IN THE COURT OF CRIMINAL APPEALS OF TENNESSEE
AT KNOXVILLE
DECEMBER SESSION, 1996
STATE OF TENNESSEE, ) C.C.A. NO. 03C01-9510-CR-00299
)
Appellee, )
)
) KNOX COUNTY
VS. )
) HON. RAY L. JENKINS
JOHN D. JOSLIN, ) JUDGE
)
Appellant. ) (Second Degree Murder)
ON APPEAL FROM THE JUDGMENT OF THE
CRIMINAL COURT OF KNOX COUNTY
FOR THE APPELLANT: FOR THE APPELLEE:
HERBERT S. MONCIER JOHN KNOX W ALKUP
DAVID S. W IGLER Attorney General and Reporter
Suite 775 Nations Bank Center
550 Main Avenue MICHAEL J. FAHEY, II
Knoxville, TN 37902 Assistant Attorney General
450 James Robertson Parkway
Nashville, TN 37243-0493
RANDALL E. NICHOLS
District Attorney General
ROBERT JOLLEY
Assistant District Attorney General
City-County Building
Knoxville, TN 37902
OPINION FILED ________________________
CONVICTION AFFIRMED; SENTENCE MODIFIED
DAVID H. WELLES, JUDGE
OPINION
The Defendant, John D. Joslin, appeals as of right pursuant to Rule 3 of
the Tennessee Rules of Appellate Procedure. He was convicted by a Knox
County jury of second degree m urder. 1 The trial court sentenced him as a Range
I standard offender to twenty-three years with the Department of Correction. In
this appeal, the Defendant raises the following issues:2
1) W hether the trial court erred in failing to grant the Defendant’s motion
for judgment of acquittal and whether the evidence is sufficient to sustain
his conviction;
2) whether the jury instruction on self-defense was erroneous;
3) whether the trial court erred by permitting the Defendant to be
impeached on cross-examination with questions concerning pretrial
preparation with his attorney;
4) whether the trial court’s erroneous evidentiary rulings deprived the
Defendant of his right to present an effective defense;
5) whether the trial court’s demeanor and conduct exhibited a judicial bias
denying the Defendant due process of law;
6) whether the assistant district attorney general committed prosecutorial
misconduct; and,
7) whether the trial court erred in sentencing the Defendant to twenty-three
years imprisonment.
After carefully reviewing the extensive record, we conclude that the Defendant’s
issues provide no grounds for the reversal of his conviction. W e do, however,
conclude that the trial court erred in sentencing the Defendant to twenty-three
years imprisonment. Accordingly, we affirm the Defendant’s conviction for
second degree murder but modify his sentence.
1
Tenn . Code A nn. § 39-13-210(a).
2
W e have listed the issues in a different order than they are pre sente d in the De fendant’s
brief. W e have chosen to address the issues in the order listed here.
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I. FACTUAL BACKGROUND
The record in this case is quite lengthy. The trial commenced on June 26,
1995. The jury returned a verdict on July 17, 1995. We begin here with a brief
summary of the evidence presented, but we will provide additional pertinent facts
related to specific issues as we address those issues. There is no question that
on February 26, 1994, the Defendant shot and killed the victim, Rodney Shepard.
The principal issue raised by the proof adduced at trial was whether the
Defendant acted in self-defense or defense of a third person.3
A. State’s Proof
At trial, the State presented the testimony of four witnesses to the shooting.
Gary Massengill was riding as a passenger with the victim in the latter’s truck on
the morning of February 26, 1994. Massengill testified that he and the victim
were going on a plumbing service call in Powell, Tennessee when they passed
the intersection of Central Avenue Pike and Callahan Road. They were traveling
north on Central Avenue Pike. As they proceeded through the intersection,
Massengill saw a blue and silver van run the stop sign at the intersection and turn
from Callahan Road into the lane in which he and the victim were driving.
Massengill recognized the van as one belonging to the Defendant. Massengill
testified further that shortly after turning toward the truck, the van lightly bumped
the victim’s truck from behind. The victim stopped the truck and exited the
vehicle to investigate while Massengill remained in the truck. According to
3
Tenn. Code Ann. §§ 39-11-611, -612.
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Massengill, the van and the truck were approximately twenty feet apart.
Massengill then heard two gunshots in quick succession followed by a third
gunshot a second later. W hen Massengill heard the shots, he looked in the side-
view mirror and saw the victim lying on the street with blood coming out of his
head. Massengill testified that as the third shot was fired, he saw the Defendant
hanging out of the driver’s side window of the van. Massengill then drove the
truck away from the scene. The van followed soon after him. Massengill turned
off Central Avenue Pike after a short distance, and the van continued down the
road.
On cross-examination, Massengill admitted that the victim was his best
friend. He also admitted that the victim’s truck had no rear window so that the
only way to see behind the vehicle was by using the side-view m irrors.
Massengill testified that he had been drinking with the victim the previous night
and had already drunk a sixteen-ounce beer on the morning of February 26. He
stated that the bump from the van was so slight that it left no marks on or
damage to the bumper of the truck. Massengill also admitted that there were
inconsistencies regarding the distance from the victim to the vehicles between his
initial statements to police officers and his testimony on direct examination. From
his best recollection, Massengill stated that the victim was approximately twenty
feet from his vehicle at the time he was shot. Massengill testified further that the
distance from the back of the truck to the door of the van was twenty feet.
Judy Allen and her daughter, Michelle Flatt, were in another vehicle at the
intersection of Central Avenue Pike and Callahan Road at approximately 1:00
p.m. on February 26, 1994. Flatt was driving and Allen was in the front
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passenger seat. Both individuals testified that they saw a blue and silver van
traveling east on Callahan Road in the right-hand lane. The van switched lanes
suddenly as it approached the stop sign at the intersection and turned north (left)
onto Central Avenue Pike without stopping. Allen looked away for a m oment.
W hen she looked up again, she saw the victim’s truck and the Defendant’s van
stopped in the northbound lanes of Central Avenue Pike approxim ately five to six
feet apart. The victim was walking toward the van with the tips of the fingers of
his left hand in his pants pocket and his right arm swinging casually at his side.
W hen the victim reached the front bumper of the van, Allen saw two arms holding
a pistol emerge from the driver’s side window of the van. She then heard a
gunshot and looked away for a second, during which time she heard another
gunshot. When she looked back at the scene, she witnessed the Defendant lean
out of the van’s window and shoot at the victim as he lay on the ground beside
the van’s window. On cross-examination, Allen admitted that, based solely on
her observation of the victim’s actions, she believed there was going to be some
type of fight after the vehicles came to a stop in the road.
Michelle Flatt testified that the truck and the van stopped approximately
three to four feet apart on Central Avenue Pike. Flatt, like Allen, testified that the
victim walked back toward the van with the tips of the fingers of his left hand in
his pants pocket and his right arm swinging by his side. As the victim stepped
past the front bumper of the van, Flatt saw the Defendant put both arms outside
the van window. She then heard gunshots. Flatt echoed Allen’s testimony that
the Defendant leaned out of the van’s window and shot at the victim as he lay on
the street. On cross-examination, Flatt stated that she also believed there was
going to be some type of fight after the truck and the van had stopped. Flatt
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admitted that, shortly after the shooting, she told police officers she could not tell
whether the van had hit the truck. Flatt also admitted that the Defendant shot the
victim as the latter reached the driver’s side window of the van.
Phillip Murphy was traveling north on Central Avenue Pike near the
intersection with Callahan Road on February 26, 1994. On direct examination,
Murphy testified that he saw the Defendant’s van bump the victim’s truck from
behind. According to Murphy, the victim exited the truck and examined his
bumper. The victim then walked toward the van, talking and gesturing with his
hands. Murphy testified that he believed there might be an altercation. As the
victim approached the van, Murphy saw arms emerge from the driver’s side
window. The victim was still six to eight feet away at that time and, according to
Murphy, his arms and hands were up in the air. Murphy then heard two or more
gunshots and saw the victim fall forward onto the street.
On cross-examination, Murphy admitted that he was a childhood friend of
the victim. In fact, the victim referred individuals to Murphy’s heating and cooling
business. Murphy testified further that the victim appeared angry and upset as
he approached the van. He also admitted that he had not actually seen the van
bump the truck, but rather had seen the truck jolt. Murphy assum ed that there
had been contact between the vehicles. He stated that he did not know whether
the victim had suddenly hit his brakes. During cross-examination, the Defendant
produced a tape recording of a 911 call made by Murphy immediately after the
shooting. On that tape recording, Murphy makes no mention of a bump between
the vehicles and states that he could not determine whether the driver of the van
was black or white.
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Dr. John Neff testified regarding the cause of the victim’s death. The victim
had a single gunshot wound to the head. The path of the bullet ran roughly
parallel to the level of the victim’s ears and carried it straight through the brain.
Dr. Neff testified further that there was no stippling associated with the wound.
Stippling refers to the effect of powder and other bits of material in the shell
casing actually impacting the wound site when a weapon is discharged at close
range. He explained that the lack of stippling indicated that the shot was fired
from at least eighteen to twenty-four inches away from the victim.
Two officers with the Knox County Sheriff’s Department, James Phillips
and John W ilson, testified that they arrived at the scene shortly after the shooting.
After speaking with several witnesses, they learned that the suspect had been
driving a blue and silver van. They then began to search the neighborhoods
surrounding the scene for such a vehicle. As they were questioning an individual
in the Heiskell Road area, the Defendant approached them on foot, identified
himself as John Joslin, and stated that he owned a blue and silver van. Both
officers testified that the Defendant appeared distraught or in shock. Officers
accompanied him back to his residence.
Mike Lett, a detective with the Knox County Sheriff’s Department, testified
that he went to the Defendant’s residence on the afternoon of February 26, 1994.
Once he had arrived, the Defendant’s wife, Sandra Joslin, informed Lett of the
location of a pistol belonging to them. Lett recovered the .38 caliber revolver
from the eave of the carport at the Defendant’s home. The pistol was not loaded
at that time. Lett also testified that police had taken measurements of the crime
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scene. There were blood stains on Central Avenue Pike approximately one
hundred thirty-six feet from the intersection with Callahan Road.
Mike Upchurch, a detective with the Knox County Sheriff’s Departm ent,
testified concerning a conversation he had with the Defendant on August 14,
1993. The Defendant had complained about harassing telephone calls and
vandalism committed by an individual the Defendant believed to be Rodney
Shepard, the victim. The Defendant asked Upchurch about the possible
penalties for such offenses and the proof required. W hen informed that the
offenses he was describing were misdemeanors punishable by up to eleven
months and twenty-nine days in jail, the Defendant stated that he did not believe
that type of punishment “would bother Mr. Shepard at all.” According to Detective
Upchurch, the Defendant “said that he guessed he’d just take care of it hisself.”
On cross-examination, Upchurch confirmed that the Defendant called their
office on the Monday after he had spoken with Upchurch and talked with
Lieutenant Johnson about the telephone calls and vandalism. In addition, the
Defendant called yet again on a later date and spoke with Officer Baird.
Upchurch testified further that he was aware that the Defendant also approached
the district attorney general’s office. Defense counsel produced a report written
by Detective Lett which stated that Upchurch had informed the Defendant in
August of 1993 that, given the offenses the Defendant had described and the
level of his proof, “they probably wouldn’t do much to the subject because of this,
that he didn’t know whether he could get a warrant or not.”
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B. Defense Proof
1. Testimony of the Defendant
The Defendant testified in his own behalf at trial. He stated that he had
met the victim in 1988. The Defendant was adding a bedroom to his house at
that time. The victim had posted homemade signs throughout the community
advertising that he did plumbing work. After reading these signs, the Defendant
called the victim and eventually hired him to work on his bedroom addition. The
Defendant testified that the victim did good work at a reasonable price. This
arrangement began a relationship which was initially amicable. The Defendant
often asked the victim to do repair work at his commercial rental properties. The
victim accepted these jobs and did quality work according to the Defendant.
The Defendant and the victim became closer friends as time passed, and
the Defendant visited the victim’s home on Sam Tillery Road. He testified that
he found the living conditions deplorable and thought the victim and his family
deserved better. The victim informed him that he did not like his living conditions
either, and that the neighborhood children were harassing his children. The
victim eventually asked the Defendant if he would buy a house on Dante Road
and rent it to him. The Defendant agreed.
Apparently the Dante Road home was in such a condition that it would not
qualify for a loan. The Defendant therefore sold his retirement stock in order to
have the money to purchase the home on Dante Road. He also executed an
option to allow the victim to purchase the home from him during the next three
years. The Defendant stated that they had agreed that the victim would renovate
the electrical and heating systems so that the Dante Road hom e would qualify
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for a loan. The victim would then get a loan and purchase the house from the
Defendant. According to the Defendant, the victim began several renovation
projects on the house, but did not finish them. The Defendant loaned the victim
money to finish som e projects, but to no avail.
The victim eventually expressed a desire to move into a large garage-type
commercial building owned by the Defendant. The Defendant discovered that
this structure was not approved as suitable for habitation. He informed the victim
that his fam ily could not move into the building and, according to the Defendant,
the victim became angry. The victim suddenly became “unavailable” to do repair
work at the Defendant’s commercial properties.
The victim later moved his trailer-home onto the back half of the Dante
Road lot. He then requested that the Defendant give him the half of the lot
surrounding the trailer. The Defendant inquired of the Knox County Planning
Comm ission and was informed that the lot could not be split into two residential
lots because of a lack of square footage. He told the victim what he had learned.
The victim became upset and said he was simply going to sell the trailer for one
thousand dollars ($1,000). The Defendant told the victim that the trailer was
worth much more money and wrote him a check for two thousand five hundred
dollars ($2,500). The victim later tore that check into pieces.
The victim then began to complain about his neighbors around the Dante
Road home. He asserted that his children were being harassed. The Defendant
heeded the victim’s displeasure with his home and told him that if he completed
the renovations to get the house into selling condition (such that it would qualify
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for a loan), the Defendant would give him any amount over thirty-six thousand
dollars ($36,000) for which the home sold. The Defendant also offered to pay for
the renovation materials and for an individual to help the victim complete the
repairs.
Soon after this offer, in February of 1992, the Defendant learned that the
victim had purchased a nearby home on Bruin Road. The Defendant received
a telephone call from one of the victim’s neighbors on Dante Road informing him
that the victim was gutting the Dante Road home as he moved out. The
Defendant went to the Dante Road home and discovered that the victim was
removing fixtures, duct work, the external air conditioner unit, and other materials
from the Dante Road home. W hen asked about the air conditioner, the victim
told the Defendant that he was taking the unit away from the Dante Road home
because it was stolen. The Defendant testified that he did nothing about the
gutting of the house because he did not want any trouble from the victim. He
then began to talk to the victim’s Dante Road neighbors and learned that the
Shepard family had been harassing and threatening them. The neighbors also
suspected the victim of being involved in selling illegal drugs. The Defendant
called the city police department and learned that the victim had a criminal
record. The Defendant testified that he was terrified to learn these things about
the victim.
On October 28, 1992, the Defendant sold the Dante Road home to Carroll
Votaw. Shortly thereafter, he and his wife received a telephone call from the
victim. The victim was angry and vulgar, cursing the Defendant and saying that
he “was going to destroy” the Defendant and everything he owned. The victim
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went on to threaten to kill the Defendant and warned him that he “better keep an
eye over his shoulder.” The victim also stated that “he was going to post signs
up in the community declaring all about John Joslin.” He told the Defendant’s
wife that the Defendant had raped someone in the 1940s.
The Defendant testified that from this date until the day of the shooting, he
received numerous vulgar and harassing telephone calls, some of which he was
able to record on his answering machine. Included in the calls were threats to
rape the Defendant’s wife and daughter. He also discovered damage to several
pieces of his commercial rental property located throughout the community. The
calls and vandalism were apparently cyclical, with several instances occurring
over a short period of time, usually over a weekend, followed by a period of no
disturbances. The victim would often call near the time of the discovery of acts
of vandalism and tell the Defendant, “It ain’t over, S.O.B.; it ain’t over.”
The Defendant soon became very frightened of the victim. He would
sometimes ask one of his adult sons to accompany him when he went to work on
his commercial property. He testified that he called the police several times and
learned that there was little that could be done about the harassing calls and
vandalism unless he caught the perpetrator in the act. The Defendant also
approached the local telephone company to inquire whether there was a way to
stop or “trap” calls coming into his phone from a specific number. According to
the Defendant’s testimony, he was told that he could not “trap” calls from the
victim’s number because it was outside his local exchange. As time passed, the
Defendant became more afraid, both for himself and for his family. He and his
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wife eventually instituted strict rules regarding answering the phone and the door
if his children were home alone.
Approximately one to two weeks before the shooting, one of the
Defendant’s neighbors discovered a homemade sign posted near the
Defendant’s home. The Defendant soon discovered more signs and writing of
the same nature on various public signs. The signs and writings contained
language such as “beware John Joslin,” often coupled with “John Joslin the
rapist.” Some signs contained language such as “John Joslin will rape your wife”
or “John Joslin will fuck you.” Photographs of these signs were introduced at
trial. The Defendant testified that he recognized the victim’s handwriting on some
of the signs. He believed that the signs indicated the victim was “com ing closer.”
As a result, the posting of the signs scared the Defendant.
W ith regard to the day of the shooting, the Defendant testified that he
awakened early on Saturday, February 26, in order to search for more signs
before other people began to drive in the neighborhood. He took a loaded pistol
with him for protection purposes and drove through the neighborhood near his
home. For the past twelve years, the pistol had usually been kept in a locked
closet in his house. The Defendant found more signs that morning and
recognized the Defendant’s handwriting on them. He also found vulgar writing
on the garage door of his adult son’s place of business. He returned home later
that morning to get ready to attend his adolescent son’s church-team basketball
game.
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The Defendant’s daughter was feeling ill that morning and decided to stay
at home during the basketball game. The Defendant instructed his daughter not
to answer the phone or come to the door while they were gone. W hen the
Defendant arrived at the gymnasium, he and his wife spoke with the youth
minister of their church, Randy Singleton, about the problems they had been
having with the victim. After the game, the Defendant and his wife left quickly to
check on their daughter. Their son was going to come hom e separately a short
time later.
They approached the intersection of Callahan Road and Central Avenue
Pike, traveling east on Callahan in the left lane. The Defendant intended to turn
left on Central Avenue Pike to get back to his home on Heiskell Road, which was
a short distance north from the intersection of Central Avenue Pike and Callahan.
