Lead Opinion
For many years, the Penal Code
Pursuant to section 803(g), defendant was charged with violating section 288, prohibiting lewd conduct against children, within one year after the victim reported the crime to the police. The fixed limitations period in existence when the crime occurred had run before the complaint was filed, and before section 803(g) became effective.
Defendant demurred on grounds section 803(g) constituted an impermissible ex post facto law under the United States and California Constitutions, and unfairly deprived him of a statute of limitations defense under the due process clauses of the United States Constitution. No argument was made that a law increasing the time for filing charges can never target defendants who committed their crimes before the new longer statute of limitations was enacted. Rather, defendant challenged the postcrime statutory change only insofar as it affected individuals who, like him, were accused of crimes already time-barred under prior law. The trial court sustained the demurrer and dismissed the case. The Court of Appeal affirmed. The People sought review of the judgment in this court.
For reasons we explain, defendant’s challenge to section 803(g) cannot prevail under the formula prescribed in Collins v. Youngblood (1990)
I. Statutory Background
California’s criminal statutes of limitation were first enacted in 1851 and codified in 1872. The entire scheme, which currently appears in sections 799 through 805.5, was overhauled in 1984. (Stats. 1984, ch. 1270, §§ 1, 2, pp. 4335-4337.) At that time, the Legislature determined that piecemeal amendment over the years had produced a scheme that was confusing, inconsistent, and lacking in cohesive rationale. The 1984 revisions sought to balance the state’s interest in barring stale claims against the need to pursue and punish criminal offenders, particularly in serious cases. (Recommendation Relating to Statutes of Limitation for Felonies (Jan. 1984) 17 Cal. Law Revision Com. Rep. (1984) pp. 307-313 (Statutes of Limitation); see generally, Uelmen, Making Sense out of the California Criminal Statute of Limitations (1983) 15 Pacific L.J. 35.)
There is no statute of limitations for murder, embezzlement of public funds, and certain other offenses punishable by life imprisonment. (§ 799.) Otherwise, felony cases, including those involving sex crimes
Basically, a felony prosecution must be “commenced” either three years (§ 801) or six years (§ 800) “after commission of the offense,” depending upon the term of imprisonment statutorily available as punishment for the crime.
Exceptions to sections 800 and 801 are contained in section 803. According to subdivision (a), section 803 sets forth the exclusive circumstances under which such statutory periods may be “extended” or “tolled.” As enacted in 1984, and continuing through the present time, section 803 suspends the running of the statutory period while another prosecution based on the same conduct is pending against the defendant in state court (id., subd. (b)), delays commencement of the statutory period for certain offenses involving fraud, theft, and breach of fiduciary duty until the crime is discovered (id., subd. (c)), and suspends, within certain limits, the running of the statutory period while defendant is absent from the state (id., subd. (d)). (See also id., subd. (e), added by Stats. 1985, ch. 357, § 1, p. 1509 [delaying start of statutory period until certain Water Code and Health and Safety Code violations are discovered].)
Beginning in the late 1980’s, lawmakers across the country became increasingly aware that young victims often delay reporting sexual abuse because they are easily manipulated by offenders in positions of authority and trust, and because children have difficulty remembering the crime or facing the trauma it can cause. Hence, states which traditionally limited the time for prosecuting child molestation in a manner similar to sections 800 and 801 have started to substantially increase the time in which criminal charges can be filed after the assault occurred.
The California Legislature took similar steps when it added subdivision (g) to section
Prosecutors promptly invoked the foregoing provisions to file child molestation charges based on the time at which the victim reported the crime, regardless of when the crime occurred or when the statute of limitations otherwise expired. Some lower courts found no statutory or constitutional bar to applying section 803(g) even where the limitations period set forth in section 800 or 801 had expired before January 1, 1994.
However, in opinions that were originally published in 1995 and 1996, several Courts of Appeal held that section 803(g), as first enacted, did not apply where prosecution of the crime was otherwise time-barred as of the statute’s effective date.
Judicial reluctance to apply section 803(g) in older child molestation cases did not go unnoticed by the Legislature. Through an amendment that became operative January 1, 1997, the statute identified in greater detail the cases that could be prosecuted despite delayed reporting of the crime. (Stats. 1996, ch. 130, § 1 (the 1996 amendment or version).)
First, the 1996 version retained, without substantive change, all language that had been part of the 1994 law.
Second, the 1996 amendment added provisions that had not previously appeared in the statute.
Specifically, the 1996 version made clear that the one-year limitations period set forth in section 803(g) “applies to a cause of action arising before, on, or after January
An overview of section 803(g) would not be complete without mentioning that the statute was amended a second time, effective June 30, 1997. (Stats. 1997, ch. 29, § 1 (the 1997 amendment).) The 1997 amendment gave rise to the version of section 803(g) which exists at the present time, and which will be cited throughout the opinion.
The 1997 amendment also left unchanged language that first appeared in the 1996 version of the statute concerning the state’s ability to file criminal charges in cases that were time-barred before 1994. Hence, with respect to any complaint or indictment filed within the one-year period provided therein, the statute “applies to a cause of action arising before, on, or after January 1, 1994, the effective date of this subdivision, and it shall revive any cause of action barred by Section 800 or 801.” (§ 803(g)(3)(A).)
In all other respects, the 1997 amendment made changes not directly applicable here concerning cases in which the victim reported the crime after January 1, 1994, and in which a complaint or indictment is filed only after the one-year period in section 803(g) has expired, or in which a complaint or indictment filed within one year of the report is dismissed and later refiled. (§ 803(g)(3)(A)(iii) & (iv), (3)(B)(i)-(iii).) Of particular interest in these provisions, however, is language concerning the timeliness of prosecutions instituted, or reinstituted, within a certain time after an opinion of this court, or the United States Supreme Court, finally decides whether “retroactive application” of the statute “is constitutional.” (§ 803(g)(3)(A)(iii) & (iv), (3)(B)(ii), italics added.)
On October 21, 1996, the district attorney filed a complaint in Mendocino County Municipal Court charging defendant with one count of lewd conduct upon a child under age fourteen in violation of section 288, subdivision (a) (section 288(a)), a felony. The crime allegedly occurred 12 years earlier, between October 1, 1984, and December 31, 1984.
Defendant demurred on the ground the action was time-barred under section 800, which “expired as to this charge no later than December 31, 1990.” According to defendant, the complaint could not be considered timely under section 803(g) even assuming law enforcement officials received the victim’s report no more than one year earlier. First, defendant asserted, as a matter of statutory interpretation, that the additional one-year limitations period in section 803(g) does not apply where, as here, the six-year period in section 800 had expired before section 803(g) became effective on January 1, 1994. In the alternative, defendant urged that a contrary construction of section 803(g) would violate the ex post facto clauses of the United States and California Constitutions, and the due process clauses of the United States Constitution.
