Opinion
Appellant Stephanie llene Lazarus, a 25-year veteran of the Los Angeles Police Department (LAPD), was charged and convicted of first degree murder in the shooting death of Sheri Rasmussen, the wife of appellant’s former lover, John Ruetten. The 1986 crime was not solved until 2009, when a DNA profile obtained from a bite mark on Rasmussen’s arm was matched to appellant. At trial, the prosecution established that appellant had been in love with Ruetten and was emotionally devastated when she learned of his and Rasmussen’s 1985 engagement. She went to Ruetten in
Appellant raises the following contentions on appeal: (1) the pre-accusation delay violated her due process rights; (2) the trial court erred in denying a defense motion to quash search warrants used to search appellant’s home and computers; (3) the trial court erred in denying a defense motion to traverse the search warrants; (4) the trial court erred in admitting a tape of appellant’s pre-arrest interview by LAPD detectives; (5) the trial court erred in failing to hold a Kelly hearing before admitting evidence of partial DNA profiles from material found on the victim’s fingernails developed through use of a “MiniFiler” DNA test kit; 1 and (6) the trial court erred by failing to allow the defense to introduce evidence of a burglary that occurred in the area six weeks after the murder, and by preventing the defense from cross-examining the prosecution’s crime scene expert about the burglary. Finding no prejudicial error, we affirm.
FACTUAL AND PROCEDURAL BACKGROUND
A. Information
By information dated December 18, 2009, appellant was charged with the willful, deliberate, and premeditated murder of Sheri Rasmussen on February 24, 1986 (Pen. Code, § 187, subd. (a)). It was further alleged that appellant personally used a handgun in the commission of the offense.
B. Evidence at Trial
1. Prosecution Evidence
On February 24, 1986, Rasmussen lived in a condominium on Balboa Street in Van Nuys with her husband, John Ruetten, and worked as a nurse at a Glendale hospital. Ruetten left for work at 7:20 a.m. that morning. Rasmussen called in sick. Both Ruetten and Rasmussen’s sister tried to call Rasmussen at home several times that day, beginning at approximately 10:00 a.m., but Rasmussen did not answer. At approximately 9:45 a.m., a neighbor, Anastasia Volanitis, noticed the garage to Rasmussen’s condominium was
The pathologist who examined Rasmussen declared the cause of death to be three gunshots to her chest, all fatal. One was a contact wound and at least one was inflicted while she was lying on the floor or against a similar hard surface. There were abrasions on Rasmussen’s arms, near the wrist, consistent with injury from a rope or cord. 5 There were signs that Rasmussen had struggled with her assailant, including multiple contusions, lacerations and abrasions on her hands, mouth, face, head and neck. Broken pieces of two of Rasmussen’s fingernails were found on the floor near the condominium’s front door. An injury on her face was consistent with a blow from the muzzle of a gun, with a size and configuration matching a .38-caliber Smith & Wesson revolver. There was a blow to her head consistent with a broken vase found near her body. 6 On Rasmussen’s left inner forearm was an apparent bite mark. The pathologist examined it under a microscope. Based on the amount of hemorrhaging and the absence of inflammation, she determined that the injury had been inflicted at or about the time of Rasmussen’s death. 7
Based on distinct physical characteristics, experts in the field of identifying ammunition testified at trial that bullets recovered in or near Rasmussen’s body were “.38J Plus-P” ammunition, manufactured by Federal Premium Ammunition. In 1986, LAPD officers were required to use Federal .38J Plus-P ammunition, even when off duty and carrying a personal weapon.
A sleeved quilt found near Rasmussen’s body was taken into evidence and examined. The presence of multiple bullet holes and gunshot residue on the
Criminalist Lloyd Mahaney took samples from the bite mark on Rasmussen’s arm at the scene. 8 Investigators and criminalists also collected the two broken fingernails found near the condominium’s front door, clippings from Rasmussen’s remaining fingernails, and samples of tissue and debris from the underside of the fingernails. Additional items and samples were collected at the scene and from the interior of the BMW, including multiple fingerprints, multiple samples of what appeared to be blood, and multiple hairs. 9
Stereo equipment had been pulled from a cabinet inside the condominium’s living room and stacked by the door to the garage. A drawer in a living room table had been pulled out and the contents dumped on the floor. Although there was no evidence of forced entry, and rooms containing other valuables—including additional stereo equipment—were undisturbed, the detectives who initially investigated the crime concluded that the murder was committed in the course of a burglary. Specifically, they theorized that one or
In December 2004, members of LAPD’s cold case unit reopened the case, asking the coroner’s office to locate the bite mark tissue sample, which had been in a freezer in the coroner’s evidence room since 1986. 11 In 2005, Jennifer Francis, a criminalist with LAPD, examined a piece of one of the swabs under a microscope and also performed DNA testing on it. Under the microscope, she saw nucleated epithelial cells, which are found in large numbers in saliva and provide a good medium for obtaining a complete DNA profile. The DNA testing indicated the presence of two profiles: a major profile and a minor profile. The minor profile was consistent with Rasmussen’s, although there was insufficient material for a complete match. 12 The major profile was complete. The DNA that comprised the major profile was from a female.
Authorities initially attempted to find a match by uploading the major DNA profile from the bite into a national database system. This was unsuccessful. In 2009, the investigation turned toward specific women who might have had reason to harm Rasmussen. LAPD officers surreptitiously obtained a sample of appellant’s DNA by taking possession of a drink cup and straw discarded by appellant. LAPD criminalist Michael Mastrocovo developed a partial DNA profile for the drink cup and straw. Appellant’s DNA profile matched the major profile found on the bite mark. 13
In 2010, Thomas Fedor, a serologist for an independent forensics laboratory, Serological Research Institute (SERI), was provided the second bite mark swab. Several persons were present when he tested it, including a representative for the defense. Fedor began by placing the swab into a solution and analyzing the resulting liquid. It contained salivary amylase. When he performed DNA testing, he detected, just as Francis had, the presence of two distinct DNA profiles, one major and one minor. 15 The minor profile was consistent with Rasmussen’s. Fedor separately tested the swab obtained from appellant to obtain appellant’s DNA profile. Appellant’s DNA profile matched the major profile Fedor obtained from the bite mark swab at all 15 loci. 16
Fedor also analyzed tissue samples found on or under Rasmussen’s fingernails using a MiniFiler test ldt. Under one fingernail, he found a mixture of DNA and obtained partial profiles for at least three people. One of the partial profiles was consistent with appellant’s. 17 Fedor found low levels of DNA under three other nails with profiles consistent with appellant’s. 18 There were minute amounts of DNA material under six other fingernails contributed by both males and females, some of which was inconsistent with Rasmussen’s. Fedor was able to rule out appellant and Ruetten as possible contributors. 19
In 1986, it was common practice for LAPD officers to carry a backup weapon in addition to the weapon issued them by the department. Officers were expected to let the LAPD armorer know when they purchased a backup weapon. They were permitted to carry only guns that could be used with the Federal .38J Plus-P bullets. Records from the armorer’s office indicated that on February 29, 1984, appellant purchased a .38-caliber Smith & Wesson Model 49 revolver. 21 It was a five-shot model. 22 Its barrel was approximately two inches. On March 9, 1986, less than two weeks after Rasmussen’s death, appellant reported to the Santa Monica Police Department that her Smith & Wesson Model 49 revolver had been stolen from the glove compartment of her car while parked in Santa Monica. Hargreaves, appellant’s former roommate, recalled appellant telling him she had lost her revolver a few days earlier in Santa Monica while carrying it in a bag or fanny pack. She asked him how to go about reporting it. When appellant reported her gun stolen in Santa Monica, she told the officer at the front desk it had been stolen that day. There was no record indicating appellant had reported the theft to the LAPD armorer. She did, however, report to the armorer buying another gun, a different model, on March 19, 1986.
Appellant and Ruetten had met in college and dated casually in the late 1970’s. After graduation, between 1981 and 1984, they continued to date and were sexually intimate, but Ruetten did not consider her his girlfriend. In June 1984, Ruetten met Rasmussen. In May 1985, Ruetten and Rasmussen became engaged. In June 1985, appellant learned of Ruetten’s engagement and called him, upset and crying. She asked Ruetten to come to her
Following this encounter, Ruetten continued his relationship with Rasmussen, and several weeks later they moved in together. Sometime after Ruetten and Rasmusssen were living together, appellant went to the hospitál where Rasmussen worked and confronted her. That evening, Rasmussen came home upset, and Ruetten confessed to having had sex with appellant after their engagement; it appeared Rasmussen already knew. Ruettan promised not to have any further contact with appellant. Ruetten and Rasmussen were married in November 1985.
