Opinion
In
People
v.
Gould
(1960)
I
Approximately 3 a.m. on July 19, 1992, two gunmen approached an outdoor party of the “Jeffrey Street” gang in an alley in Anaheim, Orange *258 County, and shot Vincente Garcia. One bullet hit Garcia in the left arm; another hit his right testicle and lodged in his thigh. Among those present during the shooting were Hugo Guzman, a Jeffrey Street gang member; Oscar Gomez, who considered Jeffrey Street’s members to be his “home boys”; and Carlos Rodriguez, a friend of Jeffrey Street’s members but not a member himself. After Garcia was shot, Rodriguez drove him to the hospital. Doctors removed Garcia’s injured testicle.
Immediately after the shooting, Gomez, Guzman, and others left in Gomez’s car. As they drove off, a passenger in the car was hit by a thrown bottle. Gomez drove his injured passenger to a hospital; there he discovered two fresh bullet holes in his car. Anaheim Police Officer John Orr happened to be at the hospital and separately interviewed Gomez, Guzman, and Gomez’s passengers. Gomez told Officer Orr that two gunmen had walked up to the party and started shooting. Gomez gave a physical description of the two gunmen, one of whom he described as a male Hispanic, age twenty-five, with a heavy build, five feet seven inches tall, wearing a white-and-blue striped shirt, and with a thick mustache and short dark hair.
Gomez went outside to show Officer Orr the bullet holes in his car. Once outside and away from his friends, Gomez whispered to Officer Orr that the shooter was a “West Side Anaheim” gang member known as “Beto,” and that he could identify Beto if he saw Beto again.
When Officer Orr interviewed Guzman at the hospital, Guzman described the gunman as a male Hispanic, age 25, with a heavy build., wearing a light-colored long-sleeved shirt, and having medium-length, slicked-back hair and a mustache. Guzman’s description was consistent with that given by Gomez.
Later, Officer John Kelley interviewed Guzman. At first, Guzman denied being present during the shooting. When the officer reminded Guzman of Guzman’s earlier statements to Officer Orr at the hospital, Guzman replied he could not remember the shooting.
Officer Kelley also interviewed Gomez three days after Garcia was shot. In this interview, Gomez reiterated and expanded his identification of “Beto.” Gomez told Officer Kelley that “Beto” was the shooter. Gomez described “Beto’s” physical appearance as Hispanic, 25 years old, 5 feet 7 inches tall, weighing 175 to 190 pounds, with a bushy mustache and dark medium-length hair that was combed straight back, and wearing a white long-sleeved shirt with blue stripes. Gomez said he became acquainted with “Beto" through a former girlfriend. When Officer Kelley showed Gomez a *259 notebook containing 30 to 40 photographs of West Side Anaheim gang members, Gomez selected defendant Robert Munoz Cuevas’s picture as the one depicting “Beto.”
Later, while being interviewed by a defense investigator, Gomez repudiated his earlier identification of defendant as the shooter, claiming it had been motivated by anger at the West Side Anaheim gang for providing evidence against Guzman’s brother, who was charged with murder in an unrelated case.
Defendant was arrested and charged with the attempted murders of Garcia and Gomez and with assault with a firearm on Garcia and Gomez. Defendant was also charged with personally using a firearm in committing these crimes, and with intentionally inflicting great bodily injury on Garcia.
Both Gomez and Guzman testified at defendant’s trial. Gomez recanted his identification of defendant as the gunman. Gomez acknowledged that he knew defendant as “Beto,” that he was previously acquainted with defendant through his former girlfriend, that in his two statements to the police he had identified defendant as the shooter, and that he had selected defendant’s photograph as the gunman he called “Beto." But Gomez claimed he had falsely identified defendant and that he had done so as “pay back” for the West Side Anaheim gang’s role in providing evidence in the (unrelated) murder case against Guzman’s brother. When Guzman testified, he admitted being present during the shooting, but denied having seen any gunman and denied having described the gunman to Officer Orr.