On February 10, 1997, the municipal court sustained the demurrer and ordered the case dismissed. In a written statement of decision, the court reasoned that section 803(g) should be construed in defendant’s favor because, as first enacted in 1994, it did not clearly govern actions that were time-barred before its effective date. However, the court apparently did not consider the 1996 amendment to section 803(g), which became effective 40 days before the ruling on the demurrer, and which added language bearing on the applicability of the statute in cases such as defendant’s. Having resolved the matter in favor of defendant on statutory grounds, the municipal court did not reach the constitutional questions he had raised.
The People promptly moved in superior court to reinstate the complaint. They argued that the 1996 amendment eliminated any ambiguity in the statutory language, and authorized the filing of molestation charges where the statute of limitations had otherwise expired before 1994, and where the victim reported the crime under the requisite circumstances. The People also urged the court to find no constitutional bar to use of section 803(g) in the present case. In opposing the motion, defendant simply renewed all statutory and constitutional arguments previously set forth in the demurrer.
The superior court issued a written ruling adopting the People’s construction of the statute. However, the court found that “the clear legislative intent to revive causes of action already barred by statutes of limitation violates the ex post facto clauses of the United States and/or California Constitutions by changing the legal consequences of a defendant’s past conduct.” The motion to reinstate the complaint was denied.
The People appealed. The Court of Appeal affirmed the judgment in a brief opinion that accepted the reasoning used by the superior court in denying reinstatement of the complaint. The Court of Appeal
III. Application of Statute
As a threshold matter, the parties assume here, as on appeal, that section 803(g) applies in the present case as a matter of statutory construction. Under this reading of the statute, a felony prosecution which otherwise complies with the requirements of section 803(g) is timely whether or not the crime occurred before January 1, 1994, and whether or not the statutory period otherwise applicable under section 800 or 801 expired before January 1, 1994. Based on the “express language” of the statute, and “extrinsic” evidence in the legislative record, we have no doubt the statute operates in this manner. (Evangelatos v. Superior Court, supra,
At no point has section 803(g) restricted the amount of time that may pass between commission of the crime and commencement of the prosecution. Nor does the statute place any limits on the age of the victim either at the time a report sufficient to trigger the statute is made, or at the time criminal charges based on such a report are filed. Rather, a felony prosecution commenced within one year of a qualifying report is timely under the literal terms of section 803(g)(2)(A) even, indeed only, if the limitations period otherwise applicable under section 800 or 801 “has expired.”
The quoted phrase obviously ensures that the one-year period in section 803(g)(1) does not override or otherwise conflict with sections 800 and 801 where the victim reports the crime to a qualifying law enforcement agency before the three-year or six-year period set forth in the latter provisions “has expired.” In this way, the limitations period in section 803(g)—like other “tolling” and “extension” provisions in the same statute—serves to prolong, rather than shorten, the time in which a felony child molestation prosecution may be commenced.
However, nothing in section 803(g) provides that the crime must be committed, or that the limitations period in section 800 or 801 must expire, after January 1, 1994, in order for the extended one-year period to apply. The 1996 amendment left no doubt that section 803(g) applies even where the existing statute of limitations expired before January 1, 1994.
As we have seen, certain Court of Appeal opinions of which the Legislature was presumably aware refused to apply section 803(g) in such cases even where criminal charges were filed within one year of the time the victim reported the underlying crime to law enforcement officials. (Ante, fn. 6.) This once-published line of authority reasoned that the 1994 law was at least ambiguous insofar as it reflected a legislative intent to “revive” prosecutions that were time-barred under sections 800 and 801 by the time section 803(g) was enacted. Based on the language of the 1996 amendment, the Legislature obviously sought to fill this perceived gap by providing that compliance with the one-year limitations period “revive[s]” the state’s ability to file felony charges in “any” action “barred by Section 800 or 801,” regardless of whether the crime occurred “before, on, or after January 1, 1994,” the initial effective date of the statute. (§ 803(g)(3)(A), italics added.)
Because it explicitly applies in prosecutions of all enumerated sex crimes
The legislative history of the 1996 amendment confirms this view. Indeed, the Legislature was highly familiar with the various Court of Appeal opinions filed in 1995 and 1996 that declined to apply section 803(g) where “the previously applicable statute of limitations had expired prior to January 1, 1994 (the effective date of Section 803(g)).” (Assem. Floor Analysis, Assem. Bill No. 2014 (1995-1996 Reg. Sess.) June 21, 1996, p. 1.) The legislative record identified these Court of Appeal decisions by name and original published citation, and summarized the statutory and constitutional analysis each used to reach this conclusion. (Id., pp. 1-2; Sen. Com. on Crim. Procedure, Analysis of Assem. Bill No. 2014 (1995-1996 Reg. Sess.) June 3, 1996, pp. 7-9.)
According to the legislative record, the primary reason for amending section 803(g) in 1996 was to repudiate these Court of Appeal decisions insofar as they had construed the statute in such a restrictive manner. The 1996 amendment sought to “clarify,” through express “retroactivity” and “revival” provisions, that section 803(g) permitted charges to be filed within one year of the victim’s report, even where prosecution of the crime was otherwise time-barred before January 1, 1994. (Sen. Com. on Crim. Procedure, Analysis of Assem. Bill No. 2014 (1995-1996 Reg. Sess.) June 3, 1996, pp. 5-7; Sen. Floor Analysis, Assem. Bill No. 2014 (1995-1996 Reg. Sess.) June 3, 1996, pp. 2-4.)
Finally, the Legislature considered and rejected the ex post facto concerns cited by some of the targeted Court of Appeal cases as a basis for not applying section 803(g) in a manner consistent with its underlying intent. Legislative analysts opined that a postcrime increase in the statute of limitations was not the type of criminal legislation prohibited under Collins, supra,
Thus, consistent with allegations in the complaint, section 803(g) serves as an exception to section 800 in the present case. We next consider the parties’ arguments concerning the constitutionality of this result.
