Defendant Fiu was convicted by jury trial of second degree murder (Pen. Code, § 187), 1 and of conspiracy to commit assault with force likely to cause great bodily injury. (§§ 182, subd. (a)(1), 245, subd. (a)(1).) A gang enhancement was found true as to each crime. (§ 186.22, subd. (b)(1).) He was also convicted of street terrorism (§ 186.22, subd. (a)) and assault with force likely to cause great bodily injury (§ 245, subd. (a)(1)). 2 One prior strike was found true in a bench trial, and the court sentenced defendant to 40 years to life in state prison. (§§ 187, 667, subds. (b)-(i), 1170.12.) Defendant argues on appeal that the trial court erred by failing to instmct the jury on the theory of supervening cause, by shifting the burden of proof to defendant on the question of withdrawal by an aider and abettor, and by failing to dismiss the grand jury indictment for insufficient probable cause. Defendant also contends that the trial court erred in admitting and instructing upon the predicate felonies needed to prove a pattern of criminal gang activity required for the gang enhancements, and erred in imposing a consecutive 10-year term for the gang enhancement. Finally, defendant claims he was denied a fair trial as a result of racially discriminatory jury selection. We accept respondent’s concession as to the consecutive 10-year term on a gang enhancement and order the abstract of judgment to be corrected accordingly. In all other respects, we affirm.
BACKGROUND
According to testimony given at trial, on the night of July 24 and in the early morning hours of July 25, 2003, defendant Neal Fiu and four teenage members (Daniel G. (Danny), Joey O., Sammy V., and Brandon V.) 3 of the street gang Sons of Death (SOD) were on defendant’s front porch, drinking alcohol. Also present were Javier Cervantes (Javi) and Juan Cervantes (Juan). Defendant was a longtime member of SOD and, according to Danny G., commanded respect from the young members.
While they were sitting on the porch, Salvador Espinoza walked past; he cursed, yelled the name of a rival gang, and threw a gang sign. Taking this as a challenge, defendant and the four teenagers approached Espinoza. After Brandon V. pushed Espinoza, Danny G. pulled out a .38-caliber weapon and aimed it at Espinoza’s face. Defendant told him not to shoot, saying they
Shortly thereafter, Ezekiel Johnson 5 arrived at the house. 6 At this point, defendant was either inside his house or in the backyard. The teenage gang members took Johnson to where Espinoza was lying, and Johnson said that he wanted to kill him. The four teenagers resumed kicking Espinoza. Javi smashed Espinoza’s head against a parked car. Johnson put a milk crate over Espinoza’s neck and jumped on it. Finally, Johnson and Joey O. stabbed Espinoza in the neck at least twice. Afterward, Johnson and Javi went into the house to wash blood from their hands. Johnson then drove the four young gang members to the home of Danny G.’s mother. She washed the blood from their clothes.
The grand jury returned an indictment charging defendant with murder (§ 187—count 1), conspiracy to commit murder, robbery, and assault with force likely to cause great bodily injury (§§ 182, subd. (a)(1), 187, 211, 245, subd. (a)(1)—count 2), and street terrorism (§ 186.22, subd. (a)—count 3). The indictment alleged that defendant committed the first two counts for the benefit of a street gang (§ 186.22, subd. (b)(1)), and that he had two prior strikes, pursuant to sections 667, subdivisions (a) to (i), and 1170.12. A jury found defendant guilty of second degree murder, conspiracy to commit assault with force likely to cause great bodily injury, and street terrorism. The jury found true the allegations that the first two counts were committed for the benefit of a street gang. Defendant admitted one strike allegation. The court dismissed the second strike allegation (pursuant to stipulation of the parties), and sentenced defendant as follows: murder, 15 years to life, doubled to 30 years to life due to the prior strike, plus 10 years for the first gang enhancement (§ 186.22, subd. (b)(1)), totaling 40 years to life. Sentences on
DISCUSSION
A. Failure to Instruct on Supervening Cause.
Defendant contends that the trial court erred as it failed to instruct, sua sponte, on supervening cause. Because Johnson came along some 10 to 15 minutes after defendant’s participation in the initial attack on the victim, and again attacked the victim (without defendant’s participation), defendant argues that the court should have instructed the jury on superseding intervening cause.
The trial court instructed with a modified version of CALJIC No. 3.40, which discusses causation, as follows: “To constitute the crime of Murder or Manslaughter there must be in addition to a death of a human being an unlawful [act] [or] [omission] which was a cause of that death. Q] The criminal law has its own particular way of defining cause. A cause of death is an [act] [or] [omission] that sets in motion a chain of events that produces as a direct, natural and probable consequence of the [act] [or] [omission] the death in question and without which the death would not occur.” (Italics added.) The court also instructed with CALJIC No. 3.41, which discusses concurrent causation and provides, “There may be more than one cause of death. When the conduct of two or more persons contributes concurrently as a cause of death, the conduct of each is a cause of the death if that conduct was also a substantial factor contributing to the result. A cause is concurrent if it was operative at the moment of the death and acted with another cause to produce the death.” These instructions on causation, defendant argues, were insufficient as Johnson’s actions could have been found by the jury to be a superseding intervening act 8 which broke the chain of causation; under those circumstances defendant’s acts would not be the proximate cause of the victim’s death. The failure to properly instruct on proximate cause, defendant claims, violated the federal due process clause and requires reversal under the Chapman standard. 9 We disagree.