Appellant told Hargreaves she was in love with “John.” On one occasion while they were roommates, sometime between late 1984 or early 1985 and February 1986, she woke Hargreaves late at night. She was crying and wanted Hargreaves to console her. She told him that John had broken up with her and was going to marry someone else. Appellant became sad and more easily upset after the breakup. Appellant told Hargreaves that she had gone to the hospital where Ruetten’s fiancée worked and had a confrontation with her. When discussing why she did not date for an extended period after the breakup, appellant told Hargreaves she was “picky” and preferred men who were “tall” and “athletic,” “like John.”
Appellant’s home was searched in June 2009. Her journal and daily planners were retrieved, along with some photographs of Ruetten. The journal covered the period between November 1984 and August 1986. An entry for November 1984 discussed a night out that “kept my mind off John for a while anyway.” An entry for April 1985 stated that appellant “saw John Ruetten’s car,” “put a note on it,” “watched [it] for one half hour and checked up on it a few times.” An entry for May 1985 mentioned visiting Ruetten and his girlfriend being there. An entry for June 1985 stated that appellant had found out Ruetten was getting married; she described herself as “very depressed” and her concentration as “negative 10.” Another entry for June 1985 stated: “Didn’t feel like working. Too stressed out about John. I’ve had a real hard time concentrating these days so I called up and said I didn’t feel well and could I have a T.O. They gave it to me.” The journal had no entry in March 1986 or at any other time mentioning that her gun had been stolen.
In August 1985, appellant wrote Ruetten’s mother, telling her she was “ ‘truly in love with John’ ” and that the past year had “ ‘really torn me up.’ ” The letter further stated: “ T wish it hadn’t ended the way it did and I don’t think I’ll ever understand John’s decision.’ ” In December 1985, appellant received a letter from Ruetten’s mother that she said in her journal made her “ ‘very, very, very sad.’ ”
Appellant did not attempt to contact Ruetten after Rasmussen’s death. Ruetten next saw appellant in 1989 when both were in Hawaii on vacation with other people. He saw her two or three times afterward and they had sexual relations, but they never became involved in a relationship. Appellant’s home computers were analyzed by a computer expert who determined that she had performed searches of Ruetten’s name in April 1998, May 1999 and December 1999.
Appellant was interviewed by LAPD Detectives Gregory Steams and Dan Jaramillo on June 5, 2009. When asked about Ruetten, appellant repeated his name twice as if trying to recall who he was before saying “Oh yeah. I went to school with him.” She first described him as a “close friendf],” and then said they dated while they were in college and “probably after college.” She was evasive when asked how long they dated or when she spoke with him last, talking instead about his age, his family, when he graduated and when she met her husband. When asked what ended her relationship with Ruetten, she said she did not consider him her boyfriend and had gone out with others when they were dating. She denied their breakup was unfriendly. When asked if she had ever met Rasmussen, she initially said, “God, I don’t know” and “I may have.” She initially claimed not to know what Rasmussen did for a living or where she worked, but later said “now that you’re bringing it up, I think she worked at a hospital somewhere. And, yeah, I may have met her at a hospital. I may have talked to her once or twice.” She later stated: “I may have gone to her and said, hey, you know what? You know what? Is he dating you? He’s . . . bothering me. And so[,] I’m thinking that we had a conversation about that, one or two maybe.” She claimed to be uncertain of Rasmussen’s first name and of how she learned of her death.
The detectives asked appellant multiple times if she knew where Ruetten and Rasmussen lived after their marriage and if she had ever been to their condominium or confronted Rasmussen there. She initially claimed not to know where they lived and not to remember if she had ever been there. She subsequently said she “may have known.”
24
When asked if she had ever gotten into a physical fight with Rasmussen, she said “[i]f it happened I
2. Defense Evidence
Sometime in the morning or early afternoon of February 24, 1986, Evangelina Flores, a cleaning lady working in a nearby condominium, heard loud sounds, like two people fighting, and a slamming sound, as if something had fallen. She then heard a car drive off. She told officers at the time that these sounds occurred at approximately 12:30 p.m.
Andrea Dillon, a fingerprint examiner, reviewed the latent fingerprints collected from the condominium after the homicide by LAPD criminalists. She found multiple identifiable fingerprints that could not be attributed to appellant, Ruetten or Rasmussen, including fingerprints on the stereo equipment stacked by the door to the garage.
Patricia Fant, a forensics firearms examiner, testified that Smith & Wesson had manufactured over 600,000 Model 49 revolvers. In addition, a company in Brazil manufactured a cheaper copycat version. Fant expressed the opinion that the recovered bullets could not be identified as having been made by a particular manufacturer or as being .38 Special Plus-P ammunition. She further opined that the barrel length of the gun could not be determined by measuring the distance between a hole in a blanket and the position of the barrel gap discharge because that distance would vary depending on how the blanket was folded. 25
A Santa Monica Police Department records manager reviewed records and determined that on March 9, 1986, the day appellant reported the theft of her revolver from her car, there had been two other burglaries from automobiles in parking structures in the same area.
The defense called Suzanne Mendoza, who had known appellant virtually all her life, as a character witness. Mendoza had never observed appellant to be violent toward anybody. Michael Alexander who worked with appellant at the Devonshire Division in 1985 and 1986 and observed her interacting with many people, including arrestees, testified he did not consider her to be a violent person. Kim Dittbem, who attended an LAPD program with appellant for six months, never saw any violent behavior. Sheri Huff, who had known appellant since their college days, had been friends with appellant when Ruetten dated one of Huff’s roommates. She had never observed appellant jealous or angry. She had never seen appellant act violently.
C. Verdict and Sentence
The jury found appellant guilty of first degree murder, and found tme that she had personally used a handgun. The court imposed a sentence of 25 years to life for the murder and two years for the weapons enhancement.
DISCUSSION
A. Pre-accusation Delay
Appellant contends the trial court erred in denying her motion to dismiss the charges due to pre-accusation delay, in view of the time that passed between the crime and her arrest and trial, and the alleged negligence of the original investigators. For the reasons discussed, we disagree.
1. Background
The information filed on December 18, 2009, accused appellant of committing murder on February 24, 1986, over 23 years earlier. On October 20, 2009, appellant moved to dismiss on the ground that the delay in filing criminal charges prejudiced her ability to conduct her defense, and constituted a violation of her due process rights under the state and federal Constitutions. Appellant contended that LAPD investigators were negligent or reckless in failing to investigate her possible involvement in the crime in 1986. She presented evidence that, within days or weeks of Rasmussen’s death, (1) Ruetten informed the investigators that appellant was his former girlfriend, (2) Rasmussen’s father told the investigators that Rasmussen had been threatened by her husband’s former girlfriend, and (3) Rasmussen’s
With respect to prejudice arising from the delay, appellant asserted that her ability to prepare her defense had been compromised because (1) the officers who saw or worked with appellant in the days after the homicide were unable to specifically recall whether appellant showed signs of having engaged in a physical struggle; (2) Rasmussen’s secretary, who witnessed the confrontation between Rasmussen and appellant, had died; (3) documents supporting the chain of custody of certain items of physical evidence had been lost; 26 (4) the GSR (gunshot residue) tests taken of Rasmussen’s hands and the records of 911 calls about the crime had been destroyed; and (5) records indicating precisely when LAPD officers began using the type of ammunition the prosecution claimed had been used to shoot Rasmussen were no longer available.
Respondent contended that to prevail, appellant was required to prove not only that she was prejudiced by the pre-accusation delay but that the delay occurred as the result of deliberate action by the prosecution or LAPD investigators designed to gain a tactical advantage. 27 With respect to justification for the delay, respondent represented that the LAPD cold case unit requested DNA testing in September 2003, that the testing was accomplished in February 2005, and that periodic attempts to match the DNA (and fingerprints) from the crime scene to criminals whose profiles were stored in national databases occurred thereafter. The case was assigned to a detective in February 2009. His investigation quickly focused on appellant, and in June 2009, one month after her DNA profile was surreptitiously obtained and matched to the bite mark swab, she was arrested.
