delivered the opinion of the court:
Following a jury trial, defendant was found guilty of burglary and sentenced, based on his criminal history, as a Class X offender (730 ILCS 5/5—5—3(c)(8) (West 2006)), to seven years in prison. On appeal, defendant contends that: (1) the circuit court erred in failing to grant his motion to quash arrest and suppress evidence where the police officer who stopped defendant lacked a reasonable suspicion that defendant was engaged in unlawful activity; (2) his conviction should be reversed where the circuit court failed to comply with Illinois Supreme Court Rule 431(b) (eff. May 1, 2007); and (3) he received ineffective assistance of counsel where trial counsel during opening remarks said it was defendant’s “side of the story” that defendant merely found the items in the alley, but counsel failed to present defendant’s testimony or any other evidence, thereby opening the door for the State to comment during closing arguments on defendant’s lack of evidence. For the following reasons, we affirm defendant’s conviction and sentence.
I. BACKGROUND
Prior to trial, defendant filed a motion to quash arrest and suppress evidence, arguing that defendant’s warrantless arrest was invalid because the off-duty police officer lacked reasonable suspicion of criminal activity that would have justified a brief stop under Terry v. Ohio,
At the hearing on defendant’s motion, Chicago police sergeant Mark Nottoli testified that at 1 a.m., on June 30, 2006, he was off duty and on his way home from work. Sergeant Nottoli was driving home in his personal vehicle, a convertible with the roof down, and wearing his police uniform. At about 1:30 a.m., Sergeant Nottoli observed defendant driving on 129th Street, near Saginaw and Marquette Avenues. Defendant was driving a pickup truck with a 24-foot extension ladder protruding from the back, and a lawnmower, leaf blower and other lawn equipment in the back of the pickup truck. Sergeant Nottoli testified that he decided to initiate a stop of defendant’s vehicle because the condition of the ladder protruding from the back of the pickup truck created an unsafe condition and violated a city ordinance. Sergeant Nottoli testified that he also decided to initiate a stop of defendant’s vehicle because the sergeant lived in the area, did not recognize defendant’s truck, and there had been a rash of garage burglaries in that neighborhood during that time. Sergeant Nottoli explained that defendant’s vehicle had been “[e]xiting from an alley at that time of night with such a load with garages on both sides and [defendant’s] load being things that are usually kept in the garage.”
Sergeant Nottoli also testified that under the rules of the Chicago police department, even when off duty, he was required to take action when he saw what he believed to be illegal activity occurring. Sergeant Nottoli testified that he stopped defendant’s vehicle at 130th Street and Saginaw Avenue. Sergeant Nottoli exited his vehicle and asked defendant for his driver’s license and insurance card, which defendant failed to produce. Sergeant Nottoli then placed defendant into custody, advised him of his Miranda rights, and called “911” from his cellular phone to request the assistance of on-duty police officers. Sergeant Nottoli asked defendant where the materials in the back of his truck came from and defendant provided a statement. Sergeant Nottoli testified that he eventually learned that the items in the truck where taken from a garage in the 12800 block of Saginaw Avenue.
Based on the above evidence, the circuit court found that Sergeant Nottoli’s testimony was credible and that he had the authority to initiate a stop of defendant’s vehicle despite being off duty at the time. The circuit court noted that Sergeant Nottoli testified that his primary purpose for stopping defendant’s vehicle was the unsafe condition of the ladder protruding from the rear of the truck. The court also noted that Sergeant Nottoli testified that he lived in the neighborhood, that he did not recognize defendant or his truck, that there had been many garage burglaries in the area, and that defendant was driving down an alley in a truck that contained items commonly kept in garages. The circuit court explained that was “a secondary reason that gave rise to some suspicion that maybe the defendant had been involved in criminal activity.” The circuit court then denied defendant’s motion to quash arrest and suppress evidence.
During opening remarks to the jury, defense counsel argued that she would present defendant’s “side of the story.” Defense counsel argued that defendant had not committed the offense of burglary but, rather, that defendant had found the items in his truck when he was driving through the alley collecting junk discarded by others.
At trial, Sergeant Nottoli provided testimony similar to that during defendant’s motion to quash arrest and suppress evidence. Sergeant Nottoli also testified that after he placed defendant into custody and advised him of his Miranda rights, defendant stated that he bought the items in his truck from “Murray’s.” Sergeant Nottoli testified that he did not believe defendant because the ladder and lawn trimmer had “Menard’s” stickers on them. After other police officers arrived, Sergeant Nottoli accompanied them to look at garages in the area. Sergeant Nottoli testified that the gate and side garage door were open at 12805 South Saginaw Avenue. Sergeant Nottoli testified that he spoke to the resident of the house at that address, Frank Farro. Farro identified a sports chair, extension ladder and lawn mower in the back of defendant’s truck as belonging to him.