As he approached, he saw the victim’s truck at the intersection heading north on
Central Avenue Pike. Believing that the victim would turn west (left) onto
Callahan Road in order to get to the interstate, the Defendant switched into the
right lane of Callahan Road hoping to avoid the victim. The Defendant testified
that the victim saw him approaching and “creeped” through the intersection,
giving him an “angry stare.” Rather than turning onto Callahan Road as the
Defendant had expected, the victim continued straight through the intersection,
traveling north on Central Avenue Pike.
The Defendant became worried that the victim was going to the
Defendant’s home, which was in the direction the victim was driving. He
therefore switched back into the left lane of Callahan Road and turned left at the
intersection so that he was traveling north on Central Avenue Pike behind the
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victim’s truck. He stated that he stopped at the intersection, but the stop sign
was set back a short distance from the actual intersection of the roadways. The
Defendant testified that just after he turned into the lane following the victim’s
truck, the victim slam med on his brakes and came to a stop in the middle of the
road. The Defendant slammed on his brakes to avoid hitting the truck. At no
time did he make contact with the victim’s truck.
According to the Defendant’s testimony, the victim jumped out of his truck,
slammed the door and threw down a cigarette. He placed his hand in his pocket
and approached the Defendant’s van. At this point, the Defendant’s wife
screamed, “He’s coming to kill us, John.” The Defendant reached into the
console beside his seat and pulled out the .38 caliber revolver he had left there
earlier that morning. He “stuck it out the window” and said, “No, Rodney.” The
Defendant testified that the victim responded, “I’ll kill you, motherfucker.” The
Defendant then fired a shot in the air over the victim’s head. The victim lunged
for the Defendant, reaching into his window and tugging at the Defendant’s arm
or safety belt. The Defendant leaned back and fired the gun twice.
The victim fell back from the van after the shots, but the Defendant did not
know whether he had wounded the victim. At this time, the Defendant’s wife
exclaimed, “My God, John, here’s the other one coming after us.” The Defendant
looked up to see Gary Massengill exiting the victim’s truck. Massengill ran
around to the driver’s side of the truck and drove away. The Defendant followed
the truck because it was traveling toward their home. The truck eventually turned
off the road, and the Defendant proceeded to his house. The Defendant testified
that he was in a state of shock after the shooting.
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Once hom e, the Defendant did not return the .38 caliber pistol to its
custom ary storage location inside the house. Instead, he placed the revolver on
a ledge in his carport because he did not want his daughter to see him carrying
the gun. He then told his wife that he was going to the Sheriff’s Office to inform
the authorities of what had happened. The Defendant’s wife asked him to wait
and to call an attorney before going. Since they did not know any attorneys, they
called the minister of their church, who gave them the name of a lawyer. The
minister told them he was coming to their home immediately. During this time,
the Defendant noticed that police officers were at the home of one of his
neighbors. He decided to approach the officers. Upon doing so, he informed the
officers of his name and the fact that he owned a blue and silver van. Lieutenant
Don Humphrey, whom the Defendant had known for a number of years, told the
Defendant, “If you know anything about this situation, you had better go talk to
you an attorney.”
On cross-examination, the Defendant admitted that he did not consider the
signs and vulgar writings threatening in and of themselves. Instead, he
considered them to be more in the nature of harassment rather than threats. He
did, however, believe them to be more of a threat when they began to be posted
near his home. The Defendant was also confronted with a letter written to him
by the victim in which the victim made many positive comments about and
showed a concern for the Defendant and his family. The letter was supposedly
written in late 1992 or early 1993, after the Defendant had received the
threatening telephone call concerning his sale of the Dante Road home. The
Defendant testified further that he did not remember doing anything to the
revolver as he drove away from the scene of the shooting.
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The assistant district attorney general also questioned the Defendant about
whether he had rehearsed his testimony with his attorney as part of his pretrial
preparation for the case. These questions, in turn, led to inquiries into whether
the Defendant had been through a trial procedure before, referring to
misdemeanor convictions that the Defendant received in 1973. This line of
questioning is challenged by the Defendant on appeal. We will relate additional
facts regarding these questions as we address those issues later in this opinion.
2. Corroborating Proof
The Defendant presented several witnesses to corroborate his testimony
concerning the history between him and the victim as well as the events leading
up to the shooting. James McCreary, one of the Defendant’s neighbors, testified
that he saw a homemade sign posted on a telephone pole approximately one
hundred fifty yards away from the Defendant’s home. The sign contained
derogatory remarks about the Defendant. MrCreary removed the sign from the
pole and took it to the Defendant. The Defendant became visibly shaken, upset,
and nervous when he saw the sign. McCreary testified that the Defendant then
told him about the vulgar and harassing telephone calls he and his fam ily
members had received from the victim. McCreary considered the sign to be
threatening and seeing it in his neighborhood worried him. He later saw
derogatory writing on stop signs in the neighborhood. On cross-examination,
McCreary admitted that he had not seen the individual who had posted the sign
on the telephone pole.
Lisa Scarbro testified that she worked at the Powell Deli. That building is
owned by the Defendant and is apparently leased to the operators of the deli.
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Scarbro testified that she does not know the Defendant. She confirmed that she
once saw vulgar and derogatory writing referring to the Defendant on an exterior
wall of the deli. On cross-examination, Scarbro admitted that she did not know
who wrote on the wall.
Charles Edward Wright testified that he leased a building from the
Defendant. One morning in 1992 he discovered that the exterior air conditioning
unit had been knocked off its base. It appeared to W right that the unit had been
struck by a vehicle. Wright later spoke with the Defendant about the problems
with the victim. Wright testified that the Defendant appeared to be fearful of the
victim.
Dudley Cockrum testified that he was the minister at the Defendant’s
church. He had talked with the Defendant about the problems with the victim.
Cockrum advised the Defendant to speak with the Sheriff’s office. The Defendant
told Cockrum that he had already done so. Cockrum testified further that the
Defendant appeared to be afraid of the situation and seemed to feel trapped.
Cockrum also confirmed that he received a telephone call from the Defendant on
February 26, 1994, and gave the Defendant the name of an attorney.
Carroll Votaw testified that he purchased the home on Dante Road in
October of 1992 after the victim and his family had moved. According to Votaw,
the house was in extremely poor condition. Votaw called the victim to ask about
information on the fixtures and duct work that had been removed from the home.
He testified that the victim seemed more interested in the purchase agreement
he had made with the Defendant. The victim appeared to be very angry with the
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Defendant. Votaw testified that the victim stated that the situation was far from
settled and that “he probably would wind up killing the son-of-a-bitch.” Votaw
later spoke with the Defendant about the situation and stated that the Defendant
was obviously scared. According to Votaw, the Defendant became more and
more fearful as time passed.
Ernest Greer testified that he was the Defendant’s uncle. Greer spoke with
the Defendant about the problems the latter was having with the victim. Greer
could not remember exactly when their conversations had occurred, but
estimated them to have taken place six to ten months before the shooting. Greer
related that the Defendant had stated that the vulgar graffiti and signs were in the
same language as the harassing telephone calls he had received. On cross-
examination, the assistant district attorney general asked Greer if he realized the
Defendant had testified that the graffiti and signs appeared only weeks before the
shooting, rather than six to ten months. Greer then stated that he could not be
sure about the timing of their conversations because he was eighty-three years
old and could not remember everything.
The Defendant’s children also testified at trial. Dean Joslin, the
Defendant’s son, testified that he operated an automotive repair garage out of a
building leased to him by his father. Dean Joslin arrived at the garage one
morning after his father had begun to have problems with the victim and found
that his garage door had been severely dented by a vehicle. He found red paint
matching the color of the victim’s truck on the scene. He took measurements of
the height of the dent and concluded it corresponded to the height of the bumper
on the victim’s truck. Dean Joslin also testified that a plate glass window was
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broken twice during this time. On the morning of Saturday, February 26, 1994,
Dean Joslin discovered vulgar writing referring to the Defendant on the garage
doors of his shop. Dean Joslin stated that he had conversations with his father
about the situation with the victim. He testified that the Defendant was in
constant fear of the victim. On cross-examination, Dean Joslin admitted that in
his deposition for a civil case arising from the shooting, he stated that the
Defendant was not “scared to death” of the victim.
Daniel Charles Joslin, another son of the Defendant, echoed Dean Joslin’s
testimony about his father’s mental state. He testified that the Defendant was
terrified of the victim. Benjamin Allen Joslin also testified that the Defendant was
scared of the victim. Benjamin Allen Joslin stated that his father spoke with him
about the vandalism and harassing telephone calls. Those conversations began
approximately one year before the shooting.
John Isaac Joslin and Geneva Rose Joslin, the adolescent children of the
Defendant, both testified that they answered harassing telephone calls in which
the victim used vulgar and threatening language. They spoke with the Defendant
about the telephone calls they received. They both testified that the Defendant
appeared to be scared. In fact, the entire family was fearful and felt like they
were being stalked. On cross-examination, John Isaac Joslin admitted that he
remembered receiving only seven or eight harassing calls from the victim.
Geneva Joslin remembered two calls distinctly, but testified that she received
more calls which she simply could not remember.
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Randy Singleton, the youth minister at the Defendant’s church, testified
that he saw the Defendant and his wife shortly before a basketball game on the
morning of Saturday, February 26, 1994. He cordially asked the Defendant how
he was doing. After an initial pleasant answer, the Defendant’s wife began to cry
and the Defendant confided in Singleton that they were not doing well. The
Defendant told Singleton that his family was being persecuted by a man. The
Defendant related that they had received harassing telephone calls and had
discovered derogatory signs posted in their neighborhood. Singleton testified
that the Defendant’s hands were shaking as he recounted this information. In
Singleton’s opinion, the Defendant appeared very frightened. On cross-
examination, Singleton admitted that the Defendant never specifically told him
that he was fearful of the victim.
The principal witness offered to corroborate the Defendant’s testimony
about the events leading up to the shooting was the Defendant’s wife, Sandra
Joslin. Sandra Joslin testified that she and her husband received a threatening
telephone call from the victim on October 28, 1992, after the sale of the Dante
Road hom e to Carroll Votaw. From that time until the shooting, members of the
Joslin family continued to receive vulgar and threatening telephone calls from the
victim. According to Sandra Joslin, these calls included threats to rape her,
threats to rape Geneva Joslin, and threats to kill the Defendant. Approxim ately
a week before the shooting, one of their neighbors brought them a homemade
sign containing derogatory, vulgar writing referring to the Defendant. The
neighbor had found the sign posted on a pole very near their home. The close
proximity of the sign to their home frightened her and her entire family.
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Sandra Joslin confirmed that on the morning of Saturday, February 26,
1994, she and her husband attended their son’s church basketball gam e. Their
daughter remained at home because she was ill. On the return home from the
game, her husband was driving their van and she was in the front passenger
seat. They were traveling east on Callahan Road approaching the intersection
with Central Avenue Pike. The Defendant was driving in the left lane and
intended to turn left at the intersection, which would take them directly toward
their home. As they neared the intersection, she saw the victim’s truck. Her
husband switched into the right lane, which automatically turns south (right) onto
Central Avenue Pike, in order to avoid passing close to the victim’s truck. The
victim drove slowly through the intersection in the direction of their home and
stared at them. Given that their daughter was at home alone, this action alarmed
Sandra Joslin and her husband, prompting her husband to switch lanes again
and turn left at the intersection, following the victim’s truck as it proceeded north
on Central Avenue Pike.
After a short distance, the victim suddenly slammed on his brakes and
came to a stop in the road. The Defendant slammed on his brakes to avoid
hitting the truck from behind. According to Sandra Joslin’s testimony, the victim
“jumped out of his truck and started bounding back toward our vehicle in a very
mad rage. He ran his hand in his pocket and continued toward our vehicle.” As
the victim continued toward the van, Sandra Joslin exclaimed, “He’s going to kill
us.” She heard her husband say, “No, Rod” and saw him stick his revolver out
of the van’s window. She heard the victim say, “I’ll kill you mother--fuckers.” At
that point, Sandra Joslin ducked down in her seat.
-22-
Sandra Joslin then heard gunshots and looked up a moment later. She
saw another individual exit the victim’s truck. She said to her husband, “John,
watch it; there’s another one.” That individual got back into the truck, however,
and drove away. They followed the truck, heading toward their home. After a
short distance, the truck turned off the road and they continued to their house.
Sandra Joslin testified further that, on the way home, the Defendant removed the
bullets which remained in the revolver and threw them out of his window.
On cross-examination, the assistant district attorney made much of Sandra
Joslin’s testimony that the victim said the plural “motherfuckers” as he
approached their van rather than the singular. The assistant district attorney
confronted her with a copy of a deposition given for the civil case arising from the
shooting in which she stated that the victim used the singular form of the word.
After repeated inquiries by the prosecutor, Sandra Joslin testified that she could
not be sure whether the victim had used the plural or the singular.
3. Character of the Victim
The Defendant also presented several witnesses who testified concerning
the character of the victim. Dean Joslin, one of the Defendant’s sons, testified
that he came to know the victim through his father. The victim eventually was
hired to do plumbing work for Dean Joslin. Dean Joslin came to know the victim
as time passed, and the victim visited him at Joslin’s automotive repair shop.
Based on their relationship, Dean Joslin developed the opinion that the victim
was an aggressive, violent person. Daniel Charles Joslin, another one of the
Defendant’s adult sons, also developed a relationship with the victim. He, like
-23-
Dean Joslin, testified that the victim was, in his opinion, an aggressive, violent
person.
David Riley testified that he was a neighbor of the victim when he lived on
Sam Tillery Road, prior to the victim’s move to the Dante Road home. Riley
stated that, based on his knowledge and observations, the victim had a
reputation as a violent, aggressive person. On cross-examination, Riley testified
that he did not know the Defendant and had not told the Defendant about his
knowledge of the character of the victim.
In one of the more bizarre developments during this trial, the Defendant
presented the testimony of Robert Ferguson. Ferguson was married to the
victim’s sister-in-law and came to know the victim in early 1993. The following
colloquy occurred during the direct examination of Ferguson.
Q. Did you hear what other people said about Rodney Shepard?
A. I heard other people say he was a little bit of a hothead when
he was drinking.
Q. W ell -- okay. I -- I didn’t -- I just -- you have heard other
people talk about him?
A. Yes, sir.
Q. Sir, do you have an opinion as to the character of Rodney
Shepard for being an aggressive person or being a peaceful
person?
A. I feel like he was a peaceful person 99 percent of the time.
Q. W as there times when he was an aggressive person, sir?
A. W hen he was drinking, yeah.
Q. Do you have an opinion, sir, for Rodney Shepard’s reputation
for being a peaceful person or a violent person?
A. I’ve heard him make threats about other people and to myself,
but I’ve never known him to actually commit a violent act.
Q. Do you have an opinion as to his reputation for being violent,
sir?
A. I don’t feel like he was violent.
Q. You don’t?
A. No.
-24-
Later during the direct examination, Ferguson was asked to describe an incident
which occurred at the Shepard home. Ferguson witnessed the victim talking
about the Defendant and making a telephone call to the Defendant. Defense
counsel questioned Ferguson as follows:
Q. Okay. W hat, if anything, happened with regard to John
Joslin?
A. That was the first time I ever heard John Joslin’s name, was
when I was there.
Q. How did it come up?
A. Something was said concerning signs that had been hung up.
And Rodney was drinking, and then he made a phone call.
Q. W ould you, please, tell the members of the jury who it was
Rodney said he was calling?
A. John Joslin.
Q. W hat did he say as he made that phone call in your presence
and in the presence of the people you specified?
A. He was cussing about John Joslin ripping him off.
Q. Did he say what he was going to do to John Joslin?
A. He was screaming and hollering about John Joslin.
Q. Did he say what he was going to do to John Joslin?
A. I don’t recall any specifics.
Q. Do you recall him saying to John Joslin “I’m going to kill you,
you sonofabitch”?
A. I don’t know if he was actually talking to John Joslin or it was
before he answered the phone.
Q. Do you recall him saying that?
A. Yes.
Defense counsel then confronted Ferguson with a written statement he had
signed shortly before testifying. Ferguson admitted that, in the statement, he
stated that he believed the victim to have been a violent, aggressive person
during his lifetime.
Although it appears that Ferguson’s testimony at trial differed somewhat
from his written statement and thus surprised defense counsel to a certain
degree, the direct examination was rather ordinary. At the conclusion of direct
examination, however, an odd turn of events occurred. Defense counsel
requested a jury-out hearing, apparently to alert the trial court that he desired to
-25-
ask Ferguson about his knowledge about specific violent acts committed by the
victim against third persons. During this hearing, Ferguson asked to address the
trial court. Ferguson stated that, during the days before he testified, defense
counsel asked him to place matters in a different light when he was testifying.
Ferguson also stated that he was “asked to add more to it than what the truth is.”
At that point, defense counsel asked that the witness be removed from the
courtroom so that they could discuss the matter. Once Ferguson had left the
courtroom, defense counsel informed the trial court that he had tape-recorded his
conversations with Ferguson. Defense counsel explained that he had originally
spoken with Ferguson many months earlier and learned that, according to
defense counsel, Ferguson had witnessed violent acts of the victim and was of
the opinion that the victim was a violent, aggressive person. Subsequent to their
initial conversation, Ferguson pleaded guilty to a bank robbery charge and was
incarcerated in a federal penitentiary. He was transported to Tennessee at the
beginning of the Defendant’s trial in order to testify for the defense.
Prior to Ferguson’s testimony, defense counsel learned that an assistant
United States attorney had arranged a conversation between himself, Ferguson
and the assistant district attorney general prosecuting the Defendant. Defense
counsel began to suspect that, in his words, something “was amiss.” As a result,
defense counsel decided to record the conversations he had with Ferguson.
From his comments, it appears that defense counsel believed the tapes would
dem onstrate that he had not pressured Ferguson in any way nor suggested that
-26-
Ferguson exaggerate his testimony. He then offered the written statement and
the tape recordings as Jencks material. 4
At this point, the assistant district attorney general requested that he be
permitted to review the original tape recordings alone. Defense counsel stated
that he would make a copy of the tapes but did not want to give the originals to
the prosecutor. It appears that defense counsel had conferred with Ferguson
only a half hour before he testified. Defense counsel stated that he had not had
time to copy the tapes yet. It is unclear whether there were any prior meetings
between defense counsel and Ferguson (other than their original conversation
several months earlier) and whether these meetings were recorded. The trial
court ordered defense counsel to allow the prosecutor to review the original tapes
alone. Defense counsel refused. The trial court then found that defense counsel
had violated Rule 26.2 of the Tennessee Rules of Criminal Procedure.
Accordingly, the trial court ordered Ferguson’s testimony stricken from the record.
