*317 Opinion
In 1988, a jury convicted defendant Robert Paul Wilson of the first degree murder (Pen. Code, 1 §§ 187, 189) and robbery (§ 211) of Roy Swader, found that defendant used a firearm in the commission of each offense (§ 12022.5, subd. (a)), and found true a special circumstance allegation that he committed the murder during the course of a robbery. (§ 190.2, former subd. (a)(17)(i), now subd. (a)(17)(A).) The jury returned a verdict of death.
On petition for writ of habeas corpus, we concluded defense counsel provided ineffective assistance by failing to object to certain testimony and tape recordings rendered inadmissible under
Massiah v. United States
(1964)
On retrial in 1994, a jury again convicted defendant of first degree murder (§§ 187, 189) and second degree robbery (§ 211), and found true the robbery special-circumstance allegation. (§ 190.2, subd. (a)(17).) It also found true the enhancement allegations that defendant personally used a firearm in the commission of the murder and robbery (§ 12022.5, subd. (a)), and that he was armed with a firearm in the commission of the offenses. (§ 12022, subd. (a)(1).) The second jury also returned a verdict of death.
The trial court denied the automatic motion to reduce the penalty to life imprisonment without the possibility of parole (§ 190.4), and sentenced defendant to death. This appeal is automatic. (§ 1239.) For reasons that follow, we affirm the judgment.
I. Factual and Procedural Background
A. Guilt Phase
1. Prosecution Evidence
On September 5, 1984, Long Beach police found Roy Swader’s body inside a van in a parking lot. All the van’s windows were rolled up and the doors were locked. There was no evidence of a struggle.
*318 The cause of death was two gunshot wounds to his head. Either shot could have been fatal. Swader’s left front pocket was pulled outwards and his belt was undone. A receipt from a Shell gas station in Indio was found in Swader’s shirt pocket. No wallet was found, although Swader was known to carry a “trucker’s wallet” in his left pocket, secured to his belt by a chain.
The prosecution presented evidence that Swader lived in Tucson, Arizona with his two young daughters. He made a living buying tools in Paramount, California, and then selling them at a swap meet in Tucson. Normally taking one adult with him on his trips to California, Swader bought the tools with cash and would often carry between $1,500 to $3,000 in his trucker’s wallet. He also carried a revolver for protection.
In the summer of 1984, defendant 2 worked for Swader at the Tucson swap meet. He often accompanied Swader to California and helped him load and unload the tools. Defendant moved in with Swader for a month between July and August 1984, and afterwards moved in to the Tucson home of Sonya Cravens 3 and Wayne Anderson. 4
More than a week before the murder, Kimberlee lost, who worked at the swap meet and knew Swader, was at Cravens and Anderson’s home when defendant was there. Defendant stated he was at Swader’s apartment while Swader was counting money on the kitchen table. Defendant said “there was four fucking thousand dollars on the table” and that he “was tempted to knock [Swader] off because he could live good on four fucking thousand dollars.” lost also testified that after Swader’s death, defendant came up to lost at the swap meet and told her “for no reason” that he had not gone with Swader to California, but instead had been partying with a friend in Sabino Canyon, Arizona.
On September 4, 1984 (one day before he was found dead), Swader left Tucson for California in his van and trailer. He stopped for gas in Indio later that day. Robert Berrie, the gas station attendant, testified that he recognized Swader because he would stop at the station each week. That day, Swader was driving the van and defendant was the only other occupant. Berrie positively identified defendant in a photographic lineup and in court. Swader paid for the gas with cash, which he carried in his trucker’s wallet, and obtained a receipt.
*319 When Long Beach police discovered Swader’s body in his van, they also found a black T-shirt and a pair of jeans, which were later identified as similar to clothing that defendant usually wore. A fingerprint lifted from the van matched the middle finger of defendant’s left hand.
After defendant was arrested in October in Las Vegas, Detectives Collette and Miller traveled there to speak to him. Defendant stated he was glad to see them because he was arrested for murder and did not know who was dead. After detectives told him that it was Swader and that his body was found in his van in Long Beach, defendant said that he made several trips to California with Swader to purchase tools, and that the last trip he took with him was on or about August 13. Defendant also mentioned that on these trips Swader carriéd large amounts of cash and a revolver, and that he would often stop at an Indio gas station on the way.
After Detective Collette accused defendant of lying and said that he had been “identified as being in Indio,” defendant bowed his head and said, “I just can’t handle it.” Detective Collette testified that defendant said “he was sorry for what he had done, and he was sorry that he left [Swader’s] girls without a father.” Defendant started to cry after stating that Swader “got me off the streets and gave me a place to stay.”
Defendant then gave detectives his version of the events. He said that he accompanied Swader on the trip to California and arrived at the Paramount Theater in Paramount at night. Swader went to the back of the van to sleep. About 2:30 a.m., defendant began thinking about using Swader’s money to pay off a $13,000 debt he owed in Kansas. He took Swader’s gun out of the console and shot Swader twice in the head while he was sleeping. Swader started “gurgling,” and defendant got into the driver’s seat and drove away. Defendant drove on the freeway and, by a bridge, he threw the gun out the window. Stopping at a park, defendant took Swader’s wallet and $2,300 in cash, and left. He took a taxi to the Los Angeles airport and flew back to Tucson. Asked what he did with the money, defendant replied he “blew it all partying.” Defendant said he “did it for the money. Money is the root of all evil.”
Detective Collette asked defendant whether Wayne Anderson was involved. He was silent for 30 to 40 seconds, and then answered, “Yes.” Defendant then said that “he and Wayne had a pact. The first one caught would take the rap.” Defendant explained that “there was no point in the both of us frying over this.” Defendant said that on September 3, he and Anderson talked about robbing Swader and dividing the money equally. Defendant said they decided to kill Swader “[bjecause he was big, and he would kick their ass if they tried to rob him.”
*320 Explaining what happened, defendant said that he was in the driver’s seat and that Anderson was in the passenger seat, and “all of a sudden, there was a boom, and it was over with. [Anderson] shot the victim twice in the head.” Defendant admitted the idea to rob and kill Swader was both his and Anderson’s; “they shared the idea 50-50.”
When Detective Collette asked defendant if he wanted to have his statement tape-recorded, he said “he’d rather not.” Defendant looked over the interview notes Detective Collette had taken. Defendant signed the last page, where he also wrote that the notes reflected an accurate account of his statement.
2. Defense Evidence
Defendant testified on his own behalf. On the day after Labor Day, defendant, Swader, and Anderson left Tucson for California. On the way, they stopped in Indio. Anderson was asleep and did not leave the van. They arrived in Paramount after dark. Around midnight, defendant went to the back of the trailer to sleep. Defendant woke up to a loud noise which sounded like a backfire from a car. He climbed out of the trailer to urinate. He then heard a second loud noise, which he thought was a gunshot. He believed the sound came from the van.
When defendant opened the driver’s door, he saw Anderson standing over Swader and pulling at Swader’s belt. Anderson turned around, pointed a gun at defendant, and told him to get in and drive. Defendant later said he did not actually see Anderson with a gun, but believed that Anderson was armed with one.
Defendant drove on the freeway, exited in Long Beach, and stopped in a park. Defendant and Anderson left the van and trailer, which defendant locked out of habit. Anderson started walking off and defendant followed him. Anderson stopped at a phone booth and called a taxi. Defendant and Anderson left in the taxi and went to the airport. Anderson paid for the taxi from “a big, old wad” of money. They flew to Phoenix, Arizona, bought a used van, and drove back to Tucson. A few days later, defendant, Anderson, and Cravens moved to Las Vegas.
Defendant was arrested in Las Vegas. During the four-hour police interview, defendant initially lied to Long Beach detectives about having no knowledge of Swader’s death. Defendant told detectives he shot and robbed Swader because he owed $13,000, but later he said that Anderson did it and that the two of them had planned to kill Swader. Defendant said that his trial testimony, and not his statement to the police, was true. Defendant testified *321 that he did not plan with Anderson to rob or kill Swader, that he had no intention to kill Swader, and that he did not shoot Swader that night.
Defendant testified about his conversation with Donald Loar, also known as “David Grundy,” defendant’s cellmate in the Los Angeles County jail in 1987. Defendant and Loar discussed having a witness in Indio, i.e., Robert Bertie, “eliminated” because the witness could tie defendant and the victim together before the murder. However, defendant claimed he did not want that to actually happen. He only wanted to appear like a “heavy” to protect himself in jail. Defendant denied telling another inmate, Farrell Lee Torregano, that he personally shot Swader twice in the head.
Cravens testified that she and Anderson lived together and hung around the Tucson swap meet where they met defendant. During the 1984 Labor Day weekend, defendant and Anderson told Cravens they were going to work for Swader and accompany him to Los Angeles. Defendant and Anderson had gone with Swader to Los Angeles once before.
When they returned from the trip, Anderson and defendant were driving a green van, which Cravens had never seen before. Anderson gave Cravens a large amount of money to hold. A week after they returned from Los Angeles, defendant and Anderson, along with Cravens, moved to Las Vegas. In October 1984, Cravens received a call from defendant, who told her he had been arrested for vagrancy. After that call, Cravens and Anderson left Las Vegas and traveled to Oklahoma and Texas.