IV. Ex Post Facto Claim
The People do not dispute an assumption made by defendant and the Court of Appeal that section 803(g) operates retroactively because it withdraws a basis for demurrer—expiration of the statute of limitations under section 800—which defendant was entitled to assert before section 803(g) was enacted. (See Weaver v. Graham (1981)
Early in the nation’s history, the United States Supreme Court decided that the ex post facto clause applies only to criminal legislation as opposed to statutes which retroactively affect property, contract, or other interests protected in civil proceedings. (Calder, supra,
According to Beazell, which summarized Justice Chase’s definition of ex post facto laws in Calder, “any statute which punishes as a crime an act previously committed, which was innocent when done; which makes more burdensome the punishment for a crime, after its commission, or which deprives one charged with crime of any defense available according to law at the time when the act was committed, is prohibited as ex post facto. The constitutional prohibition and the judicial interpretation of it rest upon the notion that laws, whatever their form, which purport to make innocent acts criminal after the event, or to aggravate an offense, are harsh and oppressive, and that the criminal quality attributable to an act, either by the legal definition of the offense or by the nature or amount of the punishment imposed for its commission, should not be altered by legislative enactment, after the fact, to the disadvantage of the accused.” (Beazell, supra,
After articulating the controlling standard for resolving ex post facto challenges under the federal Constitution, Collins made clear that the two categories of impermissible retroactive legislation—redefining criminal conduct and increasing punishment—are exclusive. This critical point was communicated in several different ways.
First, the two-part definition of ex post facto legislation was repeated throughout Collins in almost talismanic form. (497 U.S. at pp. 44 [
Second, the high court criticized language in some of its own decisions defining the ex post facto prohibition more expansively to include any “procedural change” which deprives the defendant of “ ‘substantial protections’ ” or “ ‘substantial personal rights’ ” existing at the time of the crime. (Collins, supra,
Finally, Collins, supra,
A statutory change in the legal effect of the postcrime passage of time does not implicate criminal conduct or punishment as required by Collins, supra,
Here, for instance, the definition of the charged crime has not changed over time. No material revision in the language of section 288(a) has occurred between 1984, when the crime allegedly took place, and the present time. Indeed, section 288 was enacted in 1901, and the elements defining criminal conduct under what is now subdivision (a) have remained the same for decades. (People v. Martinez (1995)
Nevertheless, defendant insists section 803(g) impermissibly deprives him of a “ ‘defense available according to law at the time when the act was committed.’” (Collins, supra,
We disagree. As we have explained, the ex post facto clause is concerned exclusively with “the criminal quality attributable to an act’ as evidenced “either by the legal definition of the offense or by the nature or amount of the punishment” at the time it occurs. (Beazell, supra,
Application of section 803(g) to defendant’s case in no way violates these principles. The section makes no change in the' act or intent elements which the prosecution must prove beyond a reasonable doubt to obtain a conviction under section 288(a), the circumstances which can be used by the defendant to show no lewd touching of an underage child occurred under section 288(a), or the range of state prison sentences available as punishment under section 288(a). Section 803(g) simply provides that where the victim has waited to report a violation of section 288(a) or other enumerated sex crime to a law enforcement agency, and where the limitations period has otherwise expired, there is an additional one-year period in which a criminal complaint may be filed after a qualifying report is made. Section 803(g) regulates the time at which child sexual abuse defined and punished elsewhere in the Penal Code may be charged, but it does not impermissibly withdraw a “defense” as that term of art is used for ex post facto purposes in Collins, supra,
In a
In Falter, three defendants were jointly indicted, tried, and convicted for conspiracy to defraud the United States by means of a protracted scheme to buy surplus military goods at fraudulently induced, below-market prices. Writing for a unanimous panel of the Second Circuit Court of Appeals, Judge Learned Hand addressed the defendants’ main claim on appeal at length, and found sufficient evidence of fraudulent activity within the meaning of the federal statute under which charges had been filed. (23 F.2d at pp. 423-425.) Towards the end of the opinion, a series of other legal attacks on the judgment were rejected in relatively succinct terms. Pertinent here is the defendants’ claim in Falter that prosecution of their conspiracy was barred under the applicable statute of limitations and the ex post facto clause of the federal Constitution.
On the latter issue, the Falter court observed that at the time the fraudulent scheme occurred, in late 1919 through early 1920, the applicable statute of limitations permitted commencement of the prosecution within three years of the crime. In November 1921, before the three-year period expired with respect to defendants’ crime, the statute of limitations was amended to allow prosecution within a six-year period. (Falter, supra,
Without describing the precise nature of the constitutional claim, Falter rejected defendants’ suggestion that any adverse “change [in the statute of limitations] after the commission of the crime, and while the [original] time [period] is running,” constitutes a violation of the ex post facto clause. (Falter, supra, 23 F.2d p. 425.) The court cited language in Beazell, supra,
Defendant recognizes that no decision of the United States Supreme Court or this court has used the foregoing passage from Falter to decide an ex post facto question of the sort raised here. Hence, we are not compelled by Falter to find a constitutional violation insofar as section 803(g) applies, on its face, to child molestation cases in which section 800 or 801 had expired and no criminal charges were filed before January 1, 1994. On the other hand, defendant asks that we embrace the principles expressed by Falter in footnote 23, ante, and adopt such reasoning as our own. Defendant correctly notes that many federal and state courts have cited the relevant passage with approval over the years, as discussed further below.
However, Falter, supra,
However, the primary reason we find no ex post facto violation here based on dictum in Falter, or on any case cited therein, is that such a result would be inconsistent with Beazell, supra,
The conclusion reached by the cases cited in footnote 25, ante, is not inconsistent with our view that application of section 803(g) to defendants whose prosecutions were time-barred before January 1, 1994, does not offend ex post facto guarantees. Not surprisingly, one of the more recent and thoughtful cases in this group seems to depart from Falter, supra,
However, most of these decisions predate Collins, supra,
We conclude that section 803(g) is not an ex post facto law insofar as it applies, on its face, to the instant case. The following decisions are disapproved to the extent they are inconsistent with this view: Bunn, supra,
V. Due Process Claim
Defendant argues here, as below, that once the six-year period in section 800 had expired as to the charged crime, he could not be prosecuted under section 803(g), as thereafter adopted, consistent with federal due process guarantees. (U.S. Const., 5th & 14th Amends.) He alludes to substantive due process principles applied in civil cases to ensure that “vested” property rights are not retroactively impaired in an irrational or arbitrary manner. (See generally, In re Marriage of Bouquet (1976)
We agree with the People that defendant is essentially asking this court to invalidate section 803(g) by recognizing a new federal constitutional right based on the assumption that criminal defendants have a fundamental “right to repose,” once such repose is achieved under the statute of limitations then in effect. For reasons we explain, the high court all but rejected this view in Chase, supra,
In Chase, the plaintiff filed suit in Minnesota state court in 1937 to recover the cost of unregistered securities that had allegedly been sold in 1929 in violation of Minnesota statutory and common law. The defendant, a corporation, argued in the trial court that the action was time-barred, and apparently asserted, among other things, the six-year statute of limitations generally applicable to actions founded upon liabilities created by statute. The plaintiff disagreed, claiming that the defendant had withdrawn from the state in 1931 and that the running of the statutory period had been suspended during its absence. The trial court rejected the statute of limitations claim on the ground urged by the plaintiff, found an illegal sale of securities under the regulatory scheme, and did not rule on the common law claims. Judgment was entered in the plaintiff’s favor.
