Opinion
Defendant Richard Dean Turner appeals from his sentence of death under the 1978 death penalty law imposed on retrial after this court reversed the original judgment of death in
People
v.
Turner
(1984)
In
Turner
I, a jury had convicted defendant of the first degree murders of Merle and Freda Claxton (Pen. Code, § 187),
1
found true the “[sjpecial circumstance allegations that the murders were committed during [the] commission of [a] burglary (§ 190.2, subd. (a)(17)) and that [defendant] was
*411
convicted of more than one offense of murder (§ 190.2, subd. (a)(3)),” and set the penalty at death.
(Turner I, supra,
Thereafter, defendant entered into a plea agreement over the objection of the prosecution. Under the agreement, defendant admitted that he intended to kill Merle and Freda Claxton and, in return, the trial court sentenced defendant to life without the possibility of parole. The People filed a petition for writ of mandate, seeking to vacate the sentence. The Court of Appeal granted the petition and issued a peremptory writ of mandate directing the trial court to vacate its order sentencing defendant to fife without the possibility of parole and ordering the court to set the matter for trial. We denied defendant’s petition for review.
On retrial, the prosecution elected to proceed solely on the special circumstance allegation that defendant was convicted of more than one offense of murder with the specific intent to kill one or both of the victims. The jury found true the multiple-murder special-circumstance allegation. Following the penalty phase, it returned a verdict of fife without the possibility of parole as to the first degree murder of Merle Claxton and a verdict of death as to the first degree murder of Freda Claxton. The trial court then denied defendant’s motion to modify the sentence. (§ 190.4, subd. (e).) Defendant’s appeal is automatic, and we affirm his sentence of death.
I. Facts
A. Special Circumstance Phase
The evidence on the retrial of the multiple-murder special-circumstance allegation largely paralleled the evidence introduced at defendant’s first trial and summarized in Turner I. Defendant and William Souza were roommates at a halfway house in Stockton. After being asked to leave the halfway house, defendant and Souza traveled to the Victorville/Apple Valley area to stay with defendant’s father. Upon arriving, defendant and Souza separated for a short time. During the separation, defendant stole some guns from his father. As a result, defendant and Souza could not stay with defendant’s father and stayed, instead, in an abandoned shack.
After a few days, defendant and Souza went to some hot springs in the Deep Creek area and swam and partied with some other people. While at the *412 hot springs, defendant and Souza drank multiple beers and smoked marijuana and “shermans”—cigarettes soaked in phencyclidine (PCP). They left the hot springs around 7:00 p.m. An intoxicated defendant drove Souza on a motorcycle but the motorcycle broke down. After defendant was unable to fix the motorcycle, defendant and Souza abandoned it and walked back to the shack. During the walk, defendant and Souza decided to burglarize a house for food. They eventually settled on the Claxtons’ house because it was isolated and because it looked as if nobody was home.
As they approached the Claxtons’ house, Souza told defendant to hide behind a bush. Defendant had a .22 rifle with him. Souza knocked on the door. When the lights came on and a dog barked, Souza became frightened and ran. He ran past defendant who looked “crazy,” with his eyes bulging. Souza then heard three gunshots and returned to the house just in time to see defendant enter the house through a broken window. When Souza entered the house, the Claxtons’ dog attacked him. He called for defendant’s help, and defendant shot the dog. Souza then noticed the bodies of the Claxtons.
Defendant told Souza to “get the stuff [and] get the hell out of here.” Souza complied because defendant pointed a gun at him and looked like he was “tripping” on PCP. Defendant and Souza began ransacking the house for items to sell and stuffed these items into the Claxtons’ two cars.
Defendant and Souza each drove a car filled with items from the Claxtons’ house to an isolated area by an abandoned chicken ranch. They left the car radios on as they tried to hide the items in the surrounding bushes. A nearby resident, however, saw defendant and Souza, and called the police. When defendant and Souza saw a police car approaching, they fled. The police discovered the two abandoned cars with stolen property in, on, and around the cars. The police also discovered four firearms, including the murder weapon.
After determining that the cars belonged to the Claxtons, the police attempted to locate them. The police eventually discovered the bodies of Merle and Freda Claxton and their dog at the Claxtons’ house. An autopsy revealed that Merle Claxton had suffered two gunshot wounds—one in the chest and one in the face. The gunshot wound to the chest was probably the fatal wound. He also had abrasions and lacerations on his cheek and chest. The autopsy also revealed that Freda Claxton had died from a single gunshot wound to the head.
The police arrested defendant and Souza the next day by tracking their footprints from the location of the Claxtons’ abandoned cars. At the time of his arrest, defendant was wearing Merle Claxton’s hat.
*413 At trial, a prosecution expert testified on the effects of PCP. He opined that it was highly unlikely that defendant and Souza could have committed the alleged acts, including the murders, burglaries, and escape attempt, if they were still under the influence of PCP.
In his defense, defendant presented only one witness—Dr. Rex Conrad, a psychologist. Dr. Comad testified that defendant suffered from “schizophrenic reaction, paranoid type, chronic.” During the direct examination, he also testified that defendant had an “impaired intent to kill.” Dr. Comad stated, “I think that he intended to kill these people,” but believed that defendant “could not appreciate the gravity of the act.” Dr. Comad further testified that defendant told him that he killed the Claxtons because they were potential witnesses and he did not want to go back to prison.
B. Penalty Phase
1. Prosecution
Johnny Faye Lees testified that in 1976 defendant got in her car and pointed a gun at her. According to Lees, defendant told her to drive but she refused. Defendant then took her money. Although defendant expressed some concern that she might identify him, he left without touching her.
Dora Liberty testified that in 1976 defendant rang her doorbell at 6:00 a.m. When she opened the door, defendant pointed a gun at her. According to Liberty, she slammed the door shut and called the police, and defendant left after banging on the door.