Having found that appellant had made a “showing of prejudice,” albeit “fairly minimal,” the court ruled that the truth-in-evidence provision of the California Constitution required application of the federal standard. In line with that reasoning, the court concluded that the lack of evidence that the delay was intentional or used to gain a tactical advantage precluded granting the motion. The court nevertheless went on to resolve the matter under the presumption that negligence was sufficient to support the motion to dismiss. The court concluded there was a “plausible argument to be made” that the investigating officers had been negligent, but stated that delay resulting from negligence required a greater showing of prejudice to “tip the scales” toward a finding of a due process violation than if the delay had been intentional. The court found strong justification for the delay in the necessity of developing the DNA evidence and matching it to appellant’s DNA. Although “the police may have had some basis to suspect [appellant] shortly after the crime was committed,” the case “was not solved until May of 2009 when [appellant’s] D.N.A. was matched to the biological matter recovered from the crime scene.” Once that occurred, “the authorities moved with appropriate dispatch and arrested [appellant].” The court concluded that “while the delay in bringing the charges against [appellant] has caused some possible prejudice to her ability to defend,” the “strong justification for delay” compelled the conclusion that “there was absolutely no violation of her right to due process.” Accordingly, the court denied the motion to dismiss.
a. Negligence on the part of investigators or prosecutors triggers application of the balancing test where the defendant establishes prejudice
There is no dispute that “ ‘[d]elay in prosecution that occurs before the accused is arrested or the complaint is filed may constitute a denial of the right to a fair trial and to due process of law under the state and federal Constitutions.’ ”
(People v. Nelson
(2008)
In
Nelson,
our Supreme Court held that “negligent, as well as purposeful, delay in bringing charges may, when accompanied by a showing of prejudice, violate due process.”
(Nelson, supra,
Our Supreme Court has repeatedly endorsed its holding in
Nelson,
reiterating in multiple recent cases that “ ‘ “under California law, negligent, as well as purposeful, delay in bringing charges may, when accompanied by a showing of prejudice, violate due process,” ’ ” and applying that standard to its analysis of the facts in the situation before it.
(People v. Jones
(2013)
Respondent contends the holding in
Nelson
is no longer binding because the crime in
Nelson
took place in 1976, prior to the passage of Proposition 8, adding the truth-in-evidence provision to the California Constitution (Cal. Const., art. I, § 28, subd. (f)(2) [formerly subd. (d)]). Respondent asserts that the provision requires application of federal standards to motions to dismiss for prejudicial delay.
30
Respondent overlooks Supreme Court decisions applying the
Nelson
standard where the crimes postdated Proposition 8’s passage.
(People
v.
Jones, supra,
57 Cal.4th at pp. 920-921 [crime occurred in 1985];
People
v.
Abel, supra,
As our Supreme Court has since observed, however, the language of the truth-in-evidence provision “broadly eliminates rules that
exclude relevant evidence
from a criminal trial”; its words “do not speak beyond that subject.”
(People v. Alvarez
(2002)
More importantly, even were we persuaded that the provision applies to the dismissal of all charges, we would reject respondent’s argument that it compels a different standard for reviewing a claim of pre-accusation delay than the one articulated by our Supreme Court in
Nelson.
As the court found, the standard to be applied where unjustified delay has prejudiced the defense under the United States Constitution is not settled.
(Nelson, supra,
b. The trial court did not abuse its discretion in concluding that the justification for the delay outweighed any prejudice to the defense
A defendant seeking dismissal of a charge on the ground of unjustifiable delay “ ‘must demonstrate prejudice arising from the delay.’ ”
(Nelson, supra,
“We review for abuse of discretion a trial court’s ruling on a motion to dismiss for prejudicial prearrest delay [citation], and defer to any underlying factual findings if substantial evidence supports them [citation].”
(People v. Cowan, supra,
In the weighing process, “the seriousness of the crime for which the indictment is returned must be given appropriate consideration. The fact that
In
Nelson,
the defendant had been interviewed as a suspect in a 1976 murder, but was not charged until 2002, following DNA testing of semen stains found on the victim.
(Nelson, supra,
43 Cal.4th at pp. 1248-1249.) Rejecting the defendant’s claim that the 26-year delay in bringing charges violated his constitutional rights to a fair trial and due process, the court observed: “The police may have had some basis to suspect defendant of the crime shortly after it was committed in 1976. But law enforcement agencies did not fully solve this case until 2002, when a comparison of defendant’s DNA with the crime scene evidence resulted in a match, i.e., until the cold hit showed that the evidence came from defendant. Only at that point did the prosecution believe it had sufficient evidence to charge defendant.”
(Id.
at p. 1256.) The court emphasized that “ ‘[p]rosecutors are under no duty to file charges as soon as probable cause exists but before they are satisfied they will be able to establish the suspect’s guilt beyond a reasonable doubt. . . .’ ” (Ibid., quoting
People v. Dunn-Gonzalez
(1996)
Appellant does not suggest the prosecution had sufficient evidence to warrant charging her before the DNA match in 2009, but contends that “DNA technology available since the 1980’s could readily have been used to evaluate appellant as a suspect.” This same argument was rejected by the Supreme Court in
Nelson.
Responding to the defense claim that law enforcement agencies were negligent in failing to test the samples earlier for a DNA
Against the justification for the delay must be balanced the minimal prejudice identified by appellant. She claims witnesses would have been able to testify with greater certainty that she showed no sign of injury in the days following the murder. This would have been of marginal significance. The record was undisputed that no one observed appellant to have been injured in the days after the murder, and it was entirely possible that Rasmussen’s attacker suffered no visible injury, as Rasmussen was struck with a gun and another heavy object before being killed and had very little foreign tissue under her fingernails. Moreover, the areas of appellant’s body her partner and coworker could have seen were limited.
Appellant claims she could have produced her gun and established that it was not the murder weapon. But according to appellant, her gun was stolen within two weeks of the killing. The investigation could not reasonably have been concluded within that period of time.
Appellant claims the loss of 911 and “police communication” tapes prejudiced her ability to show that there were other suspects. We agree with the trial court that the possibility of any exonerating evidence on such tapes was speculative in the extreme. The body was not discovered for many hours, when Ruetten returned home in the evening and called 911. He had no information about how Rasmussen died or who killed her, and could have said nothing to support the existence of other suspects. After the police arrived in response to Ruetten’s call, Volanitis and Flores were interviewed and gave written statements that were made available to the defense. There was no indication that either called 911, and no suggestion that anyone else in the area noticed anything amiss at the time of the murder.
Finally, appellant claims that the delay interfered with her ability to identify alternate suspects whose presence was allegedly demonstrated by the unidentified fingerprints and DNA found at the scene and in the BMW. Such evidence—found in locations and quantities consistent with casual contact— did not suggest the presence of another assailant. Moreover, the databases of criminals whose fingerprint and DNA samples were available for computer matching had only increased in the intervening years. In view of the minimal prejudice and the lack of indication that any significant evidence had been lost, the trial court did not abuse its discretion in denying the motion to dismiss.
B. Motion to Quash
1. Background
Two warrants were issued authorizing searches of appellant’s property.
32
The first permitted authorities to search appellant’s residence and several vehicles registered to her. It sought electronically and digitally stored material, documents, and records related to the homicide, Rasmussen or Ruetten, including “letters, diaries, journals, writings, newspaper articles, books, correspondence, [or] greeting cards”; photographs of Ruetten and Rasmussen; items that may have belonged to Ruetten or Rasmussen; information identifying persons “who may have associated with or [may] have known” Ruetten,
The first warrant was issued pursuant to a 26-page affidavit and statement of probable cause executed by Detective G. Steams, a 14-year veteran of the LAPD who had been involved in approximately 150 homicide investigations, 40 as the lead investigator. Detective Stearns related in detail the facts surrounding the homicide and the 1986 investigation. 33 Detective Stearns also related the facts surrounding DNA testing of the bite mark swab and other tissue samples from the crime scene by LAPD criminalist Francis, and the collection and testing of appellant’s discarded straw and cup for DNA comparison purposes. He stated that in 2009, Detective Nuttal was assigned to the matter and re-interviewed Ruetten. Ruetten told the detective about his relationship with appellant and appellant’s emotional reaction to learning of Ruetten’s engagement to Rasmussen. The affidavit described appellant as “expressfing] to [Ruetten] that she wished to pursue a committed relationship with him” at their June 1985 meeting. Detective Nuttal discovered that the day of the murder was a day off for appellant. The affidavit also described two meetings between appellant and Rasmussen. In the first, at Rasmussen’s workplace, appellant had allegedly told Rasmussen about getting together with Ruetten after he had begun dating Rasmussen and said, “ ‘If I can’t have John, you can’t either.’ ” On the second occasion, reported to Detective Nuttal by Rasmussen’s father, Rasmussen “found [appellant], in full police uniform, standing in the living room area” of her condominium, and had no idea how appellant had gotten in. There was a verbal altercation between them that left Rasmussen fearful. Rasmussen also allegedly told her father two weeks before her death that she had arranged to meet someone to resolve “ ‘a serious problem’ ” she did not want to discuss with her husband.
Detective Steams stated in his original affidavit that based on the information currently available in the investigation and, specifically, the evidence that appellant’s relationship with Ruetten “was significant to her and that she was extremely upset and devastated when Ruetten became engaged to and
Detective Stearns also submitted a brief affidavit in support of the second warrant. He described the seizing of the electronic items pursuant to the first warrant and stated the items “may contain images, files, documents or other data related to this investigation” or information concerning “persons who might be material witnesses in this case or have other information relevant to the ongoing investigation.”