Frank Farro testified that he lived at 128th Street and Saginaw Avenue. At about 1:30 a.m., on June 30, 2006, Farro was awakened by police officers knocking on his door. Farro told the police officers that he did not leave his gate or side door to his garage open. Farro went out to his garage with the officers and noticed that the gate and side garage door were open. Farro also observed that his lawnmower was no longer in his garage. After looking in defendant’s pickup truck, Farro identified his lawnmower, an extension ladder, and a sports chair. Farro testified that these items had been in his garage, that he did not know defendant, and that he had not given defendant permission to enter his garage or take any of the items.
Detective Daniel O’Connor testified that he was on patrol with his partner on the morning in question and responded to Sergeant Nottoli’s call for assistance. Officer O’Connor and his partner arrived at the scene, took defendant into custody, and transported defendant to the police station. Detective O’Connor testified that he advised defendant of his Miranda rights as defendant was processed for the burglary charge. Defendant then stated, “The door was open. I didn’t break in.”
After the State rested its case, defendant indicated that he did not want to testify. The circuit court admonished defendant about his right to chose whether or not to testify, and despite defense counsel’s prior indication that defendant’s “side of the story” was that he had merely found the items in the alley, defendant stated that he was choosing not to testify.
Based on this evidence, the jury found defendant guilty of burglary and defendant was subsequently sentenced to seven years in prison. Defendant now appeals.
II. ANALYSIS
A. Defendant’s Motion to Quash Arrest and Suppress Evidence
Defendant argues that the circuit court erred in denying his motion to quash arrest and suppress evidence where the police officer who stopped defendant’s Vehicle lacked reasonable suspicion to believe that defendant was engaged in unlawful activity.
Review of a trial court’s ruling on a motion to quash arrest and suppress evidence presents mixed questions of fact and law. People v. Bennett,
Defendant argues that the police officer lacked reasonable suspicion to justify an initial stop of defendant’s vehicle, pursuant to Terry v. Ohio,
In this case, Officer Nottoli testified that he decided to initiate a stop of defendant’s vehicle because the condition of the ladder protruding from the back of the pickup truck created an unsafe condition and violated a city ordinance. Sergeant Nottoli also testified that he decided to stop defendant’s vehicle because the sergeant lived in the area, he did not recognize defendant’s truck, and there had been a rash of garage burglaries in that neighborhood during that time, and defendant’s vehicle exited from an alley at night and contained items usually kept in garages.
Defendant asserts that Sergeant Nottoli’s stop was not justified where defendant was not in violation of section 9—72—060(e) of the Chicago Municipal Code (Chicago Municipal Code §9—72—060(e) (amended October 7, 1998)) for which he was subsequently cited. Defendant maintains that the load protruding from the rear of his vehicle did not violate section 9—72—060(e), which provides that the load upon the front of a vehicle “shall not extend more than three feet beyond the front wheels of such vehicle or the front bumper of such vehicle” Chicago Municipal Code §9—72—060(e) (amended October 7, 1998). However, defendant did not present this argument before the circuit court, and arguments made for the first time on appeal are waived. People v. Brooks,
Moreover, we find that the facts Sergeant Nottoli testified to provided the minimal articulable suspicion required to stop defendant’s vehicle. Defendant argues that his presence in an area of suspected criminal activity was not enough to support a reasonable suspicion to justify a Terry stop. However, defendant’s presence in the area of recent garage burglaries was not the only factor considered by Sergeant Nottoli. Sergeant Nottoli explained that there had been a rash of garage burglaries in the neighborhood, that he lived in the area and did not recognize defendant’s vehicle, and that defendant’s vehicle was exiting an alley late at night containing a number of items usually kept in garages. We therefore conclude that the investigatory stop was proper and find no error in the circuit court’s denial of defendant’s motion to quash arrest and suppress evidence.