Kenneth Wayne Knobbs testified that he shared a jail cell with defendant and several other inmates in 1979. After another inmate forced Knobbs to orally copulate him, defendant forced Knobbs to have sex with him. Defendant first tried to have anal intercourse with Knobbs and later forced Knobbs to orally copulate him.
2. Defense
Defendant’s mother, Bonnie Alice Ridgeway, testified that defendant was the third youngest of eight children, and that the family was poor. According to his mother, defendant had a skin problem, and everybody shunned him, including his brothers and sisters. She further testified that defendant’s father would beat her in defendant’s presence and used a belt or horsewhip to discipline defendant and the other children. She also acknowledged that she used a belt to discipline defendant. On one occasion, defendant’s father placed defendant’s brother, Jim, on a hot stove and burned him badly. *414 Defendant’s mother divorced defendant’s father when she learned that he had sexually molested their oldest daughter and that one of the children had seen him trying to have sex with the dog. When she had some financial problems, defendant, along with some of his siblings, went to live with their father.
Kathy, defendant’s sister, testified that she and defendant were the “black sheep” of the family. According to Kathy, defendant had a skin problem and, as a result, had few friends. At the age of three, she was accidentally shot in the head by her brother Clyde in the presence of defendant. She also testified that their father used to beat the children, including her and defendant, with a belt until they cried. Her father also sexually molested her when she was five and raped her when she was 16. According to Kathy, she never told defendant about the rape but later discovered that he was awake when it happened.
Defendant’s father, Ray Turner, testified that defendant was a problem child who always got into trouble and was difficult to raise. He admitted that he and defendant’s mother used to beat defendant a lot, but only when he deserved it. He also acknowledged that he used a belt to punish defendant but denied ever using a horsewhip. He reluctantly admitted that he had sexually molested one daughter, but denied trying to have sex with the dog or raping his other daughter, Kathy. He testified that defendant came to live with him after the divorce because defendant’s mother threatened not to feed the children any more. According to defendant’s father, defendant always helped old people and wanted to help people in need.
James Turner, defendant’s brother, testified that their mother did most of the disciplining and would mostly use a belt. At times, however, she would use a horsewhip. On one occasion, their mother hit defendant with a chair leg, and defendant could not use his arm for a couple of weeks. James also testified that he and his siblings had a tough life, and that every one of them tried to run away at least once.
Clyde Turner, defendant’s brother, testified that their mother would use a belt or buggy whip to discipline the children. He also testified that their father would use a buggy whip to discipline the children. He further testified that he caught their father on his knees behind the dog with his penis exposed. According to Clyde, defendant was sometimes a discipline problem.
Von Turner, defendant’s younger brother, testified that defendant had few friends as a child and did not take good care of himself. According to Von, their father would discipline them “instantly” and would “slug and hit and kick” the children. On one occasion, their father got upset at Von for locking the bathroom door and hit Von in the mouth and started kicking him in the presence of defendant—who tried to defend him. Von also described an incident where their father axed the heads off some kittens.
*415 Dr. James Anthony Hawkins, a clinical psychologist, testified that he examined defendant at age 17 and thought that he was a “scared child.” According to Dr. Hawkins, defendant feared bodily harm and was used to people “rejecting and treating him in a corrosive way.” In fact, defendant had attempted suicide by hanging in 1976. Dr. Hawkins further testified that defendant had “serious pathological problems” but did not suffer from psychosis.
Dr. Craig Rath testified that defendant had low average intelligence and suffered from schizotypal personality disorder. According to Dr. Rath, because of his disorder, defendant seemed peculiar and was difficult to understand and, at the time of the murders, defendant was suffering from a “mental or emotional disturbance.” Dr. Rath interpreted some of defendant’s statements as an expression of remorse, but acknowledged that defendant tended to minimize his criminal history and intended to kill the Claxtons. He further opined that defendant would probably be able to keep to himself, continue working on his art, and stay in contact with his family but would not be productive beyond that.
Several correctional officers and counselors who worked on death row when defendant was there also testified. They testified that defendant was generally withdrawn and antisocial and had hygiene problems. They also testified that, aside from one minor incident where he threatened an officer because he was grumpy, defendant presented no discipline problems.
Finally, defendant briefly testified that he wanted to live so he could continue his artwork and stay in contact with his family.
3. Rebuttal
The prosecution presented no evidence in rebuttal.
II. Pretrial Issue: Reversal of Guilty Plea and Life Without Possibility of Parole Sentence
A. Facts
Following our decision in Turner I reversing the special circumstance findings and the original judgment of death, the prosecution moved to strike the allegation that defendant intentionally killed Merle and Freda Claxton and the special circumstance allegation that the murders were committed during the commission of a burglary. The trial court granted the motion, leaving only *416 the special circumstance allegation that defendant was convicted of more than one offense of murder with the intent to kill one or both of the victims.
Thereafter, defendant filed a motion to strike the special circumstance allegation—which the trial court treated “as incorporating a petition for writ of habeas corpus.” At a hearing on the motion, the court expressed concern that this court had reversed based on
Carlos
without adequately considering
People v. Green
(1980)
Defendant accepted the trial court’s offer. Contending the court lacked authority to enter into a plea bargain without his consent, the prosecutor objected and moved to amend the information. Based solely on its concern that it might have to set aside defendant’s first degree murder convictions, the court found that the prosecutor abused its discretion in objecting to the court’s offer and concluded that it could proceed with the offer pursuant to section 1385. Following defendant’s admission of his intent to kill and waiver of his rights under Green, the court sentenced defendant to life without the possibility of parole.