The searches of appellant’s home and computers that followed issuance of the two warrants led to the discovery of evidence introduced at trial, including appellant’s journal and planner, photographs appellant had kept of Ruetten, and evidence that appellant had conducted several online searches for information about Ruetten over the years.
Prior to trial, appellant moved to quash the warrants and suppress the evidence obtained during the searches. Focusing on the original affidavit, she contended Detective Steams had expressed unsupported opinions in it and that the information it contained was stale. She further contended both warrants were overbroad. She asserted that the “good-faith” exception set forth in
United States v. Leon
(1984)
The court denied the motion to quash. At the hearing, the court stated that the “main reason” for the denial was the evidence of the detective’s good faith. The court found nothing to suggest that Detective Stearns had tried to mislead either magistrate. The court agreed there was a plausible argument for overbreadth in the requests to search for “bills, receipts, papers, reports or
2. Analysis
a. The issuance of the warrants was supported by probable cause
The Fourth Amendment to the United States Constitution prohibits “unreasonable searches and seizures” and requires search warrants to be issued only upon a showing of “probable cause” describing with particularity “the place to be searched, and the . . . things to be seized.” United States Supreme Court decisions establish an exclusionary rule that, when applicable, forbids the use of evidence obtained in violation of the Fourth Amendment at trial.
(Herring
v.
United States
(2009)
“In reviewing a trial court’s denial of a motion to suppress evidence obtained pursuant to a warrant, ‘[w]e defer to the trial court’s factual findings, express or implied, where supported by substantial evidence. In determining whether, on the facts so found, the search or seizure was reasonable under the Fourth Amendment, we exercise our independent judgment. [Citations.],’ ” giving “great deference to the magistrate’s determination of probable cause.”
(People
v.
Hulland
(2003)
Appellant contends that because the crime occurred more than 20 years before the issuance of the warrants, the information used to support them was necessarily stale. Appellant further contends the fact that she changed residences during those years precluded a finding of any nexus between items related to the crime and her current home. Finally, she contends the search of her computers was improper because the affidavit provided no substantial evidence to support that they existed at the time of the crime or that appellant kept evidence of the crime on them. In the exercise of our independent judgment, we conclude that the information in the affidavit provided probable cause to search appellant’s current home and computers despite the passage of years.
There is no “bright-line rule defining] the point at which information is considered stale.”
(People v. Carrington, supra,
Here, the affidavit presented strong evidence of appellant’s guilt and she does not argue otherwise. The affidavit also presented evidence of appellant’s apparent motive: her romantic obsession with the victim’s husband. Given the evidence that her obsession was powerful enough to lead her to commit murder, it was probable that she would have continued to retain items evidencing her relationship with Ruetten and her feelings toward Ruetten and Rasmussen, even after all the years that had passed. Moreover, although she claimed her Smith & Wesson Model 49 revolver, the probable murder weapon, had been stolen, the magistrate could reasonably conclude that she had instead hidden it and kept it near her. (See
People v. Carrington, supra,
Appellant claims that the warrant was overbroad in granting permission to search her computers, as there was no evidence she owned any of them at the time of the homicide. The fact that she may not have owned those computers at the time of the crime did not preclude the possibility that she had transferred information or records—particularly photographs—to computers owned at the time of the search. (Cf.
U.S. v. Christie
(10th Cir. 2013)
b. The good faith exception precluded suppression of evidence obtained in the searches
In
Leon,
the Supreme Court held that when “an officer acting with objective good faith has obtained a search warrant from a judge or magistrate and acted within its scope,” the “marginal or nonexistent benefits” produced by suppressing the evidence obtained “cannot justify the substantial costs of exclusion.”
(Leon, supra,
468 U.S. at pp. 920, 922.) “[T]he exclusionary rule is designed to deter police misconduct rather than to punish the errors of judges and magistrates.”
(Id.
at p. 916.) Therefore, suppression of evidence is an appropriate remedy only if “the magistrate or judge in issuing [the] warrant was misled by information in an affidavit that the affiant knew was false or would have known was false except for his reckless disregard of the truth,” the affidavit is “ ‘so lacking in indicia of probable cause as to render official belief in its existence entirely unreasonable,’ ” or the affidavit is so deficient in particularizing the place to be searched or the things to be seized that the executing officer “cannot reasonably presume it to be valid.”
(Leon, supra,
at p. 923.) In considering the issue, we apply the objective test of “ ‘whether a reasonably well trained officer would have known that the search
Here, there is no question that the searches of appellant’s home, automobiles, and computers took place after the issuance of duly authorized warrants. We perceive no misrepresentations in the supporting affidavits. Appellant contends the detectives involved in the searches should have been aware that the supporting affidavits were lacking in any indicia of probable cause due to the staleness of the information. As discussed, the concept of staleness depends on the facts of the crime and the nature of the items or information sought. The evidence known to Detective Steams established that there was a strong possibility appellant had killed Rasmussen and that she had done so as the result of jealousy and romantic obsession. According to information known to him and set forth in his affidavit, her strong feelings led her to an emotional outburst in front of Ruetten and to two prior hostile confrontations with Rasmussen. Given the intensity of her feelings demonstrated by her conduct, there was a reasonable likelihood that she would have documents or information relevant to her feelings toward Ruetten or the killing of Rasmussen in her home or on her computers. Even were we to conclude otherwise, we perceive no basis for the detectives involved to have concluded there was no reasonable basis to support probable cause. Accordingly, we find no error in the trial court’s decision to deny the motion to suppress. 35
C. Motion to Traverse
1. Background
Prior to trial, appellant moved to traverse the warrants, seeking a hearing pursuant to
Franks v. Delaware
(1978)
2. Analysis
In
Franks v. Delaware,
the United States Supreme Court held that “where the defendant makes a substantial preliminary showing that a false statement knowingly and intentionally, or with reckless disregard for the truth, was included by the affiant in the warrant affidavit, and if the allegedly false statement is necessary to the finding of probable cause, the Foürth Amendment requires that a hearing be held at the defendant’s request. In the event that at that hearing the allegation of perjury or reckless disregard is established by the defendant by a preponderance of the evidence, and, with the affidavit’s false material set to one side, the affidavit’s remaining content is insufficient to establish probable cause, the search warrant must be voided and the fruits of the search excluded to the same extent as if probable cause was lacking on the face of the affidavit.”
(Franks
v.
Delaware, supra,
438 U.S. at pp. 155-156.) Our Supreme Court has said that “ ‘[a] defendant who challenges a search warrant based upon an affidavit containing omissions bears the burden of showing that the omissions were material to the determination of probable cause.’ ”
(People
v.
Panah
(2005)
Here, the trial court found no material misrepresentations in either affidavit. It further found that the information omitted was immaterial and would not have led to a different decision on the part of the issuing magistrates. We agree. That appellant married years after the homicide had no bearing on whether she would likely have retained items relevant to the case, as discussed above. Moreover, we find no merit to appellant’s contention that Detective Stearns misled the issuing magistrates by either affirmative falsehoods or omissions. Although Detective Stearns’s original affidavit did not state that appellant did not initiate contact with Ruetten after their June 1985 meeting, it did not reference any later meetings and did not create the impression that appellant pursued Ruetten after the homicide. And while the
D. Admissibility of Appellant’s Interview
1. Background
Appellant was interviewed by two detectives on June 5, 2009, while still employed by the LAPD. She was persuaded to enter the interview area by a ruse: the detectives told her they needed her expertise in an art theft investigation. Once inside the interview room, the detectives admitted wanting to question appellant about “a case [they were] working on” involving Ruetten and his wife. They said they had gotten appellant away from her desk in order to protect her privacy and prevent her coworkers from overhearing the questions and answers. They later said they “got this [case] the other day” and that the chief was “pushing some older cases out even to the guys . . . [¶] . . . that work active cases.” Appellant stated she vaguely recalled speaking to someone during the original investigation. The detectives did not tell appellant she was in custody. She was not advised of her Miranda rights prior to the interview. 36 During the interview, she was told she was not under arrest, that she could walk out whenever she felt like it, and that she was “free to go.” Appellant herself referred to the possibility that she would recall more information pertinent to the investigation “as soon as I walk out of here.” Near the end of the interview, appellant stated that she knew “how this stuff works,” and asked if the detectives viewed her as a “suspect,” if the interview was “an interrogation,” and if they were “trying to pin something on [her].” Asked if she would provide a DNA sample, she said “[m]aybe,” and that she needed to talk to a lawyer. Appellant was allowed to walk out of the interview room, but thereafter was arrested and advised of her Miranda rights. She declined to speak further.