The assistant district attorney general, however, requested that Ferguson’s
testimony not be stricken, but rather that he be allowed to testify that defense
counsel had pressured him. The trial court agreed. As a result, on cross-
examination, Ferguson stated that defense counsel had promised that he “would
be very well taken care of and compensated” if he testified favorably. Moreover,
defense counsel promised that he would file a letter seeking a downward
departure in Ferguson’s bank robbery sentence. Ferguson testified that defense
counsel asked him “[t]o make statements stronger concerning the statements I’d
4
See Tenn. R. Crim. P. 26.2.
-27-
made to him in the past, go into further detail, more aggressive detail. Making
them more than what they was.”
Faced with that testimony on cross-examination, defense counsel sought
to ask Ferguson on redirect about details of the written statement and whether
they were true or whether they were exaggerated. A copy of Ferguson’s signed,
written statement had been provided to the prosecutor at the conclusion of direct
examination pursuant to Tennessee Rule of Criminal Procedure 26.2. The
prosecutor objected “to references to anything because of Mr. Moncier’s [defense
counsel] actions during the recess.” The prosecutor appears to be referring to
defense counsel’s decision not to allow him to review the original tapes alone.
The trial court sustained numerous objections by the prosecutor, curtailing any
redirect examination concerning Ferguson’s written statement and whether his
direct testimony was exaggerated. Defense counsel was able to ask Ferguson,
“when I have talked to you on each occasion, and including the lunch recess
before this, did I tell you to tell the truth?” Ferguson responded affirmatively.
4. Expert Testimony Regarding the Defendant’s Mental State
The Defendant also presented expert testimony regarding his mental state
through Dr. Eric Engum, a clinical psychologist. Dr. Engum examined the
Defendant on three separate occasions after the shooting at the request of the
Defendant’s treating psychiatrist, Dr. Catherine Gyurik. The trial court allowed
Dr. Engum to testify regarding the Defendant’s statements to him which formed
the basis for his conclusions about mental state. As a result, Dr. Engum related
substantially the same history between the Defendant and the victim as well as
-28-
the events leading up to the shooting as the Defendant testified to on direct
examination.
Based on what the Defendant told him and the results of psychological
testing, Dr. Engum formed an opinion concerning the personality characteristics
of the Defendant on February 26, 1994. Dr. Engum testified that the Defendant
had passive-aggressive and narcissistic personality features that were pervasive,
long-standing and existed throughout his adult life. More specifically, Dr. Engum
testified that passive-aggressive individuals tend to be withdrawn and do not
confront problems directly. They are not dominant or assertive, but rather tend
to allow other people to make major decisions. They also tend to be somewhat
ineffective in social situations. Narcissistic individuals are the type of people who
“pull themselves up by their own bootstraps.” They are self-made and tend not
to be particularly well-educated.
Dr. Engum testified further concerning stress and its effect upon people in
general as well as on the Defendant. Dr. Engum explained that stress provokes
certain autonomic nervous system responses such as increased heart rate and
rapid, shallow respiration. Individuals under stress become acutely sensitive to
visual and auditory stim uli, but their cognitive processes are limited so that they
do not reason in a logical, straightforward fashion. Dr. Engum concluded that,
accepting the Defendant’s account of the history between him and the victim and
the events immediately prior to the shooting, the Defendant was under acute
stress at the time of the shooting.
-29-
Dr. Engum found that, given the Defendant’s personality characteristics
and the history between him and the victim (again, as related by the Defendant),
the Defendant became increasingly sensitized to the threat posed by the victim
as time passed. Dr. Engum concluded that the Defendant had perceived the
actions of the victim immediately prior to the shooting to be a threat to his safety.
On cross-examination, Dr. Engum again admitted that his conclusions
were based solely on what the Defendant had related to him and his discussions
with the Defendant’s treating psychiatrist, Dr. Gyurik. Dr. Engum did not consult
any of the witnesses to the shooting presented by the State during their case-in-
chief, nam ely Judy Allen, Michelle Flatt, Phillip Murphy or Gary Massengill. In
addition, the following colloquy took place:
Q. Are you aware and did you take it into account in your
assessment of Mr. Joslin’s perception of stress and fear that Mr.
Joslin ran into the back of Mr. Shepard’s truck?
A. I am aware that he bumped into it -- yes, sir. I am aware that
he bumped into it when Mr. Shepard stopped.
Q. Okay. W ho told you that?
A. I believe Mr. Joslin did, and I clearly remember that when Mr.
Moncier [defense counsel] and I talked in January, that that was a
point that came up.
Q. So, Mr. Joslin told you that he bumped into the back of Mr.
Shepard’s truck?
A. To the best of my recollection, I believe that there was some
contact between the two vehicles.
On redirect examination, however, Dr. Engum reviewed the notes he had taken
as he interviewed the Defendant and stated that there was no indication in those
notes that the Defendant had bumped the victim’s truck. Dr. Engum testified that,
on reflection, he received information about the bump from a meeting with
defense counsel after his interviews with the Defendant. Dr. Engum also
reiterated that passive-aggressive individuals such as the Defendant tend not to
-30-
address issues directly but rather wait and hope that the issues will resolve
themselves.
5. Testimony Offered to Rebut the State’s Proof
The Defendant also presented the testimony of John Hyde to attack the
credibility of the testimony of the State’s witnesses to the shooting. Hyde testified
that he is a traffic engineer, accident reconstructionist and visual perception (sight
distance) expert. Hyde examined the Defendant’s van and the victim’s truck and
concluded that there had been no contact between the vehicles. Hyde based his
conclusion on the lack of scratches or markings consistent with contact between
the vehicles. He testified further that an individual stopped at the intersection of
Callahan Road and Central Avenue Pike would not have been able to see the
front of the Defendant’s van or the rear of the victim’s truck assum ing that the
vehicles were in the approximate position that had been testified to earlier in the
State’s case-in-chief. Hyde’s testimony apparently refers to the positions of Judy
Allen, Michelle Flatt and Phillip Murphy and their lines of sight.
On cross-examination, Hyde admitted that he was an expert witness paid
by the defense and had not been at the scene during the shooting. He testified
that he had not talked with the State’s witnesses to aid him in forming his
opinions. He also admitted that he had not examined the victim’s truck “up close”
but rather from a slight distance.
-31-
C. State’s Rebuttal Proof
In rebuttal, the State presented the testimony of Don Provonsha.
Provonsha testified that he was an agent with the Federal Bureau of
Investigation. Provonsha stated that defense witness Robert Ferguson has a
poor reputation for truth and veracity. On cross-examination, Provonsha admitted
that an assistant United States attorney holds some sentencing consideration
power over a federal prisoner such as Robert Ferguson.
Steve W orley, an employee of the Powell Telephone Exchange, also
testified for the State in rebuttal. Worley stated that the telephone company had
the technical ability to trace calls throughout Knoxville and the surrounding areas
as of November 10, 1992. Worley testified that he had found no record of
com plaints from the Defendant about harassing telephone calls, nor had he found
any requests from the Defendant to trace calls. On cross-examination, W orley
admitted that the area in which the telephone company could “trap” calls was
smaller than the “trace” area. W orley stated that during the relevant time period,
the company could not “trap” calls coming in from outside a localized area such
as from Knoxville to Powell.
D. Jury Verdict
On May 18, 1994, the Defendant was indicted on one count of first degree
murder. At trial, he pleaded not guilty and asserted self-defense and defense of
a third person. At the conclusion of the proof, the trial court charged the jury on
first-degree murder, second degree murder and voluntary manslaughter. After
-32-
considering all of the evidence, the jury found the Defendant guilty of second
degree murder.
II. SUFFICIENCY OF THE EVIDENCE
In the first issue, the Defendant challenges the sufficiency of the convicting
evidence in three ways. First, he argues that the evidence was legally insufficient
to survive his Rule 29 motion for judgment of acquittal5 with respect to first-
degree murder. Second, he argues that the evidence is legally insufficient to
support his second-degree murder conviction. Third, in the event the evidence
is not sufficient to support his second-degree murder conviction, he argues that
the evidence is also insufficient to support a voluntary manslaughter conviction.
Accordingly, the Defendant contends that his conviction must be reversed and
the charges against him dismissed.
W hen an accused challenges the sufficiency of the convicting evidence,
the standard is whether, after reviewing the evidence in the light most favorable
to the prosecution, any rational trier of fact could have found the essential
elements of the crime beyond a reasonable doubt. Jackson v. Virginia, 443 U.S.
307, 319 (1979). Questions concerning the credibility of the witnesses, the
weight and value to be given the evidence, as well as all factual issues raised by
the evidence, are resolved by the trier of fact, not this court. State v. Pappas, 754
S.W .2d 620, 623 (Tenn. Crim. App. 1987). Nor may this court reweigh or
reevaluate the evidence. State v. Cabbage, 571 S.W.2d 832, 835 (Tenn. 1978).
5
Tenn . R. Crim. P. 29(a).
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A jury verdict approved by the trial judge accredits the State’s witnesses
and resolves all conflicts in favor of the State. State v. Grace, 493 S.W .2d 474,
476 (Tenn. 1973). On appeal, the State is entitled to the strongest legitimate
view of the evidence and all inferences therefrom. Cabbage, 571 S.W .2d at 835.
Because a verdict of guilt removes the presumption of innocence and replaces
it with a presumption of guilt, the accused has the burden in this court of
illustrating why the evidence is insufficient to support the verdict returned by the
trier of fact. State v. Tuggle, 639 S.W .2d 913, 914 (Tenn. 1982); Grace, 493
S.W.2d at 476.
The Defendant first contends that the evidence was insufficient to survive
his Rule 29 motion for judgment of acquittal with respect to the indicted offense
of first-degree murder. Rule 29 of the Tennessee Rules of Criminal Procedure
provides, in pertinent part, that the trial court “on motion of a defendant or of its
own motion shall order the entry of judgment of acquittal of one or more offenses
charged in the indictment or information after the evidence on either side is
closed if the evidence is insufficient to sustain a conviction of such offense or
offenses.” Tenn. R. Crim. P. 29(a). The standard by which trial courts determine
and appellate courts review a motion for judgment of acquittal is essentially the
same standard applied when determining the sufficiency of the evidence after a
conviction. See Cabbage, 571 S.W .2d at 836; State v. Thompson, 549 S.W .2d
943, 946 (Tenn. 1977); State v. Anderson, 880 S.W.2d 720, 726 (Tenn. Crim.
App. 1994). At the time the motion is made, the trial court must favor the State
with the strongest legitimate view of the evidence, including all reasonable
inferences, and discard any countervailing evidence. Thompson, 549 S.W .2d at
946 (citing Jones v. State, 533 S.W.2d 326, 329 (Tenn. Crim. App. 1975));
-34-
Anderson, 880 S.W.2d at 726. On appeal, the State is again entitled to the
strongest legitimate view of the evidence and any reasonable inferences which
might be drawn from it. Cabbage, 571 S.W .2d at 836; Thompson, 549 S.W .2d
at 946; Anderson, 880 S.W .2d at 726.
In the case sub judice, the record reveals that at the close of the State’s
case-in-chief, the Defendant moved for judgment of acquittal on the charge of
first-degree murder as well as the other offenses raised by the proof, namely
second-degree murder and voluntary manslaughter. The trial court denied the
Defendant’s motion. The Defendant renewed his motion for judgment of acquittal
at the close of all proof, and the trial court again denied the motion.
The principal focus of the Defendant’s argument is on the State’s burden
to negate the Defendant’s self-defense and defense of a third person claims
beyond a reasonable doubt, as is required under Tennessee Code Annotated
section 39-11-201(a)(3). The Defendant adm its that he shot the victim and even
that he intended to shoot the victim. He maintains, however, that he did so in
self-defense and defense of his wife, and that the State failed to negate his
defense beyond a reasonable doubt. The Defendant argues that the submission
of a first-degree murder charge to the jury prejudiced him by increasing the
likelihood of a second-degree murder conviction as a “middle ground.”
In considering this issue, affording the State the strongest legitimate view
of the evidence and the inferences therefrom as well as accrediting the State’s
witnesses, we can only conclude that there was sufficient evidence to have
survived the Defendant’s motion for judgment of acquittal with respect to first-
-35-
degree murder. The State’s proof revealed that the Defendant erratically
switched lanes and disregarded a stop sign to pursue the victim’s truck. Gary
Massengill testified that the Defendant’s van then bumped the victim’s truck from
behind. The victim exited his truck and approached the Defendant’s van,
apparently in a manner suggesting that he was upset. As the State pointed out
at trial, however, an individual who had just been involved in a car accident might
very well be expected to be somewhat upset. As the victim approached the van,
witnesses for the State testified that they saw the Defendant point a pistol out of
his window and fire at the victim. Two witnesses stated that the Defendant
leaned bodily out of his window and fired a shot at the victim as he lay on the
ground. After the shooting, the Defendant drove away from the scene and
proceeded to his nearby home. Once home, he placed the gun in an eave of his
carport, although he normally kept the gun inside his home. The State also
presented testimony that the Defendant, after learning that the harassment he
had been receiving from the victim constituted only a misdemeanor, stated that
he would “take care of it” himself.
The Defendant made his first motion for judgment of acquittal at the close
of the State’s case-in-chief. At that point, the Defendant’s theories of self-
defense and defense of another were, as we might expect, somewhat nebulous
because they had not been fully developed. The State’s proof alone, fully
accredited, suggests that the Defendant reacted with frustration and anger to
harassment by the victim and his perception that the harassment would not be
resolved or punished adequately through normal channels. As a result, the
Defendant pursued the victim on the day of the shooting and created an
opportunity for a confrontation between himself and the victim. At that
-36-
confrontation, the Defendant shot and killed the victim. W e believe that there
was sufficient evidence developed during the State’s case-in-chief for a rational
juror to have found the elements of first-degree murder, including premeditation
and deliberation, in spite of the Defendant’s intimation of self-defense and
defense of a third person theories. Accordingly, the trial court did not err in
denying the Defendant’s motion for judgment of acquittal.
The Defendant renewed his motion for judgment of acquittal at the close
of all proof. By that time, the Defendant had presented witnesses in his own
behalf to develop fully his theories of self-defense and defense of another. His
proof focused on the relationship between himself and the victim and on the
victim’s manner of approaching his van at the scene of the shooting. As he
developed his theories with his own witnesses, however, the prosecutor was able
to assail the credibility of the theories through cross-examination. The cross-
examination questioned the volume of harassing telephone calls and vulgar signs
as well as whether the Defendant’s reaction was one of anger or one of fear. It
also questioned the Defendant’s characterizations of the early relationship as one
of magnanimous generosity on his part. In short, the prosecutor’s cross-
examination of the Defendant’s witnesses was quite thorough and vigorously
challenged the credibility of the Defendant’s proof.
Affording the State the strongest legitimate view of the evidence and taking
into account the challenge to the Defendant’s credibility, we conclude that there
was sufficient evidence supporting a first-degree murder charge to survive the
Defendant’s renewed m otion for judgment of acquittal at the close of all proof.
Although the Defendant had presented his fully-developed theories of self-
-37-
defense and defense of another by the time of the close of all proof, the State
had effectively questioned the credibility of the theories as they had been
presented. We believe that there remained sufficient evidence for a rational juror
to have found the elements of first-degree murder, including premeditation and
deliberation, in spite of the Defendant’s proof in support of his self-defense and
defense of a third person theories. Accordingly, the trial court did not err in
denying the Defendant’s renewed motion for judgment of acquittal.
The Defendant also contends that the evidence is legally insufficient to
support either his conviction for second-degree murder or a conviction for
voluntary manslaughter. For the reasons outlined in our discussion of the
Defendant’s challenge to the denial of his Rule 29 motion for judgment of
acquittal, we believe that the evidence was also legally sufficient to support his
conviction for second-degree murder. Having resolved that there was sufficient
evidence to support his conviction, we need not address the Defendant’s
additional argument that there was insufficient evidence to support a conviction
for voluntary manslaughter in the event that there was insufficient evidence to
support his second-degree murder conviction. W e conclude that all three of the
Defendant’s contentions in the first issue on appeal lack merit.
-38-
III. SELF-DEFENSE JURY INSTRUCTION
In the second issue, the Defendant contends that the trial court’s jury
instruction on self-defense was erroneous and that the prosecutor’s closing
argument compounded that error. The Defendant argues that the erroneous
instruction misled the jury into believing that a use of physical force by the victim
was required to support a claim of self-defense.
The proof adduced at trial obviously raised an issue of self-defense. The
Defendant submitted a special jury instruction request on that issue. The
Defendant’s special request differed slightly from the pattern jury instruction on
self-defense. After hearing argument, the trial court denied the Defendant’s
special request on self-defense, choosing instead to give the pattern jury
instruction.6
The portion of the instruction which the Defendant challenges occurred at
the very beginning of the entire instruction. The trial court’s instruction on self-
defense began as follows:
Included in the defendant’s plea of not guilty is his plea of self-
defense.
W hen a person is assaulted by the use of force in such a way
as to create in his m ind a reasonable belief that he is in imminent
and actual danger of death or serious bodily injury, he will be
justified in using force to defend himself even to the extent of killing
another human being.
(emphasis added). The self-defense jury instruction is quite long and continues
for two more pages in the record. The instruction given by the trial court mirrors
6
W hether intentionally or not, the trial court did incorporate some of the Defendant’s
proposed changes. These changes were discussed during argument and were not objected to by the
Sta te. T he incorporated changes are m inor an d are not pertinent to th e error alle ged on appeal.
-39-
the pattern jury instruction in all ways except for the emphasized phrase above
and minor changes suggested by the Defendant.
The Defendant contends that the emphasized language is erroneous in
that it omits a relevant phrase suggested by the options under the pattern jury
instruction itself. The opening sentence of the pattern jury instruction reads:
W hen a person is assaulted, by the [use of force] [attempted
use of force], in such a way as to create in his m ind a reasonable
belief that he is in imminent and actual danger of [death] [serious
bodily injury], he will be justified in [threatening] [using] force to
defend himself even to the extent of killing another human being.
T.P.I. -- Crim. 40.06 (3d ed.) (emphasis added). The Defendant argues that the
evidence presented at trial was such that both “use of force” and “attempted use
of force” were required.
The trial court’s omission of “attempted use of force” from the opening
sentence of the instruction is somewhat curious. During a Rule 30 hearing 7 prior
to instructing the jury, the trial court, the prosecutor and the Defendant all agreed
that the proof presented at trial supported the inclusion of both the “use of force”
and the “attempted use of force” language. In considering the contention, the
Defendant suggested that the trial court also define “assault” for the jury in order
to clarify further that physical force or contact by the victim is not a prerequisite
to a valid self-defense claim.8 The trial court declined to define “assault.” After
the trial court had read the charge to the jury, the Defendant renewed his special
requests and indicated to the trial court that the self-defense instruction was
7
Tenn. R. Crim. P. 30.