B. Compliance With Supreme Court Rule 431(b)
Defendant contends that the trial judge violated Rule 431(b) by failing to ask the potential jurors whether they accepted all of the principles set forth in People v. Zehr,
1. Standard of Review
This issue concerns compliance with a supreme court rule, and, therefore, this court’s review is de novo. People v. Lloyd,
2. The Plain-Error Doctrine
Defendant failed to object at trial to the error he now claims and failed to raise the claim of error in his motion for a new trial. Therefore, the alleged error has not been properly preserved for this court’s review. People v. Lovejoy,
In the seminal case of People v. Thurow,
“Though plain-error analysis normally requires the same kind of inquiry as does harmless-error review, there is an ‘important difference’ between the two. United States v. Olano,507 U.S. 725 , 734,123 L. Ed. 2d 508 , 520,113 S. Ct. 1770 , 1778 (1993). In a harmless-error analysis, which applies where, as in the case at bar, the defendant has made a timely objection, it is the State that ‘bears the burden of persuasion with respect to prejudice.’ Olano,507 U.S. at 734 ,123 L. Ed. 2d at 520 ,113 S. Ct. at 1778 . In other words, the State must prove beyond a reasonable doubt that the jury verdict would have been the same absent the error. See Chapman v. California,386 U.S. 18 , 24,17 L. Ed. 2d 705 , 710-11,87 S. Ct. 824 , 828 (1967); Neder v. United States,527 U.S. 1 , 19,144 L. Ed. 2d 35 , 53,119 S. Ct. 1827 , 1838 (1999). The situation is different under a plain-error analysis, which applies where the defendant has failed to make a timely objection. There, ‘[i]t is the defendant rather than the [State] who bears the burden of persuasion with respect to prejudice.’ Olano,507 U.S. at 734 ,123 L. Ed. 2d at 520 ,113 S. Ct. at 1778 . ‘In most cases, a court of appeals cannot correct the forfeited error unless the defendant shows that the error was prejudicial.’ Olano,507 U.S. at 734 ,123 L. Ed. 2d at 520 ,113 S. Ct. at 1778 .” Thurow,203 Ill. 2d at 363 .
When assertions of instructional error are raised, our supreme court has consistently applied the principles of Supreme Court Rules 451(c) and 615(a). Rule 451(c) is applicable when the defendant fails to object to the alleged instructional error at trial. 210 Ill. 2d R. 451(c). Rule 615(a) is applicable when the defendant objected at trial but failed to preserve the instructional issue by including it in a posttrial motion. 134 Ill. 2d R. 615(a). “[P]lain-error analyses under Supreme Court Rules 451(c) and 615(a) are construed identically.” People v. Durr,
Supreme Court Rule 451(c) provides that “substantial defects are not waived by failure to make timely objections thereto if the interests of justice require.” 210 Ill. 2d R. 451(c). Supreme Court Rule 615(a) provides that “[pjlain errors or defects affecting substantial rights may be noticed although they were not brought to the attention of the trial court.” 134 Ill. 2d R. 615(a).
In People v. Herron,
Defendant argues that under the second prong, the trial court’s failure to comply with Rule 431(b) denied him the basic guarantees for obtaining a fair and impartial jury such that his conviction must be automatically reversed. Before considering whether the plain-error exception applies, we must first determine whether any error occurred in this case. Lovejoy,
3. The Trial Court’s Voir Dire
The trial judge commenced voir dire by addressing the entire venire. The trial judge told the venire:
“[A]ll persons charged with a crime are presumed to be innocent and [it] is the burden of the State who has brought the charges to prove the defendant guilty beyond a reasonable doubt. What this means is the defendant has no obligation to testify in his own behalf or to call any witnesses in his defense. He may simply sit here and rely upon what he and his attorneys perceive to be the inability of the State to present sufficient evidence to meet their burden of proof of guilt beyond a reasonable doubt. Should that happen, you will have to decide this case on a basis of the evidence presented by the prosecution. The fact that the defendant chooses not to testify must not be considered by you in anyway in arriving at your verdict. ***
The bottom line, however, is this: There is no burden upon the defendant to prove his innocence. It is the State’s burden to prove him guilty beyond a reasonable doubt.”
A short time later, the trial judge questioned the potential jurors as follows:
“I spoke about the fact that the defendant is presumed to be innocent of the charges against him and that this presumption stays with the defendant through the trial and is not overcome unless and until the jury determine [s] the defendant is guilty beyond a reasonable doubt. Is there anyone among you who disagrees with that fundamental principle of our law. If so, please, raise your hand. The record should reflect that no hands are raised.
I also spoke about the fact that the State bears the burden of proving the defendant guilty beyond a reasonable doubt. Is there anyone among you who disagrees with that fundamental principle of law. If so, please, raise your hand. The record should reflect that there are no hands raised.
Because the defendant is presumed to be innocent, he does not have to present any evidence at all in this case. He can simply rely on the presumption of innocence. Is there anyone among you who disagrees with that fundamental principle of law. If so, please, raise your hand. The record [should] reflect that no hands are raised.”
Before the trial judge commenced individual questioning of the potential jurors, defense counsel asked the judge to “question each juror individually about the defendant not testifying and burden of proof.” The trial judge responded, “I will pretty much ask the same questions that I just asked. I can do that. That’s not a problem.”
During individual questioning of the potential jurors, the trial judge asked the jurors questions similar to those above, pertaining to the presumption of innocence, the State’s burden of proof, and the proposition that defendant need not prove his innocence.