After defendant’s arrest, Anderson told Cravens that “he hoped they didn’t lay it too hard on [defendant] because he didn’t deserve it because he did not pull the trigger, that [Anderson] himself had done it.” He said, “I pulled the trigger.” In an initial interview in 1993 with defense investigator Cynthia Castro, Cravens did not tell her what Anderson said or reveal his true name. However, in a subsequent telephone conversation she decided to tell Castro the truth—10 years after the events—because Cravens said Castro told her that Anderson would not find out that Cravens was the source of this information.
The parties stipulated that a print expert for the Long Beach Police Department lifted a fingerprint from a Pepsi soda can found in Swader’s van, which matched the right ring finger of an individual named Harold Wayne Wilson, which was Anderson’s real name. The parties also stipulated that the “age of the prints cannot be determined and that touching of items does not necessarily leave fingerprints.”
*322 3. Prosecution Rebuttal Evidence
Detective Collette testified that when he arrived at the crime scene, the two padlocks on Swader’s trailer were locked and a bungee cord was secured across the trailer door.
Probation Officer Jack Pionke, who conducted an interview with defendant on July 8, 1988, testified that defendant denied killing Swader. Defendant told Pionke that he did not go with Swader on the September trip because he had food poisoning. Instead, he went “partying.”
Defense investigator Cynthia Castro testified about her October 26, 1993, interview with Cravens. Castro testified that Cravens stated Anderson had “actually pulled the trigger” and that money was the reason for the murder. Castro said she did not say anything in order to urge her to come forward with this information. Castro did not assure Cravens that Anderson would not find out what Cravens said.
B. Penalty Phase
1. Prosecution Evidence
The prosecution called Rose Wigley, the younger sister of victim Swader. She testified that she grew up with Swader in a small town in Alabama, and that he served in the military for 22 years. Swader had custody of his two young daughters, who were six and four years old when he died, after their mother had abandoned them. After Swader’s death, Wigley obtained custody of the girls. Wigley testified that their father’s death “devastated” the girls.
The prosecution presented the prior testimony of Donald Loar. At the first trial, Loar testified that defendant told him that he was in custody because he murdered his boss. Loar also testified that defendant, who believed Loar had “Mafia ties,” asked Loar to get a hit man to eliminate a witness who was “a thorn in [defendant’s] side, that could do him a lot of harm if he testified, that could put him and the murder victim together.” Defendant told Loar “he should have taken the gas receipt.”
Farrell Lee Torregano, an inmate who met defendant in the Los Angeles County jail, testified that defendant told him “he was working for a guy that was in Tucson that ran a swap meet, and they come to California to buy tools to go back up there and sell.” Defendant asked the guy to borrow money but he refused. Torregano testified; “So when [defendant] got here in Long Beach, in King’s Park, the guy was sleeping. He got the gun. He shot him twice in the head, took the money off the guy, left, and went to Tucson.”
*323 The parties stipulated that defendant suffered a 1983 prior conviction for felony theft in Kansas.
2. Defense Evidence
The defense called James Park, a consultant and former associate warden for the Department of Corrections. He testified that based on his review of defendant’s prison file, he believed that if defendant received a life without possibility of parole sentence, defendant would “be [a] well above average prisoner.” Park testified that based on defendant’s “age and his background, his skills that he has, the other measures of stability, that stability in terms of prison adjustment, there is no doubt that he will be sought after by supervisors.”
Defendant’s then 23-year-old daughter, Vicki Howell, also testified. She said that she and her sister Valerie did not have many memories of defendant because her mother “didn’t want us to have any relationship” with defendant. However, two years prior to the trial, after their mother stopped “interfering,” Howell began communicating with defendant through letters and phone calls, and their relationship became closer. She thought that defendant was a positive influence on her and believed that he tried to fulfill his role as a father.
Deeanna Owen, who first met defendant in Kansas in 1979, testified she considered defendant a “close and valued friend.” Before defendant got in trouble, Owen never knew him to be violent in any way. Owen recalled one time when defendant broke up a fight at a bar.
Reverend Lynn Schubert, a jail chaplain, testified that he met defendant at the Hall of Justice. After defendant was incarcerated in San Quentin, he would often write or call Reverend Schubert. Reverend Schubert testified; “Of all of the men that we’ve come in contact with, he’s been the most faithful of any of them, and he’s very sincere. I believe that with my heart, that he really wants God to make something of his life.” He considered defendant a friend.
Dr. Michael Maloney, a forensic psychologist, testified he first met defendant in 1985 to administer psychological tests. Dr. Maloney interviewed defendant’s adoptive father and reviewed defendant’s “life chronology” documents. Defendant’s biological mother was “fairly consistently described as having an alcohol abuse problem and being neglectful of him, and I think that’s what led to the adoption.” Defendant’s adoptive parents, especially his adoptive mother, also had alcohol problems. Defendant, at age 13, was placed in a psychiatric hospital for “bizarre behavior.” As a teenager, he was hospitalized three different times in psychiatric facilities, until he was emancipated at age 18.
*324 Dr. Maloney testified that defendant was given an electroencephalogram (EEG) twice in his childhood. Both times the EEG results were abnormal, indicating a “mild organic brain dysfunction or brain damage.” Dr. Maloney believed defendant displayed psychological symptoms consistent with fetal alcohol syndrome. Defendant also displayed learning disabilities when he was in school.
In 1985, Dr. Maloney gave defendant a number of tests to determine if he suffered from any possible organic brain syndrome. In the verbal areas, Dr. Maloney believed defendant’s “intelligence is probably bright average, above average.” There was no evidence that defendant suffered from a psychotic mental illness. But there was evidence of defendant’s “personality disorder with features of underlying hostility and anger and difficulty adjusting.”
When Dr. Maloney reinterviewed defendant in 1993, he “did not notice anything remarkably different.” The results of the Minnesota Multiphasic Personality Inventory (MMPI) test on defendant did not suggest a specific diagnosis. Dr. Maloney believed it was “clear” there was no “major mental disturbance such as psychosis.” He also thought that defendant would not be a “high risk” for violence in a custody situation.
II. Discussion
A. Pretrial Issue—Excusal of a Juror
Defendant contends that the trial court improperly excused one prospective juror, Rachel E, because of her views on the death penalty. In determining whether to excuse a juror based on her views regarding the death penalty, a trial court must determine whether the juror’s views would “ ‘prevent or substantially impair the performance of his duties as a juror in accordance with his instructions and his oath.’ ”
(Wainwright v. Witt
(1985)
During voir dire, the trial court excused Rachel F. for cause. On her juror questionnaire, Rachel F. originally answered “no,” but changed her answer to “yes,” to the question whether she would “always vote against death, no *325 matter what evidence might be presented or argument made during a penalty trial.” When the trial court questioned her about her changed response, it asked whether she had a conscientious objection to the death penalty such that she “would automatically and absolutely refuse to consider or vote for a verdict of death in a case involving these charges and special circumstance.” Rachel F. answered, “I would not be able to consider the death penalty.”
When defense counsel also asked her, “Can you conjure up a set of facts in your mind that you can consider that [death] would be an appropriate penalty,” Rachel F. responded, “No, I can’t conjure that up.” The court also asked, “And so under no circumstances would you ever consider voting for the death penalty?” She replied, “I don’t think I could send somebody to his death. Ever.” Contrary to defendant’s contention, the fact that Rachel F. qualified her answers with “I think,” does not undercut the trial court’s finding that she was substantially impaired from performing her duties.
(People
v.
Mitcham
(1992)
Also, the trial court was not required to determine whether the prospective juror might be able to consider the death penalty under different circumstances. “The impact the juror’s views might have in actual or hypothetical cases that are not before the juror [is] irrelevant” to the determination whether the juror’s ability to return the death penalty was impaired.
(People
v.
Visciotti
(1992)
B. Guilt Phase Issues
As a preliminary matter, throughout his briefs defendant contends that transcripts of conferences between the trial court and counsel, which included discussions on jury instructions at both the guilt and penalty phases, are missing. He argues these missing transcripts “prejudiced [Ms] ability to prosecute his appeal because comments, discussions, and (possibly) rulings regarding improper and inadequate instructions are missing.”
“An incomplete record is a violation of section 190.9, which requires that all proceedings in a capital case be conducted on the record with a reporter present and transcriptions prepared. [Citation.]”
(People v. Frye
(1998)
*326 Defendant maintains the appellate record in this case does not include the February 24, 1994, conference regarding jury instructions; the March 1, 1994, instructional conference at which the parties discussed CALJIC No. 2.50 and other guilt phase instructions; a discussion on the preliminary ruling on the Loar transcript; a discussion of the victim impact evidence and other penalty phase evidence; and a discussion regarding the penalty phase instructions.
Even assuming such transcripts are missing, we conclude that they do not preclude adequate review of the issues. As will be seen, to the extent the missing transcripts bear on his claims of instructional error, we will give defendant the benefit of the doubt as to the substance of these missing transcripts.
(People v. Young
(2005)
1. CALJIC No. 2.50
The trial court instructed the jury with CALJIC No. 2.50, permitting jurors to consider evidence of defendant’s other crimes for the limited purpose of proving the identity of the perpetrator. The trial court also gave corresponding instructions regarding the burden of proof on other crimes evidence, and the definition of preponderance of the evidence. (CALJIC Nos. 2.50.1, 2.50.2.) As defendant points out, it is unclear who requested CALJIC No. 2.50 because the instructional conference is not included in the appellate record.