Defendant claims, however, that the court was required to instruct on supervening cause, sua sponte. “In considering a claim of instructional error we must first ascertain what the relevant law provides, and then determine what meaning the instruction given conveys. The test is whether there is a reasonable likelihood that the jury understood the instruction in a manner that violated the defendant’s rights.”
(People
v.
Andrade
(2000)
A “cause of [death] is an act or omission that sets in motion a chain of events that produces as a direct, natural and probable consequence of the act or omission the [death] and without which the [death] would not occur.” (CALJIC No. 3.40.) Even if the death occurs in an unanticipated manner, a defendant is still liable unless a superseding intervening act breaks the chain of causation. “To relieve a defendant of criminal liability, an intervening cause must be an unforeseeable and extraordinary occurrence. [Citation.] The defendant remains criminally liable if either the possible consequence might reasonably have been contemplated or the defendant should have foreseen the possibility of harm of the kind that could result from his act.”
(People
v.
Crew
(2003)
There are no standard CALJIC instructions on superseding intervening acts; when appropriate, corollary civil instructions on this aspect of causation may be used.
(People v. Brady, supra,
Thus, the instructions given were a correct statement of the law. Further, the instructions were responsive to the evidence. Under the facts of the present case, defendant encouraged several other gang members to beat the victim, and participated in his beating. When the victim attempted to flee, they chased him around the comer from defendant’s residence, where they caught him and administered the beating.
14
They left the victim lying
There was no superseding intervening act. Whether or not Johnson’s arrival and actions were themselves foreseeable, the death of the victim due to beating was. Once defendant and the young gang members beat the victim severely, rendering him unconscious and leaving him lying outside, around the comer from defendant’s residence, it was not unforeseeable that he might die due to their actions or the type of injuries they inflicted. Further, defendant left the young gang members, at least one of whom had behaved as though he intended to kill the victim (by shooting him) on his porch drinking. He left the injured victim in proximity to these individuals, and at their mercy.
18
That someone, whether Johnson or one of the gang members, would again assault the victim was certainly foreseeable. Assuming the specific acts of Johnson were not themselves foreseeable, the type of harm or injury which
Additionally, “any error was harmless under any standard because here it is clear beyond a reasonable doubt that a rational jury would have found defendant guilty absent any error. [Citation.]”
(Crew, supra,
The facts of the
Crew
case are instructive. The defendant told a friend that he took his wife into the woods, shot her in the back of the head, rolled her body down a ravine, and covered it with blankets. The next evening, the defendant and another friend drove to where defendant had left the body; the body “had moved.”
(Crew, supra,
In addition to the standard causation instructions given, as previously indicated, the trial court here also instructed on aiding and abetting (CALJIC No. 3.02), as follows: “One who aids ánd abets another in the commission of a crime is not only guilty of that crime but is also guilty of any other crime committed by a principal
which is a natural and probable consequence
of the crime originally aided and abetted. [][] In order to find the defendant in this case guilty under this principle of the crime of murder as charged in Count One or the lesser included crimes of attempted murder or manslaughter, you must be satisfied beyond a reasonable doubt that: [f] . . . [j[] 1, the crime of assault with force likely to cause great bodily injury and/or the crime of robbery, was committed; 2, that the defendant aided and abetted the—that crime or crimes; 3, that a co-principal in that crime or crimes committed the crime of murder, attempted murder or manslaughter; and 4, that such crime
was a natural and probable consequence
of the commission of a crime of assault with force likely to produce great bodily injury and/or the crime of robbery. [j[] In determining whether a consequence is a natural and—is natural and probable, you must apply an objective test based not on what the defendant actually intended, but on what a person of reasonable and ordinary prudence would have expected likely to occur. The issue is to be decided in
The jury was also instructed with CALJIC No. 6.11, which similarly provided that a member of a conspiracy is not only guilty of the crime the conspirators agreed to commit, but “is also liable for the natural and probable consequences of any [crime] or [act] of a co-conspirator done to further the object of the conspiracy, even though that [crime] or [act] was not intended as a part of the agreed upon objective and even though [he] . . . was not present at the time of the commission of that [crime] or [act]. [][]... [f] Again, [In determining whether a consequence is ‘natural and probable’ you must apply an objective test based not on what the defendant actually intended but on what a person of reasonable and ordinary prudence would have expected would be likely to occur. The issue is to be decided in light of all of the circumstances surrounding the incident. A ‘natural consequence ’ is one which is within the normal range of outcomes that may be reasonably expected to occur if nothing unusual has intervened. ‘Probable’ means likely to happen].” (Italics added.) In this instruction the jurors received the definition of natural and probable once again, including the fact that a natural consequence must be within the normal range of outcomes that could reasonably be expected if nothing unusual intervened. One of the prosecutor’s primary arguments to the jury was that defendant conspired with the young gang members to commit assault with force likely to cause great bodily injury to the victim, and that the victim’s death was a natural and probable consequence of that conspiracy. Defense counsel argued below that the evidence did not support a finding that the victim’s death was a natural and probable consequence of defendant’s actions or that Johnson’s actions were foreseeable. The instructions given, when considered as a whole, adequately conveyed the law of causation, and defense counsel was able to argue the issue to the jury 23
Defendant additionally claims, perhaps to forestall a finding of waiver, that his trial counsel was ineffective for failing to request amplification regarding supervening cause, citing
Strickland
v.
