Opinion
I. INTRODUCTION
Dеfendant Brian J. appeals from the two-year extension of his commitment to the California Youth Authority (CYA) 1 under Welfare and Institutions *105 Code* 2 section 1800 et seq., the juvenile extended detention act (EDA). First, he contends the EDA deprived him of equal protection of the law by treating him differently from similarly situated adult prisoners who are subject to civil commitments under the Sexually Violent Predators Act (SVPA) (§ 6600 et seq.) and the mentally disordered offender (MDO) laws (Pen. Code, § 2960 et seq.). Second, he contends the order extending his commitment is unconstitutional because it is penal in nature, violates substantive due process, and results in cruel and unusual punishment. Third, he contends there is insufficient evidence that his mental disorder causes him serious difficulty in controlling his dangerous behavior or that any risk of reoffense is a result of a mental disorder. Finally, he contends the order must be reversed because of prejudicial misconduct of the prosecutor in argument to the jury. We find that any errors were nonprejudicial, and we affirm.
II. FACTS AND PROCEDURAL BACKGROUND
A. Original Commitment
Defendant’s original commitment to the CYA began on March 13, 1997, when he was 14 years old. In the commitment offense, he lured the eight-year-old victim into a motor home by offering to show him some magazines. Defendant pushed the victim down, bound his hands and feet together, took his clothes off, and put duct tape across his eyes and mouth. Defendant pressed a knife against the victim’s back and threatened to cut him if he did not “shut up.” Holding the victim down, defendant put his penis in the victim’s mouth and urinated. He whipped the victim with a belt and a piece of wood and punched him twice in the stomach. The victim begged him to stop, and eventually defendant cut him loose and let him leave. Defendаnt had himself been molested in similar fashion by an uncle from ages five through 13.
B. Section 1800 Petition
On December 10, 2004, the Riverside County District Attorney filed a petition under section 1800 to extend defendant’s CYA commitment, which was to expire on January 31, 2005. The petition was based on a letter from the Youthful Offender Parole Board and on defendant’s CYA master file, both of which were attached to the petition. The trial court conducted a hearing and found probable cause to believe defendant was “likely to be physically dangerous to the public due to his mental or physical deficiency, disorder or abnormality.”
*106 C. Evidence at Defendant’s Jury Trial
From April 1997 through March 1999, defendant was assigned to the caseload of youth correctional counselor (YCC) Katherine Harris of the Marshall unit at the CYA reception center in Norwalk. The Marshall unit has an intensive treatment program for wards with psychological problems. While there, defendant participated in groups and counseling sessions for trauma recovery, anger management, sex offenders, and victim awareness.
Harris prepared a report about defendant’s first year in CYA, in which she described his behavior as “out of control.” Defendant made rude comments to his peers, wrote them sexual letters or notes, touched their genitals without their permission, and threatened to fight them. He was diagnosed as being a serious pedophile. Harris testified that defendant was found in possession of pornographic photographs of children, and he admitted masturbating to the photographs. Staff had reported that defendant had yelled obscenities at visiting children through the visitors’ window while masturbating, so he had to be moved to another side of the unit where he could not see the children.
The second annual report noted that defendant was acting out sexually by touching other wards inappropriately and writing an inappropriate sexual letter. Harris described his behavior during his second year at CYA as “[v]iolent, out of control, highly sexual, acting out and really kind of dangerous. . . . [A]lways having to watch him.” During group sessions, defendant was an agitator, and he laughed when other wards talked about their victims. Harris testified that defendant had the ability “[t]o some degree” to control his behavior if he wanted to. Defendant showed some improvement when he applied himself. For a month or two, defendant did control his behavior sufficiently that he was moved to a higher phase and received more privileges, but he “had difficulty controlling his behavior,” and he regressed.
Harris testified that normally, wards had a single counselor assigned to them, but defendant was assigned two counselors and a therapist because of his severe behavioral issues. Defendant met with his counselor at least one hour per week and with his therapist twice a week. He also had recovery group, trauma group, and victim group sessions once each per week. His progress was poor because he was resistant to treatment and disruptive during his group sessions. He did not openly discuss his commitment offense, and he showed no empathy for his victim.
From March through December 1999, defendant was in a specialized counseling program for sex offenders at Oak Lodge. Dr. Peter Shumsky, a clinical psychologist for the CYA, conducted a psychological еvaluation of defendant, who was being considered for a transfer because he had been in *107 the program for nine months but had not made any progress. Dr. Shumsky reviewed prior evaluations and defendant’s file and interviewed defendant. In addition, defendant had attended Dr. Shumsky’s group sessions for four hours per week for several months.
Dr. Shumsky noted that defendant had poor impulse control and acted out with physical and verbal aggression. He continued to present “an extremely elevated danger towards young children of both sexes.” Defendant masturbated daily to sexual fantasies of children, and he had developed a sexually deviant arousal problem with a primary orientation toward children. Defendant had poor social skills, and he was uncomfortable with and fearful of adult men because of his history of abuse. Dr. Shumsky diagnosed defendant with attention deficit hyperactivity disorder (ADHD), predominantly hyperactive impulsive type; conduct disorder, childhood onset type, moderately severe; pedophilia, nonexclusive type; and sexual abuse of a child. Dr. Shumsky stated his opinion that defendant’s addiction to masturbating to images of children “would cause serious difficulty in controlling [his] behavior.”
A transfer summary dated December 22, 1999, prepared by YCC Janice Carter, stated that defendant had no empathy for his victim, and he continued to change his story about what he had actually done to the victim. Defendant admitted having continuing sexual fantasies about young boys and admitted that for at least a year, he had masturbated twice daily to those fantasies.
In 2000, defendant was assigned to the caseload of YCC Tom Casillas at O.H. Close Youth Correctional Facility (Close) in Stockton. Casillas prepared an annual review and transfer summary for defendant in January 2001. Defendant’s treatment team felt defendant needed to be transferred because he was not meeting his goals or treatment needs. In group sessions, defendant never showed any empathy toward his victim or remorse for his offense. His performance in the sex offender group was poor because of lack of participation. Defendant and another ward were reported to have engaged in sexual activity in a classroom, although defendant denied doing so. Defendant told Casillas that he had planned his committing offense for about two months.