The People filed a petition for writ of mandate, seeking to vacate the order sentencing defendant to life without the possibility of parole. The Court of Appeal granted the writ, concluding that: (1) the People properly challenged the order by way of writ of mandate because the trial court exceeded its jurisdiction; (2) the trial court violated sections 1192.5 and 1192.7 by entering into a plea bargain over the objection of the prosecutor; (3) there was “no factual, legal or constitutional grounds entitling [defendant] to a writ of habeas corpus challenging his murder convictions”; and (4) the trial court abused its discretion under section 1385. The Court of Appeal then vacated defendant’s sentence of life without the possibility of parole and ordered the trial court “to set the matter for trial as soon as practicable.” We denied defendant’s petition for review. Defendant was subsequently retried, resulting in the instant appeal.
*417 B. Discussion
Defendant contends the Court of Appeal erred in vacating the sentence of life without the possibility of parole (LWOP) despite his bargain with the trial court. According to defendant, this court should set aside the judgment of death and reinstate the LWOP sentence. We disagree.
Under the law of the case doctrine, “ ‘where, upon an appeal, the [reviewing] court, in deciding the appeal, states in its opinion a principle or rule of law necessary to the decision, that principle or rule becomes the law of the case . . . , both in the lower court and upon subsequent appeal . . . ”
(People
v.
Shuey
(1975)
In this case, the Court of Appeal held that the trial court entered into an illegal plea bargain with defendant and vacated the LWOP sentence. In doing so, the court established the law of the case, and we are precluded from reexamining its decision absent an applicable exception. This is true even though we previously denied defendant’s petition for review. (See
Stanley, supra,
Based on defendant’s arguments, the only exception that may apply is the unjust decision exception. But defendant does not and cannot establish that there has been a “ ‘manifest misapplication of existing principles resulting in substantial injustice.’ ”
(Stanley, supra,
First, contrary to defendant’s assertion, the Court of Appeal had the authority to entertain the People’s petition for writ of mandate. Because a court “has no authority to substitute itself as the representative of the People in the negotiation process and under the guise of ‘plea bargaining’ to ‘agree’
*418
to a disposition of the case over prosecutorial objection”
(People v. Orin
(1975)
Second, the Court of Appeal properly vacated defendant’s LWOP sentence because there was an illegal plea bargain. In a plea bargain, “the defendant agrees to plead guilty in order to obtain a reciprocal benefit, generally consisting of a less severe punishment than that which could result if he were convicted of all offenses charged.”
(Orin, supra,
Here, the trial court negotiated an agreement with defendant whereby defendant agreed to admit that he intended to kill the victims and, in exchange, the court agreed to sentence defendant to LWOP—rather than death. In doing so, the court entered into a plea bargain, which required the consent of the prosecutor. (See
Orin, supra,
Defendant counters that the trial court merely gave defendant an “indicated sentence,” which did not require the consent of the prosecutor. Defendant is wrong. Where the defendant pleads “guilty to all charges ... so all that remains is the pronouncement of judgment and sentencing”
(Smith, supra,
Finally, defendant contends the case was too emotionally and politically charged to permit a fair retrial and the resulting verdict of death was therefore unreliable. We, however, find nothing unfair or unreliable about the retrial, and defendant identifies no evidence to support his contention.
Thus, defendant does not and cannot establish that the Court of Appeal made an unjust decision by setting aside his LWOP sentence. And, because the court had a valid basis to set aside defendant’s guilty plea, no double jeopardy violation occurred.
(People v. Massie
(1998)
III. Special Circumstance Issues
A. Griffin Errors
Defendant contends the prosecutor improperly commented upon his failure to testify in both his opening and closing arguments in violation of
Griffin v. California
(1965)
1. Opening Statement
In his opening statement, the prosecutor told the jury that he was going to call Souza, a codefendant in the first trial, as a witness. To explain why he could do so, the prosecutor stated: “Well, how did this all come about? How did this happen? And in the first, the prosecution relied pretty much on what I’ve just told you, because we did not have access to testimony from the defendants. But in this first trial Souza testified in his own behalf. He was called by his own lawyer, a guy named Alan Spears. And Souza testified, and because he did so he waived his right to remain silent, and so now we can subpoena him.”
According to defendant, the italicized statement was
Griffin
error. Defendant, however, failed to object or seek an admonition and therefore waived the error.
(People v. Hughes
(2002)
2. Closing Argument
In his closing argument, the prosecutor sought to explain why he did not call his own psychiatric expert as a witness. “Mr. Smeltzer knows that I
*421
have no ability to have my own psychiatrist examine] his client. He knows that. So that’s a counter—that’s a little another red herring. [][]
I don’t have the opportunity to do that. He doesn’t have to talk to me. I can’t talk to him.
So that’s a red herring. Don’t get caught up with that.” (Italics added.) According to defendant, the italicized statement was
Griffin
error. But, once again, defendant failed to object and therefore waived any error.
(Hughes, supra,
B. Other Prosecutorial Misconduct
In addition to the Griffin violations, defendant contends the prosecutor committed prejudicial misconduct on two other occasions during the special circumstance retrial. We conclude these contentions lack merit.
1. Showing Photograph of Deceased Victims to Max Rehfeld
During the examination of Max Rehfeld, the son-in-law of the Claxtons, the prosecutor showed Rehfeld a picture of Freda Claxton and the Claxtons’ dog for identification. Defendant objected, and the trial court held a brief hearing in chambers. Defendant claimed that the photographs did not need to be shown to Rehfeld for identification because there was no dispute “about who the victims are.” The prosecutor explained that there was a misunderstanding and that he had not realized that defendant had a problem with showing these photographs to Rehfeld. According to the prosecutor, if he had known of defendant’s objections, he would have raised the issue with the court before showing the photographs to the witness. The parties then stipulated that the pictures in question showed the deceased victims and their dog.