8
The provisions governing self-defense are set forth at Tennessee Code Annotated section
39-11-611 . As the statute ma kes c lear, a physical attack by the victim is not a requireme nt to support
a self-defense claim .
-40-
misleading with regard to physical force, particularly in light of the content of the
prosecutor’s closing argument. The Defendant again requested that the trial
court define “assault” to ensure that the jury understood that physical force or
contact by the victim was not required. The trial court again declined, stating that
“assault” is a term which “needs no further description.”
The initial omission of “attempted use of force” is even more curious given
that both phrases are used together later in the instruction. As we stated above,
the self-defense instruction is rather lengthy. The “attempted use of force”
language is omitted from the initial sentence of the instruction. Later in the
opening paragraph, however, the trial court used both options as follows: “The
use of force can only be to the degree reasonably believed to be immediately
necessary to protect against the other’s use or attempted use of unlawful force.”
(Em phasis added). In addition, several paragraphs later in the instruction, the
trial court used the following language:
The threat or use of force against another is not justified if the
defendant provoked the deceased’s use or attempted use of
unlawful force, unless the defendant abandoned the encounter or
clearly communicated to the deceased the intent to do so, and the
deceased nevertheless continued or attempted to use unlawful force
against the defendant.
(Em phasis added). Thus, it appears that the only significant difference between
the pattern instruction and the instruction actually given to the jury is the omission
of the “attempted use of force” language from the opening sentence of the
instruction.
It is well-established in Tennessee that the trial court has the duty of giving
a correct and complete charge of the law applicable to the facts of the case and
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the defendant has the right to have every issue of fact raised by the evidence and
material to the defense submitted to the jury upon proper instructions by the trial
court. State v. Teel, 793 S.W .2d 236, 249 (Tenn. 1990), cert. denied, 498 U.S.
1007, 111 S.Ct. 571, 112 L.Ed.2d 577 (1990); State v. Bryant, 654 S.W .2d 389,
390 (Tenn. 1983); State v. Thompson, 519 S.W.2d 789, 792 (Tenn. 1975) (citing
Poe v. State, 212 Tenn. 413, 370 S.W .2d 488 (1963)). In evaluating a jury
charge, particular instructions must not be considered in isolation, but rather in
the context of the overall charge. State v. Bolin, 678 S.W .2d 40, 43 (Tenn. 1984)
(citing Cupp v. Naughten, 414 U.S. 141, 146-47, 94 S.Ct. 396, 400, 38 L.Ed.2d
368 (1973)). Thus, the charge must be viewed in its entirety or considered as a
whole. Otis v. Cambridge Mutual Fire Insurance Co., 850 S.W .2d 439, 446
(Tenn. 1992).
Citing these principles, the State argues that the omitted language in the
present case was slight and, considered within the context of the entire charge,
did not render the charge erroneous. The State points out that subsequent
language in the instruction included both the “use of force” phrase and the
“attempted use of force” phrase. The State contends that the remainder of the
self-defense jury instruction adequately conveyed the essential concepts of the
defense.
W e recognize that subsequent language in the trial court’s instruction
included both relevant phrases and correctly conveyed concepts governing the
issue of self-defense. Yet we cannot escape the conclusion that the trial court’s
instruction on self-defense was erroneous. It is clear that “inconsistent or
contradictory instructions ‘do not neutralize or validate each other, but are vitally
-42-
erroneous . . . . The parties are entitled to a clear and consistent charge, as well
as a correct one, that justice may be reached.’” State v. Stephenson, 878
S.W.2d 530, 555 (Tenn. 1994) (quoting Citizens Street Railroad Co. v. Shepherd,
107 Tenn. 444, 64 S.W. 710, 711 (1901)). In Stephenson, our supreme court
further explained the principle as follows:
Instructions as a whole must be consistent and harmonious, not
conflicting and contradictory . . . . Where instructions given to the
jury for their guidance present contradictory and conflicting rules
which are unexplained, and where following one would or might lead
to a different result than would obtain by following the other, the
instructions are inherently defective. This is true although one of the
instructions correctly states the law applicable to the facts of the
case, since the correct instruction cannot cure the error in the
contradictory erroneous instruction . . . .
Id. (quoting Abbott v. American Honda Motor Co. Inc., 682 S.W .2d 206, 209
(Tenn. App. 1984)).
Applying those precepts to the charge in the case sub judice, it is clear that
the trial court’s self-defense instruction was inconsistent in parts and thereby
potentially misleading. W e believe, therefore, that the trial court’s initial omission
of the “attempted use of force” language, an option suggested by the pattern jury
instruction itself, was erroneous. The omitted language was relevant and raised
by the proof at trial. Accordingly, we conclude that the trial court’s failure to
include the “attempted use of force” language at the beginning of the instruction
on self-defense was error.
The State argues that, even if the omission was error, it was at most
harmless error. See Tenn. R. App. P. 36(b); Tenn. R. Crim. P. 52(a). The
Defendant, on the other hand, argues that the erroneous instruction was not
harmless, particularly in light of the prosecutor’s closing argument regarding the
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issue covered by the instruction. The Defendant contends that the prosecutor’s
argument concerning self-defense and the “use of force” compounded the
erroneous instruction and misled the jury into believing that a physical attack by
the victim was necessary to sustain a self-defense claim.
To support his argument, the Defendant quoted extensively from the
prosecutor’s closing argument in his brief. The relevant portions of that argument
are as follows:
MR. JOLLEY: And listen to what the judge’s instruction on self-
defense says. It doesn’t start with reasonable beliefs. The first
words of that charge to you after included . . . in the defendant’s
plea of not guilty is his plea of self-defense, when a person is
assaulted. Is it walking back, whether normally or briskly with your
hands, is that an assault? Did Rodney Shepard assault anybody in
that vehicle by going back toward that vehicle? Only-- only, ladies
and gentleman, if you believe the testimony of John Joslin or Sandra
Joslin, because nobody else has him closer than the front bumper
of that car-- truck-- van until he is lying there on the pavement.
Nobody. The only people who do are John Joslin and Sandra
Joslin. And you remember, we talked about that in opening, about
the left hand through the window or the right arm grabbing. W e
talked about that.
And why is that necessary? W hy does Sandra Joslin tell us
for the first tim e about the grabbing? Because you have to create
the defense. You have to get it within the terms of self-defense. . .
. You have to have . . . an assault, and there is none in this case.
There is none, because the testimony of John Joslin and Sandra
Joslin as to that point is totally incredible. It is unbelievable. It is not
supported by anything else in the record.
Now, you go on, and the instruction . . . then says . . .
assaulted by the use of force-- by the use of force. What force did
Rodney Shepard use? He shut his car door. He walked. But he
didn’t use any force against anybody in that van. He didn’t do it.
Absolutely none.
Assaulted by the use of force. Again, unless you believe . .
. John Joslin and Sandra Joslin. . . .
By the use of force in such a way as to create in his mind a
reasonable belief that he is in imminent and actual-- imminent and
actual danger of death or serious bodily injury. ...
And the Court will tell you what imminent means. Imminent
means near at hand, on the point of happening. The Court will tell
you what force means. Compulsion by the use of physical power or
violence. It doesn’t exist in this case.
-44-
You know, whatever you want to say about the testimony of
Michelle Flatt and Judy Allen and Phil Murphy about we thought
there was going to be a fight, it doesn’t exist.
(emphasis added). The Defendant objected several times to the prosecutor’s
argument. All of these objections were overruled by the trial court. In response
to one of the Defendant’s objections, the trial court stated, “W ell, I’ll instruct the
jury as to the law. Overruled.” In addition, the Defendant notes that at the
conclusion of the self-defense jury instruction, the trial court defined “force” as
meaning “compulsion by the use of physical power or violence.” (emphasis
added).
The Defendant certainly presents a compelling argument. As we pointed
out above, however, the self-defense jury instruction is quite lengthy. Aside from
the omission of the “attempted use of force” language from the initial sentence,
the remainder of the instruction was complete and correct. More specifically, the
self-defense instruction correctly focused the jury’s inquiry on the Defendant’s
state of mind and the reasonableness of his beliefs. The instruction also allowed
the jury to consider the history between the Defendant and the victim. Finally, the
“use of force” language was accompanied by the “attempted use of force”
language in subsequent phrases of the self-defense instruction.
After considering the entire instruction and the proof introduced at trial, we
are confident that the trial court’s erroneous jury instruction did not affect the
result of the trial. See Tenn. R. Crim. P. 52(a). The trial court’s error was
harmless beyond a reasonable doubt. See Chapman v. California, 386 U.S. 18,
24, 87 S.Ct. 824, 828, 17 L.Ed.2d 705 (1967); State v. Bigbee, 885 S.W.2d 797,
809 (Tenn. 1994). Accordingly, this issue is without merit.
-45-
IV. CROSS-EXAMINATION OF THE DEFENDANT REGARDING PRETRIAL
PREPARATION WITH HIS ATTORNEY
In the third issue, the Defendant challenges the actions of both the trial
court and the prosecutor regarding cross-examination of the Defendant
concerning his pretrial preparation with defense counsel. These questions, in
turn, led to additional cross-exam ination generally concerning the Defendant’s
prior criminal record. He challenges this line of questioning as well.
During cross-examination, the prosecutor asked the Defendant how many
times he had “sat in a witness stand and rehearsed” his testimony with defense
counsel. The Defendant seemed unsure as to the point of the prosecutor’s
question. As a result, the prosecutor went on to recite details of the Defendant’s
pretrial preparation, such as other attorneys playing the roles of judge and district
attorney, apparently in an effort to refresh the Defendant’s memory. Defense
counsel objected to this line of questioning. The trial court overruled the
objection. As part of his answer to the prosecutor’s questions, the Defendant
testified as follows:
Q. Mr. Joslin, when you practiced your testimony, you sat in a
witness stand like you’re sitting in today or similar, did you not?
A. Yes, sir.
Q. And you had a judge who was sitting next to you. Do you
know now that his name is Jonathan Cooper?
A. I didn’t know his nam e. And before, when you asked me if I
had sat in a courtroom, I -- I didn’t know what you m eant. I had not
sat in a courtroom. I went up -- I did go to a little room with just --
Q. A witness stand?
A. -- a small --
Q. Small courtroom --
A. -- tiny little place, and I was sitting at a witness stand, and
someone was supposed to have been representing a judge, and
someone was supposed to have been representing somebody else,
and I was to get familiar with what type of procedures I’d been going
through. I’ve never been through nothing like that, and I guess it
-46-
was to keep me from being so nervous or something. I don’t know
why.
(emphasis added).
At this point, the prosecutor requested a bench conference. During this
conference, the prosecutor alerted the trial court to his intention to ask the
Defendant about misdemeanor convictions from 1973. Defense counsel
objected, asserting that the convictions were too remote to be admissible and
that the State had not complied with the provisions of Rules 608 or 609 of the
Tennessee Rules of Evidence. In response, the prosecutor argued that the
Defendant had made a sweeping claim of good conduct, thereby opening the
door to impeachm ent without regard to strict com pliance with Rule 608. The trial
court eventually allowed limited questioning of the Defendant. The prosecutor,
with the trial court’s agreement, asked the Defendant if he had been through a
bench trial in Knox County General Sessions Court before Judge Jewell Watson
on April 6, 1973. The Defendant responded affirmatively. The prosecutor did not
introduce copies of the Defendant’s convictions.
Faced with this cross-examination, defense counsel took two courses of
action. Once the trial court had decided to allow the questions regarding pretrial
preparation, defense counsel requested that the trial court give a limiting
instruction to the jury. The requested limiting instruction reads in pertinent part:
It is quite natural and proper that a defendant will prepare his
testimony with his attorney prior to the trial. No attorney would begin
a trial without discussing questions that may be asked of his client
during the case and preparing his client to testify. In the same way,
the prosecutor typically prepares his witnesses for their testimony
prior to trial. The fact that the attorneys have prepared their
witnesses for trial is a proper function of trial counsel and is to be
expected.
-47-
The trial court denied the requested limiting instruction. Defense counsel’s
second course of action was to request permission to call an expert witness to
rebut the prosecutor’s questioning of the Defendant regarding pretrial
preparation. That witness, Thomas Dillard, had practiced criminal law
extensively, both as a prosecutor and as a defense attorney. Dillard would have
testified as follows:
It is my opinion that it is common and expected practice for
prosecuting attorneys and defense attorneys alike to prepare
witnesses for testimony in courtroom proceedings. W itnesses are
often unfamiliar with and extremely nervous about courtroom
proceedings. These witnesses are often placed at ease by this
process, and can more accurately comm unicate their testimony.
As a prosecutor, I have often taken witnesses into an em pty
courtroom in advance of their testimony, and placed them on the
witness stand to go through their direct examination. I often had
these witnesses undergo a mock cross examination, either with
another attorney or me as the cross-examiner. I have often followed
the sam e procedure as a defense attorney.
In my opinion, preparation of witnesses in this manner is often
necessary and common practice, and should be expected of
thorough and competent counsel.
The trial court did not permit Dillard to testify at trial.
On appeal, the Defendant first argues that the questions concerning his
pretrial preparation were irrelevant and violated his Sixth Amendment right to
counsel. Of course, evidence which is not relevant is not admissible. Tenn. R.
Evid. 402. W e believe, however, that the questions concerning the Defendant’s
pretrial preparation were of some relevance. The prosecutor sought to challenge
the credibility of the Defendant’s testimony on direct examination by questioning
him if he had rehearsed his testimony “line by line.” It appears that none of the
questions implicated any material protected by the attorney-client privilege.9 In
9
The pre paration to w hich the prosecutor’s questio ning re fers was apparently conducted in
the presence of individuals other than the Defendant’s attorneys. As such, the preparation was not
prote cted by the attorne y-client privilege. See, e.g., W eatherford v. Bursey, 429 U.S . 545, 97 S .Ct.
-48-
our opinion, the prosecutor’s inquiry did have some relevance. W e point out that
defense counsel had no objection to the prosecutor’s asking the Defendant if he
had “gone over his testimony” with his attorneys. In fact, defense counsel
specifically questioned the State’s witness Judy Allen about whether she had met
with the prosecutor in preparation for her testimony at trial. Accordingly, we find
no error with the trial court’s decision that such questions were relevant as a
challenge to the credibility of the Defendant. See Tenn. R. Evid. 401.
Furthermore, we cannot conclude that the prejudicial effect of the questions
substantially outweighed their probative value. See Tenn. R. Evid. 403.
The Defendant also contends that the prosecutor’s questions concerning
pretrial preparation violated his Sixth Amendment right to counsel. A prosecutor
violates the defendant’s right to counsel when, through examination of a witness
or argument to the jury, he or she seeks to penalize the defendant for exercising
this constitutional right. State v. Hines, 919 S.W .2d 573, 580 (Tenn. 1995), cert.
denied, 117 S.Ct. 133, 136 L.Ed.2d 82 (1996) (citation omitted). In the case sub
judice, the prosecutor’s cross-examination sought to challenge the credibility of
the Defendant by suggesting that his persuasive testimony on direct examination
could have been bolstered by “line by line” preparation prior to trial. We do not
believe that the prosecutor’s questions rose to the level of penalizing the
Defendant for exercising his right to counsel. In our view, the prosecutor’s
questioning was not intended to attack the Defendant’s use of an attorney but
rather to question the reliability and persuasiveness of his compelling testimony
which could have been aided by “line by line” preparation. As a result, we
837 , 51 L.Ed.2 d 30 (197 7); Sims v. Banks of Comm erce & Trust Co., 14 Tenn . App. 672 (1932 ).
-49-
conclude that the questions posed by the prosecutor regarding pretrial
preparation did not violate the Defendant’s right to counsel.
The Defendant next argues that, if the questions concerning pretrial
preparation were proper, it was error for the trial court both to refuse to give the
limiting instruction and to exclude the expert testimony of Thomas Dillard.
Rulings on the admissibility of evidence and the propriety and form of cross-
examination are entrusted to the sound discretion of the trial court. See, e.g.,
State v. Hutchison, 898 S.W .2d 161, 172 (Tenn. 1994), cert. denied, 116 S.Ct.
137, 133 L.Ed.2d 84 (1995); State v. Harris, 839 S.W.2d 54, 72 (Tenn. 1992),
cert. denied, 507 U.S. 954, 113 S.Ct. 1368, 122 L.Ed.2d 746 (1993). Such
rulings will not be reversed on appeal absent an abuse of that discretion. See
State v. Caughron, 855 S.W .2d 526, 541 (Tenn. 1993), cert. denied, 510 U.S.
579, 114 S.Ct. 475, 126 L.Ed.2d 426 (1993).
In the case at bar, we conclude that by denying both the limiting instruction
and the expert testimony, the trial judge abused his discretion. Given the nature
of the cross-examination of the Defendant, we believe that the proffered
testimony of Thomas Dillard was relevant. We see no basis for not allowing the
testimony and, in fact, the trial judge offered no reason when he excluded the
testimony. In our view, the limiting instruction would have accomplished the
same objectives as Dillard’s testimony. Had the trial court chosen to give the
limiting instruction but denied Dillard’s testimony, we would not find an abuse of
discretion under the facts as they developed in this case. To deny both the
limiting instruction and the testimony without explaining a rationale for the
decision, however, was an abuse of the trial judge’s discretion.
-50-
Although we believe the trial court’s actions constituted an abuse of
discretion, we nevertheless conclude that the error was harmless beyond a
reasonable doubt. The prosecutor’s questions concerning pretrial preparation
appeared to be intended to challenge the credibility and persuasiveness of the
Defendant’s compelling testimony on direct examination. This challenge to the
Defendant’s credibility, however, paled in comparison to the prosecutor’s
vigorous cross-examination regarding details of the history between the
Defendant and the victim as well as the events which occurred on the day of the
shooting. On cross-examination, the prosecutor was able to portray the history
between the Defendant and the victim in a different light from that presented on
direct examination, effectively suggesting that the Defendant had taken
advantage of the victim monetarily. Furthermore, the prosecutor was able to
examine and to emphasize certain actions of the Defendant on the day of the
shooting from a more critical perspective.10 Given the rigorous cross-examination
of the Defendant on other matters, we are confident that the trial court’s error with
regard to the questions concerning pretrial preparation did not affect the result of
the trial. See Tenn. R. Crim. P. 52(a).