In March 2001, defendant was assigned to a specialized counseling program for emotionally disturbed wards at N.A. Chaderjian Youth Correctional Facility (Chaderjian); the majority of wards in the program are sex offenders. Defendant was first assigned to the caseload of YCC Esiquio Chico Gutierrez at Chaderjian. Gutierrez prepared an annual review dated April 15, 2002, which indicated defendant was not accepting full responsibility for his offense and did not want to discuss treatment issues related to his offense. Defendant got into verbal conflicts with other wards, “disrespected” other wards, and came *108 close to getting into physical altercations with them. He sometimes was disruptive by “[sjhouting profanities. And then just shouting, being angry, standing up, shouting you know” towards other wards and Gutierrez. He “[rjeacted very quickly without even thinking of the consequences.” Defendant’s progress in group was mediocre because he would get upset and frustrated and would refuse to talk, and he failed to complete his homework assignments. Between April 2001 and April 2002, defendant participated in “rational behavior therapy, anger management, parenting, victim awareness, [and] self-esteem . . . [along with] assertion group, process, individual counseling, small group counseling, sex offender counseling.”
Defendant was assigned to the caseload of YCC Martin Jimenez from 2002 through July 2003 in the specialized counseling program at Chaderjian. In March 2003, Jimenez prepared an annual review/transfer report stating that defendant did not express any empathy for the victim or remorse for what he had done to the victim. His progress in the program had been minimal. He still engaged in inappropriate behavior in his living unit. Jimenez described an incident in which, in May 2002, a cook noticed defendant in the dining room with an art class. Defendant spoke to the cook in the kitchen. A few minutes later, defendant went to the cook’s office and engaged in small talk, then tried to close the door. The cook yelled at him to open the door. Defendant did so and walked out. The look in his eyes made the cook fearful. Other wards had reported that defendant had stared at the cook in the dining hall for a long period of time. Defendant admitted to Jimenez that he had planned to rape the cook. On another occasion, defendant masturbated another ward in the recreation yard.
Jimenez prepared chronological notes in early 20Q3 concerning defendant. The notes indicated defendant continued to lack progress in his treatment, and he still posed a danger to the public. Defendant had sadistic fantasies and urges, and he stated he got pleasure from beating other people. He admitted fantasizing about his commitment offense. Jimenez prepared a transfer summary in May 2003. Defendant had been in the counseling program at Chaderjian for almost two years, but had not made any significant progress, and his treatment team felt that a new environment might give him a new start. At a case conference in May 2003 with his treatment team, defendant yelled profanities, refused to sit down, and had to be removed to his room where he continued yelling. In another incident, defendant tried to make a hole in the wall of his room so he could commit a sexual act with the ward in the adjacent room.
Dr. Sophia Johnson was a staff psychologist at Chaderjian. Defendant participated in a sex offender group treatment program that she led in 2002; the group met weekly for two to two and one-half hours. Defendant was *109 usually quiet in group and did not participate much. In November 2002, Dr. Johnson wrote a behavior report on defendant after he walked out of the group when she confronted him and told him he needed to talk about his offense. During the discussion, she told defendant he risked a section 1800 petition unless he participated in treatment. Dr. Johnson recommended that defendant be tracked for section 1800 proceedings because “he hadn’t ventured into treatment or he was not motivated,” because of “his level of aggression and anger and inability to control it,” and because of “his ongoing sexual acting out during his incarceration.” When Dr. Johnson wrote the report, she believed defendant was a danger to the community. She recommended defendant be transferred to another sex offender program to allow him a new start.
In Dr. Johnson’s opinion, defendant demonstrated progress when he told Jimenez in January 2003, that he was still a danger to the public. She believed defendant’s honesty with his counselor about his fantasies regarding the commitment offense was also a step in the right direction.
During a group session in February 2003, defendant admitted sexually assaulting other children in the, same manner as his commitment offense. In Dr. Johnson’s opinion, defendant was dangerously sadistic and fascinated with hurting others.
On April 1, 2003, Dr. Johnson prepared a note stating that defendant was able to talk about his commitment offense, but he did not know what his motivations had been, and he could not express his feelings about what he had done. Dr. Johnson described defendant as having a fragile ego defended by anger and sadistic rage.
Defendant was transferred to Hernán G. Stark Training School (Stark) in Chino in August 2003, where he was assigned to the caseload of YCC Osei Yaw. Defendant attended a weekly impulse control group, during which he showed difficulty sitting still and taking orders from staff. Defendant exhibited similar behavior and failed to participate in his sex offender group.
In Yaw’s view, defendant is still a danger because he is attracted to children, and “he has very little impulse control in his urges.” Defendant admitted stalking other wards and fantasizing about having sex with them. He had very little control when he became angry and he disrespected and used racial slurs against other wards, which put his life in danger. Although defendant had been taught intervention tools, Yaw saw no evidence that he ever used them.
Defendant admitted to Yaw that he had molested three victims, and he admitted that he had intended to rape the cook in the incident at Chaderjian. *110 He admitted he enjoyed tying up his victims. Defendant stated he believes he is a pedophile. He stated that he could be triggered into again molesting children by being in the company of children, using pornography, and having deviant sexual fantasies. He was still sexually acting out in his living unit, was writing inappropriate notes, and was stalking a couple of the other wards. Defendant admitted he had planned the commitment offense for months and had lured the victim into his father’s motor home.
Defendant wrote out casework assignments in which he stated that before his offense, he had sexual fantasies and was looking for someone with a small penis and buttocks. He fantasized about having the victims orally copulate him while he was hitting them. Some of his fantasies included spanking. He wrote about his offense, but he was never able to discuss it in therapy.
Dr. Laura Poncin, a psychologist, was part of defendant’s treatment team at Stark in 2003 and 2004, and defendant attended her weekly therapy group for child molesters for about eight months. Defendant admitted he was a sexual sadist and had had an erection when he was beating the victim. He admitted molesting other victims. He admitted he had “wasted seven years of his treatment.” In Dr. Poncin’s opinion, defendant’s admission that he was a sadist was “a huge step” in his treatment. In the beginning stages of treatment with Dr. Poncin, defendant “seemed like he was going to be able to apply himself,” but he then started going downhill by refusing to attend group sessions, getting into a fight with another ward, and being verbally disrespectful of other wards. He was transferred to another facility in April or May 2004 because there was concern his safety might be in jeopardy from other wards who were angry with him.