Prior to trial, the prosecution moved to admit a recording of appellant’s interview. The moving papers asserted that appellant was not in custody at the time of the questioning and therefore
Miranda
warnings were not required. The prosecution further contended that the Public Safety Officers
Appellant did not dispute that she was not in custody for purposes of
Miranda.
She contended, however, that the statements were inadmissible under
Garrity v. New Jersey
(1967)
In its reply, the prosecution submitted the declaration of Mark Perez, an LAPD deputy chief. He stated that when an officer is internally or administratively investigated, a complaint form is prepared, the officer is notified in advance of any interrogation, and he or she is given an opportunity to be represented. If the officer does not wish to give a voluntary statement during an administrative interrogation, he or she is “explicitly ordered, on pain of administrative discipline up to and including termination, to . . . answer questions.” Such instruction is “always explicit and verbal, and the officer being interrogated is directed to sign a form indicating that [the officer is] the subject of an administrative investigation and that [the officer is] providing a statement under duress, for administrative purposes only.” Deputy Chief
At the hearing, counsel for respondent further explained: “[I]n every case [in which the LAPD seeks to compel a statement from an officer] . . . they ask, [‘]are you going to give a voluntary statement?[’ ]” If the officer exercises his or her Fifth Amendment privilege, the response is: “[ ‘]Very well, we are going to order you now to make a statement and now your privilege is protected because it’s supplanted by the use immunity.[’ ]” In other situations “before a grand jury, ... in a civil matter, in a criminal matter,” the police officer retains his or her Fifth Amendment rights. Accordingly, “[the privilege] existed in that interview room when [appellant] was being interviewed by [the] detectives.”
The court ruled the interview tape admissible. At the hearing, the court explained that because the detectives conducting the interview were from a different unit, were not in appellant’s supervisory chain of command, and approached her using a ruse, they were clearly conducting a criminal investigation. Although appellant stated in her declaration that she believed she would be terminated if she did not answer the detectives’ questions, the court found her assertion was not “objectively reasonable” based on the interview transcript as a whole, particularly the absence of any suggestion by the detectives that appellant was required to talk to them, and the absence of any inquiry by appellant whether she was required to answer their questions or was under administrative investigation. The court placed “little weight” on the fact that “eight months after the interview” the department took administrative action against appellant due to her failure to report for duty since her arrest and her involvement in a criminal prosecution. The court found it “very clear that [the interview] was a criminal investigation[,] . . . exempt from [POBRA],” and that “[appellant’s] statements were voluntary] up until she was advised of her Miranda rights and invoked them . . . .”
2. Analysis
In
Garrity,
supra,
Appellant appears to believe that
Garrity
applies to any statement made by a police officer during an interview conducted by fellow law enforcement officials. She is mistaken. “[T]he right against self-incrimination is not . . . violated until statements obtained
by compulsion
are used in criminal proceedings against the person from whom the statements were obtained.”
(Spielbauer v. County of Santa Clara
(2009)
In
Garrity,
the compulsion element was obvious: before being questioned, each officer was told that “if he refused to answer he would be subject to removal from office.” (Garrity,
supra,
Other courts have applied a less restrictive test, holding that a police officer claiming the protection of
Garrity
“must have in fact believed his . . . statements to be compelled on threat of loss of job and this belief must have been objectively reasonable.”
(U.S. v. Friedrick
(D.C. Cir. 1988) 268 U.S. App.D.C. 386 [
We need not resolve whether the threat of discharge must be overt, as here, the trial court found not only that there was no express compulsion, but that appellant had no objectively reasonable basis to believe she was compelled to answer the detectives’ questions. The court’s finding are supported by the record. Appellant was not directed by her superiors to submit to the interview. The detectives were not in her supervisory chain of command or even in her unit. They were not internal affairs investigators, and at no point did they suggest that appellant’s job was in jeopardy if she refused to speak to them.
Appellant contends that California law imposes a duty on police officers to provide all information in their possession about criminal activity—including their own—and permits imposition of discipline if they fail to answer questions relating to a criminal inquiry. From this, she argues that any statement made by an officer—even in a purely criminal investigation—is necessarily legally compelled. For this novel proposition, appellant relies primarily on a case decided over three-quarters of a century ago. In
Christal v. Police Com. of San Francisco
(1939)
To the extent
Christal
stands for the proposition that an officer has a duty to disclose incriminating facts to a superior and to testify concerning
During the June 5 interview, appellant had not been ordered to answer any questions and indeed was not being interviewed by anyone in a position to issue such an order. Appellant, herself a former internal affairs officer, would have been aware that in the absence of a formal complaint or the explicit advisement required by
Lybarger,
she was under no danger of termination if she refused to cooperate with the detectives. In short, neither
Christal
nor any other case of which we are aware suggests that police officers’ uncoerced and
Appellant further contends that she was compelled by the provisions of POBRA to answer the detectives’ questions. She relies on the language of subdivision (e) of Government Code section 3303: “The public safety officer under interrogation shall not be subjected to offensive language or threatened with punitive action, except that an officer refusing to respond to questions or submit to interrogations shall be informed that failure to answer questions directly related to the investigation or interrogation may result in punitive action.” Appellant acknowledges that subdivision (i) of section 3303 states that “[t]his section shall not . . . apply to an investigation concerned solely and directly with alleged criminal activities,” but argues that subdivision (i) must be interpreted to mean only that the procedural protections available to police officers under section 3303 are not available in criminal investigations. She claims her interpretation is supported by
Lybarger v. City of Los Angeles,
in which the court, citing subdivision (e) of section 3303, said: “[A]ppellant [(a police officer)] had no statutory right to remain silent.”
(Lybarger
v.
City of Los Angeles, supra,
This court’s decision in
City of Los Angeles v. Superior Court
(1997)
E. Admission of MiniFiler Results
1. Background
The primary DNA evidence connecting appellant to the crime was found in the saliva on the bite mark on Rasmussen’s arm. Appellant raised no objection to the introduction of this evidence, and raises no issue with respect to it on appeal. She sought to exclude a small subset of the DNA evidence presented by the prosecution: analysis of tissue found on and under Rasmussen’s fingernails conducted by Fedor using a DNA test kit known as MiniFiler. MiniFiler testing led Fedor to conclude appellant was a “possible contributor” to partial DNA profiles found in his examination of the fingernails. On' appeal, she contends the evidence should not have been admitted because it was the product of a new scientific technique whose reliability had not been established by the prosecution or prior authority. For the reasons discussed, we conclude the trial court did not err in admitting the evidence. We first provide some background to assist in understanding the terms used in DNA analysis.
a. DNA Analysis Overview
DNA, the genetic material found in the nucleus of human cells, “is organized into 23 pairs of . . . chromosomes, 1 chromosome in each pair being inherited from the mother and the other from the father.”
(People
v.
Venegas
(1998)
“Short tandem repeats” are essentially VNTRs (variable number tandem repeats) with smaller numbers of base pairs
44
(See Chin et al., Forensic DNA Evidence: Science and the Law,
supra,
¶ 2:3, p. 2-7 (rev. 4/2012);
People v. Smith
(2003)
To perform DNA analysis, criminalists use test kits containing all the necessary chemicals, primers and software. (See
People
v.
Smith, supra,
In the present case, after analysis using the Identifiler test kit resulted in weak or partial profiles, Fedor re-tested certain tissue samples from the crime scene using a test kit called MiniFiler. Fedor’s testimony at trial concerning the DNA found on or under Rasmussen’s fingernails was based in large part on the MiniFiler results. This is the DNA testing at issue here.
b. Appellant’s Kelly Motion 47
Prior to trial, appellant moved the court to hold a
Kelly
hearing on the admissibility of DNA evidence developed using MiniFiler, contending that “MiniFiler [was] a completely new DNA analysis commercial kit” and “its analytical results have never been admitted in evidence over a
Kelly
challenge.” She presented no expert declaration and submitted no scientific reports discussing MiniFiler. She quoted the manufacturer’s Web site, stating:
The prosecution opposed the motion, confirming that Fedor had used MiniFiler to obtain certain results from Rasmussen’s fingernails which would be offered into evidence, but contending that MiniFiler was a PCR-STR test kit whose technology was fundamentally unchanged from the COfiler, Pro-filer Plus and Identifiler test kits, which had been approved as generally accepted by prior court decisions. The prosecution cited
People v. Hill, supra,
Relying on
People v. Hill, supra,
The court further ruled that a prong three Kelly hearing was unnecessary, but stated that “before the expert testifie[d],” it would entertain a motion for an Evidence Code section 402 (section 402) hearing “on whether or not appropriate and proper procedures were followed in the administration of the MiniFiler test . . . .” Additionally, the court stated: “[S]ince the People are going to be using the results of the MiniFiler test kit for some of the DNA evidence, [the defense is] going to want to try to attack that in front of the jury and explain to the jury why the jury should not rely on that evidence. . . . [¶] . . . I think it becomes basically a trial issue . . . .” There is nothing in the record to indicate that the defense sought a section 402 hearing prior to Fedor’s testimony. 50
2. Analysis
a. Appellant failed to establish the necessity of a Kelly hearing
Under the first prong of the
Kelly
test, the “admissibility of expert testimony based on ‘a new scientific technique’ requires proof of its reliability—i.e., that the technique is ‘ “sufficiently established to have gained general acceptance in the particular field to which it belongs” ’ [citation].”