4. Did the Voir Dire Procedure Comply With Rule 431(b)?
In Zehr, our supreme court held that “essential to the qualification of jurors in a criminal case is that they know that a defendant is presumed innocent, that he is not required to offer any evidence in his own behalf, that he must be proved guilty beyond a reasonable doubt, and that his failure to testify in his own behalf cannot be held against him.” Zehr,
In 2007, Rule 431(b) was amended to impose “an affirmative sua sponte duty on the trial courts to ask potential jurors in each and every case whether they understand and accept the Zehr principles.” People v. Graham,
“The court shall ask each potential juror, individually or in a group, whether that juror understands and accepts the following principles: (1) that the defendant is presumed innocent of the charge(s) against him or her; (2) that before a defendant can be convicted the State must prove the defendant guilty beyond a reasonable doubt; (3) that the defendant is not required to offer any evidence on his or her own behalf; and (4) that the defendant’s failure to testify cannot be held against him or her; however, no inquiry of a prospective juror shall be made into the defendant’s failure to testify when the defendant objects.
The court’s method of inquiry shall provide each juror an opportunity to respond to specific questions concerning the principles set out in this section.” Ill. S. Ct. R. 431(b) (eff. May 1, 2007).
Defendant’s trial commenced on August 22, 2007, which was several months after the effective date of the 2007 amendments. Therefore, the 2007 amended version of Rule 431(b) governs this case.
Rule 431(b) requires the trial court to address all four Zehr principles in a manner that allows each venireperson an opportunity to respond whether he or she understands and accepts those principles. The only exception to this requirement applies to the principle that the defendant’s failure to testify cannot be held against him when the defendant objects to inquiry being made into that principle. See Ill. S. Ct. R. 431(b)(4) (eff. May 1, 2007) (no inquiry “shall be made into the defendant’s failure to testify when the defendant objects”).
In this case, the trial court questioned each venireperson as to whether he or she understood and accepted the first three Zehr principles in a manner that allowed each venireperson an opportunity to respond. However, the court failed to question and allow each venireperson to respond to whether he or she understood and accepted the fourth Zehr principle, i.e., that the defendant’s failure to testify could not be held against him (hereinafter referred to as the fourth Zehr principle). The record does not reflect that defense counsel objected to inquiry being made into the fourth Zehr principle, such that the trial court would not be required to question each venireperson with respect to that principle. Rather, the record shows that defense counsel affirmatively requested that the trial court “question each juror individually about the defendant not testifying.” Therefore, error clearly occurred here because the trial court did not question each venireperson as to whether he or she understood and accepted the fourth Zehr principle. While we note that the trial court began the voir dire with a general statement of law which included all four of the Zehr principles, the court failed to ascertain whether all of the potential jurors understood and accepted the fourth Zehr principle to fully comply with Rule 431(b). See 177 Ill. 2d R. 431(b), Committee Comments, at lxxix (“The new language is intended to ensure compliance with the requirements of People v. Zehr,
5. Does the Error Require Automatic Reversal?
Defendant did not object to the error in the trial court. However, defendant contends that under the second prong of plain error, the trial court’s failure to comply with Rule 431 deprived him of a fair trial such that automatic reversal is required and the error is not subject to harmless-error analysis. The State maintains that the failure to fully comply with Rule 431 was not a “structural error” requiring automatic reversal but, rather, that the error was harmless.
As previously mentioned, in discussing the second prong of plain-error analysis, our supreme court in Herron cited its prior decision in People v. Hopp,
“Without referring to the record to explain how defendant’s trial may have been rendered unfair by the omission of the instruction defining first degree murder, the appellate court held that the omission was ‘a substantial and prejudicial defect.’ [Citation.] However, we have never held any such omission to be plain error without considering the effect that the omission had on defendant’s trial. On the contrary, the result in [People v.] Underwood, [72 Ill. 2d 124 (1978)], demonstrates that omission of the definition of a term used to instruct the jury on the essential issue in the case is not necessarily plain error. See Underwood,72 Ill. 2d at 130-31 . Furthermore, even an incorrect instruction on an element of the offense is not necessarily reversible error. People v. Jones,81 Ill. 2d 1 , 10 (1979).” Hopp,209 Ill. 2d at 10 .
Our supreme court concluded:
“[A]n omitted jury instruction constitutes plain error only when the omission creates a serious risk that the jurors incorrectly convicted the defendant because they did not understand the applicable law, so as to severely threaten the fairness of the trial. This rule does not require that defendant prove beyond doubt that her trial was unfair because the omitted instruction misled the jury to convict her. It does require that she show that the error caused a severe threat to the fairness of her trial.” (Emphasis in original.) Hopp,209 Ill. 2d at 12 .
