STATE OF CONNECTICUT v. JULIAN MARQUEZ
(SC 17663)
Supreme Court of Connecticut
Argued September 3, 2008—officially released April 14, 2009
291 Conn. 122
Katz, Palmer, Vertefeuille, Zarella and Schaller, Js.
For all of the foregoing reasons, we conclude that the plaintiffs in this case were required to bring their claims in a derivative action on behalf of the company. Because they sought individual relief, the court properly determined that the plaintiffs lacked standing and properly granted the defendants’ motion to dismiss the plaintiffs’ complaint for lack of subject matter jurisdiction.
The judgment is affirmed.
In this opinion the other justices concurred.
Michele C. Lukban, senior assistant state‘s attorney, with whom, on the brief, were Gail P. Hardy, state‘s attorney, and Edward R. Narus, senior assistant state‘s attorney, for the appellee (state).
Opinion
ZARELLA, J. The defendant, Julian Marquez, appeals from the judgment of conviction, rendered after a jury trial, of one count of felony murder in violation of
The state urges this court to uphold the trial court‘s denial of the defendant‘s motion to suppress the identifi-
In its memorandum of decision on the defendant‘s motion to suppress, the trial court made the following findings of fact. On the evening of Friday, December 19, 2003, Mark Clement and his friend, Christopher Valle, were visiting at the apartment of a mutual friend, Miguel Delgado, Jr., at 134 Babcock Street in Hartford. The three men, along with various others, socialized regularly on weekends at Delgado‘s apartment. The apartment itself was on the third floor of the building and could be accessed by visitors through a front door that opened into a lighted common hallway at the top of the interior staircase.
Delgado‘s apartment was relatively small, consisting of a short interior hallway leading frоm the front door
After arriving at the apartment, Delgado, Clement, Valle and another man named Amauri Escobar primarily remained in the game room playing video games and drinking alcoholic beverages.7 While several other people visited the apartment intermittently throughout the night, only these four men were present just prior to the robbery.8
At around midnight on December 20, as Valle was preparing to leave the apartment, he exited the game room to say goodnight to Delgado, who was standing just inside the front door attempting to get rid of two men who stood facing him in the common hallway. As Valle approached the front door, one of the strangers, a Hispanic male in his early twenties wearing braids and black clothing, pointed a handgun directly at him and entered the apartment, forcing Valle and Delgado backward into the living room and ordering them to sit on the couch. Shortly thereafter, the intruders entered the game room, announced their presence and ordered Clement and Escobar to join Valle and Delgado. Once everyone returned to the living room, the intruders were only one or two feet away from their victims for a period of several minutes. Importantly, both Valle and Clement had multiple opportunities to see the faces of
The intruders then ordered all of them to surrender their money and jewelry, which Clement, Valle and Escobar did promptly. Delgado, however, offered only a small amount of marijuana, insisting that that was all he had. The intruders, who were dissatisfied with this offer, apparently were convinced that Delgado had money and drugs stashed elsewhere in the apartment, and demanded to be taken to inspect the back bedroom. Delgado, who was now standing to the side of the couch and blocking the entrance to the kitchen, refused. Delgado suddenly rushed at the gunman and grabbed his arm. A struggle ensued, during which Delgado forced the gunman back toward the front of the apartment, and a shot rang out. Valle jumped to his feet from his position on the couch and began to head for the perceived safety of the game room. He then heard a second shot and saw Delgado fall to his knees on the floor. Valle made it to the game room with Clement behind him, while Escobar apparently escaped out of the rear exit of the apartment.
Valle heard a third shot fired, and, once it was apparent that the intruders had fled, he eventually emerged from the game room. Feeling around on the floor in the relative darkness of the hall near the front door, Valle discovered Delgado lying in a pool of blood. When he turned the living room light on, Valle realized that Delgado was critically wounded and called the police. Immediately after the incident, both Valle and Clement
On December 23, 2003, while making his regular visit to his parole officer, Valle was startled to observe the defendant at the office of the parole officer, immediately recognizing him as the gunman who had robbed him four days earlier. Valle reported his observation to personnel on duty in the office. This information was relayed to Detective Patricia Beaudin of the Hartford police department, who was leading the investigation into the incident. On the basis of this information, a photographic array was produced consisting of photographs of eight men fitting the description that Valle had provided, including that of the defendant.
Beaudin and her partner, Detective Ezequiel Laureano, contacted Valle and asked him to come to the police station to view the photographs in the array. Prior to having him look at the photographic array, Beaudin instructed Valle simply to look at the photographs and tell her if he recognized anyone, and that it was fine if he did not. Neither Beaudin nor Laureano told Valle that he had to select a photograph, and they did not indicate in any way which photograph he should pick. In addition, consistent with the detectives’ instructions, there was a notice prominently printed at the bottom of the photographic array that provided: “You have been asked to look at this group of photographs. The fact that they are shown to you should not influence your judgment. You should not conclude or guess that the photographs contain the person who committed the offense under investigation. You are not obligated to identify anyone. It is just as important to free innocent persons from suspicion as to identify guilty parties. Please do not discuss this case with other witnesses nor indicate in any way that you have, or have not identified someone.”
Four days later, Beaudin contacted Clement and requested that he view the photographic array that Valle had previously viewed.9 The detectives followed an almost identical procedure with Clement, and either read aloud or pointed out the same prominent notice at the bottom of the board on which the photographic array was mounted. Clement believed that the array contained photographs of known robbers but did not know if photographs of either of the persons who had robbed him would be included in the display. He further indicated that, although neither of the detectives pressured him to select any photograph or indicated in any way that he should choose a particular photograph, he did feel that a suspect was probably in the array and that he should “pick somebody....”
Clement found himself immediately drawn to one photograph but was concerned about speaking up too quickly and identifying the wrong person. He described how he eliminated all but two of the photographs as possibilities and how he kept returning to the photograph that originally had garnered his attention. Clement noted that he based his identification almost exclusively on the defendant‘s eyes, which he recognized as the eyes of the gunman who had robbed him and his companions. He indicated that the choice he had made was based on his own “gut feeling,” derived from his personal observations of the gunman during
On the basis of these identifications, an arrest warrant was issued for the defendant, which was executed on December 30, 2003. The state subsequently filed a five count information charging the defendant with one count of felony murder, three counts of robbery in the first degree, and one count of attempt to commit robbery in the first degree.
Prior to trial, the defendant filed a motion to suppress as evidence any pretrial or in-court identifications offered by the state. The defendant argued that the procedures used in connection with the photographic array identifications were unnecessarily suggestive and unreliable and that any in-court identification by Valle and Clement would be irreparably tainted by such prior, purportedly improper identifications. The state responded that the identification procedures were not unnecessarily suggestive and that, even if they were, the identifications themselves were sufficiently reliable under the totality of the circumstances.
The trial court held a hearing on the motion on December 7, 2005, and heard testimony from Valle, Clement and Beaudin. In addition, the trial court considered several scientific articles and reports regarding the suggestiveness and reliability of various identification methods. On December 20, 2005, the court heard arguments on the motion, and, on January 4, 2006, the court made an oral ruling denying the defendant‘s motion to suppress. The trial court issued a “[c]orrected” memorandum of decision on the defendant‘s motion to suppress on March 20, 2006.
In its memorandum of decision, the trial court determined that the identification procedures used were
The trial court also was “troubled” by the fact that the identification procedures in this case were not “double blind.” To qualify as double-blind, a photographic array must be administered by an uninterested party without knowledge of which photograph represents the suspect. Again relying on the scientific literature, the court found that “[t]he risk of producing a misidentification in such circumstances, due to conscious or unconscious bias by a highly interested person administering the procedure, is so well established in the relevant scientific literature that experts have strongly recommended that all pretrial identification procedures be conducted only by persons who do not know which member of the lineup or photospread is the suspect.” The court was
Thereafter, the jury found the defendant guilty of the felony murder charge, two of the robbery charges and the attempted robbery charge. The trial court rendered judgment in accordance with the jury verdict and sentenced the defendant to a total effective term of fifty years imprisonment, execution suspended after thirty-
We begin by noting that we need not reach the defendant‘s claim that the trial court improperly concluded that the challenged identifications were reliable under the Manson test because we decide this case on the state‘s alternative ground. In this regard, the state claims that the trial court improperly determined that the identification procedures were unnecessarily suggestive, whereas the defendant agrees with the court‘s conclusion. We elect to address this aspect of the court‘s ruling, rather than simply uphold the court‘s analysis of reliability, in order to confront what we view as the trial court‘s establishment of a per se rule with respect to the question of the suggestiveness of the identification procedures at issue. Although we appreciate the trial court‘s laudable desire to improve the dependability of the eyewitness identification process, we cannot agree that the procedures used in this case were unnecessarily suggestive.