(Venegas, supra,
Because
Kelly
is applicable only to “ ‘new scientific techniques’ ”
(People
v.
Leahy, supra,
The issue of general acceptance in the relevant scientific community is a mixed question of law and fact.
(People v. Morganti, supra,
Where, as here, the issue is the novelty of a change in the method of analyzing DNA, courts have recognized that “[w]hat was once considered revolutionary has now become rather mundane . . . ,” and the threshold issue is “whether the improvement or refinement in DNA methodology qualifies as another breakthrough innovation within the meaning of
Kelly,
or whether the change represents a mere evolution of a generally accepted scientific technique.”
(People v. Stevey, supra, 209
Cal.App.4th at p. 1411.) As discussed, the PCR-STR method of analyzing DNA has been found to be generally accepted by many, many courts. (See, e.g.,
People v. Jackson, supra,
163 Cal.App.4th at pp. 323-325;
People
v.
Smith, supra,
The Profiler Plus test kit at issue in
Hill
had a number of differences when compared to the previously accepted Promega test kit, including its examination of additional loci, its use of different primers, its use of fluorescent tagging to visually identify the targeted gene, and its new software.
(People
v.
Hill, supra,
89 Cal.App.4th at pp. 57-58.) In
Jackson,
the Identifier kit was found to have similar differences from the COfiler and Profiler Plus kits that preceded it, and in addition, to “reduce[] the amount of template DNA required” for analysis purposes.
51
(People v. Jackson, supra,
Appellant’s reply papers contained similar defects. She made a number of unattributed contentions and accused SERI of possibly inappropriate uses of MiniFiler, such as analyzing low template DNA, employing a greater number of amplification cycles than was optimal, and processing DNA mixtures from more than two contributors. She promised that “an expert” would “explain the significance” of these contentions “at a hearing.” She did not indicate she was quoting an expert or had consulted an expert with respect to any of the topics discussed in her moving papers, nor did she identify an expert prepared to testify that MiniFiler was an entirely new and untested technology on which DNA scientists did not agree. She thus failed to provide any basis for her assertion that MiniFiler was a fundamentally different PCR-STR test kit, and the trial court had no obligation to order a Kelly hearing.
We find support for our conclusion in
People v. Borden
(N.Y.App.Div. 2011)
b. Appellant forfeited any error with respect to whether proper procedures were utilized by SERI when she failed to request a prong three or section 402 hearing prior to Fedor’s testimony
At the hearing on appellant’s Kelly motion, the court found no need for “a full blown prong three . . . Kelly hearing,” but stated that it would “entertain [a section] 402 hearing on whether or not appropriate and proper procedures were followed in the administration of the MiniFiler test before the expert testifies or before trial, if we can make the arrangements.” After learning from the prosecutor that the expert was from out of town and charged thousands of dollars per day to testify, the court stated: “We’ll do a hearing before he testifies . . . .” However, when the time came for Fedor to testify, defense counsel did not request a section 402 hearing.
The third
Kelly
prong requires the proponent of the evidence to “ ‘demonstrate that correct scientific procedures were used in the particular case. [Citations.]’ ”
(Venegas, supra,
c. Assuming introduction of the DNA evidence obtained through the MiniFiler test kit was error, it was harmless
Although we conclude the trial court did not err in denying the Kelly motion, we find no basis to believe that any erroneous admission of the DNA evidence obtained through MiniFiler testing could have prejudiced appellant. 53
Appellant was identified as the likely culprit through DNA analysis of saliva left on a bite mark on Rasmussen’s arm. Her DNA profile precisely matched the profile of the person who bit Rasmussen shortly before her death. As serologist Fedor testified, the chance that a woman unrelated to appellant would have the same DNA profile as the bite mark swab at all 15 loci was approximately one in 1.7 sextillion, many times the population of the earth. Appellant had a compelling motive to kill Rasmussen. She had been abruptly dropped by Ruetten, with whom she had been intimate for several years and with whom she was in love, when he met his future wife. Upon learning of the engagement, appellant was distraught. She called Ruetten, crying, and begged him to come to her apartment, where she professed her love for him. She thereafter turned her anguish on the object of Ruetten’s affections, confronting Rasmussen at her place of work and revealing to her Ruetten’s prior infidelity. She confessed to her roommate, wrote in her journal, and confided in a letter to Ruetten’s mother her deep-seated unhappiness and distress over Ruetten’s marriage to Rasmussen. The circumstantial evidence was very strong: appellant was off work the day of the killing, she had no alibi, the gun used to commit the murder was consistent with a gun owned by appellant, and the bullets used were LAPD-required
Appellant points out that in rebuttal the prosecutor argued that the Mini-Filer evidence eliminated any doubt that appellant committed the crime. After discussing the gun, the bullets, and the bite mark DNA which he contended supplied proof “without much doubt whatsoever,” the prosecutor briefly discussed the fingernail DNA evidence, describing it as “not nothing” and having significance in conjunction with the other evidence. He also argued it undercut any claim that the bite mark swabs had been tampered with because the fingernails had stayed with LAPD while the bite mark swabs were stored at the coroner’s office. But appellant presented no serious evidence of tampering. While the envelope containing the test tube and swabs had developed a small tear over the years, and appellant raised questions about the accuracy of the coroner’s evidence log indicating no one had touched the test tube in the years between 1986 and 2005, she presented no evidence that someone in or having access to the coroner’s office had a motive to frame her and no explanation for how tampering with the swabs collected in 1986 could have resulted in her DNA and Rasmussen’s DNA being found on them in two separate tests. Considering the prosecutor’s argument in context, the DNA fingernail evidence was not critical, and even assuming the trial court should have excluded it in the absence of a Kelly hearing, any error was harmless.
F. Evidence of Third Party Culpability
1. Background
During opening statements, defense counsel indicated his intention to present evidence of a burglary that occurred in Rasmussen’s neighborhood in April 1986. The court subsequently warned counsel that there would have to be “remarkable similarities” before the evidence could come in and questioned why the matter had not been resolved prior to trial. The next day, the prosecution filed a motion to exclude third party culpability evidence. The moving papers contended that the April burglary was “markedly different” from the crime at issue, and that there was “no direct or circumstantial evidence linking [any] third person to Ms. Rasmussen’s murder.”
The trial court concluded the evidence did not meet the standard for third party culpability evidence and excluded it. The court found certain similarities, including that the killing took place in the daytime and the April burglary was a daytime crime. Stereo equipment was involved in both crimes, as was a gun. However, the court found that the differences prevailed. The April burglars forced their way inside; Rasmussen’s home showed no sign of forced entry. The burglars ransacked Rivalli’s bedroom, and took jewelry; Rasmussen’s home showed no evidence the intruder sought jewelry. The burglars left Rivalli’s home in their own vehicle; Rasmussen’s assailant left in hers. Finally, the burglars, upon being discovered by Rivalli, fled without discharging a weapon. Rasmussen’s assailant brutally beat her, bit her and shot her to death. The court found the “critical feature” to be that nothing linked the suspects in the April burglary to the Rasmussen homicide.
When crime scene analyst Mark Safarik testified concerning whether the crime scene had been staged to look like a burglary, defense counsel argued that the court’s ruling on the inadmissibility of evidence pertaining to the April burglary precluded him from effectively cross-examining the witness. The court disagreed, stating that Safarik’s testimony was based solely on his observations of the crime scene, not on an analysis of burglaries in the area, and noted that counsel was free to cross-examine the witness concerning his observations.