As given, CALJIC No. 2.50 provided as follows: “Evidence has been introduced for the purpose of showing that the defendant committed a crime other than for which he is on trial. [][] Such evidence, if believed, was not received and may not be considered by you to prove that defendant is a person of bad character or that he has a disposition to commit crimes. [][] Such evidence was received and may be considered by you only for the limited purpose of determining if it tends to show: [][] The identity of the person who committed the crime, if any, of which the defendant is accused. []Q For the limited purpose for which you may consider such evidence, you must weigh it in the same manner as you do all other evidence in the case, [f] You are not permitted to consider such evidence for any other purpose.”
Defendant asserts the instruction “invited” the jury to use his prior conviction for grand theft, his marijuana use, and a jailhouse solicitation of murder as evidence of other crimes, as propensity evidence. This evidence was adduced through defendant’s testimony in the guilt phase; the prosecution did not introduce any specific uncharged criminal conduct during its case-in-chief. On direct examination, defendant admitted a prior conviction for grand theft in Kansas, and conceded he violated a condition of probation *327 for the conviction by leaving that state. The parties did not discuss the details underlying this conviction. Also, defendant revealed he and Wayne Anderson smoked “a joint” on the evening of the Swader murder, and that they were smoking “a lot” of marijuana during those days.
Regarding the solicitation for murder, defendant on direct and cross-examination testified to his 1987 conversation with Donald Loar while both were incarcerated in the Los Angeles County jail. Though not denying he talked to Loar about eliminating prosecution witness Robert Berrie, defendant maintained that it was Loar who offered to eliminate Berrie, that defendant “never wanted it to happen,” and that he simply wanted to appear like a “heavy” to protect himself in jail.
On appeal, defendant does not contend the trial court of the prosecution highlighted this other crimes evidence to the jury. Indeed, the record shows the trial court confirmed that both defense counsel and the prosecution “agree[d] that there is no need to define the crime referred to in CALJIC 2.50.” Claiming error, defendant asserts the instruction failed to identify the other crimes evidence and failed to provide the jury with sufficient guidance, and that there was insufficient evidence to support giving the instruction. He argues that giving this instruction violated his various constitutional rights. For reasons that follow, we find no error.
As noted above, defense counsel agreed it was unnecessary to define the other crimes evidence. Thus, defendant has forfeited this claim on appeal.
(People
v.
Lewis
(2001)
Defendant also argues that because CALJIC No. 2.50 was “silent as to how the unspecified evidence might be used to show identity other than by
*328
showing predisposition or bad character, it is both confusing and contradictory.” We disagree. Contrary to defendant’s suggestion, CALJIC No. 2.50 “was and is a correct statement of the law.”
(People
v.
Linkenauger
(1995)
As we discussed in the first appeal, defendant’s act of soliciting the murder of key prosecution witness Berrie “was highly probative of defendant’s consciousness of guilt, which in turn was probative of his identity as the perpetrator of the charged offenses.”
(People
v.
Wilson, supra,
As noted above, neither the trial court nor the prosecution suggested that defendant committed the crime of solicitation of murder. The court’s instruction did not mention any particular crime. In any event, contrary to defendant’s contention, there was sufficient evidence that defendant committed the offense of soliciting Berne’s murder.
“Solicitation is defined as an offer or invitation to another to commit a crime, with the intent that the crime be committed. The crime of solicitation, which is restricted to the solicitation of particular serious felony offenses, is complete once the verbal request is made with the requisite criminal intent; the harm is in asking, and it is punishable irrespective of the reaction of the person solicited. Thus, solicitation does not require the defendant to undertake any direct, unequivocal act towards committing the target crime; it is completed by the solicitation itself, whether or not the object of the solicitation is ever achieved, any steps are even taken towards accomplishing it, or the person solicited immediately rejects it. [Citations.]”
(In re Ryan N.
(2001)
Although defendant maintains he only wanted to appear like a “heavy” and did not actually want to kill Berrie, a trier of fact could reasonably have concluded otherwise in light of the circumstances. Believing that Loar had *329 connections to make a hit, defendant testified that he told Loar that he wanted to eliminate Berrie, a key witness who could place defendant and the victim together before the murder. A trier of fact could have reasonably rejected portions of defendant’s self-serving testimony that he did not want to kill Berrie and that it was Loar who offered to eliminate Berrie. Accordingly, we conclude the trial court did not err in giving CALJIC No. 2.50.
In a related argument, defendant claims that there was insufficient evidence of criminal solicitation (§ 653f) because the evidence consisted only of defendant’s testimony without corroborating circumstances. Under section 653f, subdivision (f), the “offense
charged . .
. shall be proven by the testimony of two witnesses, or of one witness and corroborating circumstances.” (Italics added.) As the Attorney General argues, the evidentiary requirement under section 653f, subdivision (f), is inapplicable here.
(People v. McDermott
(2002)
Finally, contrary to defendant’s suggestion, there is no reasonable likelihood that, in addition to considering defendant’s prior grand theft conviction for impeachment purposes (CALJIC No. 2.23), the jury used the conviction to prove identity under CALJIC No. 2.50.
(People
v.
Farnam
(2002)
Based on the foregoing, we find no error based on CALJIC No. 2.50. 5
*330 2. CALJIC No. 2.06
Defendant argues that the trial court erred by instructing the jury with CALJIC No. 2.06 regarding the suppression of evidence. The instruction provided as follows: “If you find that a defendant attempted to suppress evidence against him in any manner, such as by the intimidation of a witness or by destroying evidence, such attempt may be considered by you as a circumstance tending to show a consciousness of guilt. However, such conduct is not sufficient by itself to prove guilt, and its weight and significance, if any, are matters for your consideration.”
Because the March 1, 1994, instructional conference is not part of the record, defendant argues that “the intentions behind the court’s modifications to and giving of CALJIC 2.06 are unknown.” Both defendant and the Attorney General, however, agree the conduct CALJIC No. 2.06 referred to was defendant’s solicitation of murder of prosecution witness Berrie, and of defendant’s throwing away the gun used to shoot victim Swader.
Defendant maintains this instruction improperly lessened the prosecution’s burden of proof and was unsupported by the evidence. Based on this alleged error, he claims various constitutional violations. For reasons that follow, we find no error.
We have consistently rejected the claim that CALJIC No. 2.06 lessens the prosecution’s burden of proof.
(People v. Coffman and Marlow
(2004)
“ ‘[I]n order for a jury to be instructed that it can infer a consciousness of guilt from suppression of adverse evidence by a defendant, there must be some evidence in the record which, if believed by the jury, will sufficiently support the suggested inference.’ [Citation.]”
(People v. Hart
(1999)
There was also evidence defendant attempted to destroy the murder weapon. In his confession to the police, defendant stated that after he shot Swader with his own gun, defendant threw the gun out the car window as he drove on the freeway.
*331 3. Failure to Instruct on the Defense of Duress
Defendant argues that the trial court erred by failing to instruct the jury sua sponte on the defense of duress. (See § 26; CALJIC No. 4.40.) He contends there was substantial evidence that he acted out of fear that Anderson, whom defendant maintained committed the criminal acts, would kill him. Specifically, defendant testified that he heard two gunshots, that he saw Anderson standing over Swader’s body holding a gun, that Anderson pointed the gun at defendant and told him to drive, and that defendant “figure[d] he was going to kill me, too.” Defendant asserts that he simply interrupted, then aided, a robbery that was in progress.
The defense of duress is available to defendants who commit crimes, except murder, “under threats or menaces sufficient to show that they had reasonable cause to and did believe their lives would be endangered if they refused.” (§ 26; see
People
v.
Anderson
(2002)
Defendant claims there was substantial evidence of duress as a defense to the robbery charge (§ 211), the underlying offense of felony murder, and the robbery-murder special-circumstance allegation (§ 190.2, subd. (a)(17)(A)). The trial court here instructed the jury as to both deliberate and premeditated first degree murder (CALJIC No. 8.20), and first degree felony murder (CALJIC No. 8.21). Because it is unclear whether the jury relied on the premeditation theory or the felony-murder theory, defendant argues we must reverse the murder conviction, in addition to the penalty judgment and the robbery conviction.
We conclude the trial court did not err in failing to give the duress instruction because defendant failed to present substantial evidence of the defense. “Substantial evidence is ‘evidence sufficient “to deserve consideration by the jury,” not “whenever
any
evidence is presented, no matter how weak.” ’ ”
(People v. Lewis
(2001)
In any event, any error based on the failure to instruct on duress was harmless. The jury clearly rejected defendant’s theory that he had no involvement in the murder and that he aided the robbery only
after
Anderson had already shot and killed Swader. As the trial court instructed the jury, the robbery-murder special-circumstance allegation required the jury to find that “defendant acted with specific intent to kill” and that the “murder was committed while [defendant] was engaged in the commission of a robbery.” By finding this special circumstance allegation to be true, the jury necessarily rejected any factual basis underlying defendant’s duress defense. (See
People
v.