Defendant contends the prosecutor’s conduct violated both federal and state law because it unnecessarily gave the jury an opportunity to see Rehfeld’s reaction to the photographs. The alleged misconduct was not, however, “ ' “so egregious that it infect[ed] the trial with such unfairness as to make the conviction a denial of due process” ’ ” and therefore did not violate the federal Constitution.
(People
v.
Gionis
(1995)
*422
did not constitute the use of a “deceptive or reprehensible method[] to persuade” the jury.
(Frye, supra,
2. Sergeant Felix Damico’s Testimony
During his examination of Sergeant Felix Damico, the prosecutor asked him: “Did you recently testify for Mr. Smeltzer [defendant’s trial attorney] in a case?” Sergeant Damico answered: “I don’t believe so. I’m not sure if I have or not.” Defendant now contends the prosecutor committed prejudicial misconduct by improperly referring to evidence outside the record in an attempt to vouch for a witness. Defendant, however, failed to object or seek an admonition and therefore “waived the right to complain of any misconduct on appeal.”
(Medina, supra,
C. Use of Separate Juries for the Guilt and Special Circumstance Phases
Defendant contends the special circumstance retrial was unconstitutional per se. According to defendant, the second jury could not have known the legal basis for the first jury’s findings and could have therefore construed the evidence in a manner inconsistent with those findings. Thus, the use of different juries to decide the murder and special circumstance allegations violated his constitutional rights. We have, in the past, rejected a similar
*423
argument—that penalty retrials are unconstitutional per se. (See, e.g.,
People
v.
Gurule
(2002)
D. Instructional Error
The sole issue presented at the special circumstance retrial was whether defendant had the requisite intent to kill. In instructing the jury on this issue, the court explained: “In these special circumstances of which the defendant is accused in counts 1 and 2 of the information, a necessary element is the existence in the mind of the defendant of the specific intent to kill one or both of the victims.” (Italics added.) The court later repeated these instructions: “To find the special circumstance referred to in these instructions ... is true, it must be proved that the defendant . . . had the specific intent to kill one or both victims.” (Italics added.) The verdict form mirrored these instructions. 4 Defendant now contends these instructions were erroneous because they permitted the jury to find the special circumstance to be true even if the jury did not unanimously agree on which victim defendant intended to kill.
Even assuming the instructions were erroneous, we conclude that any error was harmless beyond a reasonable doubt. (See
People
v.
Prieto
(2003)
IV. Competency Issues
In the midst of Dr. Conrad’s testimony in the special circumstance retrial, defendant’s trial attorneys moved for a competency hearing pursuant to sections 1367 and 1368. The trial court granted the motion and ordered a competency hearing. It later appointed new counsel for defendant solely for the hearing and three independent medical experts—Drs. Craig Rath, James Papen and Michael Kania—to examine defendant.
*424 At the competency hearing, which was tried before a separate jury, the three court-appointed experts testified that they believed defendant was competent to stand trial. All three experts independently agreed that defendant suffered from schizotypal personality disorder, but was not psychotic and did not suffer from schizophrenia. All three experts also agreed that defendant understood the roles of the judge, jury, prosecutor, and defense attorneys, and basically understood the legal process and his legal defenses.
Finally, the three experts independently agreed that defendant could assist his trial attorneys in conducting his defense. Dr. Rath acknowledged that defendant could be “difficult to understand,” but concluded that defendant’s attorneys could adequately communicate with defendant if they took the time and effort to understand him. Meanwhile, Dr. Papen found defendant’s logic easy to follow and concluded that it was difficult—but not impossible—to communicate with defendant. Dr. Kania echoed these conclusions. At times, he had difficulties understanding defendant, but concluded that such difficulties were not unusual. He further concluded that defendant’s attorneys would simply have to spend more time than usual in order to communicate with defendant.
Dr. Conrad, however, disagreed. Unlike Drs. Rath, Papen, and Kania, he diagnosed defendant as a paranoid schizophrenic and found that defendant fluctuated in and out of reality. Although he agreed that defendant understood the legal proceedings, he did not believe that defendant could adequately assist his attorneys in his defense. According to Dr. Conrad, defendant’s speech was rambling and “didn’t make sense,” and his behavior was “bizarre and less than rational.” As such, Dr. Conrad concluded that defendant could not rationally communicate with his attorneys.
Defendant’s trial attorneys, Gary Smeltzer and Grover Porter, also testified at the competency hearing. Smeltzer testified that defendant was one of the strangest people he had ever seen. He acknowledged that defendant understood the legal proceedings and could follow directions, but claimed that he lacked the psychological training to understand defendant and could no longer communicate with defendant. While he acknowledged that it was theoretically possible for him to communicate with defendant with the aid of a psychologist, he claimed that the psychologist could not help defendant testify and that such an arrangement was impractical. Finally, he claimed that he did not raise the issue of competency until Dr. Conrad’s testimony because the problem had been growing and Dr. Conrad finally confirmed his fear that defendant was no longer competent to stand trial.
Porter testified that he did not believe defendant was competent. He acknowledged that defendant understood the legal proceedings and could *425 follow directions, but claimed that he could not understand defendant and could not communicate with defendant. According to Porter, he had been concerned about defendant’s competence from the beginning but did not raise the issue because he had deferred to the judgment of Smeltzer, the lead attorney.