Turning to the applicable legal principles, we first observe that the defendant invoked his due process rights under both the fourteenth amendment to the United States constitution and article first, § 8, of the Connecticut constitution in support of his motion to suppress. The trial court‘s memorandum of decision does not differentiate its analysis between these sources of law. This is the correct approach as this court explicitly has held that article first, § 8, provides no greater protection than the federal constitution in the realm of identification procedures. State v. Ledbetter, 275 Conn. 534, 568, 881 A.2d 290 (2005), cert. denied, 547 U.S. 1082, 126 S. Ct. 1798, 164 L. Ed. 2d 537 (2006). We reaffirm the congruence between the protections afforded by our state constitution and the federal constitution in the area of pretrial identification and therefore
Although we have never directly addressed the standard for reviewing whether a photographic array is unnecessarily suggestive,13 we are influenced by federal precedent and the approach taken by our sister states. The United States Supreme Court has held that “the ultimate question as to the constitutionality of ... pretrial identification procedures ... is a mixed question of law and fact ....” Sumner v. Mata, 455 U.S. 591, 597, 102 S. Ct. 1303, 71 L. Ed. 2d 480 (1982). More specifically, the Fifth Circuit Court of Appeals recently has affirmed that “a court must determine whether the pretrial identification was impermissibly suggestive .... Such an analysis is a mixed question of law and fact.” (Citation omitted.) Coleman v. Quarterman, 456 F.3d 537, 544 (5th Cir. 2006), cert. denied, 549 U.S. 1343, 127 S. Ct. 2030, 167 L. Ed. 2d 772 (2007); accord Lee v. Keane, United States Court of Appeals, Docket No. 01-2136, 2002 U.S. App. LEXIS 23588, *4 (2d Cir. November 13, 2002), cert. denied sub nom. Lee v. Fischer, 540 U.S. 869, 124 S. Ct. 191, 157 L. Ed. 2d 125 (2003); Armstrong v. Young, 34 F.3d 421, 427 (7th Cir. 1994), cert. denied, 514 U.S. 1021, 115 S. Ct. 1369, 131 L. Ed. 2d 224 (1995). “We review the [trial] [c]ourt‘s decision for abuse of discretion, applying clear error review to its underlying factual findings and plenary review to its conclusions drawn from such facts.” United States v. Mathis, 264 F.3d 321, 331 (3d Cir. 2001), cert. denied, 535 U.S. 908, 122 S. Ct. 1211, 152 L. Ed. 2d 148 (2002). Our sister states that have addressed this question are generally
Given the weight and uniformity of the preceding authority, as well as its commonsense appeal, we conclude that a claim of an unnecessarily suggestive pretrial identification procedure is a mixed question of law and fact. With respect to our review of the facts, we further note that, because the issue of the suggestiveness of a photographic array implicates the defendant‘s constitutional right to due process, we undertake a “scrupulous examination of the record to ascertain whether the findings are supported by substantial evidence.” State v. Mullins, 288 Conn. 345, 364, 952 A.2d 784 (2008); cf. State v. Ledbetter, supra, 275 Conn. 547 (“[b]ecause the issue of the reliability of an identification involves the constitutional rights of an accused ... we are obliged to examine the record scrupulously to determine whether the facts found are adequately supported by the evidence and whether the [trial]
Our analysis proceeds in three parts. In part I of this opinion, we examine the approach taken by the trial court and, in particular, the scientific foundation underlying its conclusions. In part II of this opinion, we more fully describe the appropriate legal framework for analyzing suggestiveness and proceed to apply those principles to the facts of this case. Finally, in part III of this opinion, we address the defendant‘s request that this court exercise its supervisory authority to mandate the implementation of specific eyewitness identification procedures.
I
We begin our analysis with the state‘s claim that the trial court improperly concluded that a photographic array conducted pursuant to the traditional simultaneous identification procedure by an interested administrator is inherently unnecessarily suggestive.14 We
This court has, for some time, maintained a stern test for suggestiveness: “An identification procedure is unnecessarily suggestive only if it gives rise to a very substantial likelihood of irreparable misidentification.” (Emphasis added; internal quotation marks omitted.) State v. Cook, 262 Conn. 825, 832, 817 A.2d 670 (2003),
In Theriault, we examined the suggestiveness of the identification procedures, in addition to the overall reliability of the identifiсation itself, under the totality of the circumstances; see id., 371-72; in order to determine whether the challenged identification violated Theriault‘s due process rights on the ground that it “gave rise to a substantial likelihood of irreparable misidenti-
The first instance in which this court conflated these two concepts apparently occurred in State v. Williams, 203 Conn. 159, 523 A.2d 1284 (1987). In Williams, we stated that “[a]n identification procedure is unnecessarily suggestive when it ‘give[s] rise to a very substantial likelihood of irreparable misidentification.‘” Id., 174. Part of this statement was derived from our opinion in State v. Fullwood, 193 Conn. 238, 243-44, 476 A.2d 550 (1984). This language also can be traced from Ledbetter back to State v. Outlaw, 216 Conn. 492, 501, 582 A.2d 751 (1990), which contains the exact same language as Williams and which also cited to Fullwood. In our view, defining “unnecessarily suggestive” in this manner has been the result of a misstep. It is illogical and inconsistent with the authority on which it purports to be based.
We next set forth what we believe is the correct approach to this issue. First, there appears to be a consensus with regard to the overall analytical framework to be used in considering a claim of this sort: “In determining whether identification procedures violate a defendant‘s due process rights, the required inquiry is made on an ad hoc basis and is two-pronged: first, it must be determined whether the identification procedure was unnecessarily suggestive; and second, if it is found to have been so, it must be determined whether the identification was nevertheless reliable based on examination of the totality of the circumstances.” (Internal quotation marks omitted.) State v. Theriault, supra, 182 Conn. 371-72; see also Manson v. Brathwaite, supra, 432 U.S. 107 (“[T]he first inquiry [is] whether the police used an impermissibly suggestive [identification] procedure .... If so, the second inquiry is whether, under all the circumstances, that suggestive procedure gave rise to a substantial likelihood of irreparable misidentification.“); United States
In the seminal case of Neil v. Biggers, supra, 409 U.S. 188, the Supreme Court explained the overarching concern that courts face when assessing a challenged identification procedure: “It is . . . apparent that the primary evil to be avoided is ‘a very substantial likelihood of irreparable misidentification.’ . . . It is the likelihood of misidentification which violates a defendant‘s rights to due process . . . .” Id., 198, quoting Simmons v. United States, supra, 390 U.S. 384. As courts apply the two-pronged test to determine if a particular identification procedure is so suggestive and unreliable as to require suppression, they always should weigh the relevant factors against this standard. In other words, an out-of-court eyewitness identification should be excluded on the basis of the procedure used to elicit that identification only if the court is convinced that the procedure was so suggestive and otherwise unreliable as to give rise to a very substantial likelihood of irreparable misidentification. See Simmons v. United States, supra, 384.
The critical question for our present purposes is what makes a particular identification procedure “suggestive” enough to require the court to proceed to the second prong and to consider the overall reliability of the identification. This is a straightforward question that does not appear to have received a very direct answer. There are, however, two factors that courts have considered in analyzing photographic identification procedures for improper suggestiveness. The first
The second factor, which is related to the first but conceptually broader, requires the court to examine the actions of law enforcement personnel to determine whether the witness’ “attention was directed to a suspect because of police conduct. . . . In considering this [factor, the court should] look to the effects of the circumstances of the pretrial identification, not whether law enforcement officers intended to prejudice the defendant.” (Citation omitted; internal quotation marks omitted.) Howard v. Bouchard, 405 F.3d 459, 470 (6th Cir. 2005), cert. denied, 546 U.S. 1100, 126 S. Ct. 1032, 163 L. Ed. 2d 871 (2006). It stands to reason that police officers administering a photographic identification procedure have the potential to taint the process by drawing the witness’ attention to a particular suspect. This could occur either through the construction of the array itself or through physical or verbal cues provided by an officer. See, e.g., State v. Fullwood, supra, 193 Conn. 248 (irregularity in defendant‘s photograph not suggestive because it did not “signal to the witnesses that the defendant was the person whom the police believed to be the perpetrator of the robbery“); see also Simmons v. United States, supra, 390 U.S. 385 (“[t]here is no evidence to indicate that the witnesses were told anything about the progress of the investigation, or that the [law enforcement] agents in any other way suggested which persons in the pictures were under suspicion“); State v. Ledbetter, 185 Conn. 607, 612, 476 A.2d 550 (1981)17 (no basis for claiming that “display itself was suggestive or that [the administering officer] was suggestive in any respect in the selection process“); State v. Gold, supra, 180 Conn. 656 (“[a] procedure is unfair which suggests in advance of identification by the witness the identity of the person suspected by the police” [internal quotation marks omitted]).
