Lead Opinion
Chаrles Langford appeals his conviction of unarmed bank robbery (18 U.S.C. § 2113(a)). We have jurisdiction under 28 U.S.C. §§ 1291 and 1294. We affirm.
By indictment handed down February 6, 1985, Langford was charged with armed bank robbery (18 U.S.C. § 2113(d)). He was tried before a jury and convicted of the lesser included offense of unarmed bank robbery (18 U.S.C. § 2113(a)). On April 19, 1985, the district court granted Langford’s motion for a new trial and permitted his counsel to withdraw upon the latter’s representation that he hаd “conflicts” with Langford. The matter was set to be retried on May 13, 1985. On May 8, 1985, substitute counsel moved for a continuance to prepare for trial. The motion was heard and granted on May 13, 1985. The matter was reset for July 8, 1985. On June 7, 1985, Langford filed a discovery motion that was heard June 13, 1985. The time between the filing and disposition of these motions was excludable for Speedy Trial Act purposes. 18 U.S.C. § 3161(h)(1)(F). Thus, while the second trial commencеd some 80 calendar days after the motion for new trial was granted, the 70-day time limit for retrial established under the Act, 18 U.S.C. § 3161(e), was not violated. Accordingly, we do not decide whether the trial court improperly granted original trial counsel leave to withdraw, thereby prejudicing Langford’s right to a speedy trial.
At trial Langford’s cousin, Jerry Lankford, and his parole officer, Richard Wood, testified that the person depictеd in
Langford suggests that оpinion testimony on ultimate issues of fact is inadmissible. Opinion testimony on ultimate issues of fact is admissible unless the testimony concerns the mental state or condition of a defendant in a criminal case. Fed. R.Evid. 704. Because the testimony Lang-ford objects to was neither given by an expert nor concerned with Langford’s mental state or condition, Langford’s objection is untenable.
Langford additionally maintains that the trial court abused its discretion in balancing the probative value of the lay opinion testimony against its potential for prejudice. Rule 403 of the Federal Rules of Evidence provides that “[although relevant, evidence may be excluded if its probative value is substantially outweighed by the danger of unfair prejudice ...” Fed.R. Evid. 403. We conclude that, given the familiarity both Lankford and Wood had with Langford, their testimony was sufficiently prоbative to outweigh the danger of unfair prejudice. The district court thus did not abuse its discretion in this respect.
Upon Langford’s ex parte application, the trial court appointed an expert in the field of eyewitness identification to assist in preparation of Langford’s defense. Such an appointment requires a finding that the services of the expert “are neces- ' sary for an adequate defense.” 18 U.S.C. § 3006A(e)(l). Nevertheless, at trial the court excluded the expert’s testimony concerning the unreliability of eyewitness identification:
I rather think in all of these situations it is a balancing question. The ruling of the court (excluding the proffered testimony) is in no way predicated upon the absence of qualifications of the witness who has been identified in his professional field of psychology. The ruling, including the use of his testimony as an expert, is that it goes beyond the field of expertise to which such testimony should be directed or can be directed, and is basically argumentative and intrusive upon the jury’s responsibility as triers of the facts of the case.
Even if the admission of expert testimony concerning eyewitness identification is proper under certain circumstances, “there is no federal authority for the proposition that such testimony must be admitted.” United States v. Moore,
At Langford’s behest, the professional relationship between Langford and Parole Officer Richard Wood was not revealed to the jury when Wood identified Langford in the bank surveillance photographs. Sworn declarations submitted by Langford in connection with his post-trial motion for a new trial establish (1) that during a recess in trial proceedings Wood entered and exited the probation office in view of the jury, and (2) that post-trial interviews with an undisclosed number of jurors revealed that three had determined that Wood was Langford’s probation or parole officer.
Langford contends that the affidavits establish that the jury was improperly exposed to “extraneous and prejudicial matter” and that the trial court erred in failing to grant his motion for a second new trial. His argument is that Wood’s presence in the probation office gave rise to the inference that Langford had previously been convicted of a federal offense. That information, he continues, prejudiced Lang-ford’s defense, necessitating reversal and a third trial. In the alternative, Langford contends that the matter should be remanded for a hearing concerning the nature of any extraneous information that reached the jury. We disagree.
When information not admitted into evidence reaches the jury, “the defendant is entitled to a new trial if ‘there existed a reasonable possibility that the extrinsic material could have affected the verdict.’ ” United States v. Bagley,
We have reviewed the additional assignments of error urged by Langford in his pro se briefs and find them to be uniformly meritless.
AFFIRMED.
Dissenting Opinion
dissenting:
It is time for this circuit to reexamine the importance оf expert testimony concerning the reliability of eyewitness identification and to provide guidance to the district courts for exercising discretion to exclude such testimony. I therefore dissent from
I.
On January 15, 1985, a bank robbery occurred in San Francisco. Although no physical evidence was obtained from the crime scene, the bank’s surveillance camera photographed the robbery. Two days after the robbery, the bank teller who was robbed, Eufrocina Clemente, identified an individual as the robber from a photo lineup. Later investigation revealed that the identified person could not have committed the crime, and he was released from custody-
On January 23, 1985, Clemente was shown another set of photos, and this time she identified the defendant as the robber. Police showed the same set of photos to another bank teller, Sheri Bitanga, but she could not identify anyone in the photos as the robber.