As we detailed above, the prosecutor’s questions concerning pretrial
preparation led to questions based on the Defendant’s prior criminal record. The
Defendant also challenges the latter questions on appeal, contending that the
assistant district attorney general’s actions in seeking to ask questions based on
10
Some of the actions focused on by the prosecutor were the Defendant’s placement of the
pistol in the eave of his carport after the shooting, his vague answers to initial police questions upon
his approach to the neighbor’s home, and the fact that he happened to be carrying the revolver on
February 26, 1994 when he had not taken the gun outside of his home for years.
-51-
his prior criminal record constituted prosecutorial misconduct and that the trial
court’s decision to allow such questions was error.
At trial, the Defendant argued that his prior convictions were too remote to
be the basis for any questions on cross-examination and that the State had failed
to comply with the notice provisions of either Rule 608 or Rule 609 of the
Tennessee Rules of Evidence. The prosecutor then narrowed his inquiry for the
trial court, stating that he intended to ask the Defendant only if he had been
through a bench trial in 1973. In response to the Defendant’s argument in favor
of exclusion, the prosecutor asserted that the Defendant had made a sweeping
claim of good conduct by stating “I’ve never been through nothing like that,”
thereby opening the door to questions about specific instances of conduct without
strict compliance with Rule 608. The trial court allowed the prosecutor’s limited
questions.
After examining the record, we believe that the prosecutor’s cross-
examination stemming from the Defendant’s prior convictions was improper and
that the trial court erred in admitting the testimony. W e will first address the trial
court’s ruling in this matter. Initially, we note that the prosecutor did not attempt
to introduce copies of the Defendant’s convictions pursuant to Rule 609. Nor
were the prosecutor’s questions aimed at eliciting details of the criminal behavior
that was the basis for those convictions. Instead, the prosecutor sought to
impeach the Defendant’s statement that he “had never been through nothing like
[testifying at trial]” by questioning him about whether he had experienced a trial
procedure in 1973. As such, the prosecutor stated that he was inquiring into a
specific instance of conduct pursuant to Rule 608.
-52-
It is clear from the record that the State did not provide notice to the
Defendant regarding its intended use of the prior convictions in accordance with
either Rule 608 or Rule 609. Both rules provide that if the prosecution seeks to
impeach the accused in a criminal prosecution, the State must give the accused
reasonable written notice before trial. Tenn. R. Evid. 608(b)(3), 609(a)(3). In
fact, at one point during argument from counsel concerning the prosecutor’s
proposed questions, the trial court specifically noted that the State had not
provided notice to the Defendant.
In addition, the Defendant’s convictions and the conduct inquired into by
the prosecutor occurred twenty-one years prior to his indictment for the present
case. As a general rule, conduct which occurred m ore than ten years before the
commencement of the prosecution is not adm issible. Tenn. R. Evid. 608(b)(2).
Such conduct is commonly excluded because it is viewed as too stale to be
probative. See generally Neil P. Cohen et al., Tennessee Law of Evidence §
608.7 (3d ed. 1995). Stale instances of conduct may nevertheless be admissible
if the proponent of such evidence gives the adverse party sufficient advance
notice to allow a fair opportunity to contest the use of the evidence and the trial
court determines that the probative value of the evidence substantially outweighs
its prejudicial effect. Tenn. R. Evid. 608(b)(2).
In the case at bar, the trial court did not make a finding that the probative
value of the evidence substantially outweighed its prejudicial effect. In fact, it
appears that the trial court ignored most of the procedure established for
-53-
determining the admissibility of specific instances of conduct.11 The trial judge
merely stated that he would allow the limited questions proposed by the
prosecutor during the jury-out hearing. We point out that the balancing test
applicable in this situation ordinarily results in the exclusion of evidence. See
Cohen, Tennessee Law of Evidence § 608.7. In our view, the probative value of
the evidence as a challenge to the Defendant’s credibility is slight. The
prejudicial effect of the evidence, however, is substantial, risking conveying to the
jury that the Defendant has a prior criminal record even though his stale
misdemeanor convictions were inadmissible. From our review of the record, we
believe that the probative value of the evidence did not substantially outweigh its
prejudicial effect.
Furthermore, we find no merit in the prosecutor’s argument that the
Defendant made a sweeping claim of good conduct which allowed inquiry into
specific instances of conduct without strict compliance with Rule 608. W e agree
that if a witness makes a sweeping claim of good conduct on direct examination,
that claim may open the door to cross-examination without pretrial notice and with
a lower standard of probativeness. See Advisory Commission Comments to
Tenn. R. Evid. 608(b); see also State v. Johnson, 670 S.W.2d 634, 636 (Tenn.
Crim. App. 1984); cf. State v. Miller, 674 S.W .2d 279, 284 (Tenn. 1984) (evidence
of mere arrests or indictments is generally inadmissible unless the accused
11
Rule 608(b) sets forth the procedure to be followed by a trial court in determining the
adm issibility of specific instan ces of co ndu ct for impea chm ent purpo ses . The trial court did c ond uct a
jury-ou t hearing at the reque st of the Defenda nt and did n ote the lack of no tice. The trial court d id not,
howe ver, m ak e a find ing that the specific instan ce of c onduct h ad pro bative value or that a reasonable
factual basis existed for the inquiry. Tenn. R. Evid. 608(b)(1). Moreover, the trial court did not make
any findings regarding the balance between probative value and prejudicial effect. Tenn. R. Evid.
608(b)(2).
-54-
somehow opens the door for impeachment, such as by testifying that he or she
had never been arrested).
W e do not view the Defendant’s statement that he “had never been
through nothing like that” as a sweeping claim of good conduct. The prosecutor
asked the Defendant a question about his pretrial preparation. The clear
implication of the Defendant’s entire answer to the prosecutor’s question was that
his attorneys prepared him prior to trial because he had not experienced the
situation of testifying in a hotly-contested murder trial. The Defendant was
attempting to explain the reasons for his pretrial preparation. We do not believe
that the Defendant’s statement rose to the level of a sweeping claim of good
conduct which would allow impeachm ent with no pretrial notice and a lower
standard of probativeness. As a result, the specific instance of conduct inquired
into by the prosecutor did not meet the admissibility requirements of Rule 608.
W e therefore conclude that the trial court erred in allowing the prosecutor’s
inquiry.
W e turn now to the propriety of the prosecutor’s conduct in seeking to ask
the Defendant questions arising from his prior convictions. The prosecutor
revealed that his knowledge of the Defendant’s prior convictions came from
Tennessee Departm ent of Safety memoranda. The first memorandum, written
on April 25, 1973, indicates that the Defendant was “tried in General Sessions
Court with the Hon. Judge Jewell W atson presiding and at the conclusion of the
trial . . . the Judge took the case under advisement. At this time, the Judge has
not handed down a decision due to the defense filing a motion that this charge
be quashed as the officers who entered the Big T Truck Stop on this occasion
-55-
had signed a paper that they were not officers and therefore entered under a
disguise.” A second memorandum was written on May 30, 1973. It indicated that
the trial judge had found the Defendant guilty as charged of running a house of
prostitution and had sentenced him to a fifty dollar ($50) fine and a six-month
suspended sentence.
Because of the lack of pretrial notice, defense counsel was unaware of the
circumstances of either the offenses or the trial. During argument to the trial
court, defense counsel stated that he did not know if the Defendant had even
testified at the 1973 trial. Defense counsel requested that the trial court ask the
Defendant if he had testified in 1973. He argued that if the Defendant had not
testified in 1973, and thus had not been through anything like testifying at trial
before the present case, then the prosecutor’s proposed questions had no
probative value. The trial court declined defense counsel’s request and allowed
the prosecutor to question the Defendant about the 1973 trial. The Defendant
was later able to procure certified copies of his 1973 convictions. Those copies
indicate that the Defendant pleaded guilty to the offenses which com prise his
1973 misdemeanor convictions.
This series of events clearly reveals the dangers associated with relying
on law enforcement memoranda rather than official court documents. The
prosecutor, relying on the Tennessee Department of Safety memoranda,
apparently believed that the Defendant had undergone a bench trial in 1973
which resulted in criminal convictions. Certified copies of the convictions indicate
that the Defendant did not have a trial but rather pleaded guilty to the offenses.
-56-
In addressing a similar type of law enforcement conviction information, our
supreme court stated that N.C.I.C. “rap” sheets “are not admissible as a
substitute for certified copies of court convictions nor for any other purpose.”
State v. Buck, 670 S.W .2d 600, 607 (Tenn. 1984). The court noted that such
reports are pure hearsay and of dubious accuracy. Id. Likewise, a panel of this
Court admonished a prosecutor for using such reports for impeachment
purposes. State v. Philpott, 882 S.W .2d 394, 403-04 (Tenn. Crim. App. 1994).
Interestingly enough, the prosecutor admonished in Philpott is the same
prosecutor who conducted this case.12 W e view the information contained in the
Tennessee Departm ent of Safety memoranda as similar to the information from
N.C.I.C. reports condem ned in prior cases. To impeach the Defendant with
questions arising from these remote and stale prior convictions based solely on
information garnered from Tennessee Department of Safety memoranda rather
than examining copies of the actual convictions was, we believe, improper. Cf.
Philpott, 882 S.W .2d at 403-04.
Having concluded both that the prosecutor’s conduct was improper and
that the trial court erred in admitting the testimony, we must now examine the
effect of these errors on the Defendant’s trial. W e note once again that the
Defendant’s convictions were not introduced at trial nor were they even
mentioned directly. The prosecutor’s questions about whether the Defendant had
experienced a trial procedure in 1973 were obviously an attempt to challenge the
Defendant’s credibility. This challenge constituted only two questions out of
nearly one hundred pages of cross-examination. As we stated above, the
prosecutor’s cross-examination regarding details of the history between the
12
W e po int out that Philpott was filed a full year before the trial in the case at bar.
-57-
Defendant and the victim as well as the events which occurred on the day of the
shooting was quite vigorous. The challenge to the Defendant’s credibility posed
by the two questions concerning a 1973 trial procedure paled in comparison to
the remainder of the prosecutor’s cross-examination of the Defendant.
Accordingly, we believe that the errors with regard to the questions concerning
the 1973 trial procedure did not affect the result of the trial. See Tenn. R. Crim.
P. 52(a). The third issue is therefore without merit.
V. TRIAL COURT’S EVIDENTIARY RULINGS
In his fourth issue, the Defendant argues that trial court made numerous
erroneous evidentiary rulings which deprived him of his right to present an
effective defense. See U.S. Const. amend. VI, XIV, § 1. The Defendant makes
clear that he is not arguing that he was prevented from presenting a defense
altogether. Rather, he contends that the trial court’s evidentiary rulings restricted
his proof in such a way as to deprive him of “a meaningful opportunity to present
a complete defense.” Crane v. Kentucky, 476 U.S. 683, 690-91, 106 S.Ct. 2142,
2146-47, 90 L.Ed.2d 636 (1986) (quoting California v. Trombetta, 467 U.S. 479,
485, 104 S.Ct. 2528, 2532, 81 L.Ed.2d 413 (1984)).
A. Trial Court’s Interference with Impeachm ent of Adverse Witnesses
The Defendant contends that the trial court interfered with his
impeachment of several State’s witnesses. He first alleges that the trial court
improperly restricted his cross-examination of Michelle Flatt and Phillip Murphy
concerning prior inconsistent statem ents. Both Flatt and Murphy had given
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statements prior to trial which were somewhat inconsistent with portions of their
testimony on direct exam ination. From our reading of the record, however,
defense counsel thoroughly cross-examined both Flatt and Murphy regarding
their prior inconsistent statements. In fact, defense counsel was even permitted
to play an audiotape of Murphy’s prior inconsistent statement. This allegation
clearly lacks merit.
The Defendant next alleges that the trial court improperly restricted his
cross-examination of Detective Mike Lett. Defense counsel sought to question
Lett about the lack of a detailed police investigation into the history between the
Defendant and the victim. He apparently hoped to develop proof of a bias
against the Defendant in the police investigation of the shooting. The trial court
restricted this line of inquiry, finding it irrelevant. See Tenn. R. Evid. 401, 402.
W e agree with the trial court that, under the circumstances of this case, questions
concerning a bias against the Defendant during the police investigation are of
marginal relevance. Moreover, the Defendant was permitted to put on extensive
proof concerning the history between himself and the victim. This allegation has
no m erit.
The Defendant also challenges the prosecutor’s manner of objecting during
defense counsel’s cross-examination of State’s witnesses. The Defendant
alleges that the prosecutor interjected fruitless objections in an effort to interrupt
the cross-examination of State’s witnesses and render it disjointed. W e agree
that the confrontation clauses of the state and federal constitutions guarantee a
defendant an opportunity for effective cross-examination. See State v. Howell,
868 S.W.2d 238, 252 (Tenn. 1993), cert. denied, 510 U.S. 1215, 114 S.Ct. 1339,
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127 L.Ed.2d 687 (1994) (citing Delaware v. Fensterer, 474 U.S. 15, 20, 106 S.Ct.
292, 294, 88 L.Ed.2d 15, 19 (1985)). After reviewing the record in the case at
bar, however, we can only conclude that the Defendant’s cross-examination of
State’s witnesses was thorough and well-done. Furthermore, we discern no
indication that the prosecutor interjected fruitless objections in hopes of
minimizing the impact of the Defendant’s cross-examination. This allegation
lacks m erit as well.
The Defendant’s final challenge in this regard concerns the trial court’s
restriction of his cross-examination of Judy Allen. Allen was the last witness to
testify on June 27, 1995. Defense counsel cross-examined Allen regarding
slightly inconsistent statements given during a deposition for the related civil
case. Defense counsel had misplaced his copy of that deposition, however, and
used an unmarked copy during his cross-examination. Allen was then examined
by the prosecutor on redirect and, with the conclusion of her testimony, court
stood in recess for the night.
On the morning of June 28, 1995, the first witness to be called was Allen’s
daughter, Michelle Flatt. Just before Flatt was called, defense counsel requested
that Judy Allen be recalled. Defense counsel explained that he had located his
copy of the deposition and wished to ask her a question about another
inconsistency between the deposition and her testimony on direct examination.
The inconsistency concerned which hand the victim had in his pocket as he
approached the Defendant’s van. On direct examination, Allen testified that the
victim’s left hand was in his pocket. During the deposition, Allen stated that she
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could not remem ber which hand the victim had in his pocket. The trial court
denied the Defendant’s request to recall Allen.
Faced with this ruling, the Defendant offered an alternative to the trial
court. The Defendant suggested that they admit into evidence the portion of
Allen’s deposition in which she stated that she was unsure as to which hand the
victim had in his pocket. The Defendant argued that, as a prior inconsistent
statement offered for impeachment purposes, Allen’s statement was not hearsay.
The trial court denied the Defendant’s alternative request.
The decision of whether to permit a witness to be recalled is entrusted to
the sound discretion of the trial court and will not be reversed on appeal absent
abuse. See Caughron, 855 S.W .2d at 539; State v. Hartman, 703 S.W .2d 106,
116 (Tenn. 1985), cert. denied, 478 U.S. 1010, 106 S.Ct. 3308, 92 L.Ed.2d 721
(1986); State v. Johnson, 685 S.W .2d 301, 306 (Tenn. Crim. App. 1984) (citing
Lillard v. State, 528 S.W .2d 207 (Tenn. Crim. App. 1975)). In our view, the trial
court’s refusal to allow Judy Allen to be recalled or to allow the inconsistent
portion of her deposition to be introduced into evidence constituted an abuse of
discretion. W e see no good or valid reason for the denial of both alternatives
presented to the trial court. The record indicates that Judy Allen resided in Knox
County at the time of the trial. She testified in court on the day before the recall
request. Her daughter testified on the day of the recall request. It certainly
appears that Allen would have been available for recall. In the wake of the trial
court’s recall ruling, the Defendant presented a reasonable, limited alternative.
W e believe that the trial court erred in denying both the recall request and the
Defendant’s proposed alternative.
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W e do not, however, believe that this error affected the result of the trial.
The Defendant attempted to recall Judy Allen in an effort to impeach her with a
prior inconsistent statem ent, thereby assailing her credibility. Defense counsel
had already effectively questioned Allen’s credibility through the remainder of
cross-examination. We are satisfied that any error in this regard was harmless.
See Tenn. R. Crim. P. 52(a).
B. Trial Court’s Exclusion of the Defendant’s Out-of-Court Statements
Concerning his Relationship with the Victim
The Defendant contends that the trial court erroneously excluded evidence
of his out-of-court statements concerning his relationship with the victim. After
his own testimony, the Defendant presented several witnesses who testified
concerning his state of mind with regard to the victim. On direct examination,
defense counsel sought to question these witnesses, principally family members
of the Defendant, about what the Defendant had told them concerning the
threatening and harassing actions taken by the victim. Upon the prosecutor’s
objections, the trial court did not permit the witnesses to recount what the
Defendant had told them about his relationship with the victim. Instead, the trial
court limited their testimony to their observations of the Defendant’s state of mind
and the Defendant’s statements to them actually expressing his state of mind.
See Tenn. R. Evid. 803(3).
The Defendant offered the trial court two separate arguments in favor of
the admission of testimony from defense witnesses about the Defendant’s
statements to them regarding the threatening and harassing conduct of the
victim. The trial court found both arguments unpersuasive. The Defendant now
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raises both arguments on appeal. He first argues that such testimony was
admissible as a nonhearsay declaration to prove circumstantially his state of
mind. The Defendant asserts that the testimony from defense witnesses about
what he had told them concerning the victim’s conduct was not offered to prove
the truth of the matter asserted, namely that the victim had engaged in
threatening or harassing conduct. Instead, the testimony was offered to
demonstrate circumstantially the Defendant’s fear of the victim.
W e believe that the Defendant has made a sound argument. Given that
the testimony from defense witnesses about the Defendant’s statements
concerning the threatening and harassing conduct was not offered to prove the
truth of the matter asserted, it was not hearsay. Tenn. R. Evid. 801(c). Such
nonhearsay declarations have been deemed admissible where, as here, they
were offered to prove circumstantially the declarant’s state of mind. See
Caughron, 855 S.W .2d at 537; State v. Cravens, 764 S.W.2d 754, 755 (Tenn.
1989); see generally Neil P. Cohen et al., Tennessee Law of Evidence § 801.7
(3d ed. 1995). As a result, we conclude that the trial court erred in excluding
such testimony.
W e believe, however, that the trial court’s error was harmless beyond a
reasonable doubt. The Defendant testified fully about his relationship with the
victim and the victim’s threatening and harassing conduct. He also testified fully
about his fearful state of mind with regard to the victim. Moreover, the defense
witnesses from whom the above testimony was sought were perm itted to testify
about their observations of the Defendant’s mental state. These witnesses all
confirmed that the Defendant was fearful of the victim. Accordingly, we believe
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that the Defendant was perm itted to introduce ample evidence of his state of
mind with regard to the victim. Any additional testimony about nonhearsay
declarations of the Defendant offered to prove circumstantially his state of mind
would have been largely superfluous. W e can only conclude that the exclusion
of this testimony did not affect the result of the trial. See Tenn. R. Crim. P. 52(a).