Dr. Poncin stated that defendant was able to control himself while in her group and at times in his living unit, although at other times he was not in control of himself. That behavior told her “he had the actual capacity to control himself if he chose to.” She further testified that she saw a distinction between the ability to control behavior in a structured environment or institution and the ability to do so unsupervised in the community. She testified that defendant’s mental disorder did not render him incapable of controlling his behavior.
David Michael Rhoades was a CYA correctional counselor assigned to the sex offender program at Stark in Chino. Defendant was in Rhoades’s sex offender group for three or four months and in Rhoades’s resource, recovery group for about two months in 2004. Defendant’s participation in the sex offender group had been “minimal at best,” and he spoke only when confronted directly. He expressed a lot of anger about his own victimization. In the recovery group, defendant indicated that he had enjoyed his offense *111 toward his victim, and he did not want to change anything about himself. Because defendant did not want to deal with his issues, Rhoades removed him from the group. Rhoades never witnessed a time when defendant lost control.
Casework specialist Michael Farmer was part of defendant’s treatment team at Stark from summer 2003 to summer 2004. He conducted case conferences every other month with defendant, Dr. Poncin, and Yaw to discuss defendant’s progress in the program. Defendant’s participation in group sessions had been inconsistent and limited, and he made minimal progress in dealing with the issues regarding his sexual offense. He did not have good interaction with his peers and often got into conflicts with them by making racial or other comments to them. A specific relapse prevention program was never discussed, with defendant because he never demonstrated enough consistent knowledge of the assault cycle to work on such a plan.
Farmer compiled a section 1800 report on defendant in May 2004. The report included defendant’s annual reviews, his treatment history, and his confinement history. All the annual reviews from 1998 through 2004 stated defendant was not participating in groups or really addressing the significance of the commitment offense. However, during confinement, defendant’s inappropriate behaviors had slowed down.
Defendant was returned to Chaderjian in 2004. Although he was no longer assigned to Gutierrez’s caseload, Gutierrez observed that after his return, defendant seemed more mature and better able to manage himself, but in July or August 2004, defendant relapsed, in that he twice exposed himself to a female supervisor. Jimenez also observed that after defendant’s return to Chaderjian, defendant had made progress in his ability to handle frustrations and control his impulses.
Dr. Johnson reported that during defendant’s first placement at Chaderjian, he “did literally almost nothing,” but the second time, after his return in 2004, “he did talk about his victims and he did go over his offense and he did begin his assault cycle.” Defеndant discussed the facts of his offense, although he still did not show empathy or remorse toward the victim. He had matured over time, and “[he] was able to control himself and refrain from acting out as often, as frequently or as violently. He was doing a lot better the second time in that area as well.” However, Dr. Johnson did not see defendant using the techniques he was being taught, because defendant continued to act out in the hall, although not in group. Although defendant was not an active participant in group, his participation was improved.
Dr. Johnson testified she believed defendant suffers from a mental disorder, but she did not believe that mental disorder causes him serious difficulty in *112 controlling his behavior.' Rather, she- testified, “He’s well planned.” She explained, “He has a disorder. There’s no doubt. He has several diagnos[e]s. But those do not create—they do not impact his volitional behavior at all. He’s able to plan his offenses. He—he actually—even on the . . . writeups at CYA, all the behavior reports that I’ve seen as far as his masturbating have been planned out ahead of time. The incident with the cook seemed to be relatively planned. And there’s incidences throughout this report that talk about how well planned he is. He planned his commitment offense as well. But I’m not disputing that he has the diagnos[e]s. I’m just saying that they do not impact his ability to plan. As a matter of fact, he’s well planned.” She further explained that even ah addict has “the capacity to refrain . . . unless you have mental retardation or something where you aren’t capable.”
Dr. Johnson was asked if she believed an addiction would causе a person to have serious difficulty in refraining from behavior, and she stated she did not believe so. She explained, “It’s programming. It’s actually again relapse prevention. It’s knowing your high risks, embracing treatment and high risks and intervention. Not willpower at all. It doesn’t work.” She stated that for an addicted person to stop, interventions would be required, and if such interventions were not in place, it would be more difficult, although not impossible. When asked if one who suffers from a mental disorder that causes serious difficulty in controlling behavior could still control that behavior, she responded, “One could—yes and no. I mean if it’s really—if you’re out of control and your mental illness affects you, then truly if it affects you and you can’t control your behavior, you would act out. . . . Either you lack control because of it, ‘I’m psychotic, and I can’t stop' talking to myself,’ or, you know, ‘I’m something else. And I am able to control it.’ Somebody who is psychotic wouldn’t be able to.”
Dr. Inga Talbert, a clinical psychologist with CYA, conducted the section 1800 psychological evaluation of defendant. Dr. Talbert had never participated in defendant’s treatment. In conducting the evaluation, she reviewed all his files and interviewed him over three days in April 2004. She testified that during the interviews, defendant was easily distracted. When she asked him about his commitment offense, he said he (fid not want to talk about it, and he told her to read his file. He stated he had molested five child victims of both sexes starting when he was 13 years old. He stated, “I’m a sexual sadist. I’m sexually aroused by pain that I inflict on my victims.” Defendant was detached and unemotional when discussing his victims, but he stated he had remorse for what he had done.
Defendant had been prescribed Wellbutrin and Depakote because of his ADHD. Defendant told Dr. Talbert he used to masturbate when he was bored, but he no longer did so. He had had surgery to remove a cyst on his testicle, *113 and he claimed his tubes had been tied so nothing came out when he masturbated. He described himself as being quiet in school. He denied getting into physical altercations or making verbal threats to other , students. He said he had been suspended three to five times. He had graduated from high school while in CYA and had taken one college class.
Dr. Talbert tested defendant and found no indications of organic impairment. On the personality assessment inventory, his score on the violence potential index was one of the highest Dr. Talbert had seen, indicating defendant has a “greatly high risk of violent behavior.” A violence risk appraisal based on defendant’s file information showed a 55 percent probability of violent recidivism in seven years after release and a 64 percent probability in 10 years after release. A sex offender risk appraisal based oh his file information showed a 58 percent probability of violent recidivism after seven years of release and a 76 percent probability after 10 years of release.