Pulido
(1997)
4. Alleged Prosecutorial Misconduct
Defendant contends the prosecution committed multiple acts of misconduct during the guilt phase. We discuss each claim in turn.
a. Discovery violations
During her direct examination, defense witness Sonya Cravens testified that Wayne Anderson told her that he, and not defendant, shot Swader. Cravens said Anderson told her: “I hope they don’t get [defendant] too hard. He doesn’t deserve it because I pulled the trigger.” The prosecution objected on hearsay grounds and contended the statement did not fall within the hearsay exception of declaration against interest (Evid. Code, § 1230). Noting it was a “close call,” the trial court ruled that “subject to a showing of unavailability,” the statement “does meet the criteria set forth in Evidence Code section 1230 and is admissible.”
The trial court held a hearing to determine the availability of Anderson. Defendant called investigator Cynthia Castro, who testified she traveled to Kansas and Oklahoma to try to locate Anderson. Castro subsequently discovered that Anderson used various aliases. Although Castro traveled to *333 Oklahoma and spoke with Cravens, Castro was unable to find Anderson. To show that defendant did not use due diligence, the prosecution called Detective Collette to testify about his own efforts to locate Anderson. Detective Collette testified that in December 1993, he searched for Anderson through a driver’s license check in Oklahoma. Detective Collette stated that he located Anderson, who was living under the name Richard Dume, in Grove, Oklahoma. Defense counsel responded he was “totally shocked” that the prosecution did not give them any investigative reports on the search in Oklahoma, despite previously representing that “everything the People have had has long since been turned over.”
Defendant maintains that investigating officers had “an ongoing secretive inquiry into the whereabouts” of Anderson. On appeal, defendant claims that the prosecution’s failure to disclose information about Anderson violated sections 1054.1, 1054.7 and 190.3, along with constitutional provisions. For reasons that follow, we disagree.
Significantly, defendant fails to show any conceivable prejudice based on any alleged discovery violation. The trial court ultimately found that defendant used due diligence to try to locate Anderson, and as such, determined Anderson was “unavailable.” (Evid. Code, § 1230.) Accordingly, it permitted the defense to call Cravens as a witness to testify about Anderson’s self-inculpatory statements that he, and not defendant, shot Swader. Indeed, as the prosecution pointed out, it was to defendant’s advantage that he not locate Anderson, because then Anderson’s self-inculpatory statements would come in through Cravens’s undisputed testimony.
Moreover, the prosecution did not commit misconduct. Defendant fails to show how the prosecution violated section 1054.1’s discovery obligations by not disclosing information on a witness the defense intended to present. Also, given that Detective Collette used reports provided by the
defense
to direct his search to Oklahoma, defendant’s claim that he could not find Anderson without information from Detective Collette’s investigation is meritless. Finally, we agree with the Attorney General that Detective Collette’s search efforts did not constitute “evidence favorable to an accused” within the meaning of
Brady v. Maryland
(1963)
b. Inconsistent theories
Defendant claims the prosecution committed misconduct by arguing inconsistent theories. At a hearing outside the presence of the jury to determine the admissibility of Wayne Anderson’s self-inculpatory statements (Evid. Code § 402), Detective Collette testified to his attempt to find Anderson. The prosecution stated that from “Detective Collette’s perspective, [Wayne *334 Anderson] is, as is Sonya Cravens from the evidence we have, a suspect in this case.” However, at the conclusion of the guilt phase, the prosecution told the jury: “Let’s bear in mind that Wayne and Sonya, when this case was initiated and, as far as I know, to this point are not suspects in the murder.” Based on these statements, defendant asserts that the prosecution “manipulat[ed]” the theory of its case. We disagree.
First, defendant failed to object on this ground at trial; therefore, he has forfeited this claim on appeal.
(People
v.
Farnam, supra,
c. Cross-examination of Sonya Cravens
During its cross-examination of Sonya Cravens, the prosecution asked her, “Did you not inquire of
your attorney
whether or not you had to speak to [Detective Collette and his partner]?” Defense counsel objected that he was not Cravens’s attorney: “I represent Mr. Wilson.” The prosecution apologized and rephrased its question. On appeal, defendant claims that the prosecution’s question “improperly hinted that Cravens was part and parcel of the defense team.” We disagree. The prosecution’s brief misstatement, which was quickly withdrawn, did not improperly suggest Cravens was part of the defense team, much less constitute a deceptive or reprehensible method used to persuade the jury. (See
People
v.
Monterroso
(2005)
Defendant also claims that the prosecution attempted to intimidate Cravens by “affirmatively exploiting her fears of reprisal from Wayne” through personal questions on her address and the cars she had, and by asking her “sharp, argumentative, and even threatening” questions. We disagree.
First, defendant failed to object that the questions were argumentative; therefore, he has forfeited this claim on appeal.
(People v. Farnam, supra,
Also, the prosecution’s questions on her current home address and the year, make, and license plate numbers of her cars were intended to contradict her testimony that she did not know that Detective Collette had knocked on her door in February 1994. The trial court overruled defendant’s relevance objection after the prosecution explained it would tie the information to Detective Collette’s visit to Cravens’s home.
d. Cross-examination of defendant
Defendant argues the prosecution committed misconduct by suggesting that defendant’s exercise of the right of counsel was somehow improper and showed his consciousness of guilt. For example, the prosecution pointed out that defendant knew the police could not talk to him once he was represented by counsel, that defendant has read all the reports in this case, and that defendant has had a number of attorneys over the years. Because defendant did not object on this ground at trial, he has forfeited the claim on appeal.
(People v. Farnam, supra,
Moreover, contrary to defendant’s assertion, this cross-examination was not improper. “A prosecutor is permitted wide scope in the cross-examination of a criminal defendant who elects to take the stand. [Citation.]”
(People v. Gutierrez
(2002)
Also, by asking defendant whether he “remembered anything else” after speaking to his attorney, the prosecution did not commit misconduct. Given defendant’s inconsistent testimony regarding whether he and Anderson had *336 discussions after fleeing the murder scene, the prosecution was entitled to question his ability to recall the events.
Nor did the prosecution invade privileged attorney-client communications. The prosecution pointed out that defendant told his prior attorneys at least four different versions of what happened. In its questioning, the prosecution also noted that defendant had “been advised by your attorneys of what was going to happen when you came into court,” that he “had a chance over all these years, particularly the last six, to prepare and anticipate that,” and that he “certainly talked to your present attorneys about this case at length.”
Defendant failed to object based on attorney-client privilege, and as such, he has forfeited this claim on appeal. (Evid. Code, § 912, subd. (a) [“Consent to disclosure is manifested by . . . failure to claim the privilege in any proceeding in which the holder has the legal standing and opportunity to claim the privilege”].) Moreover, because defendant testified previously at the 1988 proceedings to these communications with counsel, he has waived the privilege. The attorney-client privilege “is waived with respect to a communication protected by the privilege if any holder of the privilege, without coercion, has disclosed a significant part of the communication . . . .” (Ibid.; see
People v. Barnett
(1998)
Contrary to defendant’s contention,
People v. Flores
(1977)
e. Guilt phase argument
Defendant claims that the prosecution made a number of improper statements during closing argument at the guilt phase. The prosecution made an oblique reference to the first trial: “We know there have been other court proceedings. Obviously we’re not telling you about those for a reason. You’re not going to know about those.” According to defendant, the prosecution also improperly referred to other criminal trials, like the Menendez brothers’ trial, by stating, “In terms of that suggested lesser offense of accessory, actually I would find that humorous were it not for some of the things that we’ve all read about in the paper lately about the things that other juries have done.”
Defendant also protests that the prosecution misleadingly told the jury that they would have heard evidence that Wayne Anderson was a “dangerous person” or threatened Sonya Cravens or defendant if there was any such
*337
evidence, because defendant points out there was evidence—which the jury did not hear—that Anderson shot his cousin in 1985. He also claims the prosecution attempted to appeal to the jury’s sympathy by stating “what little we hear about the victim is brushed under, swept under the rug.” Defendant complains the prosecution questioned the integrity of defense counsel and witnesses by stating defendant was “missing his lines there” during his testimony, and that the defense had a “strategy” and used Cravens’s testimony as a “calculated” attempt to “serve the interests of the defense as best as possible.” Finally, defendant asserts the prosecution “sandbagg[ed]” the defense and engaged in “gamesmanship” by not revealing its theory of its case until after defense closing argument, thus precluding the defense from responding. Defendant failed to object to any of these comments; as such, he has forfeited the claim on appeal.
6
(People v. Farnam, supra,
“To prevail on a claim of prosecutorial misconduct based on remarks to the jury, the defendant must show a reasonable likelihood the jury understood or applied the complained-of comments in an improper or erroneous manner.”
(People
v.
Frye, supra,
We conclude the prosecution’s reference to the first trial was fair comment on the evidence in that defendant himself testified he had prior attorneys.
*338
Although defendant claims the prosecution invited jurors to speculate on the reason why they were not told about the first trial, “we ‘do not lightly infer’ that the jury drew the most damaging rather than the least damaging meaning from the prosecutor’s statements. [Citation.]”