Washington
(1984)
B. Instruction of Grand Jury.
Defendant contends that the trial court erred in failing to dismiss the grand jury indictment pursuant to section 995, as the grand jury indicted him on less than probable cause because it was incorrectly instructed on proximate cause. We disagree.
Defendant describes this argument as being “parallel to that made” above regarding the instructions given to his trial jury regarding proximate cause, that is, the jury was not instructed on supervening cause. The prosecutor read
Defendant cites to the following questions by the grand jury, and the answers given by the prosecutor, as supporting his argument that the grand jury was improperly instructed regarding causation:
(1) “A GRAND JUROR: . . . All the evidence that I have heard points to Neal Fiu being involved in the beating, but being absent during the stabbing. Have I missed something there, or is there something I’m overlooking or missed? [j[] THE PROSECUTOR: I can’t say for a fact. You heard the same evidence I did .... [ID [Y]ou do not have to be present at the time the crime is committed, [f] You only have to agree that it should go forward, and one of the co-conspirators committed one of the overt acts.”
(2) “A GRAND JUROR: If he is unaware that was the ultimate act someone else had in mind after he left, was he involved in that conspiracy? [jO . . . [T] Well, the person, it sounds like, came to do the stabbing, or did the stabbing, sounds to me like he showed up after Neal Fiu left, [f] THE PROSECUTOR: Well, there are a couple of different versions, I believe, and so you’ll have to decide what you think the facts are.”
(3) “A GRAND JUROR: So because he was involved in the beating, even though his intention wasn’t to kill him, he can still be held accountable as a co-conspirator for the murder, because later somebody else came in and stabbed him also. [j[] THE PROSECUTOR: If it was a natural and probable consequence which was foreseeable that somebody in the group may get out of hand and stab him.”
(4) “A GRAND JUROR: His involvement qualifying him as being guilty of murder. Does his involvement qualify him as being guilty of the robbery ifhe didn’t take anything, even if he had left before the robbery took place— things like that. [|] THE PROSECUTOR: Okay, and that’s kind of a question for you. [f] . . . [f] Now, was the stabbing of him and the jumping up and down on his head a continuation on, was it an act in furtherance of the common design, which was to beat Salvador Espinosa [sz'c]? And if you find that, yes, that was and that is in fact what killed him, those things, then you can find that Neal is jointly responsible for those acts committed in furtherance of the conspiracy, and that they were part of the common design.”
(5) “A GRAND JUROR: Even if he had left before those final acts started? [1] THE PROSECUTOR: Well, this brings us back to the conspiracy.”
(6) “A GRAND JUROR: If you conspire to beat someone up, but not to kill him, but he dies because somebody goes too far—. [f] THE PROSECUTOR: There are two paths you can go down here. You can go down, first of all, the path of murder. Let’s go out and kill Salvador Espinosa. [][]... [][] The issue is if you aid and abet somebody in a crime, you are guilty not only for what you aid and abet, but your agreement of another crime committed by the person you’re aiding and abetting, which is a natural and probable consequence of the crime you originally started out on.”
Defendant argues that these questions by the grand jurors amount to a request for instruction on an affirmative defense (supervening cause), and that the indictment should accordingly be dismissed, citing
Cummiskey v. Superior Court, supra,
C. Instruction on Withdrawal.
As to the charge of murder, one prosecution theory of liability that the trial court instructed on was aider and abettor liability. The trial court gave CALJIC
First, we note that defendant contends that “[b]ecause the trial court determined, and correctly so, that Appellant raised a reasonable doubt as to withdrawal, when it instructed on withdrawal, it should also have instructed that the burden of proof on withdrawal, or the lack thereof, was on the prosecution.” In fact, by giving CALJIC No. 3.03 the court only determined that there was substantial evidence in the record supporting the defense, not that defendant had raised a reasonable doubt as to whether he effectively withdrew.
(People v. Panah
(2005)
The court must, of course, instruct on the general burden of proof in a criminal case, even without request; the burden never shifts to the defendant to prove that he is innocent.
(People v. Mower
(2002)
As a starting point, Evidence Code section 502 provides: “The court on all proper occasions shall instruct the jury as to which party bears the burden of proof on each issue and as to whether that burden requires that a party raise a reasonable doubt concerning the existence or nonexistence of a fact or that he establish the existence or nonexistence of a fact by a preponderance of the evidence, by clear and convincing proof, or by proof beyond a reasonable doubt.”