Dr. Talbert also gave defendant a multiphasic sex inventory. The results indicated that “he may have some problems controlling his sexual thoughts and impulses,” and “he appeared to be actually obsessed with sex.” On the motivation for treatment scale, he answered “False” to the statement, “Even without any treatment, I know that I cаn control my sexual behavior,” and “True” to the statement, “I need help because I’m not able to control my sexual behavior.” Overall, the test showed that defendant is interested in sex with children, and he has sexual urges, fantasies, and behaviors consistent with pedophilia and child molestation, and rape fantasies tied to sexual sadism. Defendant’s overall profile on the test was “not even close” to meeting the criteria for one who has completed treatment for being a sex offender. On the Hare psychopathy checklist, defendant’s score was in the psychopathic range, meaning he has “[a]n elevated risk of future violence and recidivism.”
Dr. Talbert diagnosed defendant with (1) pedophilia, sexually attracted to both, nonexclusive type; (2) sexual sadism; (3) sexual masochism; (4) sexual disorder, not otherwise specified; (5) paraphilia, not otherwise specified; (6) ADHD, predominantly hyperactive impulsive type; (7) séxual abuse of a child; and (8) antisocial personality disorder. She also believed he should be diagnosed with exhibitionism, frotteurism, and posttraumatic stress disorder.
In Dr. Talbert’s view, pedophilia is a lifelong problem, like an addiction, and people who are not treated have significant difficulty in controlling their behavior. Sexual sadism is a rare disorder, and defendant was very young when he committed his offense. Sexual sadists may control their behavior in a controlled setting, but have no incentive to stop when released to the *114 community unless they have been treated. Adults with ADHD are more likely to act out sexually than persons without the disorder, and ADHD can exacerbatе other disorders, making it more difficult for one to control his or her behavior. Medication is not generally enough to control impulsive behaviors.
Dr. Talbert stated her opinion that based on the severity of the diagnoses and lack of treatment, defendant would not be able to control his behavior, and he is physically dangerous. She believed he could successfully be treated, and treatment options are available in CYA. She believed defendant has the capacity to control his behavior, but there was no evidence he had learned the proper coping tools and mechanisms to help him succeed in the community, and he therefore had an increased risk of being unable to control his behavior. Dr. Talbert based her opinion on defendant’s history, his CYA writing assignments, her interview of defendant, and psychological tests.
In preparing her section 1800 evaluation, Dr. Talbert discussed defendant’s treatment with Dr. Johnson. Dr. Johnson told Dr. Talbert that defendant was attentive in group and was making progress. He was learning concepts, but not applying them to his behavior. Dr. Johnson told Dr. Talbert that defendant was “a very dangerous ward and that he has not completed his treatment and that he doesn’t really seem to be motivated to work on his issues.” Dr. Johnson also reported that defendant “stalks female staff often and had acted out sexually with males while in CYA” and that “he still has a lot of work to do in his treatment before he would be ready for release.”
In.his defense, defendant presented.the testimony of Richard Alvarado, a treatment team supervisor, who had investigated the incident involving the cook. After interviewing the cook, other witnesses, staff members, and defendant, Alvarado modified the original complaint from attempted assault on a staff member to a security violation for “being in an out-of-bounds area.” However, Alvarado testified that the evidence presented to him had not included defendant’s later admission that he had intended to rape the cook. If Alvarado had had that information, he would have sustained the original allegation.
Following trial, the jury found that defendant “is physically dangerous to the public because of his mental or physical deficiency, disorder, or abnormality which causes him to have serious difficulty controlling his dangerous behavior, and this inability to control his behavior results in a serious and well-founded risk that he will reoffend.” The trial court ordered that defendant’s CYA commitment be extended for not more than two years.
*115 III. DISCUSSION
In keeping with the principle that we do not reach constitutional issues if the case may be decided on another basis (see, e.g.,
Santa Clara County Local Transportation Authority v. Guardino
(1995)
A. Sufficiency of Evidence
Defendant contends the evidence was insufficient to establish that his mental disorder causes him to have serious difficulty in controlling his behavior and that there was a resulting serious and well-founded risk he would reoffend.
1. Standard of Review
When reviewing the sufficiency of the evidence in an EDA case, we view the record as a whole in the light most favorable tо the judgment, drawing all inferences the trier of fact could reasonably have made to support the. finding.
(In re Anthony C.
(2006)
2. Analysis
In
In re Howard N.
(2005)
However, as defendant concedes, a total lack of control is not necessary.
(Crane, supra,
The
Howard N.
court explained, “
‘Hendricks[, supra,
Thus, to extend an adult ward’s CYA commitment beyond the date CYA jurisdiction would normally expire, there must be proof beyond a reasonable doubt that the person has a mental, physical, or psychological disorder that makes him physically dangerous to the public and that causes him serious difficulty in controlling his dangerous behavior. (§ 1801.5; Howard K, supra, 35 Cal.4th at pp. 134—135.) In In re Michael H, supra, 128 Cal.App.4th at *117 page 1091, the court held that an additional finding is required that the person’s inability to control his behavior results in a serious and well-founded risk he will reoffend. Here, the jury was instructed that all these elements must be proved beyond a reasonable doubt, and the jury returned a verdict finding all the required elements.
Defendant contends, however, that the evidence is insufficient to prove that his “mental disorder causes him to have serious difficulty in controlling his behavior,” and as a result, “there was no proof of the fourth element,” a serious risk of reoffense.
However, defendant acknowledges that the expert testimony on the issue of whether his mental disorder causes him to have serious difficulty in controlling his behavior was conflicting. Dr. Talbert testified that pedophilia is a lifelong problem, and pedophiles are at high risk to continue their behavior if not treated. Sexual sadists may be able to control their behavior in highly controlled settings, but if released to the community without the necessary tools, they have no incentive to stop their behavior. Dr. Talbert stated her opinion that defendant is physically dangerous and will not be able to control his behavior. Dr. Talbert also performed a risk analysis that showed a well-founded risk defendant would reoffend, and she tied that risk to his diagnosed disorders.