“ ‘A criminal defendant has a right to present evidence of third party culpability if it is capable of raising a reasonable doubt about his own guilt.’ ”
(People v. Panah, supra,
The trial court’s decision to reject the proposed evidence because the details of the April 1986 burglary did not bear sufficient similarities to the details of the Rasmussen homicide was a reasonable one. In a neighborhood as large and densely populated as Van Nuys, where both condominiums were located, burglaries are common. That both the Rasmussen homicide and the burglary six weeks later took place inside townhouse-style condominiums with garages and involved (or appeared to involve) attempts to steal stereo equipment does not make them distinctive or suggest that the two crimes were connected. Both crimes involved armed culprits, but if we accept Rivalli’s description of the gun as a .38-caliber, we must also accept her statement that it had a longer barrel than the gun used in the Rasmussen homicide. The April burglars took care to ensure the residence was empty, watching the occupant leave before attempting to enter and forcing the door open. They ransacked the bedroom and stole jewelry. When confronted, the burglars, though armed, fled in their own vehicle. The dissimilarities between the April burglary and the assault on Rasmussen are striking, and the trial court was well within its discretion in concluding appellant had failed to raise a reasonable inference that the April burglary was in any way connected to Rasmussen’s murder.
G. Summary
Certain facts were largely uncontradicted at trial and were demonstrated through the introduction of evidence whose admission is not challenged on appeal. Critical among them were (a) that appellant, deeply in love with Ruetten, was devastated by his decision to marry Rasmussen; (b) that appellant directed her anger not at Ruetten, but at Rasmussen, confronting her at her place of work; and (c) that appellant’s DNA appeared in the saliva of the bite mark inflicted on Rasmussen’s forearm near the time of her murder. These facts alone raise the nearly inescapable inference that appellant confronted, assaulted and murdered Rasmussen.
Appellant does not claim the decades-long delay in matching her DNA to that found in the bite mark was intentionally designed to secure a tactical advantage, and her showing of prejudice was minimal. We discern no error in the trial court’s determination that the substantial justification for the delay outweighed any marginal prejudice demonstrated by appellant, and that she failed to establish, a violation of her due process rights.
Appellant’s interview statements were voluntarily made in the course of what any officer in her position would have recognized as a criminal investigation. Neither POBRA nor any other law rendered her statements legally compelled. We expressly reject appellant’s suggestion that a law enforcement officer questioned in the course of a criminal investigation is automatically entitled to use immunity for statements voluntarily made.
Appellant failed to demonstrate the court erred in declining to hold a prong one Kelly hearing on the DNA evidence derived from the use of the Minifiler kit. Appellant made no offer of proof that the scientific techniques employed by the Minifiler were either sufficiently different from, or substantially less reliable than, other DNA testing previously deemed admissible. And she forfeited any challenge to the reliability of the actual testing by failing to avail herself of the court’s offer to hold a section 402 hearing. Most significantly, the probative value of the evidence derived from the Minifiler testing was marginal, and any error in its admission was necessarily harmless.
Finally, the trial court acted well within its discretion in rejecting appellant’s proffered evidence of third party culpability based on the burglary of another condominium six weeks after Rasmussen’s murder. The circumstances of that burglary—in which the intruders waited for the occupant to leave, forced entry, stole jewelry, and upon being detected fled in their own vehicle—differed radically from those of the instant crime, where the assailant gained unforced access to the residence while the occupant was home, took no jewelry, but assaulted, bludgeoned and shot the victim to death, before leaving in the victim’s car.
For similar reasons, appellant demonstrated neither a violation of her state or federal constitutional rights nor evidentiary error in the trial court’s ruling precluding her from cross-examining the prosecution’s crime scene expert on the unrelated burglary.
The judgment is affirmed.
Willhite, Acting P. J., and Collins, J., concurred.
Appellant’s petition for review by the Supreme Court was denied October 28, 2015, S228654.
Notes
People
v.
Kelly
(1976)
At around noon, Volanitis received Rasmussen’s purse from two Hispanic men whom she believed to be gardeners. Volanitis and her husband turned the purse over to police officers later that day.
Rasmussen’s BMW was recovered on March 7, 1986, 2.5 miles from her home, with the keys in the ignition switch. It was not stripped or otherwise damaged.
Ruetten had not checked the front door before leaving and did not know whether it was locked. The condominium had a burglar alarm, but Ruetten did not believe it was turned on when he left.
A white cord/rope with a bloodstain was found near the front door. The blood was identified as Rasmussen’s.
None of the head injuries was fatal.
Cathy Law, the chief forensic dentist for the coroner’s office, testified the mark appeared to be a bite mark, but she could not be certain unless amylase, an enzyme found in saliva, was present. As will be discussed, DNA examiners detected the presence of salivary amylase on the mark.
The samples were taken by moistening the area with distilled water and wiping it with cotton-tipped swabs. The swabs were placed in an enclosed tube, which had air holes to allow the samples to dry out. The tube was sealed in an envelope and placed in one of the freezers located in the evidence room at the coroner’s office.
The fingerprints were obtained from the BMW and various places near where Rasmussen’s body was found, including the front door, the door between the living room and the garage, a banister, a VCR, a CD player, and a cassette deck. The samples of bloodstains were taken from the front door, a closet door, near a wall socket, the door leading to the garage, the floor near the entry way, and the BMW’s ignition key, interior door handle, and driver’s side door. Photographs were taken of a red stain on the stereo equipment stacked near the door and a bloody smudge on a nearby wall that could have been from someone’s hand, but no identifiable fingerprints were developed from either source. Not all of the lifted prints were identifiable but of those that were, none matched appellant’s. The LAPD lab did not test all of the apparent bloodstain samples for DNA, but in the samples that were tested, the DNA was matched to or consistent with Rasmussen’s. None matched appellant. An independent lab tested some of the remaining bloodstain samples and found DNA from three individuals in the one found on the BMW’s door handle. One of the DNA profiles was consistent with Rasmussen’s, but neither appellant nor Ruetten were possible matches with the others. The DNA mixture could have come in part from casual contact with the door handle. The independent lab also found mixtures of male and female DNA on the quilt found near Rasmussen: the female DNA was consistent with Rasmussen’s; the male DNA was not identified. None of the hairs analyzed was appellant’s. One of the hairs, found entangled in speaker wire near the white cord, was from a male who was not John Ruetten.
Mark Safarik, a crime scene analyst called by the prosecution, testified the crime scene had been staged to look like a burglary. He testified that Rasmussen’s condominium was an unlikely target for an experienced burglar, as it was in a gated complex surrounded by a fence, was centrally located within the complex, and had an alarm system. He opined that the absence of evidence of a forced entry, along with the fact that little property had been taken or set aside and that very little inside the condominium had been disturbed, suggested the motivating crime was not burglary. He explained that a burglar would generally plan to arrive when no one was home; the fact that the crime occurred early in the day and the perpetrator brought a white rope indicated burglary was not the motive. He further explained that burglars do not generally steal vehicles. However, as the BMW had been taken, Safarik found it unusual that nothing of value was removed from it. Finally, the fact that the stereo equipment was found stacked near where the struggle appeared to have taken place, but was undisturbed, suggested it was placed there after the fact.
When it was found, the envelope in which the tube had been sealed was torn but the tube inside appeared intact. There were two swabs inside the tube.
As will be discussed in greater detail in part E. of the Discussion, post, the DNA test kits used by Francis, called “Profiler Plus” and “COfiler,” assigned numerical values to patterns of repeating DNA inherited from each parent at 13 points or “loci” along the chromosome. If the particular tissue sample tested contained insufficient cellular material, the test kits were unable to assign numbers at all 13 loci, and the profile was considered incomplete or partial.
The DNA test kit used by Mastrocovo, called “Identifiler,” was designed to assign numerical values to patterns of repeating DNA at up to 15 loci, the 13 in the test used by Francis when she first tested the bite mark swab, plus two more. The DNA sample obtained
When testing the swab taken from appellant’s mouth, Francis used the Identifiler test kit, obtaining readings at 15 points for appellant’s DNA profile. But as she had used the Profiler Plus/COfiler test kits when testing the bite mark tissue sample in 2005, she had only 13 points on that profile to use for comparison purposes. Francis calculated that a match at 13 loci would be expected in one out of 402 quadrillion unrelated individuals.
Fedor used the Identifiler test kit, capable of obtaining readings at 15 loci.
Fedor computed that the chance a woman unrelated to appellant would have the same DNA profile at all 15 loci was approximately one in 1.7 sextillion, many times the population of the earth.
Because it was only a partial profile, Fedor calculated that one out of every 26,000 women could have matched it.
One of the profiles would also have been consistent with the DNA profiles of one out of 9,000 other women, the others were consistent with the profiles of one out of nine or 10 other women.
Fedor testified that small amounts of another person’s DNA can be deposited under a fingernail through casual encounters or by touching objects containing that person’s DNA. Another witness testified that scissors used to collect fingernails in 1986 were not sterilized
A search of appellant’s home uncovered appellant’s daily planner which mentioned two books on locksmithing and lock picking. The books themselves were not found.
Appellant’s purchase of the weapon was also documented by the record of the Los Angeles Police Revolver and Athletic Club, which sold guns to peace officers.