Mower
held that section 502 did require sua sponte instruction on the allocation and weight of the burden of proof regarding the defense therein involved (a defense under the medical marijuana law), and held that the trial
The issue of the burden of proof on the defense of withdrawal most commonly arises in cases involving conspiracy liability. There is authority in that context holding that the requirement for instructing on the burden of proof regarding the defense of withdrawal is met by giving the general instruction on burden of proof (CALJIC No. 2.90) and properly instructing on the elements of withdrawal, and that “[t]he court ha[s] no duty to go beyond these general instructions and give pinpoint instructions sua sponte reiterating the burden of proof on each . . . defense[].”
(People v. Smith
(2005)
Defendant does not discuss the case authority specifically addressing instruction on the burden of proof in withdrawal situations, but relies instead upon CALCRIM No. 401 (Aiding and Abetting: Intended Crimes) as supporting his position that the jury should have been specifically instructed that the prosecution bore the burden of disproving that he withdrew. Unlike its counterpart, CALJIC No. 3.03, CALCRIM No. 401 does specifically allocate the burden of proof on the issue of withdrawal in a case involving aider and abettor liability. CALCRIM No. 401 provides in pertinent part, “The People have the burden of proving beyond a reasonable doubt that the defendant did not withdraw. If the People have not met this burden, you may not find the defendant guilty under an aiding and abetting theory.” The Bench Notes to CALCRIM No. 401 provide no specific authority supporting this allocation of the burden of proof. Interestingly, CALCRIM No. 420 gives the trial court two alternatives for instructing on the burden of proof regarding the defense of withdrawal in conspiracy cases. One provides that the defendant has the burden of proof on the issue, by a preponderance of the evidence; the other provides that the People have the burden of disproving it, beyond a reasonable doubt. The bench note for this instruction states that there is “no authority” as to which of these two allocations of the burden of proof applies, although it indicates that the trial court must instruct as to the burden of proof and recommends reading
Mower, supra,
The Attorney General in the present case discusses little of the authority discussed by defendant and none of the cases discussed previously in this opinion, instead focusing on the general duties of instruction, seizing upon defendant’s argument that the aider and abettor who withdraws lacks the specific intent necessary for aiding and abetting, and arguing that “[t]he instructions given placed squarely on the People the burden of proving this element.” Therefore, the court had no duty to amplify the “long-standing instruction” on withdrawal by an aider and abettor. The Attorney General further contends that if it was error not to instruct upon the burden of proof on withdrawal, the error was harmless (without indication of which standard should be applied in this analysis), and concludes that because there was no evidence that defendant did anything to prevent further injury to the victim and because the prosecution did not suggest in argument that defendant bore the burden of proof on this defense, the lack of amplification did not prejudice defendant.
We believe that the trial court has a duty to instruct specifically on the allocation of the burden of proof on the defense of withdrawal; failing to do so sua sponte was error. The proper burden would be explained by the trial court indicating that if the jury has a reasonable doubt whether or not the defendant effectively withdrew, they should acquit. The error in failing to so instruct was, however, harmless here. Assuming that defendant is correct in his position that the standard of prejudice is harmless beyond a reasonable doubt
(Chapman, supra,
D. Predicate Offenses for Gang Enhancements.
Gang enhancements were alleged, pursuant to section 186.22, subdivision (b) in count 1 (murder) and in count 2 (conspiracy). The crime of participation in a criminal street gang (§ 186.22, subd. (a)) was charged in count 3. Both the gang enhancements and the crime of gang participation require proof of participation in (§ 186.22, subd. (a)) or committing a crime for the benefit of (§ 186.22, subd. (b)) a criminal street gang. In order to qualify as a criminal street gang, the gang’s members must “engage in or have engaged in a pattern of criminal gang activity.” (§ 186.22, subd. (a).) A pattern of criminal gang activity “means the commission of, attempted commission of, conspiracy to commit, or solicitation of, sustained juvenile petition for, or conviction of two or more” enumerated offenses. (§ 186.22, subd. (e).) The trial court took judicial notice of three prior offenses by the alleged SOD gang members, which the prosecution contended qualified as predicate offenses: (1) Salalee Vongsy’s conviction of assault with a semiautomatic firearm (§ 245, subd. (b)) (crime occurred July 4, 2003, conviction on Jan. 13, 2004), (2) Deng Phtehlylei’s conviction of assault with a semiautomatic firearm (§ 245, subd. (b)) (crime occurred Aug. 15, 1999, conviction on May 26, 2000), and (3) Chantha Duoangsy’s conviction of possession of an assault weapon (§ 12280, subd. (b)) (crime occurred May 17, 2003, conviction on July 22, 2004). The trial court specifically instructed the jury that these three offenses alone 33 could be relied upon as the predicate offenses to establish the required pattern of criminal activity.
Defendant contends that the trial court erred in taking judicial notice of, and instructing the jury they could rely upon, Duoangsy’s conviction of possession of an assault weapon (§ 12280, subd. (b)), as it is not an enumerated predicate offense. Respondent concedes that the trial court erred, as possession of an assault weapon is not an enumerated predicate offense, but contends that the error was harmless. We agree.
Section 186.22, subdivision (e) requires that the last of the predicate offenses must have occurred within three years after a prior offense.
34
The two convictions of assault with a semiautomatic firearm arose from crimes occurring on July 4, 2000, and August 15, 1999.