On appeal, the Minnesota Supreme Court determined that the statute of limitations had not been tolled due to the defendant’s absence from the state. The judgment was reversed and, in January 1941, the case was remanded for further proceedings not inconsistent with the latter decision. (Chase, supra,
While the case was pending in the trial court, the Minnesota Legislature amended the regulatory scheme and included, for the first time, a specific statute of limitations applicable to actions arising thereunder. The effect of the statutory change, which became operative July 1941, was “to abolish any defense that [the defendant] might otherwise have made under the [more generalized] statutes of limitation” which had previously governed the challenged sale or which had been applied in its favor in the case. (Chase, supra,
On remand in the trial court, the defendant argued, among other things, that the new statute of limitations did not apply and that the plaintiff’s action was time-barred under prior law. The defendant argued alternatively that to the extent amendment of the regulatory scheme had retroactively expanded the applicable limitations period or withdrawn a statute of limitations bar it had previously been entitled to assert on its behalf, the defendant was deprived of its property in violation of the due process clause of the Fourteenth Amendment. The foregoing claims were rejected by the trial court, which again entered judgment in the plaintiff’s favor. The Minnesota Supreme Court affirmed. (Chase, supra, 325 U.S. at pp. 308-309 [65 S.Ct. at pp. 1139-1140].)
The defendant renewed its due process attack on the new statute of limitations in the United States Supreme Court. After noting that “substantial federal questions” had been raised, the court rejected the claim. (Chase, supra,
Chase began by summarizing the holding of Campbell v. Holt (1885)
Nevertheless, the court refused to overrule Campbell, supra,
“The Fourteenth Amendment does not make an act of state legislation void merely because it has some retrospective operation. What it does forbid is taking of life, liberty or property without due process of law. Some rules of law probably could not be changed retroactively without hardship and oppression, and this whether wise or unwise in their origin. Assuming that statutes of limitation, like other types of legislation, could be so manipulated that their retroactive effects would offend the Constitution, certainly it cannot be said that lifting the bar of a statute of limitation so as to restore a remedy lost through mere lapse of time is per se an offense against the Fourteenth Amendment. Nor has the [defendant] pointed out special hardships or oppressive effects which result from lifting the bar in this class of cases with retrospective force. This is not a case where [the defendant’s] conduct would have been different if the present rule had been known and the change foreseen. [The defendant] does not say, and could hardly say, that it sold unregistered stock depending upon a statute of limitation for shelter from liability. The nature of the defenses shows that no course of action was undertaken by [the defendant] on the assumption that the old rule would be continued. When the action was commenced, [the defendant] no doubt expected to be able to defend by invoking Minnesota public policy that lapse of time had closed the courts to the case, and its legitimate hopes have been disappointed. But the existence of the policy at the time the action was commenced did not, under the circumstances, give the [defendant] a constitutional right against change of policy before final adjudication. Whatever grievance [the defendant] may have at the change of policy to its disadvantage, it had acquired no immunity from this suit that has become a federal constitutional right.” (Chase, supra, 325 U.S. at pp. 315-316 [65 S.Ct. at p. 1143 ] .)
The holding of Chase—that no constitutionally protected interest arises once a statute of limitations has run, and that such protection can be retroactively withdrawn
We see no meaningful basis on which to distinguish the six-year period in section 800 from the statute of limitations discussed in Chase, supra,
It is well settled that, aside from procedural due process concerns arising under the Fifth Amendment and involving claims of actual prejudice at trial (see discussion, post), “the applicable statute of limitations ... is . . . the primary guarantee against bringing overly stale criminal charges.” (United States v. Ewell (1966)
However, criminal statutes of limitation are no less an act of “policy” or “grace” than their counterparts in civil cases. (Chase, supra,
Some states have traditionally provided no statutes of limitation in criminal cases, while many states, including California, do not limit the time for prosecuting certain crimes. (E.g., § 799; see The Criminal Statute of Limitations, supra, 37 Wm. & Mary L.Rev. 199, 250, fn. 223; A Model for Reform, supra, 65 Wash. L.Rev. 189, 191 & fns. 13, 14; A Time for Reform, supra, 80 J. Crim. L. & Criminology 842, 845-846.) Criminal statutes of limitation appear no more rooted in the Constitution or the traditions underlying the American legal system than their civil counterparts.
It follows that “[w]hatever grievance [the defense in a criminal case] may have at the change of policy to its disadvantage, it had acquired no immunity from [prosecution] that has become a federal constitutional right.” (Chase, supra,
The sole authority cited in support of defendant’s federal due process theory are cases resolving analogous claims under the ex post facto clause, as discussed earlier in the opinion. We note that in defendant’s brief on the merits in this court, the claim that section 803(g) impairs a “vested” right in violation of substantive due process guarantees is inextricably intertwined with his ex post facto claim. Both arguments share the same headings and textual discussion, and are accompanied by the same case citations.
While defendant focuses for due process purposes on the time at which the limitations period in section 800 or 801 expires, nothing compels or authorizes this court to find that he acquired a “vested” or “fundamental” right under the United States Constitution with which section 803(g) impermissibly interferes. We decline to invalidate section 803(g) based on a new constitutional right which, under Chase, supra,
Finally, defendant suggests that use of section 803(g) to provide an additional one-year period in which to file child molestation charges where the six-year period in section 800 had expired before January 1, 1994, violates his right to a fair trial under the Fifth Amendment of the United States Constitution. The implication seems to be that, by allowing indictment based on acts committed before January 1, 1988, section 803(g) creates an unacceptable risk that the ability to contest the charge will be impaired by the passage of time. According to defendant, such a result is “fundamentally unfair” and offends procedural due process guarantees. (Lovasco, supra,
In Lovasco, the defendant was charged in federal court with possessing and selling firearms that had been stolen from the United States mails about 18 months earlier. Although the charges were evidently not time-barred as a statutory matter, the defendant moved to dismiss the indictment on grounds of unreasonable prejudicial delay. At the ensuing hearing, the defense presented evidence that the prosecution had acquired most of its information in the case by the time a postal inspector’s report was prepared one month after the crime. The defendant also established that two witnesses who could have been called on his behalf at trial had since died. On rebuttal, the prosecution explained that the investigation continued even after the postal report was prepared in order to determine whether the weapons had been supplied by defendant’s son, who handled mail at the location from which they had apparently been stolen. Based on evidence adduced at the hearing, the district court granted the motion to dismiss.