Nonetheless, defendant argues that the evidence at trial did not meet the stringent criteria for extended detention as established in
Howard N., supra,
Defendant also notes that Dr. Talbert opined that although defendant is physically dangerous, he does have the capacity to control his behavior and has shown that he can control his behavior. YCC Gutierrez testified that after defendant’s return to Chaderjian in 2004, defendant’s behavior and maturity *118 had improved—he seemed better able to manage himself, and he no longer was engaging in verbal or aggressive behavior. Dr. Johnson also noted improvements in defendant’s behavior and in his participation in therapy after his return to Chaderjian. Defendant’s anger had subsided or was less apparent, he could subdue his anger more easily, and he did'not have any behavior problems in group therapy. Dr. Poncin testified defendant had the capacity to control his behavior. Although she testified that every pedophile and sexual sadist bears a risk of having a serious difficulty of controlling his behavior, she concluded that defendant’s mental disorders did not render him incapable of controlling his behavior.
In citing this evidence, defendant has merely pointed out conflicts in the evidence, and the jury resolved those conflicts against defendant. In fact, defendant’s trial counsel acknowlеdged in argument to the jury, that the experts’ opinions were in conflict. Moreover, the evidence in this case is in sharp contrast to that in the one published case in which evidence was found insufficient to support an extended detention under the EDA.
In
Anthony
C., the Court of Appeal held that the evidence was insufficient to support a finding beyond a reasonable doubt that the defendant had serious difficulty controlling bis sexually deviant behavior.
(Anthony
C.,
supra,
The jury found the defendant to be dangerous, and the trial court extended his commitment for two years.
(Anthony C., supra,
Here, in contrast, Dr. Talbert did prepare a formal risk assessment. The violence risk appraisal based on defendant’s file information showed a 55 percent probability of violent recidivism in seven years after release and a 64 percent probability in 10 years after release. Thе sex offender risk appraisal based on his file information showed a 58 percent probability of violent recidivism after seven years of release and a 76 percent probability after 10 years of release.
Moreover, unlike the defendant in
Anthony C., supra,
Osei Yaw, defendant’s youth counselor from September 2003 through April 2004 reported that defendant acknowledged he was a pedophile “not anywhere near recovery.” Defendant stated that being around children, using pornography, and his own deviant fantasies could trigger him into molesting *120 children again. He still acted out sexually in his living unit, wrote inappropriate notes, and stalked other wards. He acknowledged having sexual fantasies about other wards while watching them from his room. Yáw opined defendant still posed a danger to children because he was sexually attracted to them, and he had very little impulse control over his urges. In tests conducted by Dr. Talbert, defendant admitted he could not control his sexual behavior without treatment and that he needed help because he was not able to control his sexual behavior.
In
People v. Superior Court
(Ghilotti) (2002)
We thus conclude the evidence amply supported the jury’s findings that defendant’s mental disorder causes him serious difficulty in controlling his dangerous behavior and that the risk of reoffense is a result of a mental disorder.
Moreover, we observe that although neither party objected on that basis, Dr. Johnson’s testimony giving her interpretation of
Howard N., supra,
B. Prosecutorial Misconduct
Defendant next contends the prosecutor committed reversible error by (1) appealing to the jurors’ passions and prejudices by implying they could protect society with their verdict, and (2) interjecting his personal views into his argument by giving the jurors his own definition of addiction. In addition, defendant argues the prosecutor used first person pronouns when discussing the likelihood defendant would reoffend in the absence of further treatment, and posited a scenario in which defendant’s victim could later use his victimization to defend himself against molestation charges, although there was no evidence that the victim had molested or was likely to molest another.
1. Factual Background
During argument, the prosecutor summarized some of the counselors’ and therapists’ assessments of defendant as follows: “After [defendаnt’s] evaluation, he went back to [Chaderjian]. And while there were some bumps in the road there, Dr. Johnson, Mr. Gutierrez said you know what? I saw improvement of this guy. I saw maturity that hadn’t been there before. I saw at least a willingness to engage in the treatment process that wasn’t there before, [f] Is he done? Dr. Johnson said no. He’s got a lot of work to do. But she saw a maturity and a willingness on his part to try.” The prosecutor then stated, “I think we can serve both interests here by finding true. We can protect our community and insure that there are no other victims out there.”
Defense counsel objected, the court sustained the objection, and defense counsel moved for a mistrial. The court took the motion under submission.
The prosecutor then concluded argument as follows: “By a finding of true, we can help that those four elements that you’re saying are true, that he has a mental disorder, that he’s physically dangerous to the public, that he has a problem, significant difficulties controlling that and that he’s likely to reoffend. We can try our best to make sure that doesn’t happen, [f] I’d ask that you find the Petition true.”
During a recess, defense counsel argued in support of the motion for a mistrial that the prosecutor had committed prejudicial misconduct in appealing to “the jurors’ passions, prejudices and fears by appealing to them to render a true finding in order to insure the safety of their community.” The court found the prosecutor’s argument to be “totally improper” and misconduct, and asked the prosecutor to address whether a mistrial should be granted.
*122 The prosecutor argued that a curative instruction would be sufficient. Defense counsel disagreed, arguing that a mistrial was the only effective remedy: “I don’t think a curative instruction is going to unting the bell. That was a damning appeal to their passions and to their fears.” The trial court acknowledged that the prosecutor had interjected personal opinions into argument on multiple occasions. For example, the prosecutor had stated, “Is it possible he’s not going to go out and reoffend without any further treatment? That’s possible. I don’t think it’s likely. And I don’t think that’s what the testing supports.” The prosecutor had also given his own definition of addiction: “What is an addiction? My understanding of an addiction is that you engage in behavior, you want to engage in behavior and you have a hard time not engaging in that behavior.” The prosecutor had further argued that defendant’s victim might someday victimize another and urged the jury to “try and break the cycle.” 4
After further argument on the motion, the trial court denied the motion for mistrial, but stated it would give a curative instruction. The trial court thereafter instructed the jury as follows: “You know, as I told you before, statements by the'lawyers in argument are not evidence, but there’s a couple [of] things I need to clarify. [][] One, there’s no evidence before you that [the victim] has molested anyone. And the second thing is your duty is not to insure the protection of society as was implied in the argument. Your duty is to determine whether the Petition is true beyond a reasonable doubt. And that’s what you must focus on in rendering your decision.”
2. Analysis ■
“[A] prosecutor commits misconduct by the use of deceptive or reprehensible methods to persuade either the court or the jury.”
(People
v.