Both Gomez and Guzman testified that they believed it was wrong to “rat off’ a member of a rival gang; that is, to inform the authorities that the gang member has committed a crime. Gary Bushman, a district attorney’s investigator and gang expert, likewise testified that cooperating with police, even if the suspect is in a rival gang, is generally disapproved of in gang culture and that gang members who initially cooperate with police are subject to intimidation to change their testimony at trial.
Officers Kelley and Orr testified that in their separate interviews of Gomez, he had given a physical description of the gunman, whom he identified as “Beto.” In addition, Officer Kelley testified to Gomez’s previous contacts with defendant.
Another witness who had been present at the shooting, Rodriguez, testified that as the gunmen approached immediately before the shooting, Gomez exclaimed: “I know that guy. He’s from West Side Anaheim.” Additional *260 evidence was presented regarding defendant’s membership in the West Side Anaheim gang and gang activities in general in Anaheim. Defendant generally met the physical descriptions given by Gomez and Guzman.
Before submission of the case to the jury, defendant moved for a judgment of acquittal (Pen. Code, §1118.1), asserting that because there was no in-court identification of him as the shooter and no other evidence to link him to the crimes, there was insufficient evidence to convict him. The trial court denied the motion, as well as defendant’s subsequent request that the court instruct the jury it could not convict defendant on the basis of an out-of-court identification unless it found the identification was corroborated by other evidence tending to connect defendant to the offense.
The jury convicted defendant of assault with a firearm on Garcia and found that defendant had personally used a firearm in committing the offense. Defendant appealed. The Court of Appeal concluded that the out-of-court statements of witnesses Gomez and Guzman adequately corroborated each other under
Gould, supra,
The Attorney General petitioned this court for review. The Attorney General contends that
Gould, supra,
II
It is the prosecution’s burden in a criminal case to prove every element of a crime beyond a reasonable doubt.
(In re Winship
(1970)
There are exceptions, however, to the substantial evidence test. The Legislature has determined that because of the reliability questions posed by certain categories of evidence, evidence in those categories by itself is insufficient as a matter of law to support a conviction. For example, the Legislature has required that the testimony of an accomplice (Pen. Code, §1111), and the testimony of a single witness in a perjury case as to the falsity of the defendant’s perjurous statement (Pen. Code, § 118, subd. (b)), must be corroborated before a conviction can be based on them. This court in
Gould, supra,
In
Gould, supra,
Gould
held in addition, however, that “[a]n extrajudicial identification that cannot be confirmed by an identification at the trial is insufficient to sustain a conviction in the absence of other evidence tending to connect the defendant with the crime.”
(Gould, supra,
*262
The Attorney General contends that the
Gould
corroboration requirement was abolished when, after this court’s 1960 decision in
Gould, supra,
The Attorney General also points out that in
People
v.
Alcala
(1984)
We note, however, that in a decision predating the cases cited in the preceding paragraph, this court concluded that “the drafters of the Evidence Code did not intend to change the
Gould
rule regarding the sufficiency of evidence to sustain a conviction.”
(In re Johnny G.
(1979)
Although neither the Law Revision Commission comment to Evidence Code section 1238 nor this court’s decision in
In re Johnny G., supra,
Second, Evidence Code section 411 was intended to “restate[] the substance of and supersede[] [former] Section 1844 of the Code of Civil Procedure.” (Cal. Law Revision Com. com., 29B pt. 1 West’s Ann. Evid. Code, §411 (1995 ed.) p. 388.) The Code of Civil Procedure’s former section 1844 was the law at the time Gould was decided; similar to Evidence Code section 411, it provided that “The direct evidence of one witness who is entitled to full credit is sufficient for proof of any fact except perjury and treason.” Because the Gould corroboration requirement coexisted with the Code of Civil Procedure’s former section 1844, the mere restatement of former section 1844 in Evidence Code section 411 would not necessarily abolish the Gould corroboration requirement.
Even if, however, consistent with this court’s holding in
In re Johnny G., supra,
III
As discussed above, the holding in
Gould, supra,
Because the
Gould
corroboration requirement conflicts with the substantial evidence test set forth in
People
v.