The government charged the defendant, in an indictment, with armed bank robbery in violation of 18 U.S.C. § 2113. At trial, identification of the person who robbed the bank consisted entirely of the testimony of two eyewitnesses, Clemente and Bitanga, and the lay opinions of two persons that the defendant was the person in the bank surveillance photo.
The court refused to allow the defendant's expert witness to testify on the unreliability of eyewitness identification, stating:
The ruling of this court is in no way predicated upon the absеnce of qualifications of the witness who has been identified in his professional field of psychology. The ruling, including the use of his testimony as an expert, is that it goes beyond the field of expertise to which such testimony should be directed or can be directed, and is basically argumentative and intrusive upon the jury’s responsibility as triers [sic] of the facts of the case.
The expert would have testified that perception, retention, recall, and cross-racial factors affect an eyewitness’s ability to identify an individual.
II.
The facts of this case directly force us to evaluate the continuing vitality of Ninth Circuit precedent in light of thirteen years of scientific development in the field of human perception, retention, and recall, and recent Supreme Court and other circuits’ case law.
In 1973, when scientific work with eyewitness identification was developing, we upheld a district court’s decision to exclude expert testimony regarding eyewitness reliability. We determined whether the district court abused its discretion to exclude the expert testimony by evaluating four factors: “1. qualified expert; 2. proper subject; 3. conformity to a generally accepted explanatory theory; and 4. probative value compared to рrejudicial effect.” United States v. Amaral,
The majority in this case, as with every Ninth Circuit case since Amaral, affirms a district court’s decision excluding such expert testimony with little or no discussion of the issues involved or the growing body of scientific and psychological information available. See United States v. Poole,
The issue defendant raises — one the majority and these other cases have for the most part ignored — is whether the scientific field has sufficiently developed since Amaral to conclude that such expert testimony could provide appreciable assistance to the jury beyond that obtained through cross-examinatiоn and the jurors’ collective common sense. Because the Amaral court examined the issue when the relevant theories were in their infant stages, see Amaral,
Expert testimony that can explain to a jury the problems inherent in eyewitness identification is extremely relevant. Given the unreliability and pervasive influence of eyewitness testimony, expert testimony is not only more probative than prejudicial, it prevents the eyewitness testimony from having an overly prejudicial effect. Courts and scholars have long recognized the untrustworthiness of eyewitness testimony. E.g., Watkins v. Sowders,
Expert testimony on this issue is important because it reveals the reаsons why a witness may truthfully, but mistakenly, believe that the defendant was the culprit.
The key to the Amaral holding is that panel’s conclusion this information may be obtained by cross-examination. However, cross-examination cannot uncover the reasons for misidentification because the witness honestly does not believe he or she has misidentified the defendant. See Downing,
For these reasons, I believe that we cannot uphold exclusion of expert testimony based solely on the reasons set forth in Amaral. The issue then becomes: Should the evidence be excluded on other grounds?
III.
Although most circuit court decisions have upheld district courts’ exclusion of such evidence, see Downing,
On the other hand, decisions that continue to limit admissibility do so primarily for three reasons. First, some courts have held, as the district court did here, that the testimony is inadmissible because it usurps the jury function. See, e.g., United States v. Brown,
Second, in some early decisions courts concluded that the expert testimony lacked sufficient scientific reliability. See, e.g., United States v. Watson,
Third, courts have held that the probative value of the expert testimony is outweighed by its prejudicial impact on the jury. See, e.g., United States v. Fosher,
IV.
We should follow the guidelines for admitting expert testimony on eyewitness identification presented in the recent decisions favoring admissibility. Each provides extensive guidance to the trial courts in resolving this question.
Establishing such guidelines would prevent the continued application of a mechanical rule against admitting expert testimony on the reliability of eyewitness identification. Defendant contends that the district court used such a mechanical rule here. I agree. Under the circumstances of this case, the trial court abused its discretion by excluding the proffered testimony. The government relied almost entirely on eyewitness testimony to link the defendant to the crime. If expert testimony is ever appropriate, it is here. One of the eyewitnesses, Clemente, initially misidentified another person as the robber. The other, Bitanga, stated that she did not get a “gоod look” at the robber and could not identify the defendant in the police’s first photo lineup. Both viewed the robber under similarly stressful conditions. See Moore,
In certain cases, there may be sufficient reasоn to exclude the evidence, but I cannot condone the practice of a blanket rule of exclusion in every case. More important, this court has never provided any guidance in exercising that discretion. Without such guidance, the review for “abuse of discretion” becomes a meaningless charade. If we are to abdicate our appellate responsibilities in this fashion, let us do so оpenly.
If these facts do not cry out for reversing for abuse of discretion, none will. I would reverse.
Notes
. The Federal Rules of Evidence, enacted after Amaral, state the test for admissibility in slightly different terms. Rule 702 of the Federal Rules of Evidence provides:
If scientific, technical, or other specialized knowledge will assist the trier of fact to understand the evidence or to determine a fact in issue, a witness qualified as an expert by knowledge, skill, experience, training, or edu*1182 сation, may testify thereto in the form of an opinion or otherwise.
Thus, the rules permit expert testimony if it "will be helpful to the trier of fact in understanding evidence that is simply difficult, [although] not beyond ordinary understanding.”
S. Saltzburg & K. Redden, Federal Rules of Evidence Manual 451 (3d ed. 1982).
. The government criticizes these approaches as being too complicated and points to the simplicity of the Amaral scheme. My reading of Amaral reveals no required procedure whatsoever. It held simply that the district court did not abuse its discretion.