The Eighth Circuit Court of Appeals affirmed. The court did not question the prosecution’s stated reason for deferring indictment, namely, to await additional investigation and to determine whether other participants could be linked to the crime. Nevertheless, the ensuing delay was deemed unreasonable since it resulted in the loss of testimony favorable to the defense. In reaching this conclusion, the appellate court basically adopted the defendant’s view that “due process bars prosecution whenever a defendant suffers prejudice as a result of preindictment delay.”
The United States Supreme Court reversed. Lovasco began by reaffirming the basic principle that due process plays “a limited role” in protecting against “oppressive” preaccusation delay even where no statute of limitations has run. (
Lovasco explained that the latter requirement is not satisfied where indictment is postponed after “probable cause” of defendant’s involvement in a crime appears, or even after evidence sufficient to prove his guilt “beyond a reasonable doubt” is obtained. (431 U.S. at pp. 791-792 [97 S.Ct. at pp. 2049-2050].) Rather, the court held that prejudicial preaccusation delay offends “the Due Process Clause of the Fifth Amendment” when undertaken “solely ‘to gain tactical advantage over the accused.’ ” (Id., at p. 795 [
Lovasco declined to describe “in the abstract the circumstances in which preaccusation delay would require dismissing prosecutions,” noting that the constitutional rule adopted therein could not be applied outside “the particular circumstances of individual cases.” (431 U.S. at pp. 796-797 [97 S.Ct. at p. 2052].) However, based on the factual record that had been developed in Lovasco, the court concluded that it was not “fundamentally unfair” to require the defendant to stand trial. (Id., at p. 796 [
Contrary to what defendant seems to imply, nothing in Lovasco or the due process principles on which it relied warrants wholesale invalidation of section 803(g), regardless of when the charged crime occurred or when the statutory period in section 800 or 801 otherwise expires. As we have seen, prosecutors have wide latitude in conducting criminal investigations and determining whether and when indictments should be filed. Such discretionary decisions offend the United States Constitution only where unfair tactics or improper motives are involved, and where the defendant’s ability to refute the charge is materially damaged as a result. As Lovasco recognized, no court can make such a determination “in the abstract,” without considering “the particular circumstances of [the] individual case[ ].” (
Because the claim is not “ripe for adjudication” in the present case, we express no opinion on whether, by analogy to principles set forth in Lovasco, defendant’s procedural due process rights have been violated by the 12-year lapse between commission of the alleged crime and the filing of the complaint. (
VI. Disposition
Section 803(g) is not unconstitutional on any ground asserted by defendant. The judgment of the Court of Appeal is reversed.
George, C. J., Werdegar, J., and Chin, J., concurred.
Notes
All further statutory references are to the Penal Code except as otherwise stated.
Section 800 states: “Except as provided in Section 799, prosecution for an offense punishable by imprisonment in the state prison for eight years or more shall be commenced within six years after commission of the offense.”
Section 801 states: “Except as provided in Sections 799 and 800, prosecution for an offense punishable by imprisonment in the state prison shall be commenced within three years after commission of the offense.”
Increases by other states in the statutory time for filing criminal charges in child sexual abuse cases, as well as the policies underlying such changes, are well documented in recent legal writings. (See Adams, Beyond the Reach of the Courts?: The Constitution, Retroactivity, and Childhood Sexual Abuse (1997) 28 Pacific L.J. 796 & fn. 5 (Retroactivity and Childhood Sexual Abuse)-, Note, Have We Gone Far Enough? Children Who Are Sexually Abused and the Judicial and legislative Means of Prosecuting the Abuser (1992) 8 St. John’s J. Legal Comment. 339, 340-342, 355-357, 363-365; Porto, New Hampshire’s New Statute of Limitations for Child Sexual Assault: Is It Constitutional and Is It Good Public Policy? (1991) 26 New Eng. L.Rev. 141, 142-143, 159-162; Comment, Child Sexual Abuse and Criminal Statutes of Limitation: A Model for Reform (1990) 65 Wash. L.Rev. 189, 190-191, 197, 201-203 (A Model for Reform)-, Comment, Statute of Limitations for Child Sexual Abuse Offenses: A Time for Reform Utilizing the Discovery Rule (1989) 80 J. Crim. L. & Criminology 842, 843, 859-860 (A Time for Reform)-, Note, Retroactive Application of Legislatively Enlarged Statutes of Limitations for Child Abuse: Time’s No Bar to Revival (1989) 22 Ind. L.Rev. 989, 990-997 (Time’s No Bar to Revival)-, see Sagatun & Edwards, Child Abuse and the Legal System (1995) pp. 113-144, 220-223.)
The version of section 803(g) which took effect January 1, 1994, read in full as follows: “Notwithstanding any other limitation of time described in [section 799 et seq.], a criminal complaint may be filed within one year of the date of a report to a law enforcement agency by a person of any age alleging that he or she, while under the age of 18 years, was the victim of a crime described in Section 261 [rape], 286 [sodomy], 288 [lewd conduct], 288a [oral copulation], 288.5 [continuous sexual abuse], 289 [sexual penetration by foreign object], or 289.5 [fleeing sex offender]. This subdivision shall apply only if both of the following occur:
“(1) The limitation period specified in Section 800 or 801 has expired.
“(2) The crime involved substantial sexual conduct, as described in subdivision (b) of Section 1203.066, excluding masturbation which is not mutual, and there is independent evidence that clearly and convincingly conoborates the victim’s allegation. No evidence may be used to corroborate the victim’s allegation which would otherwise be inadmissible during trial. Independent evidence shall not include the opinions of mental health professionals.” (Stats. 1993, ch. 390, § 1.)
(People v. Maloy (Cal.App.) [Court of Appeal reversed trial court judgment denying prosecutorial motion to reinstate complaint that had been dismissed as time-barred under section 803(g)], review granted November 22, 1995, on April 24, 1997, review dismissed in light of intervening amendments to section 803(g); Lynch v. Superior Court (1995)
(People v. King (Cal.App.), review granted December 11, 1996, on April 24, 1997, review dismissed in light of intervening amendments to section 803(g); People v. Sowers (Cal.App.), review granted March 14, 1996, on April 24, 1997, review dismissed in light of intervening amendments to section 803(g); People v. Richard G. (Cal.App.), review granted September 14, 1995, on April 24, 1997, review dismissed in light of intervening amendments to section 803(g); Lynch, supra,
(See § 3 [stating no provision of the Penal Code “is retroactive, unless expressly so declared”]; People v. Hayes (1989)
(People v. Regules (Cal.App.), review granted November 16, 1995, on April 24, 1997, review dismissed in light of intervening amendments to section 803(g).)