We hereby clarify that a determination as to whether a particular identification procedure is “unnecessarily suggestive” must focus on the foregoing factors. The phrase “very substantial risk of irreparable misidentification” must be understood as the overall standard for suppressing an out-of-court identification. By improperly making the test of suggestiveness so rigorous, we essentially have made the reliability prong of the analysis vestigial. Obviously, any identification resulting from
We stress that this is not a “best practices” test. In other words, the test does not require a court to engage in a relative value judgment of various possible identification techniques and settle on the one that it believes bears the least risk of mistake, a decision that would be prone to being revised or second-guessed as the scientific debate evolves and new studies become available. See, e.g., State v. Nunez, 93 Conn. App. 818, 832, 890 A.2d 636 (2006) (“[t]he question . . . is not whether a double-blind, sequential identification procedure is less suggestive than the traditional procedures . . . but . . . whether the traditional procedures are unnecessarily suggestive under [the Connecticut] constitution“), cert. denied, 278 Conn. 914, 899 A.2d 621, cert. denied, 549 U.S. 906, 127 S. Ct. 236, 166 L. Ed. 2d 186 (2006); see also State v. Fullwood, supra, 193 Conn. 244 (“[i]t has been generally recognized that the presentation of several photographs to witnesses, including that of the suspect . . . is by itself a nonsuggestive and constitutionally acceptable practice, in the absence of any unfairness or other impropriety in the conduct of the exhibit” [internal quotation marks omitted]). Nor does this test require law enforcement personnel to alter their procedures every time a fresh scientific study suggests that a new identification procedure might lead to more reliable results. Moreover, although our analysis focuses principally on two key functional aspects
In the present case, although the facts adduced at the hearing on the motion to suppress are essentially undisputed, the true controversy involves the potential suggestiveness of the chosen procedures in light of the scientific data presented to the trial court, which the court clearly found to be overwhelmingly persuasive in fashioning its categorical rule. It is this evidence that we now review to determine whether the court‘s conclusion that the photographic arrays and the detectives’ method of presenting them were indeed unnecessarily suggestive.
The defendant presented four scientific documents to the trial court in support of his contention that the simultaneous, single-blind procedures used in this case were inherently suggestive. The state responds by presenting this court with two additional documents indicating that the science in this area is less than settled.19
We will briefly discuss each article or report, organizing our discussion chronologically on the basis of the date that the document was published and beginning with the scientific documents presented by the defendant.
The authors of the first document; see G. Wells et al., “Eyewitness Identification Procedures: Recommendations for Lineups and Photospreads,” 22 Law & Hum. Behav. 603 (1998); discuss potential problem areas with traditional procedures and eventually make four recommendations that they believe would improve the accuracy and reliability of eyewitness identifications. The authors admit to relying “heavily on relative-judgment theory, which describes a process by which eyewitnesses make lineup identifications.” Id., 613. They note that “[t]here is good empirical evidence” in support of the relative judgment theory; id.; and their recommendations are aimed primarily at countering the negative effect that the relative judgment process can have on the accuracy of eyewitness identifications.
The authors’ first recommendation is that “[t]he person who conducts the lineup or photospread should not be aware of which member of the lineup or photospread is the suspect.” Id., 627.20 The authors admit, however, that they are “aware of no studies indicating that lineup and photospread administrators are affecting the identification behaviors of eyewitnesses in actual cases“; id., 628; and caution that this recommendation should be taken “somewhat on face value . . . .” Id. The authors’ second recommendation is that
The second document offered by the defendant; United States Dept. of Justice, Eyewitness Evidence: A Guide for Law Enforcement (1999);21 contains a fairly brief section covering suspect identification proce-
The third document on which the defendant relies is from the Canadian Journal of Police and Security Services. J. Turtle, R. Lindsay & G. Wells, “Best Practice Recommendations for Eyewitness Evidence Procedures: New Ideas for the Oldest Way to Solve a Case,” 1 Canadian J. Police & Security Serv. 5 (2003).22 In addition to advocating that warnings be given to the witness to reduce the effect of the relative judgment process and providing practical guidelines for composing lineups, the article also recommends the use of blind, sequential identification procedures. Blind procedures are recommended because of the potential for an officer with knowledge of the investigation to transmit information or expectations inadvertently to the witness, thereby leading the witness to make a particular selection.23
The article cites studies indicating that, although simultaneous identification procedures are three times more likely to yield misidentifications than sequential procedures, sequential procedures also yield lower cor-
The defendant‘s final scientific document; see G. Wells & E. Olson, “Eyewitness Testimony,” 54 Ann. Rev. Psychol. 277 (2003); is a relatively brief review of much of the material discussed in connection with the previous documents. The authors strongly suppоrt the use of “might or might not be present” instructions, which, they note, have been shown to reduce mistaken identification rates significantly in lineups in which the perpetrator is absent. (Internal quotation marks omitted.) Id., 286. The authors also show a preference for sequential line-up procedures, noting the tendency of such procedures to reduce “the chances of mistaken identifications in culprit-absent lineups by nearly one half” while also reducing “accurate identification rates in culprit-present lineups.” Id., 288. The authors discuss and support the use of double-blind testing procedures, although they stress that such procedures are especially necessary when a sequential identification procedure
The state offers two documents presumably intended to highlight the lack of scientific consensus in the eyewitness identification field. The first document, which was a report to the Illinois legislature; see S. Mecklenburg, Report to the Legislature of the State of Illinois: The Illinois Pilot Program on Sequential Double-Blind Identification Procedures (2006) (Mecklenburg Report); was the product of a year long pilot program conducted at three police departments in the Chicago area.24 The results of this field study, which the author
The second document that the state submits is a 2006 article from Psychology, Public Policy, and Law. See D. McQuiston-Surrett, R. Malpass & C. Tredoux, “Sequential vs. Simultaneous Lineups: A Review of Methods, Data, and Theory,” 12 Psychol., Pub. Policy & L. 137 (2006). In this article, written after the release of the Mecklenburg Report, the authors maintain some reservations about the methodologies and significance of that report but nonetheless conclude that “the literature concerning [simultaneous lineups] versus [sequential lineups] may be underdeveloped in some important ways . . . .” Id., 141. In addition, “the research base for [sequential lineups] may not be sufficiently developed from a methodological or theoretical point of view to . . . advocate for its implementation to the exclusion of other procedures.” Id., 162.27
The trial court also was “troubled” by the fact that Beaudin, the lead detective investigating the robbery, administered both identification procedures. The court expressed “concern . . . based [on] the undisputed judgment and recommendation of well respected scientific researchers” that an officer with knowledge of the investigation, particularly, the identity of the suspect, runs the risk of intentionally or inadvertently “injecting bias into the identification process . . . and thus of producing irreparable misidentifications.”
Contrary to the trial court, we conclude that the scientific evidence regarding the value of sequential procedures is more nuanced and uncertain than portrayed by the defendant, and, therefore, it cannot definitively answer the question of whether the procedures used in this case were unnecessarily suggestive.29 For
II
Having concluded that the trial court overemphasized the significance of the scientific research and improp-
The defendant made several claims of suggestiveness at the suppression hearing that were based on the factual context of this case. The defendant asserted that the photographic array itself was in fact unnecessarily suggestive insofar as the composition of the array unfairly highlighted him and was designed to promote his identification by the witnesses. Specifically, the defendant claimed that the array was unnecessarily suggestive because his photograph was distinctive. He specifically asserted that his photograph was somewhat brighter in appearance than the other photographs and had a white height scale in the background, whereas six of the other seven photographs contained visible height scales that were black in color. The defendant further argued that Beaudin‘s administration of the identification procedure was flawed because she knew which photograph represented the suspect. The defendant points to the confirmatory comment that Beaudin made to Clement after he selected the defendant‘s photograph as evidence of a bias on her part that must have tainted the entire process.
In its memorandum of decision, the trial court addressed the defendant‘s claims and determined that the photographic arrays used in this case were fair and did not draw attention to the defendant‘s photograph. The court concluded that “the array usеd in this case did not unfairly highlight the defendant or promote his identification by the witnesses in any way.” The trial court, however—perhaps as a corollary to its finding with respect to the importance of utilizing double-blind procedures—was impressed by the testimony regarding Beaudin‘s reaction to Clement‘s selection. The court
In making a determination of suggestiveness, we look to whether the allegedly suggestive aspect of the identification procedure unnecessarily emphasized the defendant‘s photograph or otherwise indicated which individual the police considered a suspect. See, e.g., State v. Gold, supra, 180 Conn. 656. This is not an inquiry into the potential in-court prejudice that a defendant may suffer because of police conduct or other events occurring subsequent to the witness’ selection but, rather, a determination of whether the selection itself is suspect because it may be the product of the suggestive conduct or display. Moreover, although comments such as Beaudin‘s may not be a “harmless irrelevancy,” we must be careful to pinpoint the potential harm and identify why that harm might be relevant. Only then can a court determine the appropriate remedy. To be clear, the purportedly prejudicial effect created by Beaudin‘s comment that the trial court identified was the potentially reduced efficacy of defense counsel‘s cross-examination of Clement because of his allegedly heightened sense of certitude and not the inherent suggestiveness of the procedure leading to Clement‘s selection of the defendant‘s photograph from the array in the first place. Thus, we conclude that the trial court correctly determined that Beaudin‘s remark had no bearing on the prior photographic identification. To the extent that Justice Palmer feels bound by some of the trial court‘s more equivocal statements that seemingly conflate these issues, however, we simply note that this court is not obliged to perpetuate a perceived error: “Our oath is to do justice, not to perpetuate error.” (Internal quotation marks omitted.) Mendillo v. Board of Education, 246 Conn. 456, 507, 717 A.2d 1177 (1998).
