquitting petitioner of the offense allegedly committed January 6, 1971.
In a supplemental memorandum in response to the opposition filed by the Attorney General, petitioner offered to augment the record to show that the matters alleged in the new counts in the amended complaint were contained in the original investigative reports and were referred to by the prosecutor in his opening statement at the trial, and that the record of the trial failed to produce any evidence of any act of solicitation as set forth in the second count of the amended complaint. He asserts there were no new facts, as assumed by the superior court, warranting the filing of a new complaint. The People attack this offer as not timely. Nevertheless, it should be noted that until the superior court suggested this theory, it was not contended that the 45-day period governed the timе for retrial. The record shows petitioner persistently attacked the filing of a new complaint. In view of the conclusions reached herein, it is unnecessary to augment the record as requested by petitioner.
The record fails to reveal whether the seven-day continuance from October 22 to October 29 was requested by the prosecution, by the defendant, or was ordered by the court on its own motion. If not requested by the petitioner it arguably-should not be charged to him. The filing of the amended complaint led the petitioner to request a six-day continuance. Even though this time was expressly requested by *362 the petitioner it may be argued that since the filing of the amended complaint was a prosecution move without substance (see part III of opinion above), the People could not delay petitioner’s right to a speedy retrial by such tactics, and he was entitled to oppose them without prejudice to that right. The 11 days from November 4 through November 15 were taken by the court on its own motion. Although this time was devoted to the study of the petitioner’s demurrer and motions and the record fails to reveal any objection to the continuance, a question remains as to whether it was the prosecution or the petitioner who occasioned the necessity for the extra pleadings and motions.
The superior court, on the authority of
People
v.
Terry
(1970)
The only delay clearly solely attributable to petitioner was the three-day continuance from • November 15 to 18 which he utilized to renew his motion for a change of venue.
- In view of the fact that more than 30 days transpired between November 18, 1971 and December 21, 1971, it is unnecessary to further examine the proper computations to be made from the facts set forth in this footnote.
