Lead Opinion
OPINION
This appeal arises from a jury trial in which respondent, Scott Wade Ramey, was found guilty of violating an order for protection. The court of appeals reversed Ramey’s conviction, holding that the district court erred in giving a no-adverse-inference instruction without Ramey’s request or consent and the prosecutor committed misconduct during the closing argument. The state petitioned for review, claiming that the court of appeals erred in applying the two-tiered analysis from State v. Caron,
Ramey and S.S. dated for approximately one month in 2001. In February 2003, S.S. obtained an order for protection against Ramey in response to his unwanted attempts to contact her, which sometimes amounted to 20-30 phone calls per day. On April 8, 2003, at approximately 4:00 p.m., S.S. was sleeping at her home. Ramey woke S.S. from her sleep by kissing her on the cheek. S.S. asked Ramey to leave her house multiple times, and he eventually did. S.S. called the police, and the responding officer discovered that Ra-mey had not yet been served with the order for protection.
Between 8:30 and 9:00 p.m. that night, Ramey returned to S.S.’s home. S.S. did not allow Ramey into the house and instead called 911. When law enforcement officers arrived, Ramey was still outside of
At approximately 2:00 a.m. on April 9, while S.S. was working, she received a telephone call. She recognized the caller as Ramey, immediately, hung up the phone, and called the police.
Because Ramey had three prior domestic-violence convictions, he was charged with felony violation of an order for protection. Minn.Stat. § 518B.01, subd. 14(d)(1) (2004). The case was tried to a jury, which found Ramey guilty of violating the order for protection. The court convicted Ramey and imposed a 21-month stayed sentence and a $3,000 fine, with $2,000 stayed for five years.
Ramey appealed his conviction, claiming the district court erred in giving a no-adverse-inference instruction without his request or consent and that the prosecutor had committed misconduct during the state’s closing argument. State v. Ramey, No. A04-1056,
Applying the plain error doctrine, the court of appeals held that the district court committed plain error when it gave the no-adverse-inference instruction in the absence of Ramey’s request. Id. However, when addressing the issue of prosecutorial misconduct, the court of appeals applied the Caron two-tiered approach for reviewing prosecutorial misconduct. Ramey,
I.
In this case, we must determine whether the court of appeals applied the correct analysis to Ramey’s claims of pros-ecutorial misconduct. This question is one of law, which we review de novo. See Modrow v. JP Foodservice, Inc.,
We first address whether the plain error doctrine applies to unobjected-to prosecutorial misconduct. Ordinarily, the defendant’s failure to object to an error at trial forfeits appellate consideration of the issue. State v. Darris,
Prior to the development of the plain error doctrine, in Caron we adopted a two-tiered standard to be applied when determining whether prosecutorial misconduct required a new trial:
[I]n cases involving unusually serious prosecutorial misconduct this court has required certainty beyond a reasonable doubt that the misconduct was harmless before affirming. * * * On the other hand, in cases involving less serious prosecutorial misconduct this court has applied the test of whether the misconduct likely played a substantial part in influencing the jury to convict.
Our jurisprudence has not been completely consistent on the standard applicable to an analysis of unobjected-to prosecu-torial misconduct. For example, in the 1980s, while some cases used the Caron standard to analyze unobjected-to prosecu-torial misconduct, we also applied the plain error doctrine in other cases of unobjected-to prosecutorial misconduct. Compare State v. Brown,
In 1998, we decided State v. Griller, which clarified the plain error analysis.
before an appellate court reviews an unobjected-to error, there must be (1) error; (2) that is plain; and (3) the error must affect substantial rights. If these three prongs are met, the appellate court then assesses whether it should address the error to ensure fairness and the integrity of the judicial proceedings.
Griller,
Applying the plain error doctrine encourages defendants to object at trial, which is preferred because the district court is in an unique position to determine what actions constitute prosecutorial misconduct. State v. Steward,
In the past we have also recognized that defendants may decline to object at trial to secure reversible error on review. State v. Ray,
We would be concerned if defense counsel were deliberately passing on such an objection with the hope of securing reversible error for appeal and, as a result, getting two chances at a jury trial. We again caution defense counsel that the failure to object to improper closing argument may waive any claim of prosecu-torial misconduct on appeal.
At the same time, the plain error doctrine “tempers the blow of a rigid application of the contemporaneous-objection requirement.” United States v. Young,
II.
This brings us to the second question for which we granted review: the legal standard to be applied when determining if unobjected-to prosecutorial misconduct is prejudicial. Because we have determined that the plain error doctrine applies to unobjected-to prosecutorial misconduct, the proper legal standard for determining prejudice is whether the plain error affected the defendant’s substantial rights.