In evaluating the suggestiveness of a photographic array, “a court should look to both the photographs themselves and the manner in which they were presented to the identifying witness.” Hodges v. Commonwealth, 45 Va. App. 735, 774, 613 S.E.2d 834 (2005), rev‘d on other grounds, 272 Va. 418, 634 S.E.2d 680 (2006). We consider the following nonexhaustive factors in analyzing a photographic array for unnecessary suggestiveness: “(1) the degree of likeness shared by the individuals pictured . . . (2) the number of photographs included in the array . . . (3) whether the suspect‘s photograph prominently was displayed or otherwise was highlighted in an impermissible manner . . . (4) whether the eyewitness had been told that the array includes a photograph of a known suspect . . . (5) whether the eyewitness had been presented with multiple arrays in which the photograph of one suspect recurred repeatedly . . . and (6) whether a second eyewitness was present during the presentation of the array.” (Citations omitted.) State v. Randolph, 284 Conn. 328, 385–86, 933 A.2d 1158 (2007). It is important to note, however, that “[p]hotographs will often have distinguishing features. The question . . . is not whether the defendant‘s photograph could be distinguished from the other photographs . . . but whether the distinction made it unnecessarily suggestive.” State v. Nunez, supra, 93 Conn. App. 828; see also Hodges v.
We find it significant that the trial court‘s analysis essentially ignores the fact that both photographic arrays contained a conspicuous “might or might not be present” warning, indicating to each witness that the perpetrator was not necessarily among those pictured and that the witnesses should not feel obligated to choose someone. The presence of such a warning is a consistent recommendation of the scientific literature that we have reviewed and is deemed to counteract effectively the tendency of witnesses to use relative judgment. See, e.g., G. Wells et al., supra, 22 Law & Hum. Behav. 629-30 (recommending warnings and explaining how they obviate need for sequential procedure); see also United States Dept. of Justice, supra, p. 31 (indicating importance and purpose of instructions). Moreover, this court expressly has endorsed, without mandating, the use of such warnings and has recognized their potential prophylactic effect against the dangers of the relative judgment process. “[W]e recognize that [certain] studies . . . strongly militate in favor of an affirmative warning to witnesses that the perpetrator may or may not be among the choices in the identification procedure . . . . [T]rial court[s], as part of [their] analysis, should consider whether the identification procedure administrator instructed the witness that the perpetrator may or may not be present in the procedure . . . .” (Citations omitted.) State v. Ledbetter, supra, 275 Conn. 574-75. Significantly, we have concluded that, even when police not only fail to give such a warning but affirmatively inform the witness that the suspected culprit is in the lineup, there is no presumption of suggestiveness. See State v. Reid, supra, 254 Conn. 556. “[E]ven if a court finds that the police expressly informed witnesses that the defendant would
In the present case, Clement testified at the suppression hearing that he remembered that Detective Beaudin had read him the warning before he viewed the photographic array. He further testified that the detectives did nothing to influence his decision or to direct his attention to any particular photograph, and that he selected the defendant‘s photograph from the array solely on the basis of his “gut feeling.” Moreover, the trial court credited Clement‘s testimony that “he was not at all sure that the true perpetrator would be in the array” and observed that, “although [Clement] believed that the police would not have invited him to view photo[graphs] if they did not at least have a suspect in mind, he was not at all sure that the true perpetrator would be in the array, and so he commendably took his time in order not to implicate an innocent man.”
Valle testified that he did not remember reading the warning or having it read to him prior to identifying the defendant from the photographic array. His identification was unique, however, insofar as he originally had reported spotting the defendant at the parole office, and that it was this information that led to the defendant‘s inclusion in the photographic array in the first place. In light of this independent source for his identification, it is not surprising that Valle did not remember any warnings being given, or any other specifics about the identification procedure.37
Furthermore, as we previously stated, the failure to use a double-blind procedure does not automatically render an identification suspect, particularly when, as in the present case, there is no evidence that the detectives conducting the procedure influenced the witnesses in any discernible way prior to their making the identification.38 Moreover, we agree with the Appellate Court, which has held that “[t]he police officer‘s telling the victim that she had identified the suspect after she positively identified the defendant as her assailant does not render the identification procedure unnecessarily suggestive.” (Emphasis in original.) State v. Smith, supra, 107 Conn. App. 675. Thus, although Beaudin‘s comment to Clement may affect the weight or even the admissibility of a subsequent in-court identification, it is irrelevant to our analysis regarding the suggestiveness of the procedure itself.39
In view of the totality of the circumstances, we are convinced that the trial court improperly concluded that the identification procedures used in this case were so flawed as to present “a very substantial likelihood of irreparable misidentification.” (Internal quotation marks omitted.) State v. Randolph, supra, 284 Conn. 385. The detectives employed traditional procedures and proceeded in a neutral fashion. There is no evidence that they attempted to influence, consciously or subconsciously, the outcome of the identification process, and the witnesses’ testimony bears this out. The photographic arrays themselves were not designed or presented in an unfair or suggestive manner. Furthermore, we emphasize the importance of the warnings provided on the photographic arrays themselves or read aloud by the detectives, which served to counter any tendency of the witnesses to engage in the process of relative judgment. We conclude that the procedures employed in this case, although not ideal, were within the acceptable parameters of effective and fair police work, and satisfy the requirements of due process.
III
Finally, we turn to the defendant‘s contention that this court should exercise its supervisory authority to mandate new identification procedures in the interests of justice. The defendant urges this court to implement three specific procedural changes: (1) the double-blind identification procedure; (2) the sequential display of live suspects or photographs; and (3) a prohibition on police informing witnesses, after they identify a suspect, that the individual that they chose is the person whom police believe is the culprit. We decline the defendant‘s request to exercise our supervisory authority in this manner.
We are not persuaded that this case presents an appropriate forum for the exercise of our supervisory authority. We are not convinced that allowing law enforcement officers to engage in identification procedures such as those used in the present case presents a threat to the “perceived fairness of the judicial system as a whole.” (Internal quotation marks omitted.) State v. Hines, supra, 243 Conn. 815. Our thorough review of the scientific research offered by the parties reconfirms the opinion we held in Ledbetter, namely, that “[t]he circumstances surrounding the various identification procedures present too many variables for us to conclude that a per se rule is appropriate.” State v. Ledbetter, supra, 275 Conn. 574. We believe that the development and implementation of identification procedures “should continue to be the province of the law enforcement agencies of this state.” Id. We also reiterate that “the trial courts should continue to determine whether individual identification procedures are unnec
This opinion is not a blanket endorsement of any particular identification procedure. We emphasize that we have not created a per se rule approving of the procedures used in this case but, rather, have evaluated those specific procedures within the totality of the circumstances and have not found them to be unnecessarily suggestive. We would, of course, encourage the state‘s law enforcement agencies to maintain currency in the latest research in this field and to adapt their policies to implement the most accurate, reliable and practical identification procedures available. In fact, we believe that the scientific research and common sense suggest that the employment of double-blind procedures, whenever reasonably practicable, is preferable to the use of an interested administrator because such procedures avoid the possibility of influencing the witness, whether intentionally or unintentionally, and thereby tainting the accuracy of any resulting identification. At this time, however, we continue to review suggestiveness on a case-by-case basis using the established standards.
The judgment is affirmed.
In this opinion VERTEFEUILLE and SCHALLER, Js., concurred.
I
More than three years ago, in State v. Ledbetter, supra, 275 Conn. 546-47, this court was asked to conclude that the failure to warn a witness that the perpetrator might not be present at an identification procedure renders that procedure per se unnecessarily suggestive, thereby overruling our decision in State v. Reid, 254 Conn. 540, 556, 757 A.2d 482 (2000) (witness identification procedure utilizing photographic array not unnecessarily suggestive when witness had been informed that suspect was present in array). In support of this proposed conclusion, various amici curiae presented this court with academic research that underscored the dangers of misidentification inherent in the use of identification procedures, including lineups, show-ups and photographic arrays that contained no warning to the witness that the perpetrator may not be present. Id., 569-70. We declined to adopt such a per se rule, reasoning that “[t]he circumstances surrounding the various identification procedures present too many variables for us to conclude that a per se rule is appro
Four months after we decided Ledbetter, the trial court in the present case was presented with the following identification procedure in the defendant‘s trial for, inter alia, felony murder and robbery in the first degree. Two witnesses separately were shown a simultaneous photographic array that contained a printed warning in conformity with our holding in Ledbetter from which they each identified the defendant as the perpetrator who possessed a firearm. The identification procedures were conducted by Detective Patricia Beaudin of the Hartford police department, the detective in charge of the criminal investigation, who informed the second of the two witnesses, Mark Clement, at the conclusion of the procedure that he “‘did good‘” because he had
In support of his motion to suppress the identifications on the ground, inter alia, that these procedures were unnecessarily suggestive, the defendant introduced into evidence four scientific research papers that called into question both the use of an interested administrator and the use of a simultaneous photographic array because of the risks of misidentification they present. The state did not object to the introduction of this evidence and did not dispute the results of the studies. After considering the identification procedure, and in light of the scientific evidence that had been introduced, the trial court denied the defendant‘s motion to suppress the identifications, finding that, although the procedure was unnecessarily suggestive, it nevertheless was reliable under the totality of the circumstances.