Johnson, supra, 26
Cal.3d 557, 576-578, it would bear a heavy burden of justification were we deciding for the first time whether to adopt it. (See generally,
People
v.
Towler
(1982)
Gould
did not explicate the reasons for its rule.
(Gould, supra,
Reamer
held that the tellers’ out-of-court identifications
in that case
were not “dependable substantial proof’ to support the defendant’s conviction for bank robbery.
(Reamer
v.
United States, supra,
Thus, neither this court’s decision in
Gould, supra,
Also, there is no logic to requiring corroboration of out-of-court identifications, but not of other types of hearsay that might be offered as evidence of guilt. Like the United States Supreme Court, we reject the proposition that “out-of-court statements of identification are inherently less reliable than other out-of-court statements.”
(United States
v.
Owens
(1988)
*266
The
Gould
corroboration requirement also finds no support in the law of other jurisdictions, federal or state, that admit out-of-court statements of identification. Like
Gould,
the federal courts and the great majority of state courts admit out-of-court identifications when the identifying witness testifies and is subject to cross-examination.
2
But no jurisdiction that admits out-of-court identifications has adopted the broad holding in
Gould, supra,
The Gould corroboration requirement, by inflexibly requiring corroboration of all unconfirmed out-of-court identifications regardless of their probative value, does not take into account the many varied circumstances that may attend an out-of-court identification and affect its probative value. These circumstances include, for example: (1) the identifying witness’s prior familiarity with the defendant; (2) the witness’s opportunity to observe the perpetrator during the commission of the crime; (3) whether the witness has a motive to falsely implicate the defendant; and (4) the level of detail given by the witness in the out-of-court identification and any accompanying description of the crime. (See also CALJIC No. 2.92 (5th ed. 1988) [listing factors relevant to reliability of eyewitness identification].) Evidence of these circumstances can bolster the probative value of the out-of-court identification by corroborating both that the witness actually made the out-of-court identification (e.g., testimony by the police officer or other person to whom the statement was made) and that the identification was reliable (e.g., evidence that the witness was present at the scene of the crime and in a position to observe the perpetrator, evidence that the witness had a prior familiarity with the defendant, or evidence that the witness had no self-serving motive to implicate the defendant). Such evidence can show the accuracy and reliability of the out-of-court identification, even though none of it is independent evidence connecting the defendant to the crime, the corroboration required by Gould.
Nor does the Gould corroboration requirement take account of the many varied circumstances relating to the witness’s failure to identify the defendant at trial. Among these circumstances áre: (1) whether the identifying *268 witness admits, denies, or fails to remember making the out-of-court identification; (2) whether the witness remembers the underlying events of the crime but no longer believes in the accuracy of the out-of-court identification; (3) whether, if the witness claims the identification was false or erroneous, the witness offers an explanation for making a false or erroneous identification; (4) whether, if the witness claims a failure of recollection, there are reasons supporting the loss of memory; (5) whether there is evidence that the witness’s failure to confirm the identification in court resulted from the witness’s appreciation that doing so would result in the defendant’s conviction; or (6) whether there is evidence that, as the Attorney General suggests occurred here, the witness’s failure to confirm the identification arises from fear or intimidation.
As
Gould
itself recognized, the probative value of a witness’s out-of-court identification can vary tremendously depending on these surrounding circumstances.
(Gould, supra,
By contrast, consider a witness who gives a videotaped statement to the police immediately after observing the commission of the crime. The witness has known the defendant for many years, identifies the defendant as the perpetrator, and gives many details of the crime that only someone who observed the crime would likely know. Before trial, the witness is in an automobile accident and loses all memory of the crime. The prosecution introduces the videotaped statement as the witness’s past recollection recorded (Evid. Code, § 1237), and offers other evidence showing that the witness was present at the scene of the crime. The defense presents no *269 evidence to impeach the witness’s identification. Under these circumstances, the probative value of this out-of-court identification would be high.