35
The last of the relied-upon predicate offenses thus occurred within three years of the prior offense. Defendant contends that the predicate offenses also had to be within three years of the current offense, citing
In re Lincoln J.
(1990)
Defendant’s concern that the lack of evidence that the last of the predicate offenses occurred within three years of the charged offenses results in a failure to demonstrate that the gang is an ongoing or continuing criminal
Since the remaining offenses, properly instructed on as predicate offenses, met the definition of a pattern of criminal activity, the error in taking judicial notice of the possession of an assault weapon prior conviction and in instructing upon it, was harmless. 37
E. Consecutive Term for Street Gang Enhancement.
The trial court sentenced defendant to a term of 15 years to life for his conviction of second degree murder (count 1), doubled to 30 years to life due to his prior strike. The court added an additional 10 years for the gang participation enhancement (§ 186.22, subd. (b)(1)(C)), for a total term of 40 years to life on this count. 38 Defendant contends that the addition of 10 years for the gang enhancement was error. Respondent concedes the trial court erred, and we agree.
The trial court erred in imposing a 10-year enhancement pursuant to section 186.22, subdivision (b)(1)(C). Instead, the court should have imposed a limitation upon defendant’s minimum parole eligibility of 15 years, pursuant to section 186.22, subdivision (b)(5), doubled to 30 years due to his prior strike conviction.
F. Jury Selection.
Defendant argues that the trial court erroneously denied his motion to dismiss the jury on the basis of the prosecutor’s racially discriminatory use of peremptory challenges, thereby depriving him of a fair trial.
1. Applicable law.
A prosecutor may not use peremptory challenges to remove prospective jurors solely because they are members of an identifiable racial group.
(Batson v. Kentucky
(1986)
Batson
articulated a three-step process for evaluating a defendant’s claim that the prosecutor’s exercise of peremptory challenges was discriminatory.
(Batson, supra,
If the defendant makes a prima facie case of discrimination, the burden of proof shifts to the prosecutor at the second stage to show that the racial exclusion was not predicated on group bias.
(Johnson, supra,
Finally, if a race-neutral explanation is offered, the trial court must determine whether the opponent of the strike has proved purposeful racial discrimination.
(Johnson, supra,
We review the trial court’s ruling on the question of purposeful racial discrimination for substantial evidence.
(People v. McDermott
(2002)
2. Peremptory Challenge of Prospective Juror I.R.
In the present case, defendant argues that he was denied a fair trial because his jury was chosen in a racially discriminatory manner, based upon the prosecution’s peremptory challenge of Prospective Juror I.R. We disagree.
We begin by setting out the facts as they arose at voir dire. Two members of the prospective jury panel were African-American.
41
The prosecutor challenged the first African-American juror questioned, I.R., for cause. After the trial court denied the challenge for cause, the prosecutor peremptorily challenged I.R. Defense counsel made a motion under
Batson, supra,
The prosecutor offered the following reasons for the peremptory challenge of Prospective Juror I.R.:
44
“Now, she pointed out and took great pains to point out that she has the responsibility for a 16-year-old child at home. And then it turns out that this 16-year-old child is in school and then has activities after school. However, she’s concerned about being away from the house while the child is at school, and she expressed that to the Court. And was—when [counsel for codefendant Johnson] and the Court attempted to rehabilitate her on that point, she said: Well, something could happen, and
The trial court ruled on the peremptory challenge of I.R. as follows: “THE COURT: I believe [the prosecutor] in good faith has exercised the peremptory challenge for race neutral reasons. He—in particular what persuades me of that is her statement that she would—suggesting that she would somehow be influenced in her decision by the fact that the person is here looking at her. Not necessarily that she’s scared, but that the existence of a real individual here would—present might have an influence on her decision which suggests—understandably so, suggests that she might be influenced by considerations for the defendant, sympathy for the defendant, in arriving at her verdict. That seems to me a legitimate prosecutorial concern that I think has been voiced by [the prosecutor] in good faith, [ft] And the other reasons he gave, although I might disagree with them or defense might disagree with them, appear to me to have been voiced in good faith and for race neutral
3. Evaluation of Trial Court’s Ruling.
So long as the trial court made a sincere and reasoned effort to evaluate the nondiscriminatory justifications offered, then we defer to the trial court’s ability to distinguish bona fide reasons from sham excuses.
(People v. Avila, supra,
The trial court focused primarily on the prosecutor’s second reason for excusing I.R.—the impact of the defendants’ being in the courtroom—as a race-neutral reason for the peremptory challenge of I.R. The prosecutor based this reason for his peremptory challenge on I.R.’s statement that the presence of defendant in the courtroom would make it more difficult for her to make a decision regarding guilt. On both her jury questionnaire and during oral voir dire, she gave responses consistent with the prosecutor’s justification, indicating that it would be difficult for her to arrive at a verdict after being in the presence of the defendants. On her jury voir dire questionnaire, I.R. answered affirmatively to the question asking whether she had “moral, religious, or other principles which would make it difficult to determine whether someone is guilty or not guilty of a crime.” During her examination by the trial court, the following ensued: “[THE COURT]: Now, there’s a question here that says: Do you have moral, religious or other principles which would make it difficult to determine whether someone is guilty or not guilty of a crime? And you answered that yes. [f] What did you have in mind? [][] A. Just it’s kind of hard for me to máke a decision like this, you know, [f] Q. Is it— [f] A. I can—I can make it without seeing the person, you know, but you know, it’s just— HQ Q. In this case, you have Mr. Fui
[sic].