In its analysis of the procedure, the trial court relied primarily on two factors.3 First, the court reviewed the scientific research presented and concluded that using an interested lineup administrator4 creates an “unnecessary risk of injecting bias into the identification process, and thus of producing irreparable misidentifications.”5 The court then found that, in the present case, those risks specifically had been realized when the adminis-
Second, the trial court found, on the basis of the unchallenged studies,6 that the use of the simultaneous photographic array itself was unnecessarily suggestive, despite the inclusion of the printed warning, because it allowed Clement to engage in a “relative judgment” process, creating an unnecessary risk of a misidentification.7 The court then set forth the following cautionary
I recognize that, although the trial court properly considеred the studies as evidence and found potential risks inherent in the use of the simultaneous (nonsequential) array, it failed to make specific findings that such risks were present in the present case. Therefore, to the extent that the trial court may have predicated its finding of unnecessary suggestiveness solely on the use of the simultaneous photographic array, such a determination would be contrary to our holding in State v. Ledbetter, supra, 275 Conn. 575. Moreover, the trial court‘s admonition to police department personnel may be read as an attempt to establish a per se rule requiring sequential identification procedures as an exercise of supervisory authority. Although the research suggests that sequential identification procedures are superior to nonsequential ones, except in certain circumstances; see footnotes 11 and 12 of this concurring opinion; it is well established that trial courts are not empowered to bind police departments, much less their sister tribunals, by virtue of their rulings. See J. M. Lynne Co. v. Geraghty, 204 Conn. 361, 369, 528 A.2d 786 (1987); McDonald v. Rowe, 43 Conn. App. 39, 43, 682 A.2d 542 (1996); see also State v. Anderson, 255 Conn. 425, 438, 773 A.2d 287 (2001) (“[appellate courts possess an inherent supervisory authority over the administration of justice” [emphasis added]). Accordingly, I would reject any attempt made by the trial court to establish a per se rule.
Additionally, I would confine the resolution of this case to the defendant‘s appeal for another reason—my concern that, by approving the procedures at issue in the present case, we may discourage, if not halt, development of jurisprudence surrounding witness identification procedures. I am mindful that our holding in Ledbetter was predicated on the state of the research as it then existed. Since that time, however, a great deal of research has been done on the effects of various factors on the accuracy of witness identifications. From
For example, research studies clearly support the hypothesis that using an individual who is aware of the identity of the suspect to conduct the identification process contaminates the process, even when the individual makes no conscious effort to influence the witness’ identification.8 Researchers have documented a number of mechanisms by which a lineup administrator unintentionally may influence the outcome of the results.9 Moreover, experimental evidence has demon-
Additionally, research indicates that sequential identification procedures generally appear to be superior to simultaneous identification procedures, and some studies go so far as to recommend that they be adopted by law enforcement agencies.11 Nevertheless, the
Although the state chose not to dispute the research in the proceedings in the trial court, it presented to this court a report that cast doubt on the value of sequential, blind identification procedures and concluded that field experiments did not replicate the favorable results
It is therefore clear that witness identification research, although evolving, is converging toward a consensus. It is equally clear that, in light of the evolving research, this court should avoid closing off debate on witness identification procedures by signaling its approval of procedures on which research currently casts doubt, especially when there is no need to do so. Ultimately, as science progresses and is able to offer more concrete recommendations, witness identification procedures may need to be revised to ensure that they produce accurate results in accordance with due process guarantees.
In light of these concerns, I would reaffirm the case-by-case approach that we endorsed in State v. Ledbetter, supra, 275 Conn. 575, allowing trial courts to examine the studies presented to them and to consider those studies under the particular facts as they arise in any given case. I would limit the court‘s consideration in this appeal to the trial court‘s determination that the
II
The defendant contends that the trial court improperly determined that the identifications made by the two witnesses, Valle and Clement, were reliable under the totality of the circumstances. Specifically, the defendant notes that, with respect to their ability to see the perpetrator at the time of the crime, the lighting was “quite poor” bеcause the light in the dining room of the victim‘s apartment was off. The defendant also points out that, although the descriptions provided by the witnesses generally matched his appearance, they lacked specific descriptions of facial features, including hair and eye color, and he contends that his photograph was highlighted with respect to others in the photographic array. In light of this court‘s acknowledgment in State v. Ledbetter, supra, 275 Conn. 576, that “the correlation between witness confidence and accuracy tends to be weak, and witness confidence can be manipulated,” the defendant suggests that the confidence level of Valle and Clement should be given little weight. The defendant also asserts that the studies he submitted to the trial court indicated that the identification procedures themselves rendered the identification unreliable. Finally, he maintains that Clement‘s identification was biased directly by the postidentification statement by Beaudin confirming that Clement had identified the same individual that Valle had identified. We conclude that the trial court properly determined that the identifications were reliable.
The standard of review and legal principles for decisions to admit witness identifications is well settled: “[W]e will reverse the trial court‘s [evidentiary] ruling . . . only where there is an abuse of discretion or where
If the trial court has determined that the identification procedure was unnecessarily suggestive, as in the present case, it must then determine “whether the identification was nevertheless reliable based on an examination of the totality of the circumstances. . . . The defendant bears the burden of proving both that the identification procedures were unnecessarily suggestive and that the resulting identification was unreliable.” (Internal quotation marks omitted.) State v. Ortiz, 252 Conn. 533, 553, 747 A.2d 487 (2000).
“[R]eliability is the linchpin in determining the admissibility of identification testimony . . . .” Manson v. Brathwaite, 432 U.S. 98, 114, 97 S. Ct. 2243, 53 L. Ed. 2d 140 (1977). To determine whether an identification that resulted from an unnecessarily suggestive procedure is reliable, the corruptive effect of the suggestive procedure is weighed against certain factors, such as the opportunity of the [witness] to view the criminal at the time of the crime, the [witness‘] degree of attention, the accuracy of [the witness‘] prior description of
Turning to the first two factors of reliability in the present case, the trial court made several factual findings that support its determination that, at the time of the crime, the witnesses had ample opportunity to view the perpetrator with a sufficient degree of attention. Valle first observed the perpetrator with the gun just before the robbery as the perpetrator stood in a lighted common hallway of the apartment building talking to the victim. He next observed the perpetrator during the course of the robbery over a period of several minutes in the living room from a distance of one to two feet as they sat facing each other. Clement first saw the perpetrаtor as he entered the victim‘s game room, which was well lit, and next saw him as Clement sat with Valle on the living room couch for several minutes. The living room was lit adequately by light coming from adjacent rooms, once the witnesses’ eyes had adjusted to the admittedly low light level,14 and the trial court found that “the light from the kitchen must have illuminated the faces of the robbers, helping to fix them in [the witnesses‘] memory.” Both witnesses had stated to the police that based on their observations, they would be able to identify the perpetrator if they saw him again. Thus, the record supports the trial court‘s
Turning to the third factor of reliability, both witnesses gave consistent, detailed descriptions of the perpetrator, which matched that of the defendant. Valle described the perpetrator with the gun as a Hispanic male in his early twenties, taller and slimmer than his companion, with braids in his hair and dressed entirely in black. Clement described the gunman as tall, Hispanic, in his early twenties, wearing all black clothing, with “corn rows” and a medium build. Although neither witness included certain facial features, such as eye or hair color, in their descriptions, the descriptions were consistent, both with each other and with the appearance of the defendant.
With respect to the fourth factor of reliability, the trial court found that both witnesses’ level of certainty was high. Valle had informed the police investigators immediately after the robbery that he would be able to identify the perpetrator again, and he later recognized the defendant at a chance encounter at the office of Valle‘s parole officer. At the subsequent photographic identification procedure, he made the identification “immediately and with great confidence.” Clement testi
Finally, Valle‘s identification occurred only four days after the crime, while Clement‘s occurred eight days after the crime. In light of both witness’ opportunity to view the perpetrator and their confidence levels, it was unlikely that the witnesses’ memories would have faded in that short period of time. Compare State v. Ortiz, supra, 252 Conn. 555 (three month period reliable in light of witness’ opportunity to view defendant and witness’ level of certainty); State v. Howard, 221 Conn. 447, 454, 604 A.2d 1294 (1992) (two and one-half month period reliable when witnesses had ample opportunity to view assailants and their prior physical descriptions matched).
To the extent that the defendant in the present case points to some facts that could have cast some doubt on the reliability of the identifications, the trial court gave adequate consideration to them in making its determination. With respect to the effect of the statements by Beaudin to Clement confirming that he had identified the same individual that Valle had selected, the trial court reasonably found that “Clement is a particularly credible, forthcoming witness . . . [and the] court has every confidence that his ability to recall and relate such details honestly will remain unaffected by . . . Beaudin‘s unfortunate mistake . . . .” In light of its findings, the trial court reasonably concluded that the identifications were reliable.