(People v. Frye, supra,
Contrary to defendant’s contention, we disagree that the prosecution “improperly exploited” the “suppression” of evidence that Anderson shot someone. Defense counsel himself told the trial court that he “did not intend for that information to come before the jury, recognizing the hearsay nature of it.” Moreover, the prosecution’s argument was fair comment on the evidence. Given defendant’s argument he committed the crimes out of fear that Anderson would kill him, it was reasonable for the prosecution to point out that defendant did not present any evidence that Anderson threatened defendant or Cravens. “[Pjrosecutorial comment upon a defendant’s failure ‘to introduce material evidence or to call logical witnesses’ is not improper. [Citations.]”
(People
v.
Wash
(1993)
The prosecution’s statement that victim Swader was being “swept under the rug” was also fair comment on the evidence. The jury heard that Swader had given defendant a job and a place to stay, and that defendant had taken advantage of Swader’s generosity and trust. “A prosecutor may properly identify the traits that made the victim vulnerable to attack when such characteristics are relevant to the charged crimes, and has no obligation ‘to shield the jury from all favorable inferences about the victim’s life or to describe relevant events in artificially drab or clinical terms.’ [Citation.]”
(People v. Frye, supra,
Moreover, the prosecution’s assertion that defendant was lying and its description of the defense strategy were not misconduct. The prosecution may properly refer to a defendant as a “liar” if it is a “reasonable inference based on the evidence. [Citation.]”
(People
v.
Coddington
(2000)
C. Penalty Phase Issues
1. Admission of the Prior Testimony of Donald Loar
In setting aside the first death judgment, we concluded defense counsel in the first trial gave ineffective assistance for failing to object to, among other things, certain testimony by informant Donald Loar, defendant’s cellmate in 1987.
(In re Wilson, supra,
However, we also concluded that Loar’s jailhouse conversations with defendant
before
Loar contacted the district attorney’s office did not violate defendant’s federal or state constitutional right to counsel.
(In re Wilson, supra,
At the penalty phase of the retrial, the prosecution requested to read into the record as section 190.3 evidence a portion of Loar’s prior testimony we concluded was admissible.
7
(See
In re Wilson, supra,
On appeal, defendant contends admitting Loar’s prior testimony violated his state and federal constitutional right of confrontation, Evidence Code section 1291, his Sixth Amendment right to counsel under
Massiah
v.
United States, supra,
a. Right of confrontation
A criminal defendant has the right under both the federal and state Constitutions to confront the witnesses against him. (U.S. Const., 6th Amend.; Cal. Const., art. I, § 15.) This right, however, is not absolute. The high court recently reaffirmed the long-standing exception that “[testimonial statements of witnesses absent from trial have been admitted only where the declarant is unavailable, and only where the defendant has had a prior opportunity to cross-examine.”
(Crawford
v.
Washington
(2004)
*341 Evidence Code section 1291, subdivision (a)(2), provides that former testimony is not rendered inadmissible as hearsay if the declarant is “unavailable as a witness,” and “[t]he party against whom the former testimony is offered was a party to the action or proceeding in which the testimony was given and had the right and opportunity to cross-examine the declarant with an interest and motive similar to that which he has at the hearing.” In turn, Evidence Code section 240, subdivision (a)(5), states a declarant is “unavailable as a witness” if the declarant is “[a]bsent from the hearing and the proponent of his or her statement has exercised reasonable diligence but has been unable to procure his or her attendance by the court’s process.”
Loar’s former testimony was offered against defendant, who was a party in the first trial, and defendant’s “interest and motive” in examining Loar in the first trial was identical to that in this retrial. (Evid. Code, § 1291, subd. (a)(2).) Defendant does not contend otherwise. However, defendant claims that the prosecution failed to show it used reasonable diligence trying to locate Loar; thus, the trial court erroneously deemed Loar “unavailable as a witness.” (Evid. Code, §§ 240, subd. (a)(5), 1291, subd. (a)(2).) For reasons that follow, we disagree.
(1) “Unavailable as a witness”
The term “reasonable diligence” or “due diligence” under Evidence Code section 240, subdivision (a)(5) “ ‘connotes persevering application, untiring efforts in good earnest, efforts of a substantial character. [Citations.]’ ”
(People v. Cromer, supra,
At a March 11, 1994, due diligence hearing, Detective William Collette testified that in November 1993, he made efforts over two days to locate Loar, including visiting his last known address, attempting to locate his known associates, and checking police, county, and state records with the 15 different names Loar had used. However, Detective Collette was unsuccessful in finding him.
Defendant argues that once this court reversed the judgment in 1992, the prosecution should have contacted and monitored Loar, who was still in prison or recently released at that time. He reiterates his claim at trial that Detective Collette should have attempted to locate Loar’s family, checked *342 with the post office for Loar’s forwarding address, followed up with his visitors in prison, and determined whether he was a party in any civil actions. As a result, defendant argues, the prosecution did not use reasonable diligence to locate Loar. Under our independent review, we conclude that the prosecution exercised due diligence.
The prosecution is not required “to keep ‘periodic tabs’ on every material witness in a criminal case . . . .”
(People
v.
Hovey
(1988)
Although defendant criticizes the prosecution for starting the search a year after we reversed the judgment in November 1992, such delay was not unreasonable. Both defense counsel and the prosecution believed the retrial could not realistically begin any earlier than September 1993, and after several continuances, the first witness testified on February 22, 1994. “[I]t is unclear what effective and reasonable controls the People could impose upon a witness who plans to leave the state, or simply ‘disappear,’ long before a trial date is set.”
(People v. Hovey, supra,
Defendant’s claim that Detective Collette should have made additional efforts to find Loar, e.g., checking the post office, locating Loar’s family, contacting Loar’s prison visitors, does not change our conclusion that the prosecution exercised reasonable diligence. “That additional efforts might have been made or other lines of inquiry pursued does not affect this conclusion. [Citation.] It is enough that the People used reasonable efforts to locate the witness.”
(People v. Cummings
(1993)
*343 (2) “Opportunity to cross-examine”
Both the United States Supreme Court and this court have concluded that “when a defendant has had an opportunity to cross-examine a witness at the time of his or her prior testimony, that testimony is deemed sufficiently reliable to satisfy the confrontation requirement [citation], regardless whether subsequent circumstances bring into question the accuracy or the completeness of the earlier testimony. [Citation.]”
(People v. Samayoa, supra,
15 Cal.4th at pp. 851-852, citing
California v. Green
(1970)
However, relying mainly on
Ohio v. Roberts
(1980)
Crawford v. Washington
made clear that reliability is not part of the inquiry under the confrontation clause: “To be sure, the Clause’s ultimate goal is to ensure reliability of evidence, but it is a procedural rather than a substantive guarantee. It commands, not that evidence be reliable, but that reliability be assessed in a particular manner: by testing in the crucible of cross-examination. The Clause thus reflects a judgment, not only about the desirability of reliable evidence (a point on which there could be little dissent), but about how reliability can best be determined.”
(Crawford v. Washington, supra,
*344 In any event, for reasons stated below, we reject defendant’s claim that Loar’s testimony was unreliable.
(a) New information about May 6, 1987, meeting
Asserting that Loar was “more of a police agent than was suspected,” defendant emphasizes that his original trial counsel did not know that Loar met with Detectives Collette and Miller 8 on May 6, 1987. Defendant points to a declaration by Forest Elliott, Jr., an attorney who represented both defendant and Loar at some point. The parties discussed the contents of this declaration in the retrial.
In his declaration, Elliott claimed that on May 6, 1987, he was representing Loar in a matter at a Long Beach courthouse. Detectives Collette and Miller were at the courthouse on that date, waiting for Loar. Loar voluntarily spoke to the detectives alone. Elliott’s declaration did not assert he heard what Loar and the detectives talked about, or that Loar or anyone else told him what was discussed in that conversation. However, Elliott stated he “now understands why” Loar wanted to talk to the detectives; Elliott posited that Loar testified against defendant and “collud[ed]” with Prosecutor Hodgman and Judge Sheldon to obtain “an illegal reduction in sentence to ‘time served’ (none of which was served in a state prison).”
Defendant argues it is significant that Loar met with these detectives at this time because Loar had testified he had the jailhouse conversation with defendant in the late summer to early fall of 1987. He asserts that Loar should have been questioned about this earlier meeting with detectives because “an inquiry into this area was crucial to assessing credibility, for it brings up the question of whether Mr. Loar was attempting to elicit information as a police agent.” Even if the prosecution or detectives did not promise Loar anything in exchange for his testimony, defendant claims the issue is Loar’s expectation of what benefits he would receive. We disagree.
Contrary to defendant’s contention, this information of a May 6, 1987, meeting between Loar and detectives, which was not disclosed at the first trial, does not undermine the reliability of Loar’s testimony. As the Attorney General points out, Elliott’s declaration only shows that Loar may have met with Detectives Collette and Miller on May 6, 1987. Nothing suggests that
*345
this conversation between Loar and the detectives was about defendant, as opposed to any other matter. Moreover, Loar’s testimony revealed that he previously cooperated as an informant with at least two district attorney’s offices over the years. Finally, Loar’s prior testimony revealed that he was—at the time he testified—in the custody of the Los Angeles County Sheriff for violating probation arising from a fraud conviction, and that he had previously been convicted of burglary and possession of heroin with the intent to sell. The evidence of Loar’s prior convictions would have already exposed his credibility to impeachment.