The Defendant’s second argument in favor of admission of the testimony
characterizes the Defendant’s statements to defense witnesses about the victim’s
threatening conduct as prior consistent statements offered to rebut the State’s
claim of recent fabrication. We agree that prior consistent statements may be
admissible to rehabilitate a witness when insinuations of recent fabrication have
been made or when deliberate falsehood has been implied. See State v. Jones,
215 Tenn. 206, 217-19, 385 S.W .2d 80, 85 (1964); State v. Benton, 759 S.W .2d
427, 433 (Tenn. Crim. App. 1988). Such statements do not qualify as hearsay
because they are offered solely to rehabilitate the credibility of a witness rather
than for the truth of the matters asserted in the statements. See Tenn. R. Evid.
801(c); see generally Cohen, Tennessee Law of Evidence § 801.8; David Louis
Raybin, Tennessee Criminal Practice and Procedure § 27.234. Before prior
consistent statements become admissible in this regard, however, the testimony
of the witness must have been assailed or seriously questioned to the extent that
his or her credibility needs rehabilitation. Benton, 759 S.W .2d at 433-34.
In the case sub judice, the prosecutor’s cross-examination of the
Defendant was vigorous and challenged his credibility. In fact, the prosecutor’s
principal strategy for attacking the Defendant’s proof was to suggest that the
Defendant was “creating a defense.” In view of the attack on the Defendant’s
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credibility, we believe that testimony from defense witnesses demonstrating that
the Defendant had related the sam e incidents of threatening and harassing
conduct on behalf of the victim well before the shooting was admissible to rebut
the prosecutor’s insinuation of recent fabrication or deliberate falsehood.
The error in excluding this testimony, however, was harmless beyond a
reasonable doubt. Although the prosecutor assailed the Defendant’s credibility
on cross-examination, the principal challenge to his credibility involved his
reaction to the conduct of the victim rather than whether the conduct of the victim
had actually occurred. The Defendant testified on direct examination that the
victim’s conduct made him fearful of the victim. The prosecutor’s cross-
examination suggested that the Defendant reacted to the victim’s conduct with
anger and that the Defendant’s testimony that he was fearful was not credible.
As we stated above, the defense witnesses whose testimony was limited by the
trial court’s ruling were permitted to testify about their observations of the
Defendant’s mental state, and they all confirmed that the Defendant was fearful
of the victim. Any further testimony on the part of those witnesses concerning
what the Defendant had told them with regard to the victim’s conduct would have
been only marginally relevant and merely superfluous to the issue of the
credibility of the Defendant’s testimony about his fearful state of mind in reaction
to the victim’s conduct. Accordingly, we conclude that the trial court’s error in this
regard did not affect the result of the trial. See Tenn. R. Crim. P. 52(a).
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C. Trial Court’s Exclusion of Evidence of the Victim’s Threatening,
Violent Conduct Against Other Individuals
The Defendant next contends that the trial court erroneously excluded
evidence of the victim’s violent and threatening conduct toward other individuals.
Defense counsel sought to question several witnesses about their observation
of violent or threatening conduct committed by the victim against other
individuals. For instance, it appears from the proffer of defense witness Robert
Ferguson that he became involved in a dispute with Rodney Shepard and his
brother, Jimmy Shepard, over the completion of plumbing work at a bar owned
by Ferguson. Shortly thereafter, Ferguson began to receive threatening
telephone calls from the victim. In addition, according to the proffer of David
Riley, Rodney Shepard committed several threatening acts and made threatening
telephone calls to him after a dispute arose over Riley’s refusal to allow Shepard
to place his trailer on property owned by Riley. The Defendant also offered a
proffer from Judy Branstetter, who lived across the street from Rodney Shepard
on Dante Road. According to Branstetter’s proffer, a dispute arose between her
brother-in-law and Rodney Shepard. During a telephone conversation with
Rodney Shepard’s wife, Branstetter overheard Shepard shouting in the
background to tell Branstetter’s brother-in-law to “meet me out in the middle of
the street, and I will take care of it.”
The trial court excluded all such testimony, ruling that evidence of specific
violent acts of the victim against third persons which were unknown to the
Defendant at the time of the shooting could only be inquired into on cross-
examination of the victim. The trial judge based his ruling on his interpretation
of Tennessee Rule of Evidence 405(a), State v. Hill, 885 S.W .2d 357 (Tenn.
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Crim. App. 1994), and State v. Ray, 880 S.W.2d 700 (Tenn. Crim. App. 1993).
Defense counsel pointed out that, given that this case involved a homicide, he
could not cross-examine the victim, asking the trial court “who are we supposed
to cross-examine about this?” The trial court stated simply, “W ell, I don’t know.”
On appeal, as at trial, the Defendant asserts that he was not offering
evidence of the victim’s violent conduct against other individuals as substantive
proof of the victim’s character or to prove that the victim acted in accordance with
a character trait. Instead, the Defendant maintains that he was offering such
evidence to corroborate his self-defense claim that the victim was the first
aggressor. The Defendant contends that evidence of the victim’s violent conduct
toward others, even if unknown to the Defendant at the time of the shooting, was
admissible for that limited purpose.
In cases involving a self-defense issue, we believe that Tennessee law
does permit the introduction of evidence of a victim’s violent conduct toward third
persons, even if the defendant is unaware of that conduct, under certain
circumstances. See State v. Ruane, 912 S.W.2d 766, 779-82 (Tenn. Crim. App.
1995). The admissibility of such evidence depends upon the purpose for which
it is offered. The treatment of proof offered as substantive evidence is different
from that of proof offered for corroborative purposes only.
The treatment of proof of the victim’s violent character offered as
substantive evidence is governed generally by Tennessee Rules of Evidence
404(a)(2) and 405. Under these rules, evidence of the victim’s violent character
is adm issible but is limited to opinion testimony or testimony about the victim’s
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reputation in the community. Tenn. R. Evid. 405(a); see also State v. Barnes,
675 S.W.2d 195, 197 (Tenn. Crim. App. 1984). Thus, the defendant or other
witnesses may testify on direct or cross-examination about their opinion of the
victim’s violent character or the victim’s reputation for violence in the community.
Tenn. R. Evid. 405(a). Of course, violent acts committed by the victim against
individuals other than the defendant may contribute to the victim’s reputation for
violence. This type of testimony constitutes substantive evidence of the victim’s
character trait for violence. See Tenn. R. Evid. 404(a)(2).
The principles governing the admissibility of specific violent acts of the
victim against third persons are somewhat more stringent than those governing
the adm issibility of opinion or reputation evidence. If the defendant was aware
of the victim’s violent conduct against other individuals at the time of the offense,
such proof is admissible as substantive evidence of the defendant’s state of
mind. See Ruane, 912 S.W.2d at 779 (citing State v. Hill, 885 S.W .2d 357, 361
(Tenn. Crim. App. 1994)). Because such evidence is offered to establish the
defendant’s state of mind with respect to the victim, the defendant’s knowledge
of the specific violent acts of the victim against others is required. See W illiams
v. State, 565 S.W .2d 503 (Tenn. 1978). Thus, the defendant may testify about
the victim’s threatening or violent conduct toward other individuals as long as the
defendant was aware of that conduct at the time of the offense.
If, on the other hand, the defendant was unaware of the victim’s violent
conduct toward others, the evidence obviously has no bearing on the defendant’s
state of mind and is not admissible as substantive proof on that issue. See State
v. W est, 825 S.W .2d 695, 697 (Tenn. Crim. App. 1992). Such evidence is
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admissible, however, for the limited purpose of corroborating a self-defense claim
that the victim was the first aggressor. Ruane, 912 S.W .2d at 781. We
emphasize that this evidence is corroborative in nature rather than substantive.
As such, it is not governed by Tennessee Rules of Evidence 404(a)(2) or 405.
See Neil P. Cohen et al., Tennessee Law of Evidence § 404.4 (Supp. 1996).
Thus, individuals other than the defendant may testify on direct or cross-
examination about threatening or violent conduct of the victim, even though the
defendant had no knowledge of that conduct at the time of the offense, as long
as the testimony is offered only to corroborate the defendant’s self-defense claim
that the victim was the first aggressor. Ruane, 912 S.W .2d at 781.
In the case sub judice, the Defendant sought to question several defense
witnesses on direct examination about threatening and violent conduct committed
by the victim against others. The Defendant had no knowledge of this conduct
at the time of the shooting. He therefore offered the testimony only to
corroborate his claim that the victim was the first aggressor in the altercation
which led to the shooting. Given that the evidence was offered for limited
corroborative purposes, we conclude that the trial court erred in excluding the
testimony. See Ruane, 912 S.W .2d at 779-781.
From our review of the entire record, however, we believe that the error in
excluding this testimony was harmless. It is true that the Defendant was not
permitted to introduce testimony from several defense witnesses about the
victim’s threatening and violent conduct toward others. Yet the Defendant was
permitted to present testimony from multiple witnesses that the victim had a
reputation for violence in the community. In addition, the Defendant himself was
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permitted to testify about the victim’s threatening and violent conduct toward
others of which he was aware at the time of the shooting as proof of his fearful
state of mind with respect to the victim. Furthermore, defense witnesses Robert
Ferguson and Carroll Votaw were permitted to relate specific threats made by the
victim against the Defendant in their presence even though the Defendant was
unaware of those threats. W hile it was error for the trial court to exclude
testimony about the victim’s specific acts of violence toward others offered for
limited corroborative purposes, we are confident that the jury had before it a
com plete and accurate description of the violent, aggressive nature of the victim.
Accordingly, we conclude that the trial court’s error did not affect the result of the
trial. Tenn. R. Crim. P. 52(a).
D. Trial Court’s Exclusion of Evidence that the Shepard Family was
Acting in Concert
The Defendant next contends that the trial court erroneously excluded
evidence which would have supported his theory that the Shepard family was
acting in concert to threaten and harass him and his family. The substance of
most of this evidence was not developed at trial through proffers. The Defendant
did request handwriting exemplars from the victim’s brother, Jimmy Shepard.
The Defendant was apparently seeking evidence to prove that Jimmy Shepard’s
writing was present on some of the derogatory signs and writings found near the
Defendant’s neighborhood. The trial court denied the Defendant’s request for
Jimmy Shepard’s handwriting exemplars.
The Defendant argues now, as he argued at trial, that evidence of other
Shepard family member’s acting in concert with the victim to threaten and harass
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him and his fam ily is relevant to explain the relationship between him and the
victim as well as his state of mind with respect to the victim. In addition, he
asserts that such evidence would have corroborated proof of the victim’s violent
and aggressive character.
The trial court excluded evidence that the Shepard family was acting in
concert, including denying the Defendant’s request for handwriting exem plars
from Jimmy Shepard, on grounds that it was irrelevant. Tenn. R. Evid. 401, 402.
Questions concerning the admissibility of evidence rest within the discretion of
the trial court, and we will not interfere with the exercise of that discretion absent
abuse. See, e.g., Hutchison, 898 S.W .2d at 172; Hill, 885 S.W .2d at 361 (citation
omitted). We agree with the trial court that evidence supporting the Defendant’s
theory that the Shepard family was acting in concert was largely irrelevant either
for corroborative purposes or to establish the Defendant’s state of mind with
respect to the victim. Moreover, we are confident that the Defendant presented
a complete picture of his state of mind and the character of the victim for the
jury’s consideration. From the record before us, we cannot conclude that the trial
judge abused his discretion in excluding this evidence.
E. Trial Court’s Exclusion of Expert Testimony of Dr. Engum
The Defendant next contends that the trial court erroneously excluded
portions of the expert psychological testimony offered through defense witness
Dr. Eric Engum. More specifically, the trial court did not permit Dr. Engum to
testify whether the Defendant’s narcissistic and passive-aggressive personality
traits were found in the general population. Additionally, the Defendant asserts
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that Dr. Engum was not permitted to testify as to the expected response to stress
and fear of individuals with narcissistic and passive-aggressive personality types.
The Defendant cites principally two cases in support of his argum ent, State
v. Merlin Eugene Shuck, C.C.A. No. 03C01-9502-CR-00035, Cocke County
(Tenn. Crim. App., Knoxville, Feb. 1, 1996), perm. to appeal granted (Tenn.
1996) and State v. Edward H. Jones, C.C.A. No. 03C01-9301-CR-00024, Knox
County (Tenn. Crim. App., Knoxville, Sept. 15, 1994). In both Shuck and Jones,
however, the trial court excluded an entire category of psychological testimony
which was relevant to an important issue at trial. Shuck, C.C.A. No. 03C01-9502-
CR-00035, slip op. at 5; Jones, C.C.A. No. 03C01-9301-CR-00024, slip op. at 26.
In contrast, Dr. Engum was allowed in the present case to offer an extensive
depiction of the Defendant’s psychological characteristics as well as his opinion
as to whether the Defendant, given those psychological characteristics, perceived
the victim’s actions as threatening. As a result, we find both Shuck and Jones to
be distinguishable from the case sub judice.
In the case at bar, Dr. Engum was permitted to testify at length concerning
the narcissistic and passive-aggressive psychological traits of the Defendant. Dr.
Engum also testified in detail concerning the general characteristics of individuals
with those psychological traits. The trial court permitted Dr. Engum to offer his
opinion as to whether the Defendant was suffering from acute stress at the time
of the shooting due to the history with the victim and as to whether the Defendant
perceived the victim’s actions on the day of the shooting as a threat.
Furthermore, on redirect, Dr. Engum was permitted to testify concerning the
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expected response of passive individuals such as the Defendant to problem
situations.
From our review of the record, we believe that Dr. Engum was permitted
to give a complete description of the Defendant’s psychological traits and what
role those traits played in his perception of and reaction to the victim. In our view,
any error on the part of the trial court in restricting specific questions posed to Dr.
Engum was harmless and did not affect the result of the trial. Tenn. R. Crim. P.
52(a).
F. Trial Court’s Exclusion of Expert Handwriting and Psychological
Testimony for Discovery Violations
The Defendant next contends that the trial court erroneously excluded
expert testimony on the basis of discovery violations. The Defendant intended
to call Dr. Catherine Gyurik and Lamar Miller as expert witnesses at trial. Dr.
Gyurik was the Defendant’s treating psychiatrist. Lamar Miller was a handwriting
expert who had compared the derogatory signs and writings to known examples
of the victim’s handwriting. Because neither expert had prepared a report
detailing their findings, the Defendant had not submitted the results of their
analysis to the State as part of reciprocal discovery. See Tenn. R. Crim. P.
16(b)(1)(B). As a result, the prosecutor objected to their testimony when offered
at trial. The trial court excluded the testimony of both witnesses on the basis of
discovery violations.
Even if we were to agree that the Defendant had violated the discovery
provisions of Tennessee Rule of Criminal Procedure 16, we believe that the trial
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judge abused his discretion by excluding the testimony of the expert witnesses
without even considering other possible remedies. Initially we note that the
discovery provisions do not mandate the exclusion of evidence in the wake of a
violation of those provisions. See Tenn. R. Crim. P. 16(d)(2). In fact, our courts
have long held that evidence should be excluded only where a violation of Rule
16 results in actual prejudice to a party and that prejudice cannot be eradicated
by a means other than suppression. State v. James, 688 S.W .2d 463, 466
(Tenn. Crim. App. 1984); State v. Briley, 619 S.W .2d 149, 152 (Tenn. Crim. App.
1981); State v. Garland, 617 S.W .2d 176, 185-86 (Tenn. Crim. App. 1981). It
appears from the record in the present case that the State was aware of both
expert witnesses prior to trial. Defense counsel even consulted with the
prosecutor before trial concerning requested subpoenas for handwriting
exemplars from Jimmy Shepard. W e do not believe that the State suffered actual
prejudice as a result of the purported discovery violation. Furthermore, we
believe that other means were available to the trial court to resolve the situation.
In fact, the Defendant even offered to allow the prosecutor to interview the
handwriting expert during a continuance. The trial court, however, did not
consider any alternatives to exclusion. Accordingly, we conclude that exclusion
of the Defendant’s expert evidence was not appropriate in this case and the trial
court erred in so ruling.
In our view, the exclusion of the testimony of the Defendant’s expert
witnesses was nevertheless harmless error. The record is unclear as to what Dr.
Gyurik’s testimony would have been. The Defendant does concede that her
testimony would have been largely cumulative of Dr. Engum. He asserts that her
testimony would have been useful to rebut the false impression that Dr. Engum
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learned of the alleged bump between the vehicles from the Defendant. It
appears that Dr. Engum rebutted that impression himself on redirect examination.
W e believe that Dr. Engum provided a thorough explanation of the Defendant’s
psychological characteristics and that Dr. Gyurik’s testimony would have added
little to Dr. Engum’s testimony. We therefore conclude that the exclusion of her
testimony did not affect the result of the trial. Tenn. R. Crim. P. 52(a).
W ith regard to the expert handwriting evidence, it appears that Lamar
Miller would have testified that some of the derogatory signs and writing
contained handwriting matching known examples of the victim’s handwriting. In
spite of the exclusion of the expert testimony, the Defendant was perm itted to
offer lay testimony from several witnesses who stated that they recognized the
victim’s handwriting on the derogatory signs and writings. Furtherm ore, the State
did not seriously contest that testimony. W e are confident that the jury had ample
evidence before it to assess the source of the derogatory signs and writings.
Accordingly, we conclude that the exclusion of the expert handwriting testimony
did not affect the result of the trial. Tenn. R. Crim. P. 52(a).
G. Trial Court’s Exclusion of Expert Testimony of Accident
Reconstructionist for Discovery Violation
In a related issue, the Defendant also contends that the trial court
erroneously excluded the expert testimony of an accident reconstructionist on the
basis of a discovery violation. During the State’s case-in-chief, defense counsel
cross-examined several witnesses with the aid of a large, professionally-prepared
diagram of the scene of the shooting. The prosecutor voiced some concern that
the diagram was “proportional” rather than “to scale.” As a result, it appears that
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during the course of the trial the Defendant employed an accident
reconstructionist, John Hyde, to render the diagram “to scale.” When the
Defendant called Hyde to testify, the prosecutor objected to his rendering the
diagram to scale. The prosecutor asserted that he had not received a report
detailing the expert’s findings. As a result, the trial court excluded any of Hyde’s
testimony aimed at placing the diagram to scale.