As a result of the 1996 amendment, language imported wholesale from the original version of section 803(g) was reorganized into newly configured subsections (1) and (2), as follows:
“(1) Notwithstanding any other limitation of time described in [section 799 et seq.], a criminal complaint may be filed within one year of the date of a report to a law enforcement agency by a person of any age alleging that he or she, while under the age of 18 years, was the victim of a crime described in Section 261, 286, 288, 288a, 288.5, 289, or 289.5.
“(2) This subdivision applies only if both of the following occur:
“(A) The limitation period specified in Section 800 or 801 has expired.
“(B) The crime involved substantial sexual conduct, as described in subdivision (b) of Section 1203.066, excluding masturbation that is not mutual, and there is independent evidence that clearly and convincingly corroborates the victim’s allegation. No evidence may be used to corroborate the victim’s allegation that otherwise would be inadmissible during trial. Independent evidence does not include the opinions of mental health professionals.” (Stats. 1996, ch. 130, § 1.)
Language included for the first time in section 803(g) as a result of the 1996 amendment was placed in subsection (3), as follows:
“(3)(A) Effective July 1, 1997, this subdivision applies to a cause of action arising before, on, or after January 1, 1994, the effective date of this subdivision, and if the complaint is filed within the time period specified in this subdivision, it shall revive any cause of action barred by Section 800 or 801.
“(B) Effective January 1, 1997, through June 30, 1997, this subdivision applies to a cause of action arising before, on, or after January 1, 1994, the effective date of this subdivision, and it shall revive any cause of action barred by Section 800 or 801 if either of the following occurs:
“(i) The complaint is filed within the time period-specified in this subdivision!, or]
“(ii) The victim made the report required by this subdivision to a law enforcement agency between January 1, 1994, and January 1, 1997, and a complaint was not filed within the time period specified in this subdivision or was filed within the time period but was dismissed, but a complaint is filed or refiled on or before June 30, 1997.” (Stats. 1996, ch. 130, § 1.)
We note that the 1996 amendment also inserted a special savings clause, appearing in former section 803(g)(3)(B)(ii), and quoted in full in the preceding footnote. This provision gave prosecutors until June 30, 1997, to timely “file” or “refile” a complaint in any child molestation case in which the victim reported the crime to a law enforcement agency between January 1, 1994, and January 1,1997, and in which the complaint either “was not filed within the [one-year] time period specified in [the statute] or was filed within the time period but was dismissed.” (Ibid.) By its own terms, the special savings provision that appeared in former section 803(g)(3)(B)(ii) as a result of the 1996 amendment applied regardless of when the crime occurred (i.e., “before, on, or after January 1, 1994”), and even where the effect was to “revive” a prosecution that was otherwise time-barred. (Former § 803(g)(3)(B).)
Section 803(g) currently provides in Ml as Mlows:
“(1) Notwithstanding any other limitation of time described in [section 799 et seq.], a criminal complaint may be filed within one year of the date of a report to a California law enforcement agency by a person of any age alleging that he or she, while under the age of 18 years, was the victim of a crime described in Section 261, 286, 288, 288a, 288.5, 289, or 289.5.
“(2) This subdivision applies only if both of the following occur:
“(A) The limitation period specified in Section 800 or 801 has expired.
“(B) The crime involved substantial sexual conduct, as described in subdivision (b) of Section 1203.066, excluding masturbation that is not mutual, and there is independent evidence that clearly and convincingly corroborates the victim’s allegation. No evidence may be used to corroborate the victim’s allegation that otherwise would be inadmissible during trial. Independent evidence does not include the opinions of mental health professionals.
“(3)(A) This subdivision applies to a cause of action arising before, on, or after January 1, 1994, the effective date of this subdivision, and it shall revive any cause of action barred by Section 800 or 801 if any of the following occurred or occurs:
“(i) The complaint or indictment was filed on or before January 1, 1997, and it was filed within the time period specified in this subdivision.
“(ii) The complaint or indictment is or was filed subsequent to January 1, 1997, and it is or was filed within the time period specified within this subdivision.
“(iii) The victim made the report required by this subdivision to a law enforcement agency after January 1, 1994, and a complaint or indictment was not filed within the time period specified in this subdivision, but a complaint or indictment is filed no later than 180 days after the date on which either a published opinion of the California Supreme Court, deciding the question of whether retroactive application of this subdivision is constitutional, becomes final or the United States Supreme Court files an opinion deciding the question of whether retroactive application of this subdivision is constitutional, whichever occurs first.
“(iv) The victim made the report required by this subdivision to a law enforcement agency after January 1, 1994, and a complaint or indictment was filed within the time period specified in this subdivision, but the indictment, complaint, or subsequently filed information was dismissed, but a new complaint or indictment is filed no later than 180 days after the date on which either a published opinion of the California Supreme Court, deciding the question of whether retroactive application of this subdivision is constitutional, becomes final or the United States Supreme Court files an opinion deciding the question of whether retroactive application of this subdivision is constitutional, whichever occurs first.
“(B)(i) If the victim made the report required by this subdivision to a law enforcement agency after January 1, 1994, and a complaint or indictment was filed within the time period specified in this subdivision, but the indictment, complaint, or subsequently filed information was dismissed, a new complaint or indictment may be filed notwithstanding any other provision of law, including, but not limited to, subdivision (c) of Section 871.5 and subdivision (b) of Section 1238.
“(ii) An order dismissing an action filed under this subdivision, which is entered or becomes effective at any time prior to 180 days after the date on which either a published opinion of the California Supreme Court, deciding the question of whether retroactive application of this section is constitutional, becomes final or the United States Supreme Court files an opinion deciding the question of whether retroactive application of this subdivision is constitutional, whichever occurs first, shall not be considered an order terminating an action within the meaning of Section 1387.
“(iii) Any ruling regarding the retroactivity of this subdivision or its constitutionality made in the course of the previous proceeding, by any trial court or any intermediate appellate court, shall not be binding upon refiling.”
Section 803(g) is not the only statute of its kind in California. A similar provision, subdivision (f), was added to section 803 a few years before subdivision (g) was enacted. (Stats. 1989, ch. 1312, § 1, p. 5269.) While section 803(g) concerns the timeliness of child molestation charges based on a police report made by a victim of “any age,” including victims who have reached adulthood, subdivision (f) of section 803 provides one year within which to prosecute enumerated sex crimes reported “to a responsible adult or agency” by a victim “under 18 years of age.” (Id., subd. (f)(1).) The two provisions differ in certain respects. Subdivision (f) of section 803 does not require independent evidence to corroborate the victim’s report. (Cf. § 803(g)(2)(B).) Subdivision (f) of section 803 also stands alone in requiring that “at least one” enumerated sex crime involving the defendant and the victim occur “within the limitation period specified for that crime in either Section 800 or 801.” (§ 803, subd. (f)(2)(B).) However, the one-year period in both provisions applies where the limitations period in section 800 or 801 “has expired.” (§ 803, subds. (f)(2)(A) & (g)(2)(A).) Moreover, the 1996 and 1997 amendments to section 803(g) made corresponding changes in subdivision (f) of the same section at the same time. As a result, section 803, subdivision (f)(3) contains express “revival” and “retroactivity” provisions virtually identical to language now under review in section 803(g)(3).