Price
(1991)
*123
Here, the trial court properly found that the prosecutor committed misconduct in his argument to the jury. The People impliedly concede that the prosecutor’s argument constituted misconduct, a concession with which we must agree—the prosecutor implied the existence of facts not in evidence and interjected his personal views into the argument. (See
People v. Kirkes
(1952)
The People argue, however, that the trial court’s admonition was sufficient to cure any prejudice. In determining the efficacy of an admonition in dispelling prejudice from improper argument, “we must weigh the cumulative effect of the improper statements that pervaded the prosecutor’s closing argument.”
(People v. Herring
(1993)
In
People
v.
Price, supra,
Here, the trial court tailored its admonition to the prosecutor’s specific remarks. The trial court first noted that there had been no evidence that defendant’s victim had molested anyone. The trial court then emphasized that the jury’s duty was to determine whether the petition was true beyond a reasonable doubt, not to ensure the protection of society. We conclude the trial court’s admonition to the jury was sufficient to cure any prejudice from the prosecutor’s misconduct.
*124 C. Equal Protection
Defendant contends his commitment under the EDA deprived him of equal protection because he was treated differently from similarly situated adult prisoners who are subject to civil commitments under the SVPA and the MDO laws. Specifically, he contends that under the EDA, he received lesser procedural protections, he was subject to broader commitment criteria, his conditions of confinement were more punitive, and there was no requirement that his mental disorder be treated.
1. Overview of EDA
The EDA allows the state to extend the detention of an adult ward beyond the date the CYA’s jurisdiction would normally expire when the ward is determined, beyond а reasonable doubt, to be physically dangerous to the public because of his or her mental or physical deficiency, disorder or abnormality which causes the person to have serious difficulty controlling his or her dangerous behavior. (§ 1801.5.) To initiate a commitment under the EDA, the CYA must request, and the prosecuting attorney must file, a petition requesting that the ward’s detention be extended. (§ 1800.) The ward is entitled to notice of the petition and a probable cause hearing, followed by a jury trial. (§§ 1801, 1801.5.) The detention is for up to two years. (§ 1802.) Within that two-year period, unless the person has been discharged under the provisions of section 1766, a new application for continued detention may be filed if deemed necessary. (§ 1802.) The EDA includes no requirement that the ward be housed separately from other wards. At any time during the detention, the Department of the Youth Authority may transfer any ward over 21 years of age to state prison “to protect other persons in the custody of the department.” (§ 1802.)
2. Standard of Review
We review the constitutionality of a statute de novo.
(Ghirardo v. Antonioli
(1994)
*125 3. Framework of Equal Protection Analysis
Both the federal and California Constitutions provide that no person shall be deprived of equal protection of the laws. (U.S. Const., 14th Amend.; Cal. Const., art. I, § 7, subd. (a).) To succeed on a claim of denial of equal protection, a person must first show that the state has adopted a classification that affects two or more similarly situated groups in an unequal manner.
(Cleburne
v.
Cleburne Living Center, Inc.
(1985)
“ ‘The first prerequisite to a meritorious claim under the equal protection clause is a showing that the state has adopted a classification that affects two or more
similarly situated
groups in an unequal manner.’ [Citations.] This initial inquiry is not whether persons are similarly situated for all purposes, but ‘whether they are similarly situated for purposes of the law challenged.’ [Citation.]”
(Cooley, supra, 29
Cal.4th at p. 253.) “If persons are not similarly situated for purposes of the law, an equal protection claim fails at the threshold. [Citation.]”
(People v. Buffington
(1999)
When a showing is made that two similarly situated groups are treated disparately, the court must then determine whether the government has a sufficient reason for distinguishing between them. “ ‘ “The concept of the equal protection of the laws compels recognition of the proposition that persons similarly situated with respect to the.legitimate purpose of the law receive like treatment.” ’ [Citation.]” (Cooley, supra, 29 Cal.4th at p. 253.)
“In resolving equal protection issues, the United States Supreme Court has used three levels of analysis. Distinctions in statutes that involve suspect classifications or touch upon fundamental interests are subject to strict scrutiny, and can be sustained only if they are necessary to achieve a compelling state interest. Classifications based on gender are-subject to an intermediate level of review. But most legislation is tested only to determinе if the challenged classification bears a rational relationship to a legitimate state purpose. [Citations.]”
(People
v.
Hofsheier
(2006)
Defendant contends that EDA commitments trigger strict scrutiny because they involve a restraint on personal liberty. (See
People v. Olivas
(1976)
In addressing an earlier version of the EDA, our Supreme Court stated that “although the procedures leading to the commitment of various classes of people for treatment or to protect society from them need not be identical in all respects, none may deny to one such class fundamental rights or privileges accorded to another unless a rational basis for the distinction exists. Thus we must evaluate the procedures adopted to implement sections 1800-1803 in light of other statutory provisions governing, involuntary commitment. [Citation.]”
(In re Gary W.
(1971)
4. Evaluation Procedures
Defendant contends that the EDA deprived him of equal protection because SVP’s and MDO’s benefit from more stringent screening procedures than those that are applied to wards committed under the EDA. The SVPA requires a stаndardized screening process with the recommendation of at least two psychiatrists or psychologists appointed by the Director of Mental Health, and if those examiners disagree, two independent professionals must be appointed. (§ 6601, subds. (d)-(h).) Similarly, the MDO statutes require evaluation by two independent, psychologists or psychiatrists. (Pen. Code, §§ 2966, subd. (a), 2978.) In contrast, the EDA requires an evaluation by one mental health, professional designated by the CYA director only if the Department of the Youth Authority has failed to act on a request for commitment action by the Youth-Authority Board. (§ 1800.5.)
The SVPA, however, does not require that persons receive treatment prior to the commencement of long-term commitment. (See
People v. Hubbart, supra,
Moreover, on appeal, any error relating to probable cause findings is subject to harmless error review. In
People
v.
Scott
(2002)
In
In re Wright
(2005)
Here, likewise, defendant had a fair trial, and any error in the initiation of the proceedings was harmless.
5. Review During Commitment Period
Defendant next contends that the EDA violates equal protection principles because SVP’s and MDO’s benefit from means to gain review during the commitment period that are not available to wards under the EDA. Defendant contends that an SVP may petition for release and obtain a full court hearing annually. (§§ 6605, 6607, 6608;
People v. Cheek
(2001)
Defendant contends that, in contrast, the EDA provides only for an annual internal CYA review at which the CYA may discharge the committee (§§ 1766, 1802), the EDA provides no opportunity for a ward to petition a court for release during the two-year commitment term, and the EDA does not require the CYA to release a committee who is no longer a danger to the public.