Finally, the parties presented stipulated testimony from five duty sergeants and a registered nurse at the San Bernardino County jail. As stipulated, Duty Sergeant Sam Pollack testified that defendant was manipulative, seemed coherent, and acted “normal” in a jail setting. He further testified that defendant had set two fires in his cell in order to get moved because he feared that some other inmates were going to kill him. Duty Sergeant Michael Bayer testified that defendant seemed coherent and lucid and told the sergeant that he set the fires because he feared for his life. Duty Sergeant Tim Wilson testified that defendant asked to be moved because he feared for his life. According to Sergeant Wilson, defendant was very logical during their conversations and knew the system. Duty Sergeant Joseph Frank testified that he never had any problems with defendant, and that defendant seemed coherent and followed directions well. And Duty Sergeant Robert Ruff testified that defendant was very cooperative and a model prisoner. Finally, Nurse Violet Garday testified that defendant was not suicidal. According to Ms. Garday, defendant was coherent and caused no problems; he seemed to know the procedures and was always respectful and courteous.
The jury found defendant competent to stand trial.
A. Sufficiency of the Evidence
Defendant contends there was no substantial evidence to support the jury’s finding that he was competent to stand trial. We disagree.
“A defendant is mentally incompetent... if, as a result of mental disorder or developmental disability, the defendant is unable to understand the nature of the criminal proceedings or to assist counsel in the conduct of a defense in a rational manner.” (§ 1367, subd. (a).) “A defendant is presumed competent unless the contrary is proven by a preponderance of the evidence.”
(People v. Lawley
(2002)
Even a cursory review of the evidence adduced at the competency hearing reveals substantial evidence supporting the jury’s finding of competency. *426 First, all witnesses, including defendant’s own psychological expert and trial attorneys, agreed that defendant understood the nature of the criminal proceedings against him. Second, all three independent, court-appointed experts agreed that defendant, despite some communication problems, could adequately assist in his defense. According to these experts, although defendant was difficult to understand, he could adequately communicate with his attorneys if they spent enough time with him. Testimony from the officers and nurse at the San Bernardino County jail that defendant was cooperative, coherent, and followed directions corroborated the experts’ conclusions. This evidence was more than sufficient to support the jury’s finding.
Nonetheless, defendant contends we should disregard this testimony because the court-appointed experts failed to account for the practical realities of defending a death penalty case and the actual experience of defendant’s trial attorneys. Even assuming defendant’s contention has some merit, he ignores that we must view the evidence in the light most favorable to the jury’s finding.
(Lawley, supra,
B. Admission of Evidence of Defendant’s Prior Convictions and Death Sentence
According to defendant, the trial court erred in informing the jury of irrelevant, inflammatory, and prejudicial matters during the competency hearing. Specifically, defendant contends the court should not have informed the jury about the procedural history of the case, including: (1) defendant’s two prior murder convictions; (2) the original special circumstance findings and judgment of death and their subsequent reversal by the California Supreme Court; and (3) the issue—whether defendant intended to kill the victims—being retried. Defendant further contends the prosecutor improperly introduced irrelevant, inflammatory, and prejudicial matters throughout the hearing by (1) commenting on defendant’s prior convictions and judgment of death and the procedural history of the case during voir dire; (2) describing the underlying facts of the murders and the procedural history of the case in his opening statement; (3) introducing facts and evidence about the underlying murders and trial under the guise of questioning expert witnesses; and (4) commenting on the underlying facts of the murders in his closing argument. As will appear, we conclude that, even assuming trial court error and/or prosecutorial misconduct, no prejudice resulted.
*427
As an initial matter, defendant failed to object to any of the foregoing statements by the trial court and prosecutor. He therefore “waived his objections for appeal.”
(Medina, supra,
Recognizing this hurdle, defendant contends the failure to object constitutes ineffective assistance of counsel. But defendant cannot demonstrate that his counsel’s conduct, even if deficient, was prejudicial.
(Strickland
v.
Washington, supra,
We also reject defendant’s contention that disclosing information about the procedural history of the case improperly diminished the jury’s responsibility under
Caldwell v. Mississippi
(1985)
C. Other Prosecutorial Misconduct
Defendant contends the prosecutor committed prejudicial misconduct on numerous other occasions during the competency hearing. As explained below, we conclude that none of the alleged misconduct warrants reversal.
*428 1. Disparaging Defendant’s Trial Attorneys a) Facts
During voir dire, the prosecutor highlighted the fact that defendant’s trial attorneys only raised the competency issue in the middle of the retrial even though defendant had gone through a trial and numerous appeals over the past eight or nine years. The prosecutor further suggested that defendant’s trial attorneys had become “emotionally involved with representing” defendant.
The prosecutor continued this theme in his opening statement. After describing the history of the case, the prosecutor stated; “Throughout all that time, throughout that first trial, there was never a motion like this. So why now?” Defendant objected. The trial court told the prosecutor to leave his “theory as to the reason behind [the competency motion] ... for argument” and sustained the objection. Later in his opening statement, the prosecutor recounted Dr. Conrad’s testimony during the special circumstance phase and then told the jury, “you have to ask yourself are Smeltzer and Porter using this as a gimmick.” Defendant objected. The court sustained the objection and admonished the jury to disregard the prosecutor’s statement. The prosecutor then continued, “What the evidence is going to show is that Porter and Smeltzer are not doing this for any negative reasons. They are doing this because they have a genuine concern. I know them both.” Defendant moved for a mistrial but the court denied the motion. The court, however, admonished the jury to disregard the prosecutor’s last statement.
During the hearing, the prosecutor elicited testimony from Dr. Rath acknowledging that defendant’s trial attorneys were “duty bound” to raise the competency issue once Dr. Conrad raised the issue. Otherwise, counsel would be “incompetent.”
The prosecutor also elicited testimony from Dr. Conrad acknowledging that his testimony during the special circumstance phase was probably devastating to the defense. Dr. Conrad further testified that defendant’s trial attorneys had “serious concerns based upon [the doctor’s] statements to them about” defendant’s competence. And, in response to the prosecutor’s question, “[W]hy now?,” Dr. Conrad responded, “I don’t know.”