Notwithstanding the disparity in probative value between the out-of-court identifications in these two examples, under the
Gould
corroboration requirement both are equally insufficient to support a conviction. If we were deciding the matter as a question of first impression, we would conclude that the
Gould
corroboration requirement is unacceptably overbroad. Given the wide range of relevant circumstances affecting the probative value of an out-of-court identification, it is unwise to attempt to subsume the whole spectrum of out-of-court identifications under a rule that deems insufficient
as a matter of law
any out-of-court identification uncorroborated by other evidence connecting the defendant to the crime. Instead, the case-by-case analysis that we apply in reviewing the sufficiency of other types of evidence under the substantial evidence test is preferable because it permits an individualized assessment of the probative value of the particular out-of-court identification at issue. (See
State
v.
Mancine, supra,
Nevertheless, the
Gould
corroboration requirement is not a question of first impression. Accordingly, it is not enough that a different rule might seem preferable to us now; before deciding to overrule it, we must take into account the doctrine of stare decisis. The
Gould
decision was written by Justice Traynor for a unanimous court, and has been the law for 35 years. We do not lightly overrule such an established precedent. As we have observed in the past: “ ‘It is, of course, a fundamental jurisprudential policy that prior applicable precedent usually must be followed even though the case, if considered anew, might be decided differently by the current justices. This policy, known as the doctrine of stare decisis, “is based on the assumption that certainty, predictability and stability in the law are the major objectives of the legal system; i.e., that parties should be able to regulate their conduct and enter into relationships with reasonable assurance of the governing rules of law." [Citation.] [¶][] It is likewise well established, however, that the foregoing policy is a flexible one which permits this court to reconsider, and ultimately to depart from, our own prior precedent in an appropriate case. [Citation.] As we stated in
Cianci
v.
Superior Court
(1985)
A central factor in the stare decisis analysis is whether there are private or legislative reliance interests that have sprung up in dependence on the existing rule and, if so, the costs that would result to those interests if the rule were changed.
(People
v.
Latimer, supra,
5 Cal.4th at pp. 1212-1216;
Moragne
v.
States Marine Lines
(1970)
In addition, the Gould corroboration requirement is a common law rule created by this court, not a question of statutory interpretation which would give us greater pause before overruling. (See People v. Latimer, supra, 5 Cal.4th at p. 1213.) Indeed, as we noted above, the Legislature has, with few exceptions (see Pen. Code, §§ 118, subd. (b), 1111) left to the courts the task of defining standards for the sufficiency of evidence. Nor, unlike People v. Latimer, supra, 5 Cal.4th at pages 1212-1216, has the Legislature enacted statutes in reliance on the Gould corroboration requirement.
Moreover, this court has previously qualified the
Gould
corroboration requirement in two respects. In
People
v.
Chavez, supra,
In
People
v.
Chavez, supra,
We conclude that, considerations of stare decisis notwithstanding, this approach—individually assessing the circumstances of the out-of-court identification to determine whether it is sufficient to support a criminal conviction—is a sound one and should be applied to all out-of-court identifications. Accordingly, we hereby overrule that portion of
Gould, supra,
54 Cal.2d
*272
621, 631, holding that an out-of-court identification is in all cases insufficient by itself to sustain a conviction and must be corroborated by other evidence linking the defendant to the crime. Instead, the substantial evidence test set forth in
People
v.
Johnson, supra,
In overruling the corroboration requirement of
Gould, supra,
We now have had the benefit, as the Gould court did not, of 35 years of experience with the admission of out-of-court identifications as substantive evidence. In our view, the rule admitting out-of-court identifications has not been subject to widespread abuse. In addition, as we discuss more fully in the next part, even in the absence of the Gould corroboration requirement, the other protections provided by the trial and appellate process are adequate to guard against any such abuses.
IV
In urging us to retain the
Gould
corroboration requirement, defendant argues that the rule is necessary to protect defendants from unreliable out-of-court identifications not made under penalty of perjury. There are, however, already a number of existing safeguards at both the trial and appellate levels that adequately ensure the reliability of such identifications. One safeguard is the availability of the identifying witness for cross-examination, which is a condition of admitting the out-of-court identification.