(People v. Morris, supra,
Given the evidence of Loar’s prior cooperation with law enforcement, the evidence of Loar’s prior convictions, and the lack of any evidence that the May 6, 1987, meeting was about defendant, we conclude that had the first jury known about the meeting, this would not have significantly altered the jury’s view of Loar’s credibility.
(b) Subsequent reduction in Loar’s sentence
Next, defendant claims that the trial court “exacerbated the unfair prejudice” by ordering that Loar’s prior testimony be read without reference to any subsequent reduction in Loar’s sentence. Defendant asserts that after Loar testified in the 1988 trial, the original prosecutor, Mr. Hodgman, asked a superior court “in secret” to modify Loar’s previously imposed sentence in another case based on his assistance in the Wilson case.
In the retrial, the prosecution conceded Loar received a reduced sentence, but maintained there was no prior deal made in exchange for Loar’s testimony. The prosecution explained that Hodgman assisted Loar in reducing his sentence because Loar spent time in jail awaiting his trial testimony and lost credits he would have otherwise earned in state prison. The trial court here concluded that from its “reading of all the documents, it may be that Mr. Loar hoped for a reduction in his sentence, but there is no evidence that there was any agreement or promise from the district attorney.” However, the court suggested that defendant could subpoena Hodgman to question him about any prior deal Loar had in exchange for his testimony. There is no evidence in the record that defendant did so.
As noted above, the prosecution explained the reason why Hodgman subsequently requested leniency for Loar. Because substantial evidence supports the trial court’s finding that there was no agreement, we must defer to it. (See
People v. Fairbank, supra,
(c) Ineffective cross-examination
Defendant also contends that defense counsel’s allegedly ineffective cross-examination of Loar rendered this testimony unreliable. He complains that prior defense counsel never asked Loar, among other things, how many times he testified in other cases, whether he expected any leniency or benefit for his testimony, about his ability to remember, and about his meetings with detectives or prosecutors. Defendant argues “the cross-examination of Mr. Loar in the first trial failed to adequately and zealously confront his testimony, and failed to test Mr. Loar’s credibility in any meaningful way.” For reasons that follow, we disagree.
Contrary to defendant’s contention, defense counsel’s failure to explore certain areas on cross-examination does not render Loar’s testimony inadmissible under Evidence Code section 1291. “As long as defendant was given the
opportunity
for effective cross-examination, the statutory requirements were satisfied; the admissibility of this evidence did not depend on whether defendant availed himself fully of that opportunity. [Citations.]”
(People v. Zapien
(1993)
We reject defendant’s claim that we must nonetheless examine the effectiveness of the cross-examination under
Ohio v. Roberts, supra,
For instance, unlike in Mancusi v. Stubbs, the record does not indicate, and defendant does not suggest, that his prior defense counsel had minimal time for trial preparation and therefore could not effectively cross-examine Loar. Moreover, as the Attorney General contends, defense counsel’s ineffective assistance in the first trial, which was based on his failure to object to certain testimony under Massiah v. United States, supra, 377 U.S. 201, did not bear directly on his actual questioning of Loar. Defense counsel’s failure to identify a meritorious Massiah claim does not necessarily indicate an inability to effectively cross-examine a witness.
(d) Nature of informant testimony
We also reject defendant’s unsubstantiated assertion that Loar was an informant in, what defendant describes as, “the now-notorious Los Angeles informant ring.” We have consistently rejected claims that informant testimony must be excluded because it is “inherently unreliable.”
(People v. Ramos
(1997)
In sum, because we conclude defendant was given an opportunity to cross-examine Loar in the first trial, and Loar was “unavailable” under Evidence Code section 240, Loar’s former testimony was admissible pursuant to Evidence Code section 1291. As such, admitting this testimony did not violate defendant’s right of confrontation under the federal Constitution.
(Crawford v. Washington, supra,
b. Massiah error
In reversing the original judgment, we concluded that Loar’s initial jailhouse conversation with defendant, before Loar contacted the district attorney’s office, did
not
violate defendant’s Sixth Amendment’s right to counsel
*348
under
Massiah
v.
United States, supra,
“To prove a violation of the Sixth Amendment, a defendant ‘must establish that the informant. . . was acting as a government agent, i.e., under the direction of the government pursuant to a preexisting arrangement, with the expectation of some resulting benefit or advantage.’ [Citation.]”
(People v. Fairbank, supra,
The trial court here found there was no evidence that Loar had a prior deal with the prosecution to give his testimony in exchange for leniency. (See
ante,
at p. 339, fn. 7.) Elliott’s declaration did not establish that the May 6, 1987, conversation Loar had with detectives was about defendant. The fact that Loar met with detectives did not “by itself make him a police agent.”
(People
v.
Fairbank, supra,
c. Section 190.3
As relevant here, section 190.3 provides that “no evidence may be presented by the prosecution in aggravation unless notice of the evidence to be introduced has been given to the defendant within a reasonable period of time as determined by the court, prior to trial.” (§ 190.3, 4th par.) During voir dire at the beginning of the guilt phase, the prosecution listed Loar as a possible witness. During the guilt phase, it again verbally informed the court and defense counsel that it anticipated introducing the prior testimony of Loar.
*349
Contrary to defendant’s suggestion, this notice was sufficient pursuant to section 190.3. (See
People
v.
Cunningham
(2001)
2. Admission of the Testimony of Farrell Lee Torregano
In the first trial, Farrell Lee Torregano, an inmate in the Los Angeles County jail at the same time defendant was there, testified that defendant admitted to him that he shot Swader twice in the head.
(People v. Wilson, supra,
a. Section 190.3
As discussed above, section 190.3 provides that “no evidence may be presented by the prosecution in aggravation unless notice of the evidence to be introduced has been given to the defendant within a reasonable period of time as determined by the court, prior to trial.” (§ 190.3, 4th par.) Contrary to defendant’s contention, “section 190.3 requires
notice,
not written notice.”
(People v. Smith, supra,
The purpose of section 190.3’s notice requirement “is to advise the accused of the evidence against him so that he may have a reasonable opportunity to prepare a defense at the penalty phase. [Citation.]”
(People v. Hart, supra,
*350
Section 190.3 requires that a defendant be given a reasonable
opportunity
to defend against the prosecution’s aggravating evidence.
(People
v.
Hart, supra,
b. Section 1127a, subdivision (c)
Defendant claims that the prosecution failed to comply with section 1127a, subdivision (c). This subsection provides that “[w]hen the prosecution calls an in-custody informant as a witness in any criminal trial, contemporaneous with the calling of that witness, the prosecution shall file with the court a written statement setting out any and all consideration promised to, or received by, the in-custody informant.” (§ 1127a, subd. (c).) At trial, the prosecution denied giving Torregano any consideration for his testimony: “I’m representing to the court that I’ve spoken to Mr. Torregano, asked for his testimony, that he has asked for nothing, and that I’ve promised him nothing. So to that extent, I have complied with [section] 1127a. There is no deal here, nor, to the best of my knowledge, was there ever any deal in terms of Mr. Torregano’s testimony in 1988 or Mr. Loar’s testimony then.” The prosecution suggested defendant could impeach Torregano’s testimony if he believed Torregano received any benefit.
Regarding defendant’s evidence of a possible benefit, the prosecution explained that defense counsel “has pointed to two cases arising in 1987 and 1988, prior to Mr. Torregano’s testimony in this trial—this Wilson trial in June of ’88, in which [defense counsel] feels there was an inappropriate sentence and one that suggests that there was a deal made.” Apart from this oblique reference to “an inappropriate sentence,” defendant does not identify any credible evidence that Torregano expected or received any consideration for his testimony.
(People v. Ramos, supra,
*351 Assuming the prosecution was required to provide written notice under section 1127a, subdivision (c), that there was no consideration, we conclude defendant suffered no prejudice from the prosecution’s failure to do so. As the Attorney General points out, the prosecution verbally notified the trial court and defendant by providing information that would have been in any written statement, i.e., that Torregano neither received, nor was promised, any consideration for his testimony.
c. Reliability
Defendant argues that the admission of Torregano’s allegedly unreliable testimony gave rise to constitutional violations. However, because defendant objected at trial based only on statutory violations (§§ 190.3, 1127a), he has forfeited his state and federal constitutional challenges by failing to object on these grounds.
(People v. Rodrigues
(1994)
Moreover, the claims lack merit. Without pointing to any specific evidence in his case, defendant generally states that informant testimony is “evidence of the most questionable reliability,” and that “Los Angeles County prosecutions in the 1980s were notorious for the misuse of this type of evidence.” We have consistently rejected claims that informant testimony is “inherently unreliable.”
{People
v.
Ramos, supra,
3. Denial of Motion for Continuance
During the penalty phase, the prosecution gave notice that it intended to present witness Farrell Lee Torregano and witness Rose Wigley (the younger sister of victim Swader), as well as evidence of Donald Loar’s prior testimony. Claiming surprise, defense counsel objected to the proffered testimony and said he was at a “severe handicap” and “disadvantage” because he did not have time to subpoena unidentified witnesses to impeach the testimony of Loar and Torregano. 10 In the alternative, he asked for a continuance to subpoena the witnesses. The trial court overruled defendant’s objection, and implicitly denied his continuance motion.
On appeal, defendant claims the trial court abused its discretion in denying a continuance. For reasons that follow, we disagree.