We will assume for purposes of argument that wards under the EDA are similarly situated with respect to MDO’s and SVP’s for purposes of a right to review during the commitment period. (See
People v. Hubbart, supra,
First, we disagree that the EDA does not require the CYA to release a committee who is no longer a danger to the public. In
In re Schmidt
(2006)
Section 1765 provides, “(a) Except as otherwise provided in this chapter, the Department of the Youth Authority and the Youth Authority Board shall keep under continued study a person in their control and shall retain him or her, subject to the limitations of this chapter, under supervision аnd control so long as in their judgment that control is necessary for the protection of the public. [][] (b) The board shall discharge that person as soon as in its opinion there is reasonable probability that he or she can be given full liberty without danger to the public.”
Section 1766, subdivision (a)(1), allows the CYA to release conditionally a person committed under the EDA under supervision, and with conditions. And section 1766, subdivision (a)(6), “authorizes the CYA to discharge [a ward] ‘from its control when it is satisfied that discharge is consistent with the protection of the public.’ ” (In re Schmidt, supra, 143 Cal.App.4th at pp. 711-712.)
Moreover, wards in the custody of the CYA must be periodically reviewed. Section 1720, subdivision (b) provides, “The Division of Juvenile Facilities shall periodically review the case of each ward for the purpose of determining whether existing orders and dispositions in individual cases should be modified or continued in force. These reviews shall be made as frequently as the department considers desirable and shall be made with respect to each ward at intervals not exceeding one year.” The review must be in writing and must verify the ward’s treatment or program goals to assure the ward is receiving the required treatment. (§ 1720, subd. (e).) If the ward’s case is not reviewed within 15 months of a prior review, the ward may petition the court that committed him for a discharge order. (§ 1720, subd. (d).) The court must be served with copies of the ward’s annual reviews and must discharge the ward unless satisfied of the need for further control (§ 1720, subds. (d), (f).)
These review procedures under the CYA appear to be at least as stringent as those conducted by the Board of Prison Terms for MDO’s under *130 Penal Code sections 3000.1, subdivision (b), and 3001. And the ward may petition the court for a discharge order if the review is not timely conducted. (§ 1720, subds: (d), (f).) Thus, we conclude that the review procedures under the EDA do not violate equal protection. *
6. Broader Commitment Criteria
Defendant next argues that the MDO laws and the SVPA apply to much narrower groups of people than are subject to the EDA, and an adult CYA ward may be committed under circumstances that would not apply to an adult prisoner.
To qualify for an SVPA commitment, the person must have been convicted of sexually violent offenses against two victims. (§ 6600.) A single prior juvenile adjudication may be used as a qualifying offense if the juvenile was 16 years of age or older when he or she committed the offense; the offense was sexually violent; the juvenilé was adjudged a ward within the meaning of section 602; and the juvenile was committed to CYA for the sexually violent offense. (§ 6600, subd. (g).)
The MDO laws require that the commitment offense be one of 14 enumerated serious crimes or a crime involving use of a weapon or force, causing great bodily injury, or threatening to cause substantial injury. (Pen. Code, § 2962, subd. (e).) In addition, the person must have been treated for his or her mental disorder during the prison term. (Pen. Code, § 2962, subd. (c).)
In contrast, under the EDA, there are no particular qualifying offenses, and an EDA commitment may be imposed on any adult CYA ward.
In a similar context, courts have recognized that SVP’s and MDO’s are not even similarly situated to each other for the purpose of the definition of mental disorder.
(People v. Calderon
(2004)
In
People v. Buffington, supra,
Moreover, in
Hubbart v. Superior Court
(1999)
We likewise conclude that, even if wards committed under the EDA are similarly situated to MDO’s or SVP’s, the statutes defining the underlying offenses do not lead to disparate treatment.
■ 7. Conditions of Placement
Defendant contends that MDO’s and SVP’s are placed in nonpunitive conditions in that they are both committed to the Department of Mental Health and must be housed in a state hospital, not a prison. (Welf. & Inst. Code, §§ 6600, 6600.05, 6604; Pen. Code, §§ 2962, 2964.) In contrast, under the EDA, wards are recommitted to the CYA where they are placed with the general population of wards and are treated no differently from them.
In
Jones
v.
Blanas
(9th Cir. 2004)
The Supreme Court has held, however, that “[t]he commitment and detention for treatment of a physically dangerous Youth Authority ward does not of itself deny equal protection. .. . [T]he Legislature has enacted a unified framework of laws providing for the involuntary commitment of persons who present a danger to society. It is not unreasonable that the Legislature should
*133
devise several means by which to detect and isolate persons who may present a danger to society. It is particularly appropriate that a prior contact with the system of criminal justice should be an event which may give rise to such an inquiry inasmuch as the antisocial act which brought the defendant before the court may be symptomatic of a condition which instills a propensity to commit such acts. The legislative decision to provide for continuation of treatment of Youth Authority wards who have reached their majority under Youth Authority control, rather than transferring their treatment to the Department of Mental Hygiene or another agency of the state is neither unreasonable nor arbitrary. [Citations.]”
(In re Gary W., supra,
8. Requirement of Treatment for Mental Disorder
Defendant further argues that both MDO’s and SVP’s must be provided mental health treatment, but that the EDA contains no such requirement. An SVP is committed to the Department of Mental Health and must be housed in a state hospital, not a prison. (§§ 6600, 6600.05, 6604.) Treatment must be provided for an SVP’s diagnosed mental disorder. (§ 6606, subd. (a); see
Orozco
v.
Superior Court
(2004)
An MDO is also committed to the Department of Mental Health and must be provided with necessary treatment, which may be on an outpatient basis. (Pen. Code, §§ 2962, 2964.) An MDO must have been treated while still in prison, and the treatment must have been continuously provided. (Pen. Code, §§ 2960, 2962, subd. (c), 2970, 2972, subd. (f).) Courts have held that “no significant difference exists regarding treatment provisions once a person is found to be a[n] MDO or an SVP.”
(People
v.