You have Mr. Johnson, [f] A. Um-hum. [f] Q. You are going to see them. They are going to see you? [][] A. I know. [][] Q. Can you make the decision under those circumstances? [][] A. I probably could, but it would be a little hard for me. [][] Q. Hard. Okay. I understand that. For any number of reasons, making a decision such as this may be hard on any given individual. I can appreciate that. But what I am ultimately trying to get to is, even though it may be hard, can you do it, and do it in the way we said the law requires? [f] A. I could do
Substantial evidence supports this proffered reason for the peremptory challenge of Prospective Juror I.R. Based upon these responses by I.R., the prosecutor initially challenged I.R. for cause. The trial court denied the prosecution’s challenge for cause, concluding that I.R. would not “be influenced by defendant’s presence and arriving at her verdict.” However, the prosecutor’s justification for a peremptory challenge “need not support a challenge for cause.”
(People v. Allen
(2004)
Defendant further argues that a comparative analysis of this proffered reason for challenging I.R. (her reluctance due to the defendants’ presence in the courtroom) with the prosecutor’s lack of challenge of similarly situated White jurors demonstrates that the challenge of I.R. was not race neutral. Relying on
Miller-El
v.
Dretke
(2005)
The comparative juror analysis suggested by defendant leads to the same conclusion. 46 During voir dire, Juror No. 12 stated that sitting on a jury with gang allegations would be “nerve wracking,” but not impossible to endure. Defendant contends that the degree of Juror No. 12’s emotional difficulty exceeded that of Prospective Juror I.R., who merely stated it would be “harder” at trial than at the grand jury. However, Juror No. 12 apparently did not react harshly to questioning and had no childcare concerns. We observe as well that I.R. and Juror No. 12 were commenting on two different topics— being in the presence of the defendants in the case of I.R., and the ramifications of considering gang violence in the case of Juror No. 12. This comparison of words in isolation fails as a basis for establishing that the prosecutor’s reason was pretextual.
Defendant claims that the prosecutor ascribed to I.R. the statement that she would not “ ‘base her verdict solely on the facts,’ ” because of defendant’s presence in the courtroom, and that this statement is not supported by the record, rendering it pretextual. (See
People v. Silva (2001)
The trial court also found the prosecutor’s other two reasons for peremptorily challenging I.R. to be race neutral, indicating that although it “might disagree with [the reasons],” the court found them “to have been voiced in good faith and for race-neutral reasons.”
49
The prosecutor’s first reason, that I.R. might not be “up to” the complexity of the case, was based primarily on I.R.’s failure to respond appropriately to the trial court’s cues regarding the small likelihood that something negative would befall her 16-year-old daughter while I.R. was serving on the jury.
50
During voir dire, I.R. repeatedly told the court and counsel about her concerns regarding being away
The prosecutor offered as a third reason supporting the peremptory challenge the fact that he was concerned Prospective Juror I.R. would react harshly or precipitously to some aspect of the prosecution’s case. This reason was based on the prosecutor’s observation that I.R. had, without apparent provocation, “laid into” codefendant’s counsel on the topic of race. “A prospective juror may be excused based upon bare looks and gestures,
4. Conclusion.
Even a brief reference to the prosecutor’s reasons and the trial court’s own observations of the challenged jurors can constitute a sincere and reasoned evaluation of the credibility of the prosecutor’s justifications.
(People
v.
Jackson
(1996)
The 10-year enhancement imposed on count 1 pursuant to section 186.22, subdivision (b)(1)(C), is ordered stricken and a minimum parole eligibility of 30 years shall be imposed on that count. The abstract of judgment shall be modified to reflect a sentence on count 1 of 30 years to life, with a minimum parole eligibility of 30 years, and the modified abstract shall be forwarded to the Department of Corrections and Rehabilitation. In all other respects, the judgment is affirmed.
Ruvolo, P. J., and Reardon, J., concurred.
A petition for a rehearing was denied August 20, 2008, and the opinion was modified to read as printed above. Appellant’s petition for review by the Supreme Court was denied October 28, 2008, S166501.
Notes
All further statutory references are to the Penal Code unless otherwise noted.
Defendant was found not guilty of sales of a nonnarcotic controlled substance. (Health & Saf. Code, § 11379.)
At the time of the incident, the four boys were juveniles. All were charged in juvenile court with murder; all admitted violations of section 245, subdivision (a)(1) (assault with force likely to inflict great bodily injury) in exchange for agreements to testify.
At trial, the four juveniles gave differing accounts about the strength and targets of defendant’s blows to Espinoza. All agreed that defendant kicked Espinoza. Danny G. told the police it was only once in the stomach, not in the head or face, but at trial testified it might have been in the head and body. Sammy V. and Joey O. testified that defendant kicked Espinoza in the head or face multiple times, but Brandon V. disputed that account, saying defendant kicked him once in the upper body.