*352
“A motion for continuance should be granted only on a showing of good cause. (§ 1050, subd. (e).)”
(People v. Seaton
(2001)
As discussed above, defendant was aware—as early as jury selection—that the prosecution intended to introduce the testimony of Torregano and the prior testimony of Loar possibly during the guilt phase. Despite being informed of this testimony long before the penalty phase, defense counsel admitted he “did not subpoena or prepare to have those witnesses available to rebut the testimony.” We conclude defendant failed to show he exercised any diligence in attempting to obtain the impeaching witnesses. His constitutional challenges based on this claim necessarily fail. As we have observed, “The trial court has substantial discretion in ruling on midtrial motions to continue the case, and appellate challenges to a trial court’s denial of such a motion are rarely successful. [Citations.]”
(People
v.
Seaton, supra,
4. Failure to Instruct on the Meaning of “Life Without the Possibility of Parole ”
On appeal, defendant contends the trial court had a sua sponte duty to instruct on the meaning of the penalty “life without possibility of parole.” He states that certain jurors’ responses indicated “there were serious doubts among many of the potential jurors that a life without parole sentence meant parole ineligibility.” Relying on
Simmons
v.
South Carolina
(1994)
Absent a request, a trial court is not required to instruct on the meaning of “life imprisonment without possibility of parole.”
(People
v.
Holt
(1997)
During voir dire, defense counsel questioned five prospective jurors, two of whom eventually sat on the jury, about their responses to the following question on the juror questionnaire: “When a jury votes that a person be sentenced to life in prison without the possibility of parole, what does that mean to you?” Zara C., who sat on the jury, had written, “I wonder if that will happen.” After defense counsel told her the judge will explain this type of sentence and said “we have to assume” the sentence will be carried out, she replied: “As I’ve sat in this, I realize that. I didn’t know that that was—let’s put it this way. If the judge says he’s sentenced to life imprisonment without possibility of parole, I would believe that.” Another sitting juror, Glenda L., said although she had “some reservations” accepting as “fact” that a sentence of life imprisonment without the possibility of parole is just that, she “would have to” accept it.
Prospective Juror Wilhelmina R. had written on her juror questionnaire she thought this sentence meant that a defendant “may be out some day.” When defense counsel asked Wilhelmina R., “If the judge told you that [life in prison without possibility of parole is just that], would you accept it as a fact,” she replied, “Yeah, of course.” She earlier stated that she would “have to hear” the judge tell her that. Prospective Alternate Juror David G. wrote the following answer regarding what his opinion was on life in prison without the possibility of parole: “If found guilty—then the possibility of parole [sic].” During voir dire, he explained that “there’s always some—somewhat changes along the line after the fact. That can be possible, yes.” However, after defense counsel stated that “there is no possibility of parole when that sentence is imposed,” David G. said he understood. Moreover, on his juror questionnaire he wrote that he thought a sentence of life in prison without possibility of parole was worse than death for a defendant because “if guilty—person must remain behind bars for life.”
Another prospective alternate juror, Donald C., wrote on his questionnaire that he “always doubted the phrase ‘without the possibility of parole.’ ” During voir dire, he explained that he “wasn’t aware there was a law that made that exactly the definition, that there was no possibility.” However, when defense counsel asked Donald C. if the judge assured him, would he accept as a “fact” that life imprisonment without possibility of parole was just that, he replied, “Yes, I would.” On his juror questionnaire, Donald C. also *354 wrote that this sentence meant “that the person is put away from society, never to be allowed out of custody.” Wilhelmina R., David G., and Donald C. were ultimately excused, and did not sit on the jury.
Although defense counsel told the jury that the trial court would instruct on the meaning of a “life without possibility of parole” sentence, defense counsel did not request such an instmction and the trial court did not instruct sua sponte. The trial court did, however, give both introductory and concluding jury instructions on the two penalty alternatives, life without possibility of parole and death. (CALJIC Nos. 8.84, 8.88.)
We conclude that these jurors’ responses do not reflect that jurors shared a “ ‘common and widespread misconception’ ” about the meaning of life imprisonment without possibility of parole.
(People
v.
Bonin, supra,
The responses of three prospective jurors who were excused do not strengthen defendant’s claim that the jurors in general were laboring under a misconception.
(People
v.
Bonin, supra,
*355
Contrary to defendant’s contention,
Simmons v. South Carolina, supra,
Even assuming defendant’s future dangerousness was at issue, these high court decisions “stemming from death sentences imposed under South Carolina law are readily distinguishable, in that the juries in those cases were told that the alternative to a death sentence was one of ‘life imprisonment’ without instruction that a capital defendant given such a sentence would not be eligible for parole. [Citations.]” (People v. Snow, supra, 30 Cal.4th at pp. 123-124.) Here, in contrast, the jury was instructed it could sentence defendant to death or “confinement in the state prison for life without possibility of parole.” (CALJIC Nos. 8.84, 8.88.) As such, defendant’s claim based on Simmons and its progeny fails.
5. Admission of Victim Impact Evidence
Just before the start of the penalty phase, the prosecution gave notice for the first time that it intended to call witness Rose Wigley, the younger sister of victim Swader, to testify as to victim impact. The prosecution explained that it “did not specifically know that it would be calling” Wigley because it had only recently learned her name; originally, the prosecution “had hoped to be able to call the children of the victim, but they were not available and did not want to come.” The prosecution maintained that “victim impact evidence was something that was at all times intended to be called.” Defendant objected on the ground that the notice did not meet the requirements of section 190.3, which provides that aggravating evidence with certain exceptions be “given to the defendant within a reasonable period of time as determined by the court, prior to trial.” (§ 190.3, 4th par.) He alternatively requested a continuance. (See ante, at pp. 351-352.) Overruling defendant’s objection and implicitly denying his continuance motion, the trial court found “from the totality of the circumstances, . . . sufficient notice has been given pursuant to Penal Code section 190.3.” Wigley testified shortly thereafter.
On appeal, defendant again claims that the trial court improperly admitted Wigley’s testimony because the prosecution failed to give adequate notice of *356 its intent to introduce this victim impact evidence, and that admitting this type of evidence “renders the sentencing scheme unconstitutionally vague and improper.” Defendant also objects that Wigley’s testimony “included some very improper aspects” because, in addition to describing her relationship with Swader, Wigley commented on defendant, whom she never met; she stated her own daughter tried to commit suicide to get her attention after Swader’s two young daughters moved in with their family; and she said that one of Swader’s daughters was afraid defendant would “do something to them.”
“Under California law, victim impact evidence is admissible at the penalty phase under section 190.3, factor (a), as a circumstance of the crime, provided the evidence is not so inflammatory as to elicit from the jury an irrational or emotional response untethered to the facts of the case. [Citations.]”
(People v. Pollock
(2004)
Citing
People v. Clark
(1993)
The question whether the prosecution provided timely notice of the victim impact evidence is close on this record. Apart from the prosecution’s assertions at the penalty phase, the record does not clearly support that the parties discussed that there would be victim impact evidence. It is also unclear whether the prosecution gave notice of this evidence “as soon thereafter as [it] learned of the existence of the evidence. [Citation.]”
{People
v.
Roldan, supra,
“The purpose of the notice provision is to afford defendant an opportunity to meet the prosecutor’s aggravating evidence.”
(People v. Taylor
(2001)
With respect to the substance of Wigley’s testimony, we conclude that defendant forfeited his claim because he failed to object to the testimony as exceeding the scope of section 190.3, factor (a).
(People v. Garceau
(1993)
For instance, Wigley testified that she could not understand why someone whom Swader befriended and trusted would kill him. When detectives told her “it was for money,” she said she “was angry someone would kill for that.” Contrary to defendant’s suggestion, her statements permissibly concerned the “immediate effects of the murder,” i.e., her “understandable human reactions” on hearing someone had killed her brother for money.
(People v. Brown
(2004)
*358
Finally, we have rejected the claim that admitting victim impact evidence as a “circumstance^ of the crime” under section 190.3, factor (a), renders this provision unconstitutionally vague.
(People v. Boyette
(2002)
6. Alleged Prosecutorial Misconduct
a. Failure to comply with notice requirements (§190.3)
Defendant claims that the prosecution committed misconduct by failing to give timely notice that it intended to present the testimony of Torregano and Wigley, and the prior testimony of Loar. We have rejected these claims regarding the lack of timely notice. (See ante, at pp. 349-351, 356-357.) Characterizing these claims as prosecutorial misconduct does not afford defendant relief.
b. References to inadmissible evidence
Defendant argues that the prosecution improperly asked defense expert Dr. Maloney, a forensic psychologist who had reviewed defendant’s childhood psychological evaluations, questions to elicit inadmissible, aggravating evidence. Quoting
People v. Visciotti, supra,
A party “may cross-examine an expert witness more extensively and searchingly than a lay witness, and the prosecution was entitled to attempt to discredit the expert’s opinion. [Citation.] In cross-examining a psychiatric expert witness, the prosecutor’s good faith questions are proper even when they are, of necessity, based on facts not in evidence. [Citation.]”