Poe
(1999)
Defendant argues that the EDA does not require the CYA to provide treatment. He bases this argument, in part, on the fact that a provision of the EDA, which formerly exрlicitly required the CYA to provide treatment for recommitted wards, was deleted during statutory revisions in 1998. Specifically, former section 1801 provided that if the court formed the opinion at the probable cause hearing that discharge of the ward would be dangerous to the public because of the ward’s mental or physical deficiency, disorder, or abnormality, the court should order the CYA to continue treatment of the person. (Former § 1801, added by Stats. 1963, ch. 1693, § 4, p. 3323.) The current version of that section no longer includes any mention of treatment.
*134 However, defendant looks at the statutory amendment in isolation without considering the overall statutory scheme and the obligations of the CYA. First, section 1700, which sets forth the purpose of the Youth Authority Act (§§ 1700-1915), provides, “The purpose of this chapter is to protect society from the consequences of criminal activity and to that purpose community restoration, victim restoration, and offender training, and treatment shall be substituted for retributive punishment and shall be directed toward the correction and rehabilitation of young persons who have committed public offenses.” (Italics added.)
Second, the CYA has an express continuing obligation to wards to provide treatment during their confinement. Section 1802 provides that when an order for continued detention is made, “the control of the authority over the person shall continue, subject to the provisions of this chapter . . . .” 7 (Italics added.) In this regard, section 1720 provides, “(b) The Division of Juvenile Facilities shall periodically review the case of each ward for the purpose of determining whether existing orders and dispositions in individual cases should be modified or сontinued in force. These reviews shall be made as frequently as the department considers desirable and shall be made with respect to each ward at intervals not exceeding one year. [][]... [][] (e) Reviews conducted by the division pursuant to this section shall be written and shall include, but not be limited to, the following: verification of the treatment or program goals and orders for the ward to ensure the ward is receiving treatment and programming that is narrowly tailored to address the correctional treatment needs of the ward and is being provided in a timely manner that is designed to meet the parole consideration date set for the ward; an assessment of the ward’s adjustment and responsiveness to treatment, programming, and custody; a review of the ward’s disciplinary history and response to disciplinary sanctions; an updated individualized treatment plan for the ward that makes adjustments based on the review required by this subdivision; an estimated timeframe for the ward’s commencement and completion of the treatment programs or services; and a review of any additional information relevant to the ward’s progress.” (Italics added.)
Finally, the Supreme Court has unequivocally declared that treatment of wards is required during extended detention: “[T]he Youth Authority is under an affirmative obligation to provide ‘treatment for the ward’s mental or physical abnormality when he is committed pursuant to [sections 1800 to 1803]. Detention of such wards without treatment is unauthorized by statute. Accordingly, any person confined pursuant to a section 1800 commitment, but who is not receiving treatment^] may seek his release through approрriate habeas corpus procedures. [Citations.]” (In re Gary W., supra, 5 Cal.3d at *135 p. 303.) 8 We conclude that the EDA requires continuing treatment for wards and therefore does not violate equal protection.
D. Other Constitutional Challenges
(15) Defendant contends that the extension of his detention was unconstitutional because the EDA is penal in nature and violates both substantive due process and the prohibition against cruel and unusual punishment. Both the federal and California Constitutions require that no person shall be deprived of liberty without due process of law. (U.S. Const., 14th Amend.; Cal. Const., art. I, §7.) In
Howard N.,
the Supreme Court stated the due process requirements for civil commitment: “The high court has repeatedly ‘recognized that civil commitment for any purpose constitutes a significant deprivation of liberty that requires due process protection.’ [Citation.]”
(Howard N.,
supra,
In
Howard N.,
the court declined to reach the issue whether the EDA is a penal rather than a civil commitment scheme, and therefore should be judged under the more rigorous standards of substantive due process, because the issue was not raised in the defendant’s petition for review.
(Howard N., supra,
Moreover, the premise underlying defendant’s argument that the EDA is penal in nature is his assertion that the EDA imposes incarceration without
*136
any requirement of treatment. As discussed above, we have rejected that premise, as did the Californiа Supreme Court in
In re Gary W., supra,
IV. DISPOSITION
The order appealed from is affirmed.
King, J., and Miller, J., concurred.
Appellant’s petition for review by the Supreme Court was denied August 8, 2007, S153139.
Notes
Effective July 1, 2005, the CYA is now called the Department of Corrections and Rehabilitation, Division of Juvenile Facilities. (Welf. & Inst. Code, §§ 1703, subd. (c), 1710, *105 subd. (a).) For the sake of clarity and consistency with the designation used by the trial court, we will refer to that entity as the CYA in this opinion.
All further statutory references are to the Welfare and Institutions Code unless otherwise specified.
It is settled that the “constitutional principles [of state and federal SVP cases] apply equally to all civil commitment schemes, including section 1800 .... [Citation.]”
(In re Michael H.
(2005)
The prosecutor had argued: “And then eight-year-old [victim], that’s another story that you guys don’t know the ending to and you won’t know the ending to because it’s not an issue before you. But can you imagine a scenario where a person charged with child molestation comes before the court or the jury and sáys, T was a victim, too. So don’t pay attention to what I did. Pay attention to what happened to me.’ And, as a society, we simply cannot hold to that standard.
“We need to make attempts to try and break the cycle as best we can. There’s no evidence that every person who was molested goes on to molest. But there’s really strong evidence that says those who do go on to molest almost always were molested as a child in some form or fashion. It’s rare that somebody was not exposed to this typе of behavior but yet then goes out and engages in it. So I mean we need to do something to try and stop that.”
The court in In re Schmidt observed that the EDA scheme “does not include detailed procedures for conditional release” and invited the Legislature to provide statutory direction regarding the appropriate procedures. (In re Schmidt, supra, 143 Cal.App.4th at pp. 715-716.) We concur in that invitation.
We note that for purposes of argument, the court in
People v. Hubbart, supra,
Chapter 1 of the Youth Authority Act comprises sections 1700 through 1915.
Although the court in
In re Gary W.
based its holding in part on the language of former section 1801 concerning the requirement for treatment of a ward as to whom probable cause has been found for extended detention
(In re Gary W., supra,
Citing
People
v.
Getty
(1975)
The
Gary W.
court further held that if a person confined under the EDA does not in fact receive treatment, he may seek relief through habeas corpus procedures.
(Gary W., supra,