In Herron,
“We noted that the Court in Cotton assumed the defendant’s substantial rights were affected by the Apprendi violation, but held that error did not seriously affect the fairness, integrity, or public reputation of judicial proceedings because the government presented overwhelming evidence of guilt. See Crespo,203 Ill. 2d at 348 . We reached ‘the same conclusion by the same reasoning.’ Crespo,203 Ill. 2d at 348 . Because the State presented overwhelming evidence that the murder was brutal and heinous, ‘there [was] no basis for concluding that the Apprendi violation “seriously affected the fairness, integrity or public reputation of judicial proceedings.” ’ Crespo,203 Ill. 2d at 348 .” Herron,215 Ill. 2d at 182-83 .
Our supreme court concluded, “We simply referred to the plain-error standard in Cotton and [United States v.] Olano, [
In People v. Davis,
Our supreme court disagreed with the defendant and found that any error in instructing the jury was harmless. Davis,
In Nitz, our supreme court considered the second prong of plain error under Herron. Nitz,
“Herron’s two prongs establish two categories of plain error: prejudicial errors, which may have affected the outcome in a closely balanced case, and presumptively prejudicial errors, which must be remedied although they may not have affected the outcome. Herron,215 Ill. 2d at 185 . Our analysis in Crespo and Kaczmarek indicates that the Apprendi violation defendant complains of in this case—a sentence based on a judge-made finding that a murder was brutal or heinous—is not a presumptively prejudicial error that must be remedied regardless of its effect on the trial’s outcome. In each of those cases, we required the defendants to prove that they were prejudiced by the error. See Crespo,203 Ill. 2d at 348 ; [People v.] Kaczmarek, 207 Ill. 2d [288, 302 (2003)]. Thus, the second prong of the Herron plain-error analysis is inapplicable to defendant’s case.” Nitz,219 Ill. 2d at 415-16 .
In Davis, our supreme court’s plain-error analysis referenced the “structural defect” standard of federal error analysis. Under federal criminal jurisprudence, not all constitutional errors require reversal. Pulido,
In Puckett v. United States,
“This limitation on appellate-court authority serves to induce the timely raising of claims and objections, which gives the district court the opportunity to consider and resolve them. That court is ordinarily in the best position to determine the relevant facts and adjudicate the dispute. In the case of an actual or invited procedural error, the district court can often correct or avoid the mistake so that it cannot possibly affect the ultimate outcome. And of course the contemporaneous-objection rule prevents a litigant from ‘ “sandbagging” ’ the court—remaining silent about his objection and belatedly raising the error only if the case does not conclude in his favor. Cf. Wainwright v. Sykes,433 U.S. 72 , 89,97 S. Ct. 2497 ,53 L. Ed. 2d 594 (1977); see also United States v. Vonn,535 U.S. 55 , 72,122 S. Ct. 1043 ,152 L. Ed. 2d 90 (2002).” Puckett,556 U.S. at 134 ,173 L. Ed. 2d at 274 ,129 S. Ct. at 1428 .
It must be remembered that in Herron,
In People v. Glasper,
Our supreme court in Glasper explained:
“The core issue presented to this court in Rivera II is the same as that presented here: whether the trial court’s error, based on a violation of supreme court rule, denied the defendant his constitutional right to a fair and impartial jury such that the error was presumptively prejudicial and required automatic reversal. The State’s response is also the same: any error made hy the trial court would be subject to harmless-error analysis and does not warrant automatic reversal. In Rivera II, we agreed with the State, and we reach the same conclusion in this case.” Glasper,234 Ill. 2d at 194 .