Codefendant Johnson was originally charged in the same action with Fiu, but the trial court granted defendant’s motion to sever. Johnson was subsequently convicted of first degree murder in a separate trial.
Danny G. testified that Johnson arrived 10 to 15 minutes after the first attack on Espinoza.
Section 654 provides that “[a]n act or omission that is punishable in different ways by different provisions of law shall ... in no case ... be punished under more than one provision.” The trial court accordingly stayed the sentences imposed on counts 2 and 3.
Defendant uses the term “supervening” act. Case law appears to variously use the terms “superseding intervening act,” “independent intervening act," and “supervening act,” to describe an act occurring after a defendant’s act, which is unforeseeable and breaks the chain of causation.
Chapman v. California
(1967)
CALJIC former No. 8.55 provided, “To constitute murder . . . there must be, in addition to the death of a human being, an unlawful act which was a proximate cause of that death. Q] A proximate cause of a death is a cause which, in natural and continuous sequence, produces the death, and without which the death would not have occurred.” (CALJIC former No. 8.55 (5th ed. 1988).)
The court noted that defense counsel had represented below that he was not going to “ ‘make any issue out of the proximate cause ....’”
(People v. Alvarez, supra,
Of course the intervening act may be so attenuated, due to the passage of a significant period of time, that a defendant’s act is no longer considered the proximate cause of the victim’s death, for “ ‘at some point the required causal nexus would have become too attenuated ....’”
(People v. Cervantes
(2001)
See CACI No. 432, discussed post, defining a superseding intervening act.
In an attempt to clarify the location where the victim was left after the first beating, in response to defendant’s petition for rehearing, we ordered the record augmented with the crime scene diagram (People’s exhibit No. 9) and the crime scene photographs (People’s exhibit Nos. 8a-8rr). (Cal. Rules of Court, rule 8.155(1)(A).) The victim was apparently first
Again, the accounts of the young gang members differed. In sum, it appears that the victim was beaten until he lost consciousness; however, he may have regained consciousness before the second beating, in which Johnson participated.
One young gang member’s account of the events indicated that Johnson came into defendant’s backyard to inquire about the victim, and it was at this point that defendant told Johnson not to kill the victim.
The autopsy surgeon could not ascertain if certain patterned injuries on the victim’s head were caused by, or were consistent with, a milk crate or a shoe, without comparing the specific objects with the pattern of injuries.
Again, at least one young gang member did testify that defendant told them to leave the victim alone and to go home after their initial attack on the victim and before Johnson’s arrival on the scene.
Defendant cites the following language from Hart and Honoré, Causation in the Law (2d ed. 1985) page 326, as quoted in
People v. Cervantes, supra,
CALJIC No. 8.55 is the standard CALJIC instruction covering causation in homicide cases. (See fn. 10,
ante.)
As the court explained in
Alvarez,
“We note in passing that, in light of our all but express disapproval in
People
v. Roberts[,
supra,]
2 Cal.4th [at pages] 311-313, CALJIC No. 8.55 was revised in 1992 to remove ‘proximateness’: ‘To constitute . . . murder . . . there must be, in addition to the death of a human being, an unlawful act which was a cause of that death.’ ”
(People v. Alvarez, supra,
The fact that it could not be determined which precise blows to the head caused the victim’s death, or which individual delivered each of those particular blows, of course does not itself relieve defendant of liability, so long as defendant participated in kicking the victim in the head. (See
People v. Sanchez
(2001)
The instruction referenced is taken from the reporter’s transcript of the instruction as read to the jury by the court. The written instruction, with the judge’s handwritten modifications, differs slightly from the reporter’s transcript.
People
v.
Hansen
(1997)
The jury was also instructed on the defense of withdrawal by an aider and abettor, and were thus told that if defendant notified the other principals known to him of his intention to withdraw from the commission of the crime and did everything in his power to prevent its commission, he should be found not guilty. (CALJIC No. 3.03.) The jury obviously rejected this defense. Defendant’s reliance upon evidence that he told the young gang members, and possibly Johnson, not to kill the victim is therefore misplaced.
Defendant asserts that cases cited by the Attorney General in support of this position are all cases relating to preliminary hearing proceedings, not to indictments by a grand jury. While that assertion is true, we see no reason why the same rule would not equally attach to grand jury indictments when they are challenged on the grounds of the instructions given to the grand jury, and defendant has cited no authority to support his position that the reasoning of these cases does not apply. (See, e.g.,
People v. Partlow
(1978)
Defendant additionally posits that, “Further, when the prosecutor answered the jury’s questions as quoted above, he answered incorrectly, in part, when he conflated aiding and abetting principles and conspiracy principles.” This argument was not developed any further. We reject claims that are not carefully enough developed to be discrete contentions; contentions “raised in such [a] perfunctory fashion [are] waived.”
(People v. Harper
(2000)
Defendant actually contends that CALJIC No. 3.03, as worded, improperly allocated the burden of proof to him, as it required that in order for the defense of withdrawal to apply, a defendant must notify the other principals of his intention and must do everything in his power to prevent the crime. We do not believe that this language in the standard instruction allocates the burden of proof, as opposed to stating what it is that the evidence must demonstrate (rather than who must demonstrate it and to what degree), in order for withdrawal to be effective.