Finally, the prosecutor argued in his closing that defendant’s trial attorneys only raised the issue of competency because of Dr. Conrad’s testimony: “I submit to you that you would not have—you’d not be here, even now, if it had not been for Dr. Conrad’s testimony on May 9th. It sort of put the defense attorneys in a box. They then would be found themselves to be *429 incompetent as attorneys if they didn’t make the motion. [][] They have to do that. And the court then has to appoint the panel, and we go through all the proceedings that we’re in now. [1] Mr. Smeltzer and Mr. Porter are friends of mine, as you know. And as you have seen. And I do not say that they’re lying about their concerns.”
He then suggested that defendant’s trial attorneys erroneously believed that defendant was incompetent to stand trial because of their emotional involvement. “So you have to ask yourselves why does he [Mr. Smeltzer] feel the way he does? [f] Well, you’ve got to understand, and you’ve seen all the evidence about how tough it is to defend these kind of cases. These are difficult cases. You feel, if you’re the defense attorney, that you are the only thing standing between your client and the most, the strongest punishment available in our system. You’ve got his life in your hands. [][] And that kind of stress really can affect your judgment sometimes. And you want to make sure you cover every base possible. You want to make sure you do every motion necessary and appropriate under the law. [f] As I say, he’s a good friend, and it’s hard for me to criticize him as I’m doing now when I say that he’s not lying, but he’s guilty of some fuzzy thinking in this case.” 5
b) Discussion
Defendant contends the prosecutor committed misconduct throughout the competency hearing by suggesting that defendant’s trial attorneys only raised the competency issue because they thought defendant was going to lose and that their emotional involvement in the case clouded their judgment. We disagree.
“A prosecutor commits misconduct if he or she attacks the integrity of defense counsel, or casts aspersions on defense counsel.”
(People v. Hill
(1998)
As an initial matter, defendant waived most of these claims of prosecutorial misconduct because he failed to object or seek an admonition. (See Cummings, supra, 4 Cal.4th at p. 1302.) To the extent he did object during the prosecutor’s opening statement, the trial court sustained his objections and admonished the jury to disregard the prosecutor’s statements. Because these admonitions cured any impropriety or misimpression caused by the alleged misconduct, reversal is not warranted. (See id. at p. 1303.)
In any event, defendant’s contentions fail on their merits. Because defendant’s trial attorneys were percipient witnesses during the competency hearing and did not represent defendant for purposes of that hearing, the prosecutor was free to attack their credibility based on the evidence in the record. “The prosecutor is permitted to urge, in colorful terms, that defense witnesses are not entitled to credence [and] to argue on the basis of inference from the evidence that a defense is fabricated . . . .”
(People
v.
Pinholster
(1992)
Moreover, a review of the prosecutor’s comments establishes that they fall within the bounds of acceptable argument. First, viewed in their totality, the prosecutor’s comments did not suggest that defendant’s trial attorneys fabricated the competency issue because they thought defendant was going to lose. Indeed, the prosecutor went out of his way to avoid such an implication and consistently expressed his admiration and respect for defendant’s trial attorneys. Second, the prosecutor’s suggestion that the attorneys’ judgment was impaired by their emotional involvement in the case did not amount to an attack on their integrity or rise to the level of an aspersion on their character. Thus, “it did not cross the ‘line of acceptable argument, which is traditionally vigorous and therefore accorded wide latitude.’ ”
(People
v.
Sanders
(1995)
*431 2. Rose Bird Court References
In his opening statement, the prosecutor twice referred to the “Rose Bird court” and stated that the “Rose Bird court” previously reversed the special circumstance findings and judgment of death in this case. Defendant contends these references constituted reversible prosecutorial misconduct. We conclude defendant’s contention is meritless.
First, defendant failed to object or request an admonition, and nothing suggests that an objection would have been futile or that an admonition would have been inadequate. He therefore waived the claim. (See
Hill, supra,
3. Vouching for Witnesses
a) Facts
During the competency hearing, the prosecutor, on various occasions, referred to his prior use of the court-appointed experts when he was a defense attorney and expressed his admiration and respect for these experts. For example, during voir dire, the prosecutor told the jury: “I have tremendous respect for some of these doctors as well. H] When I was a defense attorney I used some of them. As a prosecutor, I’m certainly pleased with the opinions that they’re going to give.” The prosecutor continued in his opening statement: “As I told you, I used to be a defense attorney for thirteen years and I called them myself; they’re honest men. They’re good psychologists who do a thorough job. So I was pleased when they were appointed.”
During his examination of the expert witnesses, the prosecutor again reminded the jury that he had used these experts in the past when he was a *432 defense attorney. For example, he asked Dr. Rath: “[W]hen I was in private practice I frequently called upon you” to consult on the competence of a defendant? Dr. Rath answered, “[c]orrect.”
The prosecutor also engaged in a similar colloquy with Dr. Kania:
“Q And you know me to have been a defense attorney for a lot of years, right?
“A Yes.
“Q In fact, I used to consult with you?
“A Yes. There were a few cases we worked on. [][]... [I]
“Q And you know me to have frequently consulted in the past with Doctor Rath?
“A Yes.
“Q And you know I have respect for your honesty and integrity, do you not?
“A Oh, thank you.”
b) Discussion
Defendant contends the prosecutor improperly vouched for the credibility of the court-appointed experts by referring to his prior use of these experts and by openly expressing his admiration and respect for these witnesses. He, however, “failed to object, or seek an admonition, as to any of these remarks, and accordingly he cannot raise a claim of misconduct on appeal.”
(People
v.