Our supreme court further explained that the defendant in Glasper, like the defendant in Rivera II, claimed that his sixth amendment right to a fair and impartial jury was violated when the trial court refused to question the venire in accordance with Rule 431(b)(4) and its holding in Zehr. However, the court noted that, as intimated by Rivera II, the defendant’s constitutional rights were not compromised by the trial court’s Rule 431(b)(4) violation. Our supreme court explained: “Defendants do not have a right to Rule 431(b)(4) questioning under either the United States or the Illinois Constitution. A defendant’s ‘right’ to such questioning in Illinois courts is the product of this court’s inherent power to make rules regulating the conduct of the circuit courts. [Citation.] While the rule is designed to help ensure that defendants are tried before a fair jury, we cannot say that Rule 431(b)(4) questioning is indispensable to a fair trial.” Glasper,
Our supreme court also revisited its decision in People v. Zehr,
In Glasper, our supreme court further reasoned that automatic reversal is not even required in cases where the prosecution makes an erroneous reference to a defendant’s decision to exercise his constitutional right to remain silent in violation of Doyle v. Ohio,
Accordingly, our supreme court concluded: “[T]he trial court’s error in this case does not rise to the level of structural error. We recognize that we are free to determine that the failure to question the venire in accordance with Zehr and Rule 431(b)(4) is an error so severe that reversal is required, regardless of whether the error would be deemed structural under federal law.” Glasper,
Our supreme court also reviewed its decision in Smith, in which the court declined to conduct a harmless-error review because the issue involved a basic fundamental protection guaranteed by the sixth amendment to the federal constitution, namely, the right to have a jury, rather than a judge, determine an accused’s guilt. People v. Smith,
In Glasper, our supreme court explained that its holding was “limited to the version of Rule 431(b)(4) that was in effect at the time of the instant trial, and would not necessarily apply to subsequent versions of the rule. We also make clear that we are not holding that a Rule 431(b)(4) violation could never result in reversible error.” Glasper,
In Glasper, our supreme court also considered the defendant’s argument that the court cannot assess whether the jury was biased because the Rule 431(b)(4) question was not asked. Our supreme court noted that it rejected an identical claim by the defendant in Rivera II that the error could not be “ ‘qualitatively assessed for harm.’ ” Rivera II,
Applying the same reasoning to the facts in Glasper, our supreme court found that “no rational juror would have acquitted defendant of the offenses for which he was charged” and “[t]he evidence of defendant’s guilt is overwhelming.” Glasper,
Applying our supreme court’s analysis in Glasper to the instant case, we find that the trial court’s failure to comply with Rule 431 does not mandate automatic reversal. We note that there is no quantitative or qualitative difference between the trial court failing to admonish jurors when requested to do so, as in Glasper, and when the trial court fails to admonish jurors under the amended rule, as in the present case. The error alleged herein is simply not included in the limited class of cases that the Supreme Court has recognized as “structural” and thus subject to automatic reversal. See Glasper,
Recently, in People v. Garstecki,
Our supreme court determined that the trial court complied with the rule where it inquired into the questions that the defendant’s attorney wanted to ask and then explained that these were areas that the court was already going to cover in its own questioning. The trial court also asked if the case would involve complex factual or legal issues and the defendant’s attorney stated that it would not. Following its own voir dire, the trial court then allowed defendant’s attorney to pick out any prospective jurors he wished to question further, allowing defendant’s attorney to ask follow-up questions to any jurors whose answers to the trial court’s questions indicated a potential for bias. Garstecki,
Our supreme court further held, “ ‘[T]he trial court is to exercise its discretion in favor of permitting direct inquiry of jurors by attorneys.’ [Citation.] We are not prepared to say, however, that it is impossible to conceive of a case in which the court could determine, based on the nature of the charge, the complexity of the case, and the length of the court’s examination, that no attorney questioning would be necessary.” Garstecki,
Applying our supreme court’s analyses to the instant case, we decline to find that the trial court’s failure to comply with Rule 431(b) mandates automatic reversal under the second prong of the plain-error doctrine. Our supreme court’s recent determinations continue the unbroken line of decisions holding that in applying the plain-error doctrine under either prong to an alleged instructional error, an analysis of the facts and circumstances of each particular case is required. See Thurow,
As our supreme court explained in Durr:
“We have repeatedly held that ‘we can review any question not otherwise properly preserved if we believe that plain error affecting a substantial right may have occurred.’ (Emphasis added.) People v. Shaw,186 Ill. 2d 301 , 326 (1998). We have reviewed alleged instructional errors under the plain-error doctrine, as affecting substantial rights, even though we have ultimately concluded that ‘any instructional error was [not] so substantial that it reflected on the fairness of the trial.’ People v. Williams,181 Ill. 2d 297 , 317-20 (1998). Indeed, ‘to determine whether a purported error is “plain” requires a substantive look at it. But if, in the end, the error is found not to rise to the level of a plain error ***, the procedural default must be honored.’ Keene,169 Ill. 2d at 17 .” Durr,215 Ill. 2d at 298 .
We note that after our supreme court’s decision in Glasper, other panels of the First District Appellate Court and the Second District Appellate Court have considered the effect of a trial court’s failure to fully comply with the amended Rule 431(b) both in the contexts of plain error and harmless error.
1
In People v. Graham,
Following the Graham court’s reasoning, a different panel of this court in People v. Wilmington,
In People v. Arredondo,
Finally, in People v. Blair,
These recent cases therefore held that while harmless error applied in Glasper, it was inapplicable under the 2007 version of Rule 431(b). The appellate courts in these cases then found the second type of plain error based on the fact that the trial court’s failure to fully comply with amended Rule 431(b) denied the defendants a “substantial right.” Based on their findings of the second type of plain error, the appellate courts declined to consider the closeness of the evidence or prejudice to the defendants.