As the court in
Mower
indicates, those defenses amount to only “a handful,” and include entrapment, momentary handling of a controlled substance for the sole purpose of disposal, and the “so-called defense of necessity against a charge of escape.”
(Mower, supra,
Both defendant and the Attorney General take the approach that withdrawal relates to a defendant’s required specific intent to commit the target offense, when the theory of liability is as an aider and abettor. The defense of withdrawal is more aptly characterized as relating to whether or not the defendant was an active participant at the time the crime was committed, as reflected by the wording of CALJIC No. 3.03 itself: “Before the commission of a crime an aider and abettor may withdraw from participation . . . .” (Italics added.)
That defendant here met that burden is demonstrated by the trial court’s instruction upon withdrawal.
The comment to CALJIC No. 3.03 (withdrawal as an aider and abettor) is silent on the issue of the burden of proof.
Defendant relies upon the jury’s deliberating for two full days as evidence that this was a close case. Excluding jury selection and jury deliberation, defendant’s trial stretched over some nine to 10 days. Two days of deliberation is hardly noteworthy in its comparative length.
The currently charged offenses may also be considered as predicate offenses
(People v. Loeun
(1997)
It also requires that at least one of the predicate offenses must have occurred after the effective date of the section and that the offenses were committed on separate occasions, or by two or more persons. Defendant does not contend that these requirements were not met.
Section 186.22, subdivision (e) requires proof of the commission of, or conviction of, two or more enumerated offenses. The temporal proximity requirement, however, specifically refers to “the last of those offenses” occurring “within three years after a prior offense.” (Italics added.)
In
People
v.
Zermeno
(1999)
Given this finding, defendant’s contention that defense counsel’s failure to object regarding these issues below constituted ineffective assistance of counsel is also without merit, as he has failed to demonstrate the required prejudice resulting from counsel’s omission.
(Strickland, supra,
The court stayed the sentences on counts 2 and 3, pursuant to section 654.
As one court noted, this interpretation may result in less time being served than would the application of the 10-year enhancement, but the statute clearly makes this demarcation.
(People v. Harper
(2003)
In
Johnson, supra,
Defendant is Samoan, or Pacific Islander. Under
Powers v. Ohio
(1991)
At the time of the Batson-Wheeler motion, defendant’s case was not yet severed from codefendant Johnson’s case. The motion was brought by counsel for Johnson, with counsel for defendant joining in.
Later, the second African-American prospective juror was excused for cause.
Defendant outlines 11 “purported” reasons offered by the prosecutor in support of the peremptory challenge. We observe that the prosecutor offered three, and we confine our analysis to them.
When the trial court denied the prosecution’s challenge of I.R. for cause, it was indicated (outside the presence of the jury) that a peremptory challenge would be made by the People, and that defense counsel would make a Batson-Wheeler motion. The court therefore proceeded with the motion, in anticipation of the prosecutor’s peremptory challenge of I.R.
The issue of whether an appellate court must conduct such a comparative analysis in the first instance has now been resolved by the California Supreme Court in
People v. Lenix
(2008)
As noted ante, the People’s challenge for cause was denied.
Similarly, defendant argues that the prosecutor inaccurately ascribes to I.R. the statement that the presence of defendant at trial would put added “pressure” on her. The prosecutor offered this statement during his argument supporting challenge for cause, not in support of his
Prospective Juror I.R.’s persistent referencing back to her concern for her daughter, as well as her apparently unjustified outburst at defense counsel, convince this court that the prosecutor’s other two reasons were sincere and not race based. Defendant alleges, in the alternative, that the prosecutor’s numerous reasons, only some of which might be race neutral, demonstrated a mixed motive for the peremptory challenge. Applying an equal protection rationale, defendant argues that mixed-motive analysis shifts the burden onto the prosecutor to show that the challenge would have been made even absent the race-based motivation. Insofar as we are not persuaded that any of the three reasons proffered by the prosecution were race based, this argument is moot.
Defendant contends that the prosecutor’s claimed reason that Prospective Juror I.R. “ ‘was not up to the complexity of the case,’ ” is not supported by the record, in that I.R. had previously served “satisfactorily” on a San Francisco grand jury. (See
People
v.
Silva, supra, 25
Cal.4th at p. 385 [prosecutor’s reason for the challenge cannot be race neutral where it is unsupported by the record].) The record, however, does not reflect anything about I.R.’s grand jury duty other than the fact that I.R. affirmed that she understood the distinction between a grand jury and a trial jury. There is no indication of the complexity of the case or cases I.R. sat
Defendant argues also that the prosecutor’s proffered reason that I.R. was not “up to” the case was unsupported by the record, which he alleged demonstrated that I.R. “followed the judge’s questions perfectly.” (See
People v. Silva, supra,
Defendant argues that the comments precipitating I.R.’s outburst were mischaracterized by the prosecutor as having been made by defense counsel, and therefore
Silva
controls.
(People v. Silva, supra,