With the exception of a few nonsubstantive changes, section 288(a) has remained the same since 1984, when the crime allegedly occurred, through the present time. Section 288(a) currently states: “Any person who willfully and lewdly commits any lewd or lascivious act, including any of the acts constituting other crimes provided for in Part 1 [of the Penal Code], upon or with the body, or any part or member thereof, of a child who is under the age of 14 years, with the intent of arousing, appealing to, or gratifying the lust, passions, or sexual desires of that person or the child, is guilty of a felony and shall be punished by imprisonment in the state prison for three, six, or eight years.”
The United States Constitution prohibits Congress (art. I, § 9) and the states (art. I, § 10) from “pass[ing]” any “ex post facto law.” The California Constitution contains a similar provision (art. I, § 9). We have consistently interpreted the state ex post facto clause no differently from its federal counterparts, viewing United States Supreme Court cases as persuasive authority on the subject. (People v. Grant (1999)
The foregoing excerpt from Beazell, supra, 269 U.S. at pages 169-170 [46 S.Ct. at pages 68-69], omits from Justice Chase’s definition of ex post facto laws in Calder any postcrime alteration in “the legal rules of evidence, [that] receives less, or different testimony, than the law required at the time of the commission of the offence, in order to convict the offender.” (3 U.S. (3 Dali.) 386, 390 [
We note the high court recently agreed to review a Texas Court of Appeals decision which relied on Hopt v. Utah, supra,
The high court has closely adhered to Collins’s two-prong formula in subsequent cases. (Lynce v. Mathis (1997)
To illustrate this principle, Collins, supra,
(Chase Securities Corp. v. Donaldson (1945)
(Statutes of Limitation, supra, 17 Cal. Law Revision Com. Rep. at p. 309 [“the statute of limitations is to a large extent a societal determination that after passage of a sufficient length of time, staleness is presumed .... [It] acts mechanically to protect a person from further prosecution, regardless of the facts and circumstances of the particular case”]; 2 Robinson, Criminal Law Defenses (1984) Nonexculpatory Defenses, § 202(b), p. 465 [describing the statute of limitations as “a nonexculpatory defense” which “bars conviction of an offender even though he may be entirely culpable,” and which can “frustrate the community’s sense of what justice demands”]; see Cowan v. Superior Court (1996)
In Martinez, supra,
We also disagree with suggestions in Bunn, supra,
“Certainly it is one thing to revive a prosecution already dead, and another to give it a longer lease of life. The question turns upon how much violence is done to our instinctive feelings of justice and fair play. For the state to assure a man that he has become safe from its pursuit, and thereafter to withdraw its assurance, seems to most of us unfair and dishonest. But, while the chase is on, it does not shock us to have it extended beyond the time first set, or, if it does, the stake forgives it.” (Falter, supra, 23 F.2d at pp. 425-426.)
As noted above, the suggestion in Falter, supra,
(See, e.g., U.S. v. Grimes (11th Cir. 1998)
(U.S. v. Knipp, supra,
(Com. v. Rocheleau (1989)
(Bunn, supra,
Of course, the Sixth Amendment of the United States Constitution literally guarantees a “speedy” trial to the “accused" once a “criminal prosecution! ]” is underway. This language has been construed to apply only where the defendant either has been formally and publicly indicted or has been arrested and held to answer on a criminal charge. (United States v. MacDonald (1982)
By all accounts, criminal statutes of limitation were not part of the English common law. (See Marion, supra,
As suggested by the People, we reach no different conclusion even assuming we consider substantive due process principles applied outside the statute of limitations context and Chase, supra,
On the one hand, the United States Supreme Court has indicated that, in addition to various specific protections afforded by the Bill of Rights, the due process clause of the Fourteenth Amendment protects certain “fundamental rights” and “liberty interests,” at least where issues of marriage,' family, procreation, and certain forms of bodily integrity are concerned. (See Washington v. Glucksberg (1997)
Nothing in the foregoing authorities supports defendant’s claim that expiration of the statute of limitations in section 800 gives rise to a “fundamental right” which section 803(g) impermissibly seeks to withdraw. Recognition of such a novel right may also be foreclosed to the extent the matter “ ‘is covered by’ ” other more specific provisions of the United States Constitution. (County of Sacramento v. Lewis (1998)
After oral argument, this court requested supplemental briefs from the parties on the validity of section 803(g) under the due process clauses of the state Constitution. (See Cal. Const., art. I, §§ 7, 15.) Defendant suggests these provisions deprive the Legislature of power to “revive” the statute of limitations after it has run in a criminal case. In so doing, he relies exclusively on our venerable decision in Chambers v. Gallagher (1918)
At the outset, we do not necessarily agree with defendant that Chambers, supra,
To strike down section 803(g) solely on the ground the Legislature has withdrawn repose after such an expectation has been acquired, without evidence of actual prejudice to the defense, goes far beyond any notion of “fundamental fairness” protected by the due process clauses of the California Constitution. It may be that a defeated expectation of repose, as one factor in a factual showing of substantial prejudice depriving the defendant of a fair trial, could justify a finding that section 803(g) violates state due process principles as applied in a particular case. However, no such claim is made here. For the foregoing reasons, we reject defendant’s facial challenge to section 803(g) under the due process clauses of the state Constitution.
Dissenting Opinion
After the statute of limitations for a criminal offense has run, may the state prosecute an individual for that offense under a new law “reviving” the expired limitations period? According to the majority, the state may do so. I disagree. In the oft-quoted words of Judge Learned Hand: “[T]o revive a prosecution already dead” is contrary to “our instinctive feelings of justice and fair play. For the state to assure a man that he has become safe from its pursuit, and thereafter to withdraw its assurance, seems to most of us unfair and dishonest.” (Falter v. United States (2d Cir. 1928)
I
On October 21, 1996, the Mendocino County District Attorney filed a complaint in the municipal court charging defendant with one count of child molestation (Pen. Code, § 288, subd. (a))
In 1984, prosecution for the crime defined in section 288, subdivision (a), was limited by a six-year statute of limitations. (Former § 800, subd. (b), as amended by Stats. 1982, ch. 583, § 1, pp. 2543-2544.) That period expired in 1990. But in 1994, 10 years after the alleged commission of the offense in this case, and 4 years after the statute of limitations expired, the Legislature extended the statute of limitations indefinitely. It did so by adding subdivision (g) to section 803 (section 803(g)), providing that a complaint alleging a violation of section 288 (or other specified sexual offenses committed against a minor) may be filed within a year after the alleged victim reports the incident to a law enforcement agency; there is no time limitation for making such reports. Two years later, in 1996, the Legislature added subpart (3)(A) to section 803(g), stating that a complaint filed under 803(g) “shall revive any cause of action barred by Section 800 . . . .”