(People v. Dennis, supra,
Dr. Maloney testified on direct examination that when defendant was about 13 years old, he was placed in a psychiatric hospital for “bizarre behavior,” and later explained that defendant displayed “juvenile delinquency, acting *359 out.” Challenging Dr. Maloney’s assessment (which was based on records prepared by defendant’s prior attorneys and on defendant’s own statements), the prosecution asked Dr. Maloney whether he had read a 1964 letter describing defendant’s burglaries and assault with a loaded gun, which conduct had led to defendant’s hospitalization. Dr. Maloney stated he did not recognize the letter. Dr. Maloney ultimately agreed with the prosecution that some of the “bizarre behavior” referred to behavior that was “criminal.” The jury learned that several documents, none of which Dr. Maloney recognized or were admitted into evidence, contained information about defendant’s 1964 burglaries and assault with a loaded gun, and his probation officer’s assessment of defendant’s parents’ care and concern for him.
Contrary to defendant’s assertion, the prosecution’s cross-examination of Dr. Maloney was proper. Because Dr. Maloney relied only on documents provided by defense counsel and defendant’s own statements, the prosecution was entitled to challenge Dr. Maloney on his assessment by asking whether he considered other documents. Moreover, the prosecution’s reference to a letter from defendant’s probation officer, which was not discussed during Dr. Maloney’s cross-examination, was not prejudicial. (See
People v. Dennis, supra,
c. Misstatement of the law
During closing argument, the prosecution explained its burden of proof at the penalty phase: “It also changes the fact that normally when I get up and argue I have the burden of proof. I have to prove beyond a reasonable doubt that the offenses were committed and that the defendant is the person who committed that. [1] We don’t have that burden here. We have to, if you were to return a death verdict, show that the aggravating factors that we’ll go through substantially outweigh the mitigating ones. But there’s no burden one way or another.”
Defendant claims the prosecution misstated the law in argument by asserting, “We don’t have the burden here . . . [T]here’s no burden one way or another.” He argues that this statement was incorrect as to the solicitation of murder offense; the jury may only consider such offense as aggravating evidence under section 190.3, factor (b) if the prosecution proves it beyond a reasonable doubt. Defendant also asserts the prosecution misread CALJIC No. 8.88 by stating, “In order to return that judgment of death, you have to
*360
find that the totality of aggravating circumstances substantially outweighs the mitigating circumstances.” Because defendant failed to object on these grounds at trial, he has forfeited these prosecutorial misconduct claims on appeal.
11
(People v. Farnam, supra,
Taken in context, the prosecution’s statement referred to its overall burden at the penalty phase; it did not suggest it did not have a burden of proof as to all issues in the case, including proving unadjudicated criminal conduct under section 190.3, factor (b). The prosecution merely stated that if the jury returns a death verdict, it must show that the aggravating factors outweigh the mitigating factors. The trial court instructed that “[b]efore a juror may consider any of such criminal act as an aggravating circumstance in this case, a juror must first be satisfied beyond a reasonable doubt that the defendant did in fact commit such criminal act.” The prosecution did not argue against this particular burden. Moreover, the prosecution’s reading of CALJIC No. 8.88 did not differ materially from the instruction the trial court read and the jury received in writing. 12 As such, the prosecution did not “water[] down” the necessary showing as defendant suggests.
7. Capital Sentencing Instructions Fail to Guide the Jury’s Discretion
Defendant asserts that the penalty instructions, namely CALJIC No. 8.85, failed to sufficiently guide the jury’s discretion, failed to define the mitigating factors, and were confusing. We disagree. Contrary to defendant’s assertions, the instruction need not omit inapplicable sentencing factors
(People v. Earp
(1999)
8. Defendant’s Sentence is Capricious, Arbitrary, Discriminatory, and Disproportionate
The trial court denied defendant’s motion to reduce his death sentence to life without the possibility of parole. Claiming the facts here do not rise to the level of a “truly death-deserving case,” defendant insists that Anderson was as much or more involved in the crimes than defendant (and yet Anderson was not charged with any crime), and that this was simply a robbery-murder offense with just one victim. Asking this court to compare this case to other capital appeals, defendant claims his death sentence is capricious, arbitrary, discriminatory, and disproportionate in violation of the Eighth and Fourteenth Amendments to the United States Constitution. We disagree.
Intercase proportionality review is not required.
(People v. Griffin, supra,
In sum, these circumstances do not demonstrate that defendant’s death sentence is disproportionate.
(People v. Steele, supra,
9. Challenge to Capital Sentencing Procedures
Defendant claims that California’s death penalty scheme violates the Eighth and Fourteenth Amendments to the United States Constitution by not genuinely narrowing the class of death-eligible defendants. (See
Lowenfield v. Phelps
(1988)
We disagree. We have consistently rejected such constitutional challenges to our death penalty scheme. (See, e.g.,
People
v.
Combs
(2004)
10. Death Penalty Law Violates International Law
Defendant maintains that California’s death penalty procedure violates the International Covenant of Civil and Political Rights. We disagree. “International law does not prohibit a sentence of death rendered in accordance with state and federal constitutional and statutory requirements. [Citations.]” (Pe
ople v. Hillhouse, supra,
11. Aggravating Circumstances—Requirement of Jury Unanimity or a Substantial Majority of Jurors
Defendant claims the trial court should have instructed the jury to unanimously agree that defendant solicited the murder of Berrie before it could consider it in aggravation under section 190.3. Relying on recent high court decisions, defendant claims the court’s failure to instruct on unanimity violated his rights under the Sixth, Eighth and Fourteenth Amendments to the United States Constitution and under parallel provisions of the California Constitution. We disagree. Juries are not constitutionally required to agree unanimously on aggravating factors.
(People
v.
Hillhouse, supra,
*363 III. Disposition
The judgment is affirmed.
George, C. J., Kennard, J., Baxter, J., Werdegar, J., and Moreno, J., concurred.
Appellant’s petition for rehearing denied August 24, 2005.
Notes
All further statutory references are to the Penal Code unless otherwise noted.
Defendant was also known as “City,” and “Blake Richards.”
Cravens changed her name to Niemi after she got married. For convenience, we will refer to her as Cravens.
Anderson’s real name was Harold Wayne Wilson. He was also known as “Richard Dume,” “Rick Wilson,” “Rick Anderson,” and “Wayne Williams.” For convenience, we will refer to him as Anderson.
“With regard both to this claim and to every other claim raised in his brief, defendant asserts that each alleged error violates not only state law but multiple provisions of the federal and California Constitutions. In addressing each claim discussed in this opinion, we have considered defendant’s contention that the alleged error violates the federal and California Constitutions, and our rejection of each claim of reversible error includes a determination that the alleged error does not warrant reversal under the state or federal Constitution.”
(People v. Slaughter
(2002)
Defendant points out that the trial court made the following comment before closing argument at both the guilt and penalty phases: “I’m going to ask the lawyers to try and avoid interrupting one another during the argument, and if either attorney should misstate the evidence or the law, and I know that neither would do that intentionally, you are to rely on the evidence as it was presented in the trial and the law as I will be giving it to you.” Defendant claims that given this admonition, his counsel’s failure to object at all during closing argument at the guilt and penalty phases was understandable and excusable. We disagree.
Contrary to defendant’s contention, the trial court did not prohibit counsel from raising objections or asking for admonitions, but requested that they “try and avoid” interruptions. The trial court mainly emphasized that the jury should ultimately rely on the court’s instructions on the evidence and the law. We conclude that because the atmosphere of the trial was “not poisonous”
(People
v.
Hillhouse
(2002)
At the pretrial proceedings, the prosecution first indicated that it intended to introduce Loar’s prior testimony. Objecting on “Sixth Amendment grounds of no confrontation,” defendant claimed that he was unable to cross-examine Loar on recently disclosed information regarding benefits purportedly given to Loar in exchange for his testimony. The trial court concluded, assuming the prosecution could establish due diligence in trying to locate Loar, that *340 “absent any evidence of a promise from the district attorney, testimony of Mr. Loar in the first Wilson trial may be read to the jury without reference to any subsequent reduction in Mr. Loar’s sentence.” The trial court determined that there was “no evidence that Mr. Loar was offered a promise of leniency if he testified in the Wilson trial.” It implicitly rejected defendant’s related claim that the prosecution was required to file a written statement regarding in-custody informant testimony (§ 1127a, subd. (c)), and his claim that he had a Sixth Amendment right to cross-examine Loar on this purported promise. The prosecution, “for strategic reasons,” did not present Loar’s prior testimony during the guilt phase.
Defendant points out that Detectives Collette and Miller were implicated in another capital appeal for offering assistance to a key prosecution witness.
(People
v.
Morris
(1988)
To the extent defendant claims there was a preexisting agreement between Loar and Detectives Collette and Miller, he does not present any evidence of such agreement. Loar’s contact with the detectives “did not by itself make him a police agent. [Citation.]”
(People
v.
Fairbank, supra,
Defendant did not indicate he intended to impeach the testimony of Rose Wigley, who would later testify as to victim impact. (See post, at p. 355)
As discussed previously with respect to defendant’s claims of prosecutorial misconduct at the guilt phase (see ante, at p. 337, fn. 6), defendant’s failure to object is not excused based on the trial court’s admonition to counsel “to try and avoid interrupting one another during their arguments.”
The trial court stated: “To return a judgment of death, each of you must be persuaded that the aggravating circumstances are so substantial in comparison with the mitigating circumstances that it warrants death instead of life without parole.”