(Gould, supra,
Defendant contends that cross-examination of a witness concerning an out-of-court identification that the witness does not confirm at trial is *273 necessarily ineffective. We disagree. Unconfirmed out-of-court identifications generally fall into one of two categories: Either the witness repudiates the out-of-court identification or the witness testifies that he or she lacks the recollection to either confirm or deny the out-of-court identification. In either situation, cross-examination can be effective in shedding light on the reliability and veracity of the out-of-court identification.
This court has previously noted with respect to the first category—a witness who disowns the out-of-court identification—that the “[defendant retains the opportunity to question the declarant as to the circumstances surrounding the prior statement^ and to elicit from the declarant an explanation for the inconsistencies in his prior statement and his on-the-stand testimony. Through such questioning, the defendant can test the credibility of the witness’ statements on the witness stand before the trier of fact.” (People v. Chavez, supra, 26 Cal.3d at pp. 360-361.)
This view finds substantial support. Many years ago, Judge Learned Hand observed that juries are capable of determining the credibility of out-of-court statements that are inconsistent with a witness’s trial testimony by observing the witness’s in-court demeanor: “If, from all that the jury see of the witness, they conclude that what he says now is not the truth, but what he said before, they are none the less deciding from what they see and hear of that person and in court. There is no mythical necessity that the case must be decided only in accordance with the truth of the words uttered under oath in court.”
(Di Carlo
v.
United States
(2d Cir. 1925)
A prominent treatise on the law of evidence makes a similar point: “The witness who has told one story aforetime and another today has opened the gates to all the vistas of truth which the common law practice of cross-examination and re-examination was invented to explore. The reasons for the change of face, whether forgetfulness, carelessness, pity, terror, or greed, may be explored by the two questioners in the presence of the trier of fact, under oath, casting light on which is the true story and which the false. It is hard to escape the view that evidence of a prior inconsistent statement, when declarant is on the stand to explain it if he can, has in high degree the safeguards of examined testimony.” (2 McCormick, Evidence (4th ed. 1992) § 251, p. 120.) Moreover, the witness’s repudiation of the out-of-court identification is by its very nature testimony favorable to the defendant. The prosecution must then demonstrate that the out-of-court identification, and not the in-court repudiation, was correct.
Cross-examination can also be effective with regard to cases falling into the second category—that is, cases in which the witness’s reason for not
*274
confirming the out-of-court identification is failure of recollection. As the United States Supreme Court has observed: “[T]he opportunity to bring out such matters as the witness’ bias, his lack of care and attentiveness, his poor eyesight, and even (what is often a prime objective of cross-examination [citation]) the very fact that he has a bad memory. . . . suffices [to satisfy the confrontation clause’s requirement of cross-examination] when the witness’ past belief is introduced and he is unable to recollect the reason for that past belief. . . . [T]he foundation for the belief . . . cannot effectively be elicited, but other means of impugning the belief are available. . . . The weapons available to impugn the witness’ statement when memory loss is asserted will of course not always achieve success .... They are, however, realistic weapons . . . .”
(United States
v.
Owens, supra,
484 U.S. at pp. 559-560 [
In addition to cross-examination, a further safeguard against convictions based on unreliable out-of-court identifications lies in the ability of the defendant to offer other evidence casting doubt on the identification, such as evidence that the identifying witness was not present at the scene of the crime, was not previously familiar with the defendant, or had a motive to implicate the defendant. Moreover, the defendant is free to seek appropriate instruction directing the jury’s attention to the issue of identification and to the factors affecting the probative value of the out-of-court identification. (See CALJIC Nos. 2.91, 2.92;
People
v.