Defendant demurred to the complaint. He argued that the complaint on its face showed that the original six-year statute of limitations had expired long before the Legislature extended the limitations period by enacting section 803(g), and that to charge him with child molestation under the revived statute of limitations violated the ex post facto clauses of the United States and California Constitutions (U.S. Const., art. I, § 10; Cal. Const., art. I, § 9) as well as “the due process clause.” The magistrate sustained the demurrer and dismissed the case, ruling that the prosecution violated the federal Constitutional provision barring ex post facto laws. After an unsuccessful attempt in superior court to reinstate the complaint, the People sought review in the Court of Appeal, which affirmed the judgment.
H
Today, California becomes the only jurisdiction, state or federal, to permit “revival” prosecutions under an extended statute of limitations enacted after the expiration of the original statute of limitations. All other jurisdictions that have addressed the issue have concluded or assumed that these prosecutions violate article I, section 10, clause 1 of the federal Constitution, which provides that “[n]o state shall pass any ... ex post facto law . . . .” (See, e.g., cases cited in maj. opn., ante, at p. 764, fn. 25, and p. 765, fh. 27.) According to the majority, however, the United States Supreme Court’s recent decision in Collins v. Youngblood (1990)
If, as the majority concludes, revival prosecutions do not violate the ex post facto clause, two questions remain: do they violate the due process guarantees of either (1) the federal or (2) the state Constitution? ■ The majority devotes considerable time to answering the first question, concluding there is no federal due process violation. But the majority ignores the state due process question. Because I find the resolution of this question dispositive here, I, unlike the majority, do not decide the federal constitutional issue.
III
In rejecting defendant’s federal due process claim, the majority relies on Chase Securities Corp. v. Donaldson (1945)
In Chambers, the state Controller sought to collect an inheritance tax under a revived statute of limitations. This court held that the action violated the due process clause of the California Constitution. (Chambers, supra,
Chambers, supra, 177 Cal. 704, is still good law, and the majority makes no attempt to overrule it. It remains squarely within the mainstream of modem judicial thought. The majority of courts in other states in which the issue has arisen have declined to follow the United States Supreme Court’s decisions in Chase Securities, supra,
Six other states have found legislation reviving time-barred civil actions invalid under other provisions of their Constitutions (Johnson v. Garlock, Inc. (Ala. 1996)
All of these decisions involved statutes of limitations in civil cases, as did the high court’s decision in Chase Securities, supra,
Revival of a time-barred criminal prosecution violates the guarantee of “fundamental fairness” that is the essence of the due process protection provided by our state Constitution. (See People v. Ramos (1984)
The majority here acknowledges that statutes of limitations serve similar interests in criminal and civil cases. Those interests “include both societal repose and the protection of individuals whose means of defense might be impaired by the passage of time.” (Maj. opn., ante, at p. 770.) This court implicitly recognized the importance of those interests in Chambers, supra,
The majority, however, takes a different view. Relegating to a mere footnote its cursory comment on the applicability here of this court’s decision in Chambers, the majority attempts to distinguish that case by observing that it involved a civil tax dispute. (Maj. opn., ante, at p. 775, fn. 32.) The majority’s view is untenable. Assume, for instance, that the statute of limitations for bringing a civil suit to collect unpaid taxes and for bringing criminal charges for failing to pay taxes were each five years, and that the Legislature passed laws reviving both statutes of limitations after each had expired. Under the view of the majority, the state’s civil tax action would violate the taxpayer’s due process rights under the state Constitution, but the state’s criminal prosecution of the same taxpayer would not. An odd and unfair result indeed.
The majority also looks to some decisions by our Courts of Appeal as a basis of support for its view here. Those cases upheld the validity of a civil statute of limitations reviving common law causes of action based on childhood sexual abuse, by distinguishing Chambers, supra,
Finally, the high court’s decision in Chase Securities, supra,
Today the majority makes California the first and only jurisdiction in this country to allow the prosecution of time-barred criminal offenses under an extended statute of limitations. I cannot join in this holding.
The State of California has an obligation to deal fairly with those it accuses of crimes. By allowing an existing statute of limitations to expire on an alleged offense, the state gives an assurance, which before today was always unconditional, that it will not prosecute for that offense. In my view, the due process guarantee of our state Constitution does not permit the state to withdraw that assurance years later, when recollections of the relevant events may have faded and exculpatory evidence may have been lost or discarded. Because the offenses of which defendant here is charged became time-barred before the Legislature extended the statute of limitations, I would affirm the Court of Appeal’s judgment upholding the magistrate’s order dismissing the complaint.
Mosk, J., concurred.
A11 subsequent undesignated statutory references are to the Penal Code.
Such testimony is particularly likely when the alleged molester is a parent or stepparent. False allegations of child molestation are a not-uncommon phenomenon in bitterly contested child custody proceedings.
Dissenting Opinion
I fully concur in Justice Kennard’s well-reasoned analysis and conclusion that revival of a criminal statute of limitations violates our state’s constitutional guaranty of due process. (Cal. Const., art. I, §§ 7, 15.) I further agree we should not consider ourselves joined at the hip with the United States Supreme Court in interpreting the California Constitution, whose independent vitality this court is charged with preserving. (Cf. Warden v. State Bar (1999)
Until Cowan v. Superior Court (1996)
I have elsewhere expressed my disagreement with this determination. (See Cowan, supra, 14 Cal.4th at pp. 383-393 (conc. and dis. opn. of Brown, J.).) Nevertheless, when the statutory period on the charged offense expired in 1990 and when the Legislature
Now, long after defendant achieved this jurisdictional repose, the majority deprives him of it without a qualm. The possibility defendant may have committed the offense does not validate the majority’s due process transgression. Child molestation will always rank among the most heinous and odious of crimes. The victims suffer long after completion of the act. Nonetheless, the potential that a guilty person will avoid just punishment is inherent in all statutes of limitations. Society has assumed this loss in exchange for other considerations. (See People v. Zamora, supra,
Respondent’s petition for a rehearing was denied October 20, 1999, and the opinion was modified to read as printed above. Mosk, J., Kennard, J., and Brown, J., were of the opinion that the petition should be granted.