PALMER, J., concurring. I agree with the majority that the due process rights of the defendant, Julian Marquez, were not violated by the state‘s use of the photographic identifications at issue. Consequently, I also agree that the judgment of conviction rendered by the trial court must be affirmed. Because I reach my conclusion concerning the defendant‘s due process claim by a somewhat different route than the majority, however, and because I do not agree with the majority‘s reading of the trial court‘s decision in one important respect,1 I am unable to join the majority opinion. I therefore concur in the result.
The trial court concluded that the identification procedures employed by the police in the present case were unnecessarily suggestive for two reasons.2 The first reason on which the trial court relied was the fact that the witness, Mark Clement,3 was shown a simulta
With respect to the trial court‘s first finding, I agree with the majority and the state that, under our holding in State v. Ledbetter, 275 Conn. 534, 881 A.2d 290 (2005), cert. denied, 547 U.S. 1082, 126 S. Ct. 1798, 164 L. Ed. 2d 537 (2006), the trial court improperly concluded that the nonsequential identification procedure used by the police in this case was unnecessarily suggestive.6 In
The trial court‘s second reason for concluding that the procedure was unnecessarily suggestive is based on the fact that the procedure was conducted by the lead investigator in the case, namely, Detective Patricia Beaudin. As the trial court explained, it is “the undisputed judgment and recommendation of well respected
I would not decide whether the failure of the police to use a double-blind identification procedure, at least without good cause for not doing so, is sufficient, standing alone, to warrant a finding of unnecessary suggestiveness. Because of the real risk that an investigator who, like Beaudin, knows the identity of the suspect may consciously or uncоnsciously “transmit information or expectations inadvertently to the witness, thereby leading the witness to make a particular selection,” it is clear—in fact, it appears to be undisputed—that use of a double-blind procedure is preferable to the approach that the police followed in the present case.9 For purposes of this case, however, we need not decide whether the use of the double-blind approach, when practicable, may be required to avoid a finding of unnecessary suggestiveness, because, in the present case, the failure of the police to employ that approach resulted in the very harm that its use is designed to prevent: Beaudin, knowing the identity of the actual suspect, effectively relayed that information to Clement. Thus, as the trial court aptly explained, “[h]ere . . . the risk of unfairness due to administrator bias was not just hypothetical, but real, for on at least one proven occasion . . . Beaudin acted [on] her bias in a clear and inexcusably prejudicial manner—specifically, when she reacted to . . . Clement‘s identifica
It is true, of course, that Beaudin improperly conveyed this information to Clement after Clement had selected the defendant‘s photograph from the array. Thus, as the trial court stated, that information “was not shown to have tainted the witness’ identification when it was initially made.” As the trial court further observed, however, “[w]hat [Beaudin] risked by her conduct, however, was unfairly bolstering the witness’ confidence in the strength of his photo[graphic] identification and the solidity of his basis in memory for it, thus making it harder for the defense to test the true certainty with which he made that identification on cross-examination, and correspondingly more difficult for the jury to assess the true strength and reliability of that identification in the totality of the circumstances.” In other words, Beaudin‘s remark gave rise to an undue risk that the extent or degree to which Clement was confident about the accuracy of his identification would be skewed in favor of the state. The record, therefore, fully supports the finding of the trial court that Beaudin‘s statement was “clear[ly] and inexcusably prejudicial . . . .” This is particularly significant because, even without such improper reinforcement, witnesses often are more confident of their identification after the fact. E.g., United States v. Williams, 522 F.3d 809, 812 (7th Cir. 2008). Moreover, “[p]eople confuse certitude with accuracy and so are led astray.” Id., 811. Because Clement‘s level of confidence in his identification of the defendant cannot be separated from the identification itself—an identification is only
The majority maintains that Beaudin‘s statement did not render the identification procedure unnecessarily suggestive because the statement was made after Clement‘s initial identification of the defendant. According to the majority, once that initial identification had been made, the identification procedure was over, and nothing that occurred thereafter can be deemed to bear on the issue of whether the procedure was unnecessarily suggestive. For several reasons, I disagree with this narrow view of when a police administered eyewitness identification procedure ends. Before setting forth my reasons for reaching this conclusion, however, I first address a second, threshold point of disagreement with the majority, namely, the majority‘s assertion that the trial court itself did not treat Beaudin‘s comment to
At the outset of its decision, the trial court set forth with specificity the claims that the defendant raised in connection with his motion to suppress: “[T]he defendant moved this court, under [
The trial court then explained the legal bases of the defendant‘s motion to suppress: “As grounds for [his] motion, the defendant has alleged, more particularly, that: (1) the procedure by which each challenged pretrial identification was obtained was unnecessarily suggestive; (2) . . . any in-court identification by a witness who previously identified him in an unnecessarily suggestive pretrial identification procedure would be irreparably tainted by the prior illegal identification and, thus, would have no independent basis; and (3) . . . each challenged identification . . . must be suppressed for failure to meet minimum constitutional standards of reliability for procedurally tainted identification evidence, as announced by the United States Supreme Court in Neil v. Biggers, 409 U.S. 188, 93 S. Ct. 375, 34 L. Ed. 2d 401 (1972), and enforced under
After making extensive factual findings, the trial court set forth the applicable law in a section entitled “The Controlling Legal Standard.” This section is relatively brief, and provides in relevant part: “To prevail on a motion to suppress identifications under the
This is the only legal standard that the trial court mentions in its decision; at no time does the decision refer to a different legal test. Thus, consistent with the claims that the defendant raises in his motion to suppress, the law that the trial court applied pertains only to the allegedly unlawful pretrial identification procedure conducted by Beaudin and its effect on any subsequent in-court identification of the defendant.
The trial court then set forth in detail the parties’ claims and responses. Thereafter, the court analyzed the defendant‘s claims concerning the pretrial identification of the defendant that Clement had made during the procedure administered by Beaudin. As I noted previously, the trial court concluded that the procedure was unnecessarily suggestive because of Beaudin‘s use of a nonsequential photographic array and because it was administered by a police officer who (1) had knowledge of the investigation and the suspect, and (2) commended Clement on his identification of the defendant immediately after Clement had made it.
The state claimed that Beaudin‘s comment to Clement did not render the identification procedure unnecessarily suggestive because (1) it occurred after Clement‘s identification of the defendant, and (2) in any event, the comment did no more than apprise Clement of what he ultimately would have learned prior to trial anyway, that is, that a second witness also had identified the defendant. In response to the state‘s first contention, the trial court acknowledged that “[t]he state correctly asserts that . . . Beaudin‘s utterance came after the witness had selected the defendant‘s photo[graph]. Thus, the utterance was not shown to have tainted the witness’ identification when it was initially made.” The
Having concluded that various “aspects of the procedures by which the challenged photo[graphic] identifications were obtained were unnecessarily suggestive,” the trial court then applied the second prong of the applicable two part test for determining the constitutionality of identifications, namely, the reliability prong. The court determined that neither Clement‘s pretrial identification nor any subsequent in-court identification “was thereby rendered unreliable in the totality of the circumstances in which it was made.” Turning to Clement‘s pretrial identification of the defendant, the trial court stated in relevant part: “In reference to . . . Clement, although the unnecessary suggestiveness of . . . Beaudin‘s postidentification commendation of
The fact that the court treated the comment as having been made during that pretrial procedure is again confirmed by its analysis and resolution of the defendant‘s claim that any in-court identification by Clement should be suppressed on the ground that it merely would be the product of the unnecessarily suggestive pretrial identification procedure. With respect to this issue, the trial court stated: “As for future in-court identifications of the defendant by . . . Clement, whose confidence
It is crystal clear, therefore, that the trial court concluded that Beaudin‘s comment had rendered Clement‘s pretrial identification of the defendant unnecessarily suggestive, and that the comment had affected both that identification and any subsequent in-court identification of the defendant by Clement. Of course, as a practical matter, the unnecessarily suggestive nature of the procedure and its effect on Clement was likely to manifest itself in Clement‘s trial testimony about his pretrial identification of the defendant and, in particular, in his testimony about his level of confidence in that identification. Insofar as the administration of the identification procedure unfairly bolstered Clement‘s confidence in his pretrial identification of the defendant, that unfairness also was likely to manifest itself
the defense to test the true certainty with which he made that identification on cross-examination . . . .” (Emphasis added.) In other words, Beaudin‘s comment gave rise to an unfair risk of affecting Clement‘s trial testimony about his pretrial identification of the defendant because that comment likely would have a distorting effect on his memory of that out-of-court identification of the defendant. There is absolutely nothing in the language on which the majority relies to suggest that the trial court was referring to the prejudicial effect that Beaudin‘s comment was likely to have on any in-court identification of the defendant; rather, it is perfectly clear from the language of the trial court that the court was referring to the effect that the comment would have on Clement‘s in-court trial testimony about his pretrial, out-of-court identification of the defendant.