Wright
(1988)
Finally, the substantial evidence test used to determine the sufficiency of the evidence supporting a conviction provides additional protection against a dubious out-of-court identification. Under this standard, the probative value of the identification and whatever other evidence there is in the record are considered together to determine whether a reasonable trier of fact could find the elements of the crime proven beyond a reasonable doubt. (See People v. Johnson, supra, 26 Cal.3d at pp. 576-578; Jackson v. Virginia, supra, 443 U.S. at pp. 318-319 [61 L.Ed.2d at pp. 573-574].) The defendant can raise the issue of whether substantial evidence exists to support conviction both in the trial court by means of a motion at the close of the evidence under Penal Code section 1118.1 (as defendant did here) and on appeal.
We conclude therefore that the availability of the identifying witness for cross-examination, the opportunity of the defense to present other evidence questioning the reliability of the out-of-court identification and to request appropriate jury instructions, and the requirement that substantial evidence support the conviction are adequate safeguards against the unjust conviction *275 of a defendant solely on the basis of an unreliable out-of-court identification. 5
V
Having concluded that the sufficiency of an out-of-court identification to support a conviction should be judged by the substantial evidence test and that the
Gould
corroboration requirement should be rejected, we must now determine whether substantial evidence supports defendant’s conviction. Before doing so, however, we address defendant’s contention that due process precludes us from applying our holding retroactively to his case. He relies on the principle that the due process guaranty prohibits courts from retroactively applying judicial decisions that expand criminal liability. (See
People
v.
Escobar
(1992)
Nor is it inequitable to apply our decision to the facts of this case. As we observed earlier, so long as there is substantial evidence supporting his
*276
conviction, defendant has no cognizable interest in escaping conviction through the operation of a rule that would have required additional evidence. Moreover, defendant has not asserted that he would have pursued a different trial strategy or offered different evidence had the
Gould
corroboration requirement been overruled before he was tried. (See
People
v.
Welch
(1993)
For the reasons set forth above, we apply to defendant’s case our decision that the substantial evidence test should be used to determine the sufficiency of an out-of-court identification to support a criminal conviction. The substantial evidence test is satisfied here because a reasonable jury could find from the evidence presented that the prosecution had shown beyond a reasonable doubt that defendant had assaulted the victim, Garcia, with a firearm. As set forth in greater detail in part I above, the shooting occurred during an outdoor party in an alley. It is undisputed that witnesses Gomez and Guzman were present at the party when Garcia was shot. Gomez was first interviewed by Officer On at the hospital immediately after the shooting and was interviewed again by Officer Kelley three days later; on both occasions he unequivocally identified defendant (under the name “Beto”) as the shooter and gave a physical description of him. Although at trial Gomez recanted his identification of defendant, he admitted that he had made these two prior identifications of defendant to the police. Gomez also admitted at trial that he was acquainted with defendant before the shooting. And there was testimony by eyewitness Rodriguez that as the gunman approached, Gomez exclaimed: “I know that guy. He’s from West Side Anaheim.” In addition, when Officer Orr interviewed witness Guzman at the hospital immediately after the shooting, Guzman gave a physical description of the gunman that was both similar to Gomez’s independent description of the gunman and generally consistent with defendant’s appearance.
Although witnesses Gomez and Guzman both disowned their out-of-court statements when testifying at trial, the prosecution offered evidence that they had a motive to falsely recant their statements: Gomez and Guzman both testified that they believed it was wrong to accuse a member of a rival gang of committing a crime, and a gang expert testified that gang members disapprove of testifying against rival gang members and intimidate witnesses who initially cooperate with the police into changing their testimony.
From this evidence, a reasonable jury could have concluded that Gomez and Guzman were telling the truth when they made their out-of-court
*277
statements to police officers and that they recanted those statements in court for gang-related reasons. Those out-of-court statements are “substantial evidence—that is, evidence which is reasonable, credible, and of solid value—”
(People
v.
Johnson, supra,
Conclusion
For the reasons stated above, we conclude that we should overrule
Gould, supra,
Lucas, C. J., Mosk, J., Arabian, J., Baxter, J., George, J., and Werdegar, J., concurred.