As previously discussed in this opinion, Supreme Court Rule 615(a) does provide that “[pjlain errors or defects affecting substantial rights may be noticed although they were not brought to the attention of the trial court.” 134 Ill. 2d R. 615(a). As the defendant in the instant case failed to object to the alleged instructional error at trial, Rule 451(c) is applicable rather than Rule 615(a). Rule 451(c) provides, as previously explained, that “substantial defects are not waived by failure to make timely objections thereto if the interests of justice require.” 210 Ill. 2d R. 451(c). However, as plain-error analyses under Supreme Court Rules 451(c) and 615(a) are construed identically (Durr,
In Herron, our supreme court pointed out that in its previous holding in Crespo, the court had “assumed that defendant’s substantial rights were affected by the Apprendi violation,” but held that, because the State presented overwhelming evidence that the murder was brutal and heinous, “ ‘there [was] no basis for concluding that the Apprendi violation “seriously affected the fairness, integrity or public reputation of judicial proceedings.” ’ ” Herron,
Thus, as explained in Herron and Crespo, the fact that an instructional error has affected the “substantial rights” of a defendant is not a sufficient basis in itself for a court of review to reverse a conviction. Similarly, in Davis, our supreme court held that “even if we were to find that a constitutional due process error occurred in instructing the jury on felony murder or that the one-good-count presumption is questionable, it would still not require automatic reversal of defendant’s murder conviction.” Davis,
We further note that in Nitz, our supreme court held that “a sentence based on a judge-made finding that a murder was brutal or heinous—is not a presumptively prejudicial error that must be remedied regardless of its effect on the trial’s outcome. In [Crespo and Kaczmarek], we required the defendants to prove that they were prejudiced by the error. See Crespo,
It appears that the Graham-Wilmington line of cases holds that whenever an instructional error affects a “substantial right,” the error is presumptively prejudicial and is, therefore, subject to automatic reversal. This holding is erroneous. The holdings in Herron, Crespo, Nitz, Durr, and Davis make it clear that a reviewing court may consider the applicability of the second prong of plain-error analysis and then decide not to reverse a case. In applying a plain-error analysis, our supreme court in Nitz held, “To execute either [a harmless error or a plain error] analysis, a reviewing court must examine the evidence adduced at trial and determine objectively whether a rational jury would have made the finding in question.” Nitz,
In Herron, our supreme court explained:
“We reiterate: the plain-error doctrine bypasses normal forfeiture principles and allows a reviewing court to consider unpreserved error when either (1) the evidence is close, regardless of the seriousness of the error, or (2) the error is serious, regardless of the closeness of the evidence. In the first instance, the defendant must prove ‘prejudicial error.’ That is, the defendant must show both that there was plain error and that the evidence was so closely balanced that the error alone severely threatened to tip the scales of justice against him. The State, of course, can respond by arguing that the evidence was not closely balanced, but rather strongly weighted against the defendant. In the second instance, the defendant must prove there was plain error and that the error was so serious that it affected the fairness of the defendant’s trial and challenged the integrity of the judicial process. Keene,169 Ill. 2d at 17 . Prejudice to the defendant is presumed because of the importance of the right involved, ‘regardless of the strength of the evidence.’ (Emphasis in original.) Blue,189 Ill. 2d at 138 . In both instances, the burden of persuasion remains with the defendant. See Thurow,203 Ill. 2d at 363 ; see also Hopp,209 Ill. 2d at 12 (the plain-error rule requires the defendant to ‘show that the error caused a severe threat to the fairness’ of the trial (emphasis in original)).” Herron,215 Ill. 2d at 186-87 .
The holding in Glasper also compels us to reject defendant’s argument that Rule 431(b)(4) errors are automatically reversible. “Requiring per se reversal for a Rule 431(b)(4) violation *** would be contrary to principles espoused by this court in other, analogous cases decided after Zehr.” Glasper,
In their most recent decision addressing Rule 431 error, People v. Garstecki, the court held: “ ‘[T]he trial court is to exercise its discretion in favor of permitting direct inquiry of jurors by attorneys.’ [Citation.] We are not prepared to say, however, that it is impossible to conceive of a case in which the court could determine, based on the nature of the charge, the complexity of the case, and the length of the court’s examination, that no attorney questioning would be necessary.” Garstecki,
The Graham-Wilmington line of cases relies on this language in Glasper to require per se reversal for Rule 431(b)(4) violations. It is clear to this court that our supreme court, in Glasper, used the phrase “would not necessarily apply” to the amended version of Rule 431 to ensure that other courts applying its holding should address the differences in the versions of the rule and how the difference impacted on the facts of the particular case. If our supreme court had wished to simply say that its holding would not apply to the amended rule, it would have said so. Again, we see no quantitative or qualitative difference between a trial court’s refusal to ask the required questions under the version of Rule 431 in effect prior to the amendment of 2007 and a trial court’s failure to ask the same questions as required by Rule 431 after the amended rule became effective. Under both versions of the rule, the trial court was required to ask the venire the identical questions. Indeed, in Glasper the trial court refused to ask the required questions while in Graham, Wilmington, Arredondo, Madrid, Blair and the instant case, the trial court inadvertently failed to ask the required questions, and defense counsel failed to bring this failure to the court’s attention.