Furthermore, to the extent that this court must decide precisely when an identification procedure is complete, there are strong policy reasons to conclude that it has not ended when, as in the present case, the police and the witness are discussing the witness’ identification immediately after the witness identifies the suspect. In Manson v. Brathwaite, 432 U.S. 98, 111-13, 97 S. Ct. 2243, 53 L. Ed. 2d 140 (1977), the United States Supreme Court identified several considerations that it deemed relevant to the determination of how best to deal with pretrial identification evidence when the police have obtained that evidence by use of a procedure that is unnecessarily suggestive.13 The court characterized the first such factor as its “concern [generally] with the problems of eyewitness identification. Usually, the witness must testify about an encounter with a total stranger under circumstances of emergency or emotional stress. The witness’ recollection of the stranger can be distorted easily by the circumstances or by later actions of the police.” Id., 112. The court identified the
I believe that all of these considerations are advanced by a determination that the identification procedure in the present case had not concluded before Beaudin commended Clement on his identification of the defendant. With respect to the first such consideration, the present case exemplifies how the “later actions of the police“; id., 112; can have an unfair distorting effect on the original identification by altering the witness’ confidence in that identification in a manner favorable to the state. Viewing the identification procedure more broadly to include Beaudin‘s improper comment to Clement also would promote the strong public interest in deterring misconduct by the police in their interactions with eyewitnesses at the very time that the police are engaging those eyewitnesses in identification procedures. Finally, a determination that the identification procedure had not concluded before Beaudin made her comment would result in no adverse effect on the administration of justice because the state still would have the opportunity to establish that the comment did not so taint the procedure, under the totality of the circumstances, as to require suppression of Clement‘s identification of the defendant.14
The majority contends that “[t]he problems inherent” in the view that I advocate “are manifest, as there are many events that may, and often do, occur prior to or during trial that may reinforce or otherwise affect the witness’ level of confidence in his recollection.” Footnote 11 of the majority opinion. The majority further observes that “[n]one of these situations, however, presents a basis for excluding the identification“; id.; rather, they provide “customary grist for the jury mill.” (Internal quotation marks omitted.) Id. I fully agree with the majority that examples abound of postidentification events that may influence the witness’ confidence in his identification; indeed, it is equally possible to conceive of circumstances in which a witness’ recollection of a particular suspect is influenced by events that occur prior to his participation in the procedure administered by the police. I also agree with the majority that such influences generally are addressed through cross-examination only. These examples, however, in no way undermine the fact that special steps must be taken to ensure that police sponsored identification procedures are undertaken with care, and that they are administered in an unbiased, evenhanded manner. This is true for obvious reasons, including the fact that witnesses are likely to place great weight on what the police have to say about who committed the crime under investigation. Furthermore, under the controlling two-pronged test pursuant to which reliability is the overriding consideration, it is highly unlikely that a comment of the kind made by Beaudin, standing alone, ever will result
I note, finally, that, despite the significant weight that juries tend to give eyewitness identification testimony, all too often, those identifications are inaccurate. As the United States Court of Appeals for the Third Circuit recently has stated, “[i]t is widely accepted by courts, psychologists and commentators that ‘[t]he identification of strangers is proverbially untrustworthy.’ [F. Frankfurter, The Case of Sacco and Vanzetti: A Critical Analysis for Lawyers and Laymen (Grosset and Dunlap
“Even more problematic, ‘jurors seldom enter a courtroom with the knowledge that eyewitness identifications are unreliable.’ [R. Koch, note, ‘Process v. Outcome: The Proper Role of Corroborative Evidence in Due Process Analysis of Eyewitness Identification Tes-
Moreover, as the United States Supreme Court recognized more than forty years ago, “[a] major factor contributing to the high incidence of miscarriage of justice from mistaken identification has been the degree of suggestion inherent in the manner in which the prosecution presents the suspect to witnesses for pretrial identification. A commentator has observed that ‘[t]he influence of improper suggestion upon identifying witnesses probably accounts for more miscarriages of justice than any other single factor—perhaps it is responsible for more such errors than all other factors combined.’ . . . Suggestion can be created intentionally or unintentionally in many subtle ways. And the dangers for the suspect are particularly grave when the witness’ opportunity for observation was insubstantial, and thus his susceptibility to suggestion the greatest.” (Citation omitted.) United States v. Wade, supra, 388 U.S. 228-29.
Because of the potentially grave consequences of witness misidentification, it is imperative that all reasonable efforts be made to ensure that the identification procedures used by the police are fair and neutral and that, to the fullest extent possible, those procedures promote reliable identifications. Of course, this endeavor is the shared responsibility of the police and
Accordingly, I concur.
SCHALLER, J., concurring. I concur and join in the majority‘s decision to affirm the judgment of the trial court. I write separately, however, to highlight sevеral points, in the hope that doing so will provide some benefit to the trial bench and bar. Because eyewitness identification issues involving pretrial procedures arise frequently, our trial courts deserve guidance from this court in such matters.1 In order to maximize the usefulness of the combined opinions, I will attempt to synthesize the basic consensus.
First, I agree with the majority‘s decision to decide this appeal by addressing the state‘s alternative ground for affirmance, namely, that the trial court improperly determined that the identification procedures used by the police were unnecessarily suggestive, rather than to decide this appeal by addressing the reliability issue raised by the defendant, Julian Marquez. It would be feasible—and, in some respects, simpler—to affirm the trial court‘s decision by determining that the court properly concluded that the identifications were reliable
Second, I emphasize my agreement with the majority opinion that the trial court abused its discretion in concluding that the identification procedures employed in the present case were unnecessarily suggestive. I do not find it useful, however, to establish whether the trial court purported to establish a per se rule or whether the trial court‘s admonition to the police was, in fact, a directive. The trial court, in my view, was persuaded by the scientific literature presented by the defendant, which supported his claim that simultaneous lineups administered by an official who was directly involved in the investigation are unnecessarily suggestive. Although I appreciate that much of the recent research raises very serious questions about the use of simultaneous photographic arrays and the use of an interested administrator, the trial court failed to provide a totality of the circumstances analysis establishing that either
Finally, and again in light of the different viewpoints expressed in the majority and concurring opinions, I emphasize that this controversy does not alter the essential holding of Ledbetter, that is, that the inquiry for determining whether an identification procedure was unnecessarily suggestive is still a case-by-case, factually intensive, totality of the circumstances standard. See id. In other words, none of the opinions in this case should be read to establish any per se rules, either universally authorizing or universally disapproving of any identification procedure. My goal, in this concurring opinion, is to highlight precisely what I see as the trial court‘s misstep in this case, and to offer general guidance to trial courts to help them avoid making similar missteps.
Preliminarily, I wish to emphasize what I consider to be the strongest argument in favor of deciding this case on the presented ground for appeal, rather than on the state‘s alternative ground for affirmance. The question raised by the alternative ground, whether the trial court improperly concluded that the identification procedures were unnecessarily suggestive, requires that we address two features of identification procedures, the validity and reliability of which are currently callеd into question by scientific studies. See, e.g., G. Wells & D. Quinlivan, “Suggestive Eyewitness Identification Procedures and the Supreme Court‘s Reliability Test in Light of Eyewitness Science: 30 Years Later,” 33 Law & Hum. Behav. 1, 8 (2009) (describing ways interested photographic lineup administrator can unintentionally or intentionally influence eyewitness identification); Technical Working Group for Eyewitness Evidence, United States Dept. of Justice, “Eyewitness Evidence: A Guide for Law Enforcement” (October, 1999) p. 9 (interested administrator‘s “unintentional cues [e.g., body lan-
I offer a few observations regarding the trial court‘s ruling that the identification procedures employed in
The trial court did not support its determination that the identification procedures at issue in the present case were unnecessarily suggestive by reference to the totality of the circumstances surrounding the procedures, but instead relied solely on the facts that: (1) both procedures involved simultaneous photographic lineups rather than sequential lineups; and (2) both lineups were conducted by an interested administrator, rather than in a double-blind manner, by an uninterested person who did not know who the suspect was and whether the suspect was present in the lineup. In concluding that these features alone rendered the procedures unnecessarily suggestive, the court reliеd exclusively on scientific literature that criticizes both types of procedures. See, e.g., G. Wells, M. Small & S. Penrod et al., “Eyewitness Identification Procedures: Recommendations for Lineups and Photospreads,” 22 Law & Hum. Behav. 603, 614 (1998) (explaining correla-
I emphasize that I am not convinced that the trial court created a per se rule by concluding that the procedures at issue in this case were unnecessarily suggestive. Rather, it was the trial court‘s failure to ground its determination on the totality of the circumstances that, in my view, constituted an abuse of discretion. The one distinguishing factual circumstance noted by the trial court, that the detective who administered the photographic arrays remarked to one of the witnesses, Mark Clement, after he had identified the defendant from the photographic array, that he had “[done] good” because he identified the same person picked out by the other witness, is irrelevant because the detective‘s
Finally, in light of the different perspectives offered by the majority opinion and the concurring opinions, I offer the following guidance to trial courts as they undertake to discern a route through the virtual forest of opinions in the present case. The problem is twofold: what to do when confronted with an identification procedure that employs one of these two methods; and how to deal with scientific literature discussing identification procedures. As to the first question, the answer
As to the second issue, Ledbetter specifically authorized the trial court to consider scientific studies concerning an instruction to a witness that the perpetrator may or may not be present. Id. Beyond that, although Ledbetter did not preclude trial courts from reviewing scientific studies that are offered by the parties regarding the admissibility of identification testimony, it is clear that trial courts are not authorized to rely on scientific studies in order to create new rules. See, e.g., id., 568 (defendant not obligated to present to trial court scientific studies in support of argument that Connecticut should abandon Biggers factors on state constitutional grounds because “the trial court was bound to apply the Biggers factors in its analysis“).