Notes
We use the term
“Gould
corroboration requirement” to refer to
Gould’s
requirement that an unconfirmed out-of-court identification be corroborated by “other evidence tending to connect the defendant with the crime.”
(Gould, supra,
Federal Rules of Evidence, rule 801(d)(1)(C) (28 U.S.C.) provides: “A statement is not hearsay if . . . [*]□ [t]he declarant testifies at the trial or hearing and is subject to cross-examination concerning the statement, and the statement is . . . one of identification of a person made after perceiving the person.” Twenty-seven states have adopted evidence statutes or rules essentially identical to Federal Rules of Evidence, rule 801(d)(1)(C). (Alaska Rules Evid., rule 801(d)(1)(C); Ariz. Rev. Stat. Ann., Rules Evid., rule 801(d)(1)(C); Ark. Rules Evid., rule 801(d)(l)(iii); Colo. Rules Evid., rule 801(d)(1)(C); Del. Unif. Rules Evid., rule 801(d)(1)(C); Fla. Ann. Stat., Evid. Code §90.801, subd. (2)(c); Hawaii Rules Evid., rule 802.1(3); Idaho Rules Evid., rule 801(d)(1)(C); Iowa Rules Evid., rule 801(d)(1)(C); 111. Ann. Stat. ch. 725, §5/115-12 (Smith-Hurd 1995); Ky. Rules Evid., rule 801A(a)(3); Me. Rules Evid., rule 801(d)(1)(B); Mich. Rules Evid., rule 801(d)(1)(C); Miss. Rules Evid., rule 801(d)(1)(C); Mont. Rules Evid., rule 801(d)(1)(C); N.H. Rules Evid., rule 801(d)(1)(C); N.M. Rules Evid., rule ll-801(D)(l)(c); N.D. Rules Evid., rule 801(d)(l)(iii); Or. Rules Evid., rule 801(4)(a)(C); R.I. Rules Evid., rule 801(d)(1)(C); S.D. Codified Laws Ann. § 19-16-2(3); Tex. Rules Grim. Evid., rule 801(e)(1)(C); Utah Rules Evid., rule 801(d)(1)(C); Vt. Rules Evid., rule 801(d)(1)(C); Wash. Rules Evid., rule 801(d)(l)(iii); W. Va. Rules Evid., rule 801(d)(1)(C); Wyo. Rules Evid., rule 801(d)(1)(C).)
Minnesota has adopted the federal rule with the additional qualification that the circumstances demonstrate the out-of-court identification to be reliable; two other states—Wisconsin and Nevada—have adopted it with the qualification that the out-of-court identification be made soon after the crime; and Ohio has adopted the federal rule with both these qualifications. (Minn. Rules Evid., rule 801(d)(1)(C); Nev. Rev. Stat. tit. 4, §51.035, subd. (2)(c) (1995); Ohio Rules Evid., rule 801(D)(1)(c); Wis. Stat. Ann. § 908.01, subd. (4)(a)(3) (West 1993).) Other states have made out-of-court statements of identification admissible by judicial decision.
(Modesitt
v.
State
(Ind. 1991)
Massachusetts permits an out-of-court statement of identification to serve as the sole evidence to support a conviction unless the identification is inconsistent with the identifying witness’s trial testimony.
(Commonwealth
v.
Vitello, supra,
The Court of Appeal relied on this rationale to hold that the
Gould
corroboration requirement was met in this case. It reasoned that eyewitness Guzman’s out-of-court description of the gunman’s appearance, which was generally consistent with defendant’s physical appearance, was “other evidence tending to connect the defendant with the crime”
(Gould, supra,
Because we overrule the
Gould
corroboration requirement and instead hold that the sufficiency of an out-of-court identification to support a conviction should be determined by applying the substantial evidence test, the question whether, as the Court of Appeal held in this case, the jury should have been instructed on the
Gould
corroboration requirement is moot. Furthermore, we disapprove the holding of
People
v.
Marquez
(1993)
In addition, over the years a number of cases have applied the
Gould
corroboration requirement. (See
People
v.
Armijo, supra,