Glasper applied a harmless-error analysis and affirmed the defendant’s conviction under the first factual scenario. The Graham-Wilmington line of cases applied a plain-error analysis to the failure of the trial court to ask the questions required by Rule 431 and reversed the defendant’s convictions. As explained in Thurow, “plain-error analysis normally requires the same kind of inquiry as does harmless-error review,” with the “important difference” between the two being that the State has the burden of persuasion in a harmless-error analysis and the defendant has the burden of persuasion in a plain-error analysis. Thurow,
A rule requiring per se reversal is particularly inappropriate for violations of Rule 431. The trial court may, as in the instant case, fail to ask one of the Zehr questions, or may fail to ask all four, as in Blair. The trial court may ask some jurors all of the Zehr questions but fail to ask all of the jurors. If the defendant testifies, how is he prejudiced by the trial court’s failure to instruct the jury that they should not hold his failure to testify against him? The Graham-Wilmington line of cases would appear to require automatic reversal in all of these factual scenarios.
In Glasper, our supreme court specifically rejected the State’s argument that Rule 431(b)(4) errors are not reversible because they do not constitute “structural” error under federal law. Glasper,
In applying the plain-error doctrine as explained in Herron, to the facts in this case, the circuit court’s failure to ask each venireperson whether he or she understood and accepted the fourth Zehr principle in Rule 431(b)(4) constituted plain error for the purpose of determining whether either prong was satisfied so as to bypass normal forfeiture principles. However, defendant cannot seriously argue that “the evidence was so closely balanced that the error alone severely threatened to tip the scales of justice against him.” Herron,
As to the second prong, as previously pointed out, the error in the instant case was not quantitatively or qualitatively different from the error found to be harmless in Glasper. Therefore, defendant has failed to prove that “ ‘the error caused a severe threat to the fairness’ ” of the trial. (Emphasis in original.) Herron,
Defendant argues that his trial counsel’s opening argument made the failure of the circuit court to ask members of the venire whether they understood and accepted the principle that if defendant did not testify, the jurors could not hold this against him more prejudicial than the failure would have been in the absence of trial counsel’s argument. Defendant also uses this argument to support his claim that trial counsel was ineffective in this regard.
We note that in determining whether a defendant was denied the effective assistance of counsel, we apply the familiar two-prong test set forth in Strickland v. Washington,
Defendant maintains that defense counsel “promised” the jury that defendant would testify. However, the record does not support this contention. In her opening argument, defense counsel argued that there were no fingerprints or DNA collected at the scene of the victim’s garage. Further, defense counsel argued that “no one saw [defendant] enter or leave that garage.” Defense counsel continued:
“The other part of the story that the State isn’t aware of is [defendant’s] side of the story. He was driving that night around the area, doing what most of us might do, collecting what we might call junk. He was driving down alleys looking for what people place outside of their garage, for others to take, because they don’t want it any more.
But that night, [defendant] didn’t find an old dresser with a drawer hanging off it to fix up. That night he found a lawn mower and a ladder. He threw it in his truck.”
During rebuttal argument, the State commented on defense counsel’s opening argument. The State argued as follows:
“Now during opening statement defense counsel said you know that this guy here, he was junking in the alley. That’s why he got this stuff. He was driving around looking for things. I believe they actually said he found the lawn mower and that he found the ladder and put it in his truck, in the alley. Well, where is the evidence of that. There is absolutely no evidence of that.”
Contrary to defendant’s assertion, the record does not show that his trial counsel promised that defendant would testify or that the State was allowed to comment on his decision not to testify. The State’s rebuttal argument merely responded to defense counsel’s alternative explanation that defendant was collecting junk in the alley.
The records also shows that after the State rested its case, the circuit court admonished defendant regarding his right to testify. The circuit court asked defendant whether he understood that the right to testify was a right that only he could waive and defendant indicated that he understood. Defendant also indicated that he considered the advice of his attorney and made the decision not to testify freely and voluntarily. The trial record therefore reveals that it was defendant who decided not to testify after the State rested its case. Defendant “cannot rightly attribute to counsel any damage caused by the unfulfilled opening statement concerning defendant’s expected testimony.” People v. Topps,
III. CONCLUSION
For the above reasons, we affirm defendant’s conviction and sentence.
Affirmed.
MURPHY, PJ., and STEELE, J., concur.
Notes
While this case was pending before this court, the parties cited decisions by different districts of the Appellate Court of Illinois, which predated Glasper. Our supreme court recently vacated and directed the appellate court to reconsider its judgment, in light of Glasper, in the following cases: People v. Stump,