Anderson
(1990)
A prosecutor may make “assurances regarding the apparent honesty or reliability of’ a witness “based on the ‘facts of [the] record and the inferences reasonably drawn therefrom.’ ”
(Frye, supra,
Here, the prosecutor vouched for the credibility of the court-appointed experts based on facts outside the record—i.e., his personal knowledge of these witnesses and his prior use of these experts when he was a defense attorney. (See
Medina, supra,
D. Instructional Error
At the close of evidence, the trial court instructed the jury that: “If [defendant] is found to be competent, his trial will resume, [f] If [defendant] is found to be incompetent, he will not be released from custody and other proceedings will result.” Defendant contends the court erred in giving this instruction because it permitted jurors to improperly speculate about what would happen to defendant if the jury found him incompetent. Defendant further contends the prosecutor “emphasized” and “exacerbated” the instructional error by arguing that defendant was trying to avoid responsibility for his crimes. According to defendant, the error is analogous to the error committed by a court when it fails to adequately inform the jury in the penalty phase that “a life sentence carries no possibility of parole.”
(Shafer v. South Carolina
(2001)
As an initial matter, defendant’s contention fails because he invited the error. “The doctrine of invited error bars a defendant from challenging an instruction given by the trial court when the defendant has made a ‘conscious and deliberate tactical choice’ to ‘request’ the instruction.”
(People v. Lucero
*434
(2000)
In any event, the instruction did not allow for improper speculation by the jury that defendant would somehow go unpunished if he were found incompetent, notwithstanding the prosecutor’s argument that defendant was trying to evade responsibility for his crimes. Indeed, the instruction expressly stated that defendant would “remain in custody” if the jury found him incompetent. Moreover, the trial court instructed the jury that it should “reach a just verdict regardless of what the consequences of that verdict may be.” As such, the instructions adequately informed the jury that defendant would not be immediately released if found incompetent and that the jury should not, in any event, consider that possibility.
Finally, defendant’s reliance on case law requiring that juries in death penalty cases be informed that the defendant is ineligible for parole is misplaced. (See
Kelly v. South Carolina
(2002)
V. Penalty Issues
A. Prosecutorial Misconduct
1. Reference to Inability to Cross-examine Defendant
In the penalty phase, defendant made an allocution to the jury by answering three questions; (1) “[D]o you want to live?” (2) “Why?” and (3) “What would you hope to accomplish if the jury spared your life and you were to *435 spend the rest of your life forever in prison?” Defendant moved to limit cross-examination. The prosecutor objected, but the trial court limited cross-examination to the three questions and defendant’s answers and precluded “cross-examination concerning the circumstances of the murder.” The prosecutor then asked the court to instruct the jury on the reason for the limited scope of his examination. The court, however, declined to do so.
At the end of defendant’s brief allocution, the prosecutor stated; “Based on the court’s earlier ruling, I have no questions.” Defendant then moved for a mistrial on the ground that the prosecutor’s statement constituted reversible misconduct. The court denied the motion but offered to admonish the jury to disregard the impropriety. Defendant, however, declined the offer and stated that he was “not requesting” such an admonition. Defendant now contends the judgment of death should be reversed because of the prosecutor’s misconduct. We disagree.
As an initial matter, defendant has waived the claim. “ ‘As a general rule a defendant may not complain on appeal of prosecutorial misconduct unless in a timely fashion—and on the same ground—the defendant made an assignment of misconduct and requested that the jury be admonished to disregard the impropriety.’ ”
(Prieto, supra,
In any event, defendant’s claim of prosecutorial misconduct fails on the merits. The brief reference to the trial court’s ruling limiting cross-examination “did not constitute an egregious pattern of misconduct and did not infect the trial with unfairness” in violation of the federal Constitution.
(Prieto, supra,
2. Reference to Defendant’s Lack of Remorse
In his closing argument, the prosecutor commented on defendant’s allocution and his failure to express any remorse. Specifically, the prosecutor stated; *436 “And he didn’t get up here and tell you when he testified I’m really sorry about what happened. Please spare me ’cause I’m really remorseful. I’m really sorry. [][] He didn’t do that. The best they can even come close to that is Dr. Rath made some comment about, well, in his limited way he expressed some remorse. He said that they didn’t deserve what came to them. They were innocent people. ['][] Is that real remorse? No. [][] He didn’t get up here and beg for his life because he had turned his life over to Jesus or whatever some people do. [1] He simply got up and said he wanted to paint pictures of horses. I want to live so I can paint pictures of horses, [f] Well, that’s not enough as far as I’m concerned, ladies and gentlemen, for us to really want to give a man like that mercy for what he did.”
In a less than lucid argument, defendant appears to contend the prosecutor’s comments constituted
Griffin
error. (See
Griffin v. California, supra,
B. Failure to Adequately Explain the Meaning of Life Without the Possibility of Parole
1. Facts
At the close of evidence, the trial court instructed the jury on the two possible penalties. “It is now your duty to determine which of the two penalties, death or confinement in the state prison for life without the possibility of parole, shall be imposed on the defendant.”
During deliberations, the trial court received the following three inquiries from the jury: (1) “We understand the sentence of life in prison without the possibility of parole to mean exactly what it implies. Does it?”; (2) “After being sentenced to LWOP, if the law changed, could a person so sentenced then be eligible for parole?”; and (3) “How does LWOP . . . differ from a sentence of life imprisonment?”
*437 The trial court held an unreported conference with the prosecutor and defendant’s attorneys to discuss a response. Following the conference, the prosecutor opposed “any clarification or answer to . . . these questions” and preferred to have “the court instruct them that they are not to consider any of these factors.” In the event the court decided to answer these questions, the prosecutor “proposed that at the very most we inform the jury that they are to assume for the sake of their deliberations that it means what it says with respect to question number 1 and instruct further that as to the other aspects of that question, along with the questions number 2 and 3, that they should not speculate about such matters.” Defendant’s attorneys stated that they were satisfied with the court’s proposed response. 7
The trial court then informed the prosecutor and defendant’s attorneys that he would tell the jury to assume that LWOP means what it says and to advise them not to speculate or consider any other matters. Both the prosecutor and defendant’s attorneys apparently agreed with the trial court’s proposal and waived their right to be present when the court read its response to the jury. The trial court then entered the jury deliberation room and answered the first question by telling the jury: “For the purpose of your deliberations, you are to assume life without the possibility of parole means what it says.” In responding to the second and third questions, the court told the jury: “As to those remaining questions, the court cannot instruct you further and you are not to speculate or consider such matters.”