Regardless of our conclusion about the propriety of the trial court’s
exclusion of the evidence on the basis of a discovery violation, we do not believe
that the Defendant has demonstrated any prejudice resulting from the trial court’s
ruling. In fact, the Defendant’s brief does not allege that he was prejudiced in any
way. Moreover, the trial court permitted Hyde to testify that in his expert opinion,
an individual stopped at the intersection would not have been able to see the rear
of the victim’s truck or the front of the Defendant’s van if the scene were as it had
been described during the State’s proof. From our review of the record, it seems
that the importance of rendering the diagram to scale would have been to
suggest that the State’s witnesses to the shooting were not in a position to see
the rear of the truck or the front of the van. Accordingly, we can only conclude
that the exclusion of that portion of Hyde’s expert testimony aimed at rendering
the diagram to scale did not affect the result of the trial. Tenn. R. Crim. P. 52(a).
H. Trial Court’s Exclusion of Expert Testimony Concerning Pretrial
Preparation of Witnesses
The Defendant also contends that the trial court erroneously excluded
expert testimony concerning pretrial preparation of witnesses. In response to the
prosecutor’s cross-examination of the Defendant with regard to his pretrial
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preparation, defense counsel sought to introduce expert testimony from Thomas
Dillard. Dillard, a seasoned prosecutor and defense attorney, would have
testified that pretrial preparation of witnesses is com mon and expected. We
addressed the propriety of the trial court’s ruling in this regard as part of the third
issue on appeal.
I. Conclusion Regarding Trial Court’s Evidentiary Rulings
As we explained above, the trial court did make several erroneous
evidentiary rulings during the course of this lengthy trial. After considering the
entire record, however, we do not believe that any of these errors affected the
verdict. See Tenn. R. Crim. P. 52(a). Furthermore, we simply cannot conclude
that the trial court’s erroneous evidentiary rulings deprived the Defendant of a
meaningful opportunity to present a complete and effective defense. In our view,
the trial court’s errors were harmless beyond a reasonable doubt. See Chapman,
386 U.S. at 24, 87 S.Ct. at 828; Bigbee, 885 S.W .2d at 809. The fourth issue is
therefore without merit.
VI. TRIAL COURT’S DEM EANOR AND JUDICIAL BIAS
In the fifth issue, the Defendant argues that the trial court’s demeanor and
conduct denied him due process of law. The Defendant contends that the trial
court did not display the required objectivity or neutrality during the course of the
trial and that the lack of objectivity had a prejudicial effect on the credibility of
defense witnesses and the claim of self-defense. He points to numerous
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comments and evidentiary rulings which, he alleges, cumulatively dem onstrate
a prejudicial judicial bias against him.
Canon 3(A) of the Code of Judicial Conduct indicates that a trial judge
should maintain order and decorum at trial but should be patient, dignified and
courteous to the litigants, jurors, witnesses and lawyers. Tenn. Sup. Ct. R. 10.
The trial judge must be careful to avoid doing or saying anything that might
prejudice the rights of the parties in the case. See Pique v. State, 480 S.W .2d
546, 550 (Tenn. Crim. App. 1971). Furthermore, the Tennessee Constitution
specifically prohibits judges from comm enting upon the credibility of witnesses
or upon the evidence in the case. Tenn. Const. art. VI, § 9. As a result, a trial
judge must refrain from giving the jury any impression as to his or her feelings
about the evidence or making any comment which might reflect on or influence
the jury regarding the weight or credibility of evidence. See State v. Cazes, 875
S.W.2d 253, 260 (Tenn. 1994), cert. denied, 513 U.S. 1086, 115 S.Ct. 743, 130
L.Ed.2d 644 (1995); State v. Suttles, 767 S.W.2d 403, 406-07 (Tenn. 1989);
Collins v. State, 220 Tenn. 275, 416 S.W .2d 766 (1967). As our supreme court
has stated, “a trial judge should not express any thought that would lead the jury
to infer that his opinion was in favor of or against a defendant in a criminal trial.”
State v. Harris, 839 S.W .2d 54, 66 (Tenn. 1992), cert. denied, 507 U.S. 954, 113
S.Ct. 1368, 122 L.Ed.2d 746 (1993).
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A. Trial Court’s Comments
The Defendant challenges several comments made by the trial judge
during the course of the trial. 13 Among the challenged comments is an instruction
given by the trial court to defense witnesses on several occasions. During cross-
examination of several defense witnesses, the prosecutor objected to the manner
of answering his questions. In response to the prosecutor’s objections, the trial
court instructed the witnesses as follows: “W hen you are asked a question,
answer yes or no, either one; then, if you have an explanation, you may give it.
However, do not volunteer any information beyond that which answers the
question. If the attorney wants more information, he’ll ask for it.”
Of course, the propriety, scope, manner and control of examination of
witnesses is entrusted to the sound discretion of the trial court and will not be
interfered with absent an abuse of that discretion. Hutchison, 898 S.W .2d at 172;
Harris, 839 S.W .2d at 72. W e find no error with regard to the trial court’s
instruction, nor do we find any indication of judicial bias against the Defendant.
The instructions were given to defense witnesses upon the prosecutor’s objection
to their manner of responding on cross-examination. No similar objections were
made by the Defendant and, thus, no similar objections by the Defendant were
denied by the trial court. We do not believe that the trial judge’s instruction
conveyed any impression from which the jury could reasonably conclude that he
did not find the testimony of defense witnesses to be credible.
13
W e note that, in addition to the transcribed record, the Defendant included audiotaped
portions of the record pertinent to this issue. W e have reviewed those tapes as well as the written
record to arrive at our conclusions reg arding this issue on appeal.
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The Defendant challenges another instruction given several times to
defense witnesses at the request of the prosecutor. The trial court instructed
later defense witnesses as follows: “You are reminded that you m ay not testify to
a matter unless you have personal knowledge of that m atter.” No such
instruction was ever requested by the Defendant with regard to testimony from
State’s witnesses. W e find nothing improper in the trial court’s instruction. See
Tenn. R. Evid. 602. The clear import of the trial court’s instruction was to ensure
that witnesses understood that their testimony must be based on their own
knowledge rather than on what others had told them. Furthermore, we do not
believe that the trial judge’s instruction conveyed any impression from which the
jury could reasonably conclude that he did not find the testimony of defense
witnesses to be credible.
The Defendant challenges numerous other comments made by the trial
court during examination of several defense witnesses. W e do not feel the need
to examine these challenges one by one. As we stated above, the propriety,
scope, manner and control of examination of witnesses is entrusted to the sound
discretion of the trial court and will not be interfered with absent an abuse of that
discretion. Hutchison, 898 S.W .2d at 172; Harris, 839 S.W.2d at 72. The vast
majority of challenged comm ents were a sound exercise of the discretion of the
trial court. We do not believe that any of that vast majority of comments reflected
upon the credibility of defense witnesses or the Defendant’s claim of self-
defense.
After a careful review of the Defendant’s allegations, we find only one
which has a significant degree of merit. During the direct examination of the
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Defendant, a bench conference occurred in which the trial court instructed
defense counsel not to delve into the fact that the Defendant prayed with the
youth minister of his church about the situation with the victim on the morning of
the shooting. When direct examination resumed, defense counsel asked the
Defendant a relevant, open-ended, non-leading question. The Defendant, not
knowing what had been discussed at the bench conference, mentioned the fact
that he and his wife had prayed with the youth minister. The prosecutor
immediately objected and stated, “Your Honor, this, obviously, shows . . . his
testimony is rehearsed . . . .” The trial judge responded by commenting, “Yes,
yes.”
W e believe that the trial court’s response to the prosecutor’s objection was
improper. The prosecutor’s objection, taken in context with other remarks made
during the trial, was a clear attempt to imply that the Defendant’s testimony was
not credible. The trial judge’s affirmative response conveyed an impression from
which the jury could have reasonably concluded that the trial judge did not find
the Defendant to be a credible witness. In fact, this impression becomes clearer
when we consider other remarks made by the trial court out of the jury’s hearing
when defense counsel objected to both the prosecutor’s and the judge’s
com ments and requested a curative instruction. In declining to give a curative
instruction, the trial court stated that there was “a strong suspicion” that the
Defendant’s testimony was rehearsed and, thus, there was “probable cause” for
the prosecutor’s com ment.
W e do not, however, believe that the trial court’s com ment deprived the
Defendant of his constitutional right to a fair trial. The improper comment was a
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single remark made during the course of a three-week trial. The Defendant’s
credibility was much m ore vigorously questioned through effective cross-
examination. Considering the record in its entirety, we are confident that the trial
court’s improper remark did not affect the outcome of the trial. See Tenn. R.
Crim. P. 52(a). The error was harmless beyond a reasonable doubt. See
Chapman, 386 U.S. at 24, 87 S.Ct. at 828; Bigbee, 885 S.W .2d at 809.
B. Trial Court’s Evidentiary Rulings
The Defendant also challenges several evidentiary rulings made by the trial
court during the course of the trial, arguing that they demonstrate a judicial bias
which adversely affected the credibility of his proof and deprived him of a fair trial.
The first of these challenges concerns the admissibility of criminal records. The
Defendant contends that the trial court favored the State with regard to the
admissibility of the criminal records of himself, the victim and State’s witness
Gary Massengill.
W e can find no indication of bias in the trial court’s rulings regarding the
admissibility of criminal records. In fact, we point out that proof of the
Defendant’s criminal record was never introduced at trial. Massengill’s criminal
record was excluded because the convictions were fourteen years old and the
Defendant did not provide adequate notice of his intention to use the evidence.14
See Tenn. R. Evid. 609(b). In addition, although the Defendant was allowed to
testify as to his knowledge of the criminal record of the victim, certified copies of
14
It appears that Massengill’s criminal record included convictions for burglary and receiving
stolen property, all from 1980.
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the victim’s convictions were ruled inadmissible by the trial court. Noting that the
victim’s convictions were for a driver’s license violation, public drunkenness, and
manufacturing marijuana, the trial court ruled that the convictions were not
probative of the victim’s character for violence or aggressiveness. See State v.
Furlough, 797 S.W .2d 631, 650 (Tenn. Crim. App. 1990); Tenn. R. Evid.
404(a)(2). From our review of the record, we can discern no evidence of judicial
misconduct or bias with regard to these rulings.
As his second challenge, the Defendant contends that the trial court
exhibited bias against him by restricting him from m aking necessary proffers and
by denying requests for jury-out hearings. The Defendant argues that the trial
court’s language and manner of addressing his requests adversely affected the
credibility of his proof. The record reveals that, at times, the trial court seemed
somewhat frustrated at the prospect of continuously sending the jury out for
proffers and hearings. In fact, on one occasion the trial court stated, “Oh, I hate
to send this jury out. I am sorry. You will have to step out.” In his brief, the
Defendant sets forth a litany of exchanges between defense counsel and the trial
court in which the trial court is somewhat gruff with defense counsel. We do not
feel the need to list those exchanges here.
W e agree that a trial judge must not allow personal irritations to ruffle his
or her judicial demeanor during trial. Brooks v. State, 187 Tenn. 67, 213 S.W .2d
7 (1948), cert. denied, 340 U.S. 837, 71 S.Ct. 21, 95 L.Ed. 614 (1950). Although
the trial judge was sometimes curt with defense counsel regarding proffer and
jury-out hearing requests, we do not believe that the trial judge’s language or
rulings exhibited any bias or constituted misconduct. We are confident that the
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trial court’s demeanor did not adversely impact the credibility of the Defendant’s
proof.
As his third challenge, the Defendant contends that the trial court favored
the State with regard to the scope of cross-examination of character witnesses.
The Defendant sought to call several character witnesses during his proof to
testify regarding his character for truthfulness. At a jury-out hearing on the
subject, the prosecutor voiced his intention to ask the Defendant’s character
witnesses if they had heard that the Defendant had left the scene of the shooting,
had discarded the bullets remaining in the gun, had placed the gun in an eave of
his carport, and had initially denied knowledge of the shooting when speaking to
police officers. The trial court ruled that the prosecutor’s questions would be
allowed on cross-examination. As a result, the Defendant decided not to call his
character witnesses to testify.
After the conclusion of the Defendant’s proof, the State called F.B.I. Agent
Don Provonsha to testify in rebuttal. Provonsha testified that defense witness
Robert Ferguson had a poor reputation for truthfulness. On cross-examination,
defense counsel sought to ask Provonsha if he had heard that Ferguson had
signed a written statement and whether that fact would change Provonsha’s
testimony. The trial court did not permit defense counsel’s questions.
W e find no evidence of judicial bias in these rulings. The trial court’s ruling
with regard to cross-examination of the Defendant’s character witnesses was
supported by Tennessee Rule of Evidence 405(a). Although it may have been
error for the trial court not to permit the Defendant’s questions of Agent
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Provonsha, we discern no judicial bias in the ruling. Furthermore, any error
concerning the restricted questioning of Provonsha was harmless. Tenn. R.
Crim. P. 52(a). The jury was aware that Ferguson had signed a written statement
from the questioning of Ferguson himself. In fact, defense counsel emphasized
the significance of signing the written statement during his examination of
Ferguson.
As his fourth challenge, the Defendant contends that the trial court favored
the State regarding the exclusion of evidence as a sanction for discovery
violations. See Tenn. R. Evid. 16(d)(2). The Defendant points out that the expert
psychological testimony of Dr. Catherine Gyurik on the Defendant’s mental state
was excluded on the basis that the Defendant had not provided the State with a
report detailing Gyurik’s conclusions. In addition, the testimony of Lamar Miller,
the Defendant’s handwriting expert, on the subject of whether the derogatory
writing on the signs introduced by the Defendant matched known samples of the
victim’s handwriting was also excluded on the basis that the Defendant had not
provided the State with a report detailing Miller’s conclusions. The Defendant
argues that these rulings are in sharp contrast to the trial court’s rulings with
regard to the Defendant’s prior convictions even though the trial court found that
the State had not provided the Defendant with notice of its intention to use that
evidence at trial.
W e find no evidence of a judicial bias in these rulings. As we discussed
above, we believe that the trial court’s exclusion of the testimony of the
Defendant’s experts on the basis of discovery violations was an abuse of
discretion. W e do not believe, however, that the trial court’s errors reflect a
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judicial bias against the Defendant. In contrast to the exclusion of the
Defendant’s proof, it is quite clear that the State’s questions concerning the
Defendant’s prior convictions did not involve a discovery violation. Instead, the
trial court noted that the State had failed to provide adequate notice of its
intention to use that evidence in violation of Rules 608 and 609 of the Tennessee
Rules of Evidence. The trial judge allowed the State’s questions in spite of the
notice violation because he found that the Defendant had made a sweeping claim
of good conduct. Again, as we explained above, we believe that the trial court
erred in finding that the Defendant had made a sweeping claim of good conduct.
Yet we see no indication that the trial judge was biased against the Defendant or
that he favored the State with regard to the exclusion of evidence as a sanction
for discovery violations.
As his fifth challenge, the Defendant argues that the trial court favored the
State with regard to the admission of prior consistent statements to rebut a claim
of recent fabrication. The Defendant points out that the trial court often restricted
the testimony of defense witnesses regarding specific details the Defendant had
told them concerning the harassment by the victim. The trial court allowed
defense witnesses to testify about the perceived mental state of the Defendant
but did not allow them to testify about the incidents of harassment and threats
related to them by the Defendant which formed the basis for the Defendant’s
mental state.
The Defendant contrasts those rulings with the trial court’s allowance of
questions to State’s witness Gary Massengill on redirect concerning a statement
he had given to police officers. On cross-examination, defense counsel
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questioned Massengill about written statem ents he had given to police officers
after the shooting in an effort to impeach his testimony on direct examination. It
appears that the statements were actually written by police officers as Massengill
orally related his account of the shooting to them. On redirect, the prosecutor
asked Massengill whether he had signed those statements. Massengill testified
that he had not been asked to sign them. The prosecutor also asked Massengill
whether he told those police officers the same account that he testified to on
direct exam ination. Massengill responded affirmatively.
W e note that although defense counsel objected to the leading nature of
some of the prosecutor’s questions, he did not object to the substance of these
questions at trial. As we explained above, it may have been error for the trial
court to restrict the testimony of defense witnesses. W e do not, however, see
any indication of disparate treatment or judicial bias against the Defendant in
these rulings.
As his sixth challenge, the Defendant argues that the trial court favored the
State by denying a closure of the courtroom for one of his witnesses to testify.
According to the witness’ proffer, he intended to testify concerning violent acts
committed by the victim against him. The proffer also makes clear that the
witness feared retaliation by the Shepard family against his family should he
testify. As a result, the Defendant requested that the trial court exclude
spectators and the media from the courtroom during the witness’ testimony. The
trial court denied the Defendant’s request for a closure of the courtroom. The
witness in question, David Riley, did eventually testify concerning his opinion of
the victim’s character for violence and aggressiveness. Before Riley testified,
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defense counsel expressed concern that the witness would have to walk past the
Shepard family as he entered the courtroom.15 As a result, the trial court allowed
Riley to enter through the back door of the courtroom so as to avoid any meeting
with the Shepard family.
Initially, we observe that the Defendant asserts that the closure requested
constituted a partial closure. We believe that the closure requested was a
com plete closure in that the Defendant sought to have all spectators and media
excluded from the courtroom, leaving only the attorneys, court personnel, the
Defendant and the witness. See State v. Sams, 802 S.W .2d 635, 640 (Tenn.
Crim. App. 1990). Given that the Shepard family members were already
excluded from the courtroom pursuant to Tennessee Rule of Evidence 615, the
Defendant’s request was, in effect, an effort to conceal the very identity of the
witness. The Defendant argues that the trial judge did not properly weigh the
appropriate interests in arriving at his decision to deny the closure. At a jury-out
hearing on the subject, the trial court found that the facts set forth in the affidavit
of the witness concerning possible retaliation by the Shepard family did not
require closure and that a closure could not provide the relief requested, namely
concealing the identity of the witness. The trial court found further that the public
interest in open proceedings outweighed the fair trial interests advanced by the
Defendant.
15
The record reveals that the mem bers of the victim’s imm ediate family were subpoenaed by
the Defendant. Apparently, defense counsel originally intended to call them as hostile witnesses and
question them about the victim’s alleged prior violent acts. The trial court eventually ruled evidence of
the victim’s violent acts against individuals other than the Defendant inadmissible. Nevertheless, the
family mem bers remained excluded from the courtroom itself pursuant to Tennessee Rule of
Evidence 615 and, according to the Defendant, they congregated near the door to the courtroom
throughout the trial.