The overarching concern regarding prosecutorial misconduct, expressed in many of our cases, is that such misconduct may deny the defendant’s right to a fair trial. See, e.g., State v. Powers,
We have identified numerous kinds of trial conduct that are improper for prosecutors. Some examples are: eliciting inadmissible evidence, State v. Harris,
Courts have struggled to effectively respond to the problems presented when prosecutors engage in off-limits conduct. The Illinois Supreme Court has referred to prosecutorial misconduct as “a problem that courts across the country have, for the most part, been unable or unwilling to control.” People v. Johnson,
Our past attempts to respond to the problem of prosecutorial misconduct have ranged from the two-tiered Caron approach, with an enhanced harmless-error standard for so-called “serious” misconduct, to reversing prophylactically in egregious cases without inquiring into prejudice, in the exercise of our supervisory powers. See Salitros,
Ramey would have us address the problem of recurrent prosecutorial misconduct by returning to the pr e-Griller approach of considering the defendant’s failure to object simply as a factor weighing against granting a new trial, and scrapping the Caron two-tier test in favor of a single, harmless-beyond-a-reasonable-doubt standard when assessing prejudice. The state asks us to continue to apply Griller plain-error analysis in cases of unobjected-to prosecutorial misconduct, with the burden on the defendant to demonstrate prejudice.
Neither of these suggested approaches has adequately addressed the issue. The pr e-Griller approach did not curtail improper conduct by prosecutors and the difficulty with applying the higher harmless-error standard in all cases would make “less serious” misconduct subject to less regulation by the appellate courts. Similarly, placing the burden on the defendant to show prejudice has not been adequate to deter prosecutorial misconduct in the eight years since Griller was decided.
As stated previously, under Chiller, before an appellate court reviews unobjected-to trial error, there must be (1) error, (2) that is plain, and (3) affects substantial rights. Griller,
Under the approach we now adopt, the burden would continue to be on the nonobjecting defendant to demonstrate both that error occurred and that the error was plain. This is as it should be because the defendant did not seek any corrective action on the part of the trial judge. “An error is plain if it was ‘clear’ or ‘obvious.’ ” State v. Strommen,
Our new approach of shifting the burden to the prosecution to show lack of prejudice in prosecutorial misconduct cases best serves policy concerns. The benefits of this approach are to better allow substantive review of conduct that prosecutors should know is clearly forbidden and to put the onus on the prosecution to defend against the prejudicial effect of its own misconduct. A further benefit of this approach is to provide more scrutinizing review by the court of appeals, where a large majority of prosecutorial misconduct appeals are decided.
Placing the burden on the prosecution to show lack of prejudice is not a novel approach. In Chapman v. California, the case in which the United States Supreme Court held that constitutional error can be harmless, the Court placed the burden on the government, stating:
Certainly error, constitutional error * * * casts on someone other than the person prejudiced by it a burden to show that it was harmless. It is for that reason that the original common-law harmless-error rule put the burden on the beneficiary of the error either to prove that there was no injury or to suffer a reversal of his erroneously obtained judgment.
Reducing the incidence of prosecutorial misconduct is a shared obligation of prosecutors, who need to be aware of and comply with prescribed standards of conduct; defense counsel, who should seek corrective action by the trial court when misconduct occurs; and trial courts that, we have stated, “have a duty to intervene and caution the prosecutor, even in the absence of objection, in appropriate circumstances.” State v. Glaze,
Reversed and remanded.
Notes
. In the court of appeals, Ramey raised as error the following comments, which he claimed improperly interjected the state’s opinion and improperly vouched for witnesses:
(1) “The State charged Mr. Ramey, entered this trial believing he’s guilty.”
(2) "That would be a big coincidence if it wasn’t the defendant, and the State believes that would be too big of a coincidence. The State believes that’s too big of a bridge to jump.”
(3) “The State believes her testimony is credible. The officer[s’] testimony is credible and you should believe what they told you.”
(4) "We suggest there [is] no evidence that you can find that [S.S.] was somehow affected, that she couldn't have — couldn’t have accurately identified Ramey’s voice.”
. The defendant in Caron had not objected to the alleged misconduct.
. We have also held that where defense counsel does not object to improper prosecutorial argument and instead chooses to respond in the defense summation, the defendant forfeits consideration of the issue on appeal. State v. Whisonant,
. Our decision today leads us to conclude that the Caron two-tiered standard is no longer applicable to cases involving unobjected-to prosecutorial misconduct. Although Caron addressed an instance of unobjected-to prose-cutorial misconduct, the concept of plain error was not embraced in Minnesota until after Caron was decided. We leave for another day the question of whether the Caron two-tiered approach should continue to apply to cases involving objected-to prosecutorial misconduct.
. We cited these standards in Salitros and noted that just as a prosecutor is a minister of justice, defense counsel "is neither a mouthpiece nor an ordinary agent, but a professional advocate governed by rules of professional ethics and decorum.”
. The court of appeals does not exercise supervisory powers that are reserved to this court. State v. Gilmartin,
Concurrence Opinion
(concurring).
I concur in the opinion of the majority. I write separately to address the majority’s conclusion that, when we conduct a plain error review of unobjected-to prose-cutorial misconduct, the state, rather than the defendant, should bear the burden of persuasion on the third prong of the plain error doctrine.