2. Discussion
Defendant contends the trial court’s responses to the jury’s questions failed to adequately inform the jury of his parole ineligibility in violation of due process pursuant to
Simmons
v.
South Carolina, supra,
As an initial matter, defendant waived the issue by failing to object and by apparently agreeing to the court’s response to the jury’s questions. (See
People
v.
Boyette
(2002)
*438
In any event, defendant’s contention fails on the merits. Under
Simmons
and its progeny, “whenever future dangerousness is at issue in a capital sentencing proceeding . . . due process requires that the jury be informed that a life sentence carries no possibility of parole.”
(Shafer
v.
South Carolina, supra,
C. Constitutionality of the Death Penalty
Defendant urges this court to find the California death penalty statute unconstitutional because it is inherently immoral to kill a defenseless prisoner. Given that “the penalty phase determination ‘is inherently moral and normative’ ”
(Prieto, supra,
Defendant also raises numerous other constitutional challenges to the California death penalty statute. We have, however, consistently rejected these challenges and see no reason to reconsider. Accordingly, we continue to hold;
(1) The statute adequately narrows the class of death-eligible offenders.
(Prieto, supra,
(2) “Consideration of the circumstances of the crime under section 190.3, factor (a) does not result in arbitrary or capricious imposition of the death penalty.”
(People v. Brown
(2004)
(3) No written findings are required.
(Prieto, supra,
*439
(4) “The death penalty law is not unconstitutional for failing to impose a burden of proof—whether beyond a reasonable doubt or by a preponderance of the evidence—as to the existence of aggravating circumstances, the greater weight of aggravating circumstances over mitigating circumstances, or the appropriateness of a death sentence.”
(Brown, supra,
(5) The jury need not be instructed on the burden of proof during the penalty phase because the sentencing function is “not susceptible to a burden-of-proof quantification.”
(People
v.
Hawthorne
(1992)
(6) Mercase proportionality review is not required.
(Prieto, supra,
(7) “The jury is not constitutionally required to achieve unanimity as to aggravating circumstances.”
(Brown, supra,
(8) “The jury may properly consider evidence of unadjudicated criminal activity involving force or violence under factor (b) of section 190.3 and need not make a unanimous finding on factor (b) evidence.”
(Brown, supra,
(9) “[T]he use of certain adjectives—i.e., ‘ “extreme” ’ and ‘ “substantial” ’—in the list of mitigating factors does not render the statute unconstitutional [citation].”
(Prieto, supra,
(10) “The trial court is not required to instruct that certain statutory factors can only be considered in mitigation. [Citation.] Since there is no requirement that the court identify which factors are aggravating and which are mitigating [citation], neither must it restrict the jurors’ consideration of the evidence in this regard. [Citation.]”
(Brown, supra,
(11) The death penalty statute does not violate the equal protection clause and we decline to overrule
People
v.
Allen
(1986)
D. Violation of International Law
Defendant contends California’s death penalty statute is unconstitutional because it violates evolving international norms of decency. Defendant further contends the statute violates the Memational Covenant on Civil and Political Rights (ICCPR). Even assuming defendant has standing to invoke the ICCPR (compare
Hanoch Tel-Oren v. Libyan Arab Republic
(D.D.C. 1981)
E. Constitutionality of Delay in Executing Defendant
Defendant—who was convicted of the two first degree murders in 1980— contends the over 20-year delay in his execution constitutes cruel and unusual punishment under the federal and state Constitutions and in violation of international law. We have recently rejected a similar contention in
Brown, supra,
VI. Disposition
We affirm the judgment.
George, C. J., Kennard, J., Baxter, J., Werdegar, J., Chin, J., and Moreno, J., concurred.
Notes
All further statutory references are to the Penal Code unless otherwise indicated.
In addition, we will not apply the doctrine where “the controlling rules of law have been altered or clarified by a decision intervening between the first and second appellate determinations.”
(Stanley, supra,
Defendant also contends the prosecutor’s comments on defendant’s failure to testify violated
Doyle
v.
Ohio
(1976)
The verdict form stated: “We, the jury in the above entitled action, find that the defendant has been convicted of more than one offense of murder in the first or second degree with the specific intent to kill one or both victims, to be TRUE.”
The prosecutor expounded on this theme throughout his closing. For example, he explained that: “Whenever you’re a defense attorney and you care as Mr. Smeltzer and Mr. Porter do about doing your job as best you can, you almost have a tendency to put blinders on sometimes. You hope so much that you can do what you can for your clients that you sometimes ignore facts. You ignore the other stuff. . And sometimes you have a situation where you are so dedicated and concerned about what you’re doing, that you put blinders on as to the other facts. [j[] That’s what’s happening here.” He later told the jury that defendant’s trial attorneys believe defendant is “impossible to deal with” “because they are working with blinders on in this case. They care so much that they are trying to focus on the wrong thing and ignore the facts that we now have.”
Because none of the comments refer, in any way, to defendant’s post-Miranda silence, we find no Doyle error. (See People v. Earp, supra, 20 Cal.4th at p. 856.)
The record does not contain the court’s proposed response. Because defendant’s attorneys did not oppose the court’s actual response to these inquiries, we presume the court’s actual response was consistent with its proposed response.