Finally, the mere fact that persuasive scientific literature may be presented to the trial court does not relieve the court of its obligation to ground its decision as to whether the procedure was unnecessarily suggestive on the factual circumstances surrounding the identification procedure. In Ledbetter, the court left no doubt that “[t]he circumstances surrounding the various identification procedures present too many variables for us to conclude that a per se rule is appropriate.” Id., 574. The court, however, did identify one circumstance as giving rise to the need for an instruction by the trial court warning the jury of the risk of misidentification, namely, when an administrator indicates that a suspect
“The vagaries of eyewitness identification are well-known; the annals of criminal law are rife with instances of mistaken identification. Mr. Justice Frankfurter once said: What is the worth of identification testimony even when uncontradicted? The identification of strangers is proverbially untrustworthy. The hazards of such testimony are established by a formidable number of instances in the records of English and American trials. These instances are recent—not due to the brutalities of ancient criminal procedure.” (Internal quotation marks omitted.) Id., 577. This reinforces the idea that the appellate courts of this state must remain vigilant to developments in this field of inquiry by engaging in careful study of the scientific literature.6 Further developments
CARL DZIENKIEWICZ v. DEPARTMENT OF CORRECTION ET AL. (SC 18255)
Rogers, C. J., and Katz, Palmer, Vertefeuille and Zarella, Js.
Notes
The problems inherent in Justice Palmer‘s view are manifest, as there are many events that may, and often do, occur prior to or during trial that may reinforce or otherwise affect the witness’ level of confidence in his recollection. For instance, the witness may see a news report of the suspect‘s arrest, or he may disregard the warnings that police typically provide and compare notes with other witnesses about his identification of a particular suspect. Moreover, when a witness takes the stand, his recollection may be affected by his observation of the individual he selected during the identification procedure sitting at the defense table. All of these scenarios, and countless others, carry the potential for affecting the “witness’ confidence in the strength of his phоto[graphic] identification and the solidity of his basis in memory for it, thus making it harder for the defense to test the true certainty with which he made the identification on cross-examination ....” None of these situations, however, presents a basis for excluding the identification. To the contrary, the defendant may elicit from the witness, on cross-examination, any factors that might have influenced the witness’ confidence in the accuracy of his initial pretrial identification. The jury is then in the best position to weigh the probative value of the identification in light of these potential influences. This is truly “customary grist for the jury mill. Juries are not so susceptible that they cannot measure intelligently the weight of identification testimony that has some questionable feature.” (Internal quotation marks omitted.) State v. Garner, 270 Conn. 458, 469, 853 A.2d 478 (2004).
See, e.g., G. Wells, M. Small & S. Penrod et al., “Eyewitness Identification Procedures: Recommendations for Lineups and Photospreads,” 22 Law & Hum. Behav. 603, 639 (1998) (“[w]hen compared to the usual simultaneous procedure, it is clear that the sequential procedure produces a lower rate of mistaken identifications [in perpetrator-absent lineups] with little loss in the rate of accurate identifications [in perpetrator-present lineups]“); J. Turtle, R. Lindsay & G. Wells, “Best Practice Recommendations for Eyewitness Evidence Procedures: New Ideas for the Oldest Way to Solve a Case,” Can. J. of Police and Security Services (March, 2003), pp. 22-23 (“A rapidly growing body of research indicates that sequential line-up presentation makes it extremely difficult to use a relative judgment strategy. As a result, false identifications by eyewitnesses occur at a dramatically reduced rate while, fortunately, the rate of accurate identifications is not reduced significantly.“); Technical Working Group for Eyewitness Evidence, United States Dept. of Justice, “Eyewitness Evidence: A Guide for Law Enforcement” (October, 1999) p. 9 (“[s]cientific research indicates that identification procedures such as lineups and photo[graphic] arrays produce more reliable evidence when the individual lineup members or photographs are shown to the witness sequentially—one at a time—rather than simultaneously“). The trial court then proceeded to elaborate as to why Clement‘s photographic identification of the defendant was reliable under the totality of the circumstances.The majority‘s fundamental misunderstanding of the trial court‘s deсision is exemplified by the majority‘s mistaken reading of that decision as containing a finding by the trial court that the prejudice attributable to Beaudin‘s comment did not affect Clement‘s pretrial identification of the defendant. In support of this conclusion, the majority specifically relies on the following language from the trial court‘s decision: “What [Beaudin] risked by her conduct . . . was unfairly bolstering [Clement‘s] confidence in the strength of his photo[graphic] identification and the solidity of his basis in memory for it, thus making it harder for the defense to test the true certainty with which he made that identification on cross-examination, and correspondingly more difficult for the jury to assess the true strength and reliability of that identification . . . .” On the basis of this language, the majority asserts: “This potential harm clearly refers to the prejudicial effect that Beaudin‘s comment might have on Clement‘s subsequent in-court identification of the defendant,” and not on “Clement‘s later memory of the [pretrial identification] procedure . . . .” Footnote 34 of the majority opinion. The majority‘s conclusion is manifestly and demonstrably wrong, as it is readily apparent from the very language of the trial court‘s decision—on which the majority itself relies—that the trial court was concerned about the defendant‘s memory of and confidence in his pretrial identification of the defendant. In fact, the language of the trial court‘s decision could not be clearer in this regard. The trial court determined that Beaudin‘s comment created an undue risk of “unfairly bolstering [Clement‘s] confidence in the strength of his photo[graphic] identification and the solidity of his basis in memory for [that identification],” thereby making it more difficult “for
In February, 2008, the academic journal Law and Human Behavior, recognizing the impact that the Illinois Report was having on eyewitness identification research, published commentaries on that study. An introduction article to those commentaries summarized the findings, noting that each of the commentaries concluded that additional field research on eyewitness identification procedures is necessary, and several of the papers made specific recommendations to improve the methodology used in future research. B. Cutler & M. Kovera, “Introduction to Commentaries on the Illinois Pilot Study of Lineup Reforms,” 32 Law & Hum. Behav. 1, 1-2 (2008). The most common criticism of the study was that the methodology of the study was inadequate to support the conclusions reached because it was impossible to determine which variable caused the results. See S. Ross & R. Malpass, “Moving Forward: Response to ‘Studying Eyewitness Investigations in the Field,’ ” 32 Law & Hum. Behav. 16, 19 (2008) (“[t]reating the [study in the Illinois Report] as an attempt to answer the scientific questions in the [simultaneous] versus [sequential] controversy is erroneous, inappropriate and fruitless“); G. Wells, “Field Experiments on Eyewitness Identification: Towards a Better Understanding of Pitfalls and Prospects,” 32 Law & Hum. Behav. 6, 7 (2008) (“we cannot be certain whether the results . . . are
attributable to the sequential versus simultaneous difference or to the double-blind versus non-blind difference“); D. Schacter, R. Dawes & L. Jacoby et al., supra, 32 Law & Hum. Behav. 4 (“[T]he [methodology] has devastating consequences for assessing the real-world implications of this particular study [in the Illinois Report]. . . . [I]t is critical to determine whether the seemingly better result from the simultaneous procedure is attributable to properties of the simultaneous procedure itself, or to the influence of the non-blind administrator.“). One commentary further discussed the effects of interested administrators on identification procedures, noting that “testers influence the person they test in ways that are consistent with the testers’ expectations, assumptions, hopes, and so on“; G. Wells, supra, 8; and provided additional evidence that feedback from an administrator at the time of the identification proсedure alters the witness’ perceived confidence levels as well as his actual memory of events. Id., 10. The court in Manson considered these factors in deciding whether to adopt a per se test pursuant to which a court would be required to exclude identification evidence that had been obtained by the use of unnecessarily suggestive procedures or, alternatively, a totality of the circumstances test pursuant to which the use of an unnecessarily suggestive identification procedure by the police would not require suppression of the identification unless that identification was unreliable upon consideration of all of the relevant circumstances. Manson v. Brathwaite, supra, 432 U.S. 109-13. The court ultimately concluded that, because “reliability is the linchpin in determining the admissibility of identification testimony“; id., 114; the proper test requires an evaluation of the totality of the circumstances. Id., 113-14.“Q. Okay. And on that occasion, what, if anything, did [Detective Beaudin] describe for you to do in terms of looking at photographs?
“A. I don‘t really remember. The first set [of photographs] they laid down, I already knew who it was.”