Without a doubt, the majority’s holding represents a sharp and radical departure — a 180° turn — from our court’s and the United States Supreme Court’s jurisprudence as to the burden of persuasion on the third prong of the plain error test. See State v. Griller,
In essence, this case is about how we as an appellate court go about doing our business. I would much prefer an approach whereby, in the context of this issue in this case, we adhere to our well-established
Concurrence Opinion
(concurring).
I agree with the majority that plain error analysis applies when reviewing unobjected-to prosecutorial misconduct and that the third prong of the plain error test is the appropriate standard for determining prejudice. I write separately because I believe that the majority’s new plain error formulation, shifting the burden to the state to show that prosecutorial misconduct did not affect the defendant’s substantial rights, ignores the doctrine of stare decisis and creates unprecedented new law without compelling reason. As we have done in our prior cases, I would continue to place the burden on the defendant to show that any error that was plain affected substantial rights.
Fifty years ago we emphasized the importance of the doctrine of stare decisis to the rule of law. See State ex rel. Foster v. Naftalin,
Government by law instead of by man, which is the main bulwark to our democratic form of government, demands a decent respect for the rule of stare deci-sis in order that citizens of this state will be assured that decisions of the court are good for more than “one trip and one day only.”
Id.; see also Zettler v. Ventura,
Under the majority’s new approach, the defendant bears the burden of proof under the first two prongs of the plain error analysis, but the state would bear the burden under the third prong. This is contradictory to our court rule and our case law, which has placed the burden on the defendant to satisfy each element of the plain error analysis before an appellate court will address unpreserved error.
The result reached by the majority is at odds with Minnesota Rule of Criminal Procedure 31.02. In United States v. Olano, which we relied on as the basis for our plain error analysis, the U.S. Supreme Court explained that the basis for placing the burden on the defendant in the plain error analysis is the language of the rule itself.
In State v. Griller, our controlling plain error case, we interpreted the plain error analysis in accordance with the U.S. Supreme Court’s jurisprudence:
The United States Supreme Court has established a three-prong test for plain error, requiring that before an appellate court reviews an unobjected-to error, there must be (1) error; (2) that is plain; and (3) the error must affect substantial rights. If these three prongs are met, the appellate court then assesses whether it should address the error to ensure fairness and the integrity of the judicial proceedings.
The third prong, requiring that the error affect substantial rights, is satisfied if the error was prejudicial and affected the outcome of the case. The defendant bears the burden of persuasion on this third prong. We consider this to be a heavy burden.
Griller,
Although Griller did not specifically address unobjected-to prosecutorial misconduct, we have cited Griller for the proposition that before an appellate court will consider a defendant’s claim of unobjected-to prosecutorial misconduct, the defendant bears the burden of proof under all prongs of the plain error analysis' — -including the prejudice prong. See State v. MacLennan,
Taken together, these cases form strong precedent for the proposition that the defendant, and not the state, bears the burden to show that unobjected-to prosecuto-rial misconduct affected the defendant’s substantial rights. The majority’s new rule overturns this precedent and creates a new plain error analysis applicable only to unobjected-to prosecutorial misconduct. Under the majority’s new rule, this court will address unpreserved error if it (1) is error, (2) that is plain, and (3) the state cannot show that the error did not affect
In departing from our established precedent, the majority cites authority from other jurisdictions. But this authority does not provide a compelling reason for us to depart from our precedent. The majority relies on eases from other jurisdictions that place the burden of proof on the state in the context of a harmless error analysis. See Chapman v. California,
The majority also cites a Wisconsin case, which appears to use a harmless error analysis “in determining whether to invoke the plain error doctrine,” and places the burden on the state to show that the error was harmless. State v. King,
The majority arrives at its conclusion that we must overrule our precedent because it says that “placing the burden on the defendant to show prejudice has not been adequate to deter prosecutorial misconduct in the eight years since Griller was decided.” Just how placing the burden on the prosecution will deter misconduct the majority does not say. In any event, the majority’s speculative hoped-for outcome does not constitute a compelling reason to depart from precedent. Cf. Oanes,
The majority suggests that public policy concerns regarding prosecutorial misconduct provide a compelling reason to depart from our established precedent. I agree with the majority that prosecutorial misconduct is a serious issue. Because the issue is a form of professional misconduct, I believe the problem of prosecutorial misconduct is better dealt with through the efforts of the Office of Lawyers Professional Responsibility than through a rejection of our precedent. See, e.g., Minn. R. Prof. Conduct 3.8 cmt. (“Applicable law may require other measures by the prosecutor and knowing disregard of those obligations or a systematic abuse of prosecuto-rial discretion could constitute a violation of Rule 8.4.”).
Finally, the majority claims that its new burden-shifting rule will serve policy concerns by “better allow[ing] substantive review of conduct that prosecutors should
I would retain our original formulation for plain error in cases of unobjected-to prosecutorial misconduct.
. In essence, the majority's result rewrites Rule 31.02. In my view, we should not rewrite our court rules in specific cases, as the majority does here, especially when the issue was not briefed. We have a process for revision of court rules, and that process should be followed before rules are changed.
Concurrence Opinion
(concurring).
I join in the concurrence of Justice Gil-dea.