Rasmussen had been shot three times. In addition, there were two bullet holes in the curtains covering the shattered sliding glass door, indicating two additional bullets had been fired.
Michael Alexander, appellant’s partner in 1986, was called by the defense and similarly testified that he did not recall seeing any injuries on her in February of that year.
At one point appellant said: “I don’t think I’ve ever gone there. That’s why I’m saying I don’t. . . want to say, no, I’ve never gone there, and then you say, oh, I was at a party, cause
Fant also noticed faint shoe prints on the quilt for which the investigators had given no account.
The items identified in the moving papers were the samples of red stains, a white dish towel, the white rope or cord found near the body, portions of fingernails, two hairs, and samples taken by the pathologist. There was no mention of the chain of custody for the bite mark swabs.
At the hearing, defense counsel conceded the absence of evidence of intentional misconduct on the part of the investigators.
Respondent disputed that there were breaks in the chain of custody records for any evidence. Some specific items appellant claimed in her moving papers were missing or destroyed—including, a bite mark exemplar taken of Rasmussen’s teeth and the record of a polygraph examination of Ruetten—were located and turned over to the defense prior to the trial court’s ruling on the motion.
United States
v.
Lovasco
(1977)
Respondent’s reliance on two more recent United States Supreme Court decisions is misplaced. In
United States v. $8,850
(1983)
The truth-in-evidence provision, added to our state Constitution in 1982, provides that “[e]xcept as provided by statute hereafter enacted by a two-thirds vote of the membership in each house of the Legislature, relevant evidence shall not be excluded in any criminal proceeding . . . .” (Cal. Const., art. 1, § 28, subd. (f)(2); see
People v. Coffman and Marlow
(2004)
Additionally we note that appellant’s claim that DNA testing available in the 1980’s could “readily have been used to evaluate appellant” is incorrect. “The first use of nuclear DNA evidence (i.e., analysis of DNA patterns in the nuclei of cells) for forensic identification purposes took place in a 1988 Florida case,” two years after the Rasmussen homicide. (Chin et al., Forensic DNA Evidence: Science and the Law (The Rutter Group) ¶ 2:1, p. 2-1 (rev. 4/2012), citing
Andrews
v.
State
(Fla.Dist.Ct.App. 1988)
A third search warrant seeking the contents of appellant’s cellular phone is not at issue here.
These details involved the injuries to the body, the evidence found at the crime scene, and the statements of the witnesses in 1986. The discussion in Detective Stearns’s affidavits with respect to these matters was not significantly different from the evidence adduced at trial, and we do not repeat it here.
As noted, the truth-in-evidence provision of the California Constitution requires California courts to apply federal constitutional law to motions to suppress evidence obtained as the result of unreasonable searches and seizures. (Cal. Const., art. I, § 28, subd. (f)(2);
People v. Maikhio
(2011)
Because we find that the search warrants were properly issued and that, in any event, the officer’s reliance on them was justified under Leon, we need not address respondent’s argument that any error in denying the motion to suppress was harmless.
Miranda v. Arizona
(1966)
POBRA applies generally where the “public safety officer is under investigation and subjected to interrogation by his or her commanding officer, or any other member of the employing public safety department, that could lead to punitive action” (Gov. Code, § 3303) and provides: “If prior to or during the interrogation of a public safety officer it is deemed that he or she may be charged with a criminal offense, he or she shall be immediately informed of his or her constitutional rights” (Gov. Code, § 3303, subd. (h)). However, section 3303, subdivision (i) specifically states: “This section shall not apply to ... an investigation concerned solely and directly with alleged criminal activities.” (See § 3303 [“[P]unitive action means any action that may lead to dismissal, demotion, suspension, reduction in salary, written reprimand, or transfer for purposes of punishment.”].)
In
Garrity,
discussed further below, the Supreme Court held that the statements of police officers made under threat of removal from office were coerced and could not be used in subsequent criminal proceedings.
(Garrity, supra,
Respondent contends on appeal for the first time that the declaration was inadmissible hearsay. Respondent forfeited that objection by failing to raise it in a more timely manner.
For an example of a situation in which an officer interviewed by criminal investigators was found to have been subject to compulsion, see U.S. v. Friedrick, supra, 842 F.2d at pages 395-397 (FBI employee who had been questioned multiple times by his employer in connection with an internal investigation reasonably believed he was compelled under threat of job sanctions to speak during interviews conducted by DOJ (Department of Justice) criminal investigators: he had been ordered to appear at the interviews by his FBI superiors; the time gap between the two sets of interviews was brief; he had been told by his superiors that these were “ ‘further interviews,’ ” not a separate criminal investigation; he had been informed from the beginning that FBI and DOJ were conducting a joint inquiry; and he had not been provided the written warning about use of incriminating statements generally given to employees providing voluntary statements.).
To the extent
Christal
stands for the proposition that a police officer—or any other public employee—may be terminated for exercise of the Fifth Amendment privilege, it has been overruled by the United States Supreme Court. (See, e.g.,
Sanitation Men v. Sanitation Comm’r
(1968)
Because we find no error in the trial court’s admission of the taped interview, we need not address respondent’s argument that any error in admitting it was harmless in light of the other evidence of appellant’s guilt.
A person has two alleles at each locus, one from each parent. (Chin et al., Forensic DNA Evidence: Science and the Law, supra, ¶ 2:2, subd. (2), p. 2-4.) “[E]ach allele is a number, representing the number of times a four-part sequence ... is repeated at a particular locus. Thus, if a person’s alleles at a certain locus are 20 and 22, that person inherited a 20-repeat allele from one parent and a 22-repeat allele from the other.” (Roth, Safety in Numbers? Deciding When DNA Alone Is Enough to Convict (2010) 85 N.Y.U. L.Rev. 1130, 1135-1136, fn. omitted.)
“STRs are ‘short’ because they are only two to six chemical letters long, ‘tandem’ because they are on adjacent chromosomes, and ‘repeat’ because the pattern repeats.” (Chin et al., Forensic DNA Evidence: Science and the Law, supra, | 2:3, p. 2-8.)
PCR-STR testing is “the current standard in the field.” (Chin et al., Forensic DNA Evidence: Science and the Law,
supra,
¶ 2:1, p. 2-2; see
District Attorney’s Office for Third Judicial Dist.
v.
Osborne
(2009)
During this process, an estimate of the quantity of DNA present, or “quantitation,” takes place. (Chin et al., Forensic DNA Evidence: Science and the Law, supra, ¶ 3:4, subd. (2), p. 3-21 (rev. 4/2012).)
In
People
v.
Soto, supra,
According to the description in one of the studies: “The [MiniFiler] is designed to function as an adjunct DNA typing kit to current commercial [STR] typing kits, such as [Identifiler], in order to obtain a more complete genetic profile of an individual. MiniFiler is the first commercially available 9-plex miniSTR amplification kit for use on forensic casework when other DNA typing kits have proven to be unsuitable for the genotyping of highly degraded and inhibited DNA samples. . . . The MiniFiler kit contains primers that amplify eight of the Identifiler kit’s largest loci . . . , and the sex-typing locus . . . . [¶] . . . The advantage that MiniFiler has over other commercial STR typing kits is the shorter amplicons (miniSTRs) that are produced during the polymerase chain reaction (PCR). MiniSTRs are the result of relocating the PCR primers as close as possible to the STR repeat region, reducing the
MiniSTR analysis was recently discussed in
U.S. v. MacDonald
(E.D.N.C. 2014)
In
U.S.
v.
McCluskey
(D.N.M. 2013)
During his testimony, Fedor described the MiniFiler test kit as a “PCR reagent kit that is particularly suitable for testing very small or degraded samples of DNA. It essentially takes the markers that in Identifiler are susceptible to degradation, that is, that don’t give very much information in small quantities or degraded quantities, and focuses on getting information from those markers supplemental to the Identifiler reagent kit that allows us to fill in some areas where Identifiler may give weak or no results.”
“Low template” DNA testing, also known as “low copy number” or “LCN” testing, refers to tests performed on “amounts of DNA that are at or below the ‘stochastic threshold.’ ”
(U.S. v. Davis, supra,
Appellant contends the recent decision in
U.S. v. McCluskey, supra,
“It is ... well settled that the erroneous admission or exclusion of evidence does not require reversal except where the error or errors caused a miscarriage of justice. (Evid. Code, §§ 353, subd. (b), 354.) ‘[A] “miscarriage of justice” should be declared only when the court, “after an examination of the entire cause, including the evidence,” is of the “opinion” that it is reasonably probable that a result more favorable to the appealing party would have been reached in the absence of the error.’ ”
(People
v.
Richardson
(2008)