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Our supreme court discussed the proper determination of complete closure
requests in State v. Drake, 701 S.W .2d 604 (Tenn. 1985). The court quoted with
approval from a United States Supreme Court case as follows:
[T]he party seeking to close the hearing must advance an overriding
interest that is likely to be prejudiced, the closure must be no
broader than necessary to protect that interest, the trial court must
consider reasonable alternatives to closing the proceeding, and it
must make findings adequate to support the closure.
Id. at 608 (quoting from W aller v. Georgia, 467 U.S. 39, 104 S.Ct. 2210, 2216,
81 L.Ed.2d 31 (1984)); accord Globe Newspaper Co. v. Superior Court for the
County of Norfolk, 457 U.S. 596, 606-07, 102 S.Ct. 2613, 2620-21, 73 L.Ed.2d
248 (1982).
In the case sub judice, the trial court implicitly found that the Defendant had
not advanced an overriding interest likely to be prejudiced in the absence of a
com plete closure. From our review of the record, we agree with the implicit ruling
of the trial court that the Defendant did not demonstrate an overriding interest
likely to be prejudiced. Furthermore, we find no evidence of disparate treatment
of or judicial bias against the Defendant with regard to the trial court’s closure
ruling.
In summary, as we discussed above, the trial court certainly made errors
during the course of this often contentious, three-week trial. Given the length of
the trial, the volume of evidence and the complexity of the legal issues involved,
it is not surprising that there were some erroneous evidentiary rulings and
improper comments. Yet we find no indication in those errors that the trial court
exhibited a bias against the Defendant. Instead, we can only conclude that the
trial court’s demeanor and rulings did not improperly favor the State or have a
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prejudicial effect on the credibility of the Defendant’s proof in support of his claim
of self-defense. This issue is therefore without merit.
VII. PROSECUTORIAL MISCONDUCT
In the sixth issue, the Defendant challenges numerous actions of the
assistant district attorney general which he contends constituted prosecutorial
misconduct. In Harrington v. State, 215 Tenn. 338, 385 S.W.2d 758 (1965), our
supreme court set forth the test to be applied by an appellate court in reviewing
instances of improper conduct. The relevant inquiry is “whether the improper
conduct could have affected the verdict to the prejudice of the defendant.” Id. at
340, 385 S.W .2d at 759. In Judge v. State, 539 S.W .2d 340 (Tenn. Crim. App.
1976), this Court noted five factors generally accepted as those to be considered
in making the determination of whether improper conduct affected the verdict to
a defendant’s prejudice. Those factors are:
1. the conduct complained of viewed in context and in light of the
facts and circumstances of the case;
2. the curative measures undertaken by the trial court and the
prosecution;
3. the intent of the prosecutor in making the improper statement;
4. the cumulative effect of the improper conduct and any other
errors in the record; and,
5. the relative strength or weakness of the case.
Id. at 344. The Defendant cites many instances of conduct which he believes to
have been improper and divides them into several categories in his brief. For the
sake of clarity, we will address the instances of alleged misconduct as they are
categorized in the Defendant’s brief. W e will address the effect of any errors
after examining all of the categories of misconduct raised by the Defendant.
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A. Categories of Alleged Prosecutorial Misconduct
1. Misrepresentative Remarks about the Defendant’s Claim of Self-
Defense
The Defendant complains of several remarks made by the prosecutor
concerning his theory of self-defense. For instance, the Defendant asserts that
the prosecutor misrepresented the proof adduced at trial by arguing to the jury
that the Defendant’s van bumped the victim’s truck. The Defendant contends
that the clear weight of the evidence, including the testimony of the State’s
witnesses, indicates that there was no contact between the vehicles. State’s
witness Gary Massengill, however, did testify that the van bumped the truck from
behind. Massengill, being a passenger in the truck, was the State’s witness who
was in the best position to testify about the alleged bump. Although the State’s
other witnesses did not see any contact between the vehicles, we believe that the
prosecutor’s references to the alleged bump were not improper given
Massengill’s testimony that such a bump had occurred.
The Defendant also com plains of the prosecutor’s questions to Dr. Engum
concerning the alleged bump. As we detailed above, Dr. Engum testified on
cross-examination that, to the best of his recollection, he remembered being
informed about some contact between the vehicles. Engum believed he had
learned this information from the Defendant and clearly remembered discussing
it with defense counsel. On redirect, Engum reviewed the notes he had taken as
he spoke with the Defendant. Upon reviewing the notes, Engum testified that he
believed he had learned about the alleged bump solely from defense counsel
rather than from the Defendant. On recross, the prosecutor questioned Engum
about the slight inconsistency between his testimony on cross-examination and
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on redirect. The Defendant contends that the prosecutor improperly explored the
inconsistency in Engum’s testimony because Engum had, on redirect, merely
clarified a mistake he had made on cross-examination due to his not being able
to consult his notes from interviews with the Defendant. We believe, however,
that the prosecutor was entitled to question Engum about the change or
“clarification” in his testimony, and we find nothing improper in his questioning as
detailed in the record.
The Defendant next complains of the prosecutor’s comment that the
defense was “putting up a bogus self defense theory that has been constructed
after the fact.” These comments, however, were made to the trial court during a
jury-out hearing. We can find no prejudice inuring to the Defendant as a result
of these comments.
Somewhat similar comments were made by the prosecutor to the jury
during closing argument:
[MR. JOLLEY:] And let’s talk about the bumping. If you’re really
concerned about what happened, wouldn’t you bump the truck and
let them know you were there? . . . You don’t wave at them as they
go by at the stop sign and talk about being scared by the glare that
they look at your eyes. No. That’s all hokum--
MR. MONCIER: Objection.
MR. JOLLEY: --that’s been made up--
MR. MONCIER: Objection.
THE COURT: Yes, General, rephrase that.
MR. JOLLEY: We suggest to you that that has been made up--
MR. MONCIER: Object.
THE COURT: Overruled.
MR. JOLLEY: --afterwards to cover self-defense. . . .
The Defendant contends that these comments constituted prosecutorial
misconduct. Of course, it is improper for a prosecutor to express to the jury his
or her personal belief or opinion as to the truth or falsity of testimony or evidence.
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See, e.g., State v. Henley, 774 S.W .2d 908, 911 (Tenn. 1989), cert. denied, 497
U.S. 1031, 110 S.Ct. 3291, 111 L.Ed.2d 800 (1990); State v. Hicks, 618 S.W .2d
510, 517 (Tenn. Crim. App. 1981); see also David Louis Raybin, Tennessee
Criminal Practice and Procedure, § 29.31. Tennessee courts have recognized,
however, that the specific terminology used by the prosecutor is important in
determining whether such comments qualify as misconduct. Typically, comments
prefaced by “I think” or “I submit” do not constitute impermissible personal
opinions. See Coker v. State, 911 S.W .2d 357, 368 (Tenn. Crim. App. 1995).
In the present case, the prosecutor’s initial comments were objected to by the
Defendant and were corrected by the trial court. We do not believe that the
prosecutor’s comments prefaced by “we suggest” were an improper personal
comment upon the truth or falsity of the Defendant’s self-defense theory.16
The Defendant also complains about remarks concerning the victim’s
approach to the van. During closing argument, the prosecutor made the following
comments:
MR. JOLLEY: Intentional, premeditated, deliberate. Sitting and
waiting as Rod Shepard walked back to the truck with his hands in
the air, showing that he’s unarmed--
MR. MONCIER: Objection.
MR. JOLLEY: --or his left hand in his pocket--
THE COURT: Overruled.
MR. JOLLEY: --swinging his arm to his side, or his right hand in his
pocket up to the top, as Mrs. Joslin says, or all the way in , as Mr.
Joslin says.
The Defendant argues that the prosecutor’s com ments about the victim walking
back to the van “with his hands in the air” is a mischaracterization of the evidence
16
Th e Defenda nt com plains of other instanc es o f sim ilar langu age use d by the pros ecu tor.
Fo r ins tan ce, one such com plaint is dire cte d towa rd the pro secutor’s argum ent to th e ju ry, “I s uggest it
didn’t happen that way.” That remark was directed toward the Defendant’s testimony and proof that
the victim reached into the van before he was fatally shot. Applying the same reasoning outlined
above, we do not believe that these remarks were an improper statement of personal belief or opinion
conce rning the truth or falsity of the Defend ant’s proof.
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given that State’s witnesses Judy Allen and Michelle Flatt testified that the
victim’s left hand was in his pants pocket. State’s witness Phillip Murphy,
however, testified that the victim’s hands were not in his pockets, but rather were
being used to gesture to the Defendant. Moreover, we view the prosecutor’s
remarks as attempting to explain the differing testimony and to suggest that, no
matter which testimony is accredited, the result of the trial should be the same.
From our review, we conclude that the prosecutor’s comments were not
improper.
2. Remarks Conveying a Personal Belief about the Credibility and Guilt
of the Defendant
The Defendant next complains of several remarks by the prosecutor which
he argues improperly conveyed the prosecutor’s personal beliefs regarding the
credibility of the Defendant’s proof and the guilt of the Defendant himself. As we
stated above, it is improper for a prosecutor to express to the jury his or her
personal belief or opinion as to the truth or falsity of any testimony or evidence
or the guilt of the defendant. Henley, 774 S.W.2d at 911; Hicks, 618 S.W .2d at
517; Sneed v. State, 546 S.W.2d 254, 261 (Tenn. Crim. App. 1976).
Several of the remarks complained of by the Defendant on appeal were,
we believe, either cured at trial or were simply not improper. For example, the
Defendant com plains of the prosecutor’s actions in “slamming” down his hand or
finger while he was criticizing defense counsel for interrupting his argument.
These actions were made during a jury-out hearing though, and we can find no
prejudice inuring to the Defendant as a result of them. In addition, the Defendant
complains of a sarcastic remark by the prosecutor to the Defendant during cross-
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examination that “[t]hat’s good that you can tell it in the same words that you said
before, Mr. Joslin.” The Defendant objected to this remark, and the trial court
sustained the objection and gave a curative instruction for the jury to disregard
the statement. In the absence of proof to the contrary, we must presume that the
jury followed the trial court’s curative instruction. See State v. Compton, 642
S.W.2d 745, 746 (Tenn. Crim. App. 1982); Frazier v. State, 566 S.W.2d 545, 551
(Tenn. Crim. App. 1977) (citations omitted). Thus, we conclude that the trial
court’s instruction cured any error posed by the prosecutor’s remark.
There were, however, several comments made by the prosecutor which we
believe were improper in that they effectively conveyed the prosecutor’s personal
beliefs about the credibility of the Defendant’s proof. The Defendant complains
of an objection made by the prosecutor in the presence of the jury, stating that
the Defendant’s response to a question on direct examination “obviously shows
his testimony is rehearsed.” The State now concedes that the prosecutor’s
remark was improper and, given the context of defense counsel’s question and
the Defendant’s response, we agree.
The Defendant also complains of another comment made by the
prosecutor during the direct examination of the Defendant. As the Defendant
began to testify about the events of October 28, 1992, the day he and his wife
sold the Dante Road home to Carroll Votaw and received the first threatening
telephone call from the victim, he apparently became somewhat emotional.
Defense counsel asked the Defendant to calm down and offered him a glass of
water. At that point, the prosecutor, referring to the Defendant’s emotional
response, stated “Your Honor, there’s no reason to be upset by this type of--.”
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W e believe that, by making this com ment, the prosecutor was personally
commenting on the sincerity and credibility of the Defendant’s testimony. Such
comments have been addressed by Tennessee courts before and have been
condemned as being improper. See State v. Bates, 804 S.W .2d 868, 881 (Tenn.
1991), cert. denied, 502 U.S. 841, 112 S.Ct. 131, 116 L.Ed.2d 98 (1991).
In addition, the Defendant complains about a remark made by the
prosecutor during closing argument.
MR. JOLLEY: Mr. Moncier talks about witnesses who weren’t called.
W ell, if witnesses don’t know anything, they have no business on
the stand, unlike witnesses, Dr. I-am-not-a-liar Engum, who changes
his testimony--
MR. MONCIER: Objection, your Honor.
THE COURT: Overruled.
MR. JOLLEY: --about whether or not Mr. Joslin told him that he
bumped the vehicle after a conversation with Mr. Moncier.
Certainly the prosecutor was entitled to comment on the change in Dr. Engum’s
testimony, just as defense counsel would have been entitled to argue to the jury
that Dr. Engum had merely clarified his previous testimony after refreshing his
memory by reviewing his interview notes. It has long been the law in Tennessee,
however, that a prosecutor should refrain from inflaming the jury with intem perate
argument. See, e.g., State v. Sutton, 562 S.W .2d 820, 823 (Tenn. 1978); Russell
v. State, 532 S.W .2d 268, 271 (Tenn. 1976); see generally Berger v. United
States, 295 U.S. 78, 88, 55 S.Ct. 629, 633, 79 L.Ed.2d 1314 (1935). Thus, we
believe that the prosecutor’s manner of referring to the witness was improper.
3. Cross-examination of the Defendant Concerning Pretrial Preparation
with his Attorneys
The Defendant next complains of an entire line of questioning on the part
of the prosecutor. The questions occurred during cross-examination of the
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Defendant and generally involved the Defendant’s pretrial preparation with his
attorneys. The Defendant raised essentially the same issue, but challenging both
the prosecutor’s actions and the trial court’s rulings, as his third issue on appeal.
W e addressed the issue in its entirety, including whether the prosecutor’s actions
constituted misconduct, when we discussed the Defendant’s third issue.
4. Remarks Accusing Defense Counsel of Soliciting False Testimony
through Robert Ferguson
W e detailed in our discussion of the facts above the unusual course of
testimony by defense witness Robert Ferguson. Ferguson testified on direct
examination that he believed the victim to have been a peaceful person ninety-
nine percent of the time. During direct examination, however, Ferguson was
confronted with a written statement he had given to defense counsel in which he
stated that the victim was a violent, aggressive person and that he had overheard
the victim threatening the Defendant. Although Ferguson’s initial testimony may
have surprised defense counsel to some degree, direct examination was rather
ordinary.
During a jury-out hearing before cross-examination, Ferguson testified that
defense counsel had urged him to exaggerate the violent nature of the victim.
These statements led defense counsel to reveal that he had tape recorded his
conversations with Ferguson. After a controversy about whether the prosecutor
could review those tapes alone, defense counsel refused to offer the tapes as
Jencks material. 17 The trial court ordered Ferguson’s testimony stricken, but the
prosecutor requested an alternative remedy. The trial court allowed Ferguson’s
17
See Tenn. R. Crim. P. 26.2.
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testimony to remain, but permitted the prosecutor to question him about the
allegations that defense counsel had urged him to exaggerate his testimony.
After a thorough review of the prosecutor’s cross-examination of Ferguson,
we find nothing improper in the questioning. Ferguson himself brought up the
subject during a jury-out hearing. Certainly allegations of that nature are entitled
to be explored by opposing counsel. The prosecutor asked a series of sim ple
questions intended to allow Ferguson to explain the type of request made by
defense counsel with regard to Ferguson’s expected testimony at trial. The
Defendant com plains specifically about a comment made by the prosecutor
during the course of Ferguson’s testimony that defense counsel was “making
stuff out of whole cloth.” This remark occurred during a jury-out hearing though.
A similar remark was made in the presence of the jury, but the trial court
instructed the jury to disregard it. We must presume that the jury followed the
trial court’s curative instruction. See Compton, 642 S.W .2d at 746; Frazier, 566
S.W.2d at 551. The Defendant also complains about a remark made by the
prosecutor during closing argument that “he [Ferguson] told you that Mr. Moncier
was trying to get him to lie about it and all these things.” Defense counsel
objected, and the trial court instructed the prosecutor not to go into that subject.
From our review, we believe that the prosecutor’s actions did not constitute
misconduct. 18
18
W e note that the Defend ant also challenges the trial court’s evidentiary rulings with regard
to Ferguson’s testimony. W e addressed the propriety of various rulings of the trial court concerning
Fe rguson’s testim ony as part of the fo urth and fifth issues on appeal.
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5. Remarks Accusing Defense Witness Dean Joslin of Fabricating
Evidence
The Defendant next complains about comments made by the prosecutor
during closing argument referring to Dean Joslin’s identification of an exhibit at
trial. As we detailed above in our discussion of the facts, Dean Joslin testified
that he was one of the Defendant’s sons. He operated an automotive repair shop
out of a com mercial building owned by the Defendant and rented to him. He
arrived there one day and discovered that the garage door had been severely
dented by a vehicle. He found red paint matching the color of the victim’s truck
and eventually came to believe that the victim had been responsible for the
damage. He measured the height of the dent and measured the height of the
bumper of a truck identical to the victim’s truck. At trial, the Defendant introduced
a photograph of Dean Joslin measuring the height of the bumper of the matching
truck. Dean Joslin then identified a photograph of the Defendant’s truck, exhibit
number fifty-six (56), which he testified was taken after the garage door damage
incident.
In all, the testimony of Dean Joslin with regard to exhibit number 56,
including cross-examination, was relatively uneventful. It was subsequently
discovered during the testimony of Daniel Joslin that, in exhibit number 56, the
license plate of the victim’s truck had not been issued until May of 1994, after the
shooting of the victim. Thus, it appeared that Dean Joslin’s identification of the
photograph as having been taken shortly after the damage to his garage was
mistaken.
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As a result, the prosecutor commented to the jury during closing argument
that the misidentification was an indication of bias on the part of Dean Joslin. W e
believe that although the misidentification did not have great probative value, the
prosecutor was entitled to suggest to the jury that Dean Joslin’s misidentification
of the picture reflected negatively on his credibility. Accordingly, we conclude that
the prosecutor’s actions did not constitute m isconduct.
6. Remarks Accusing John Isaac Joslin and Geneva Joslin of Testifying
Falsely about Telephone Calls from the Victim
The Defendant next complains about the prosecutor’s cross-examination
of John Isaac Joslin and Geneva Joslin, the adolescent children of the
Defendant. Both children testified on direct examination that they had received
threatening and vulgar telephone calls from the victim. On cross-examination of
John Isaac Joslin, the prosecutor called attention to the fact that John Isaac
Joslin described the frequency of the telephone calls in the same language that
the Defendant had used when testifying earlier. On cross-examination of Geneva
Joslin, the prosecutor questioned whether the witness had spoken with the victim
enough to be able to identify his voice on the threatening calls. We find nothing
improper in the prosecutor’s cross-examination of these two witnesses.
7. Remarks Accusing Sandra Joslin of “Creating a Defense”
The Defendant next complains of the prosecutor’s cross-examination of
defense witness Sandra Joslin and his subsequent argument to the jury
concerning that testimony. As we mentioned above in our recitation of the facts,
Sandra Joslin, the Defendant’s wife, testified on direct examination that as the
victim approached their van, he shouted “I’ll kill you mother-fuckers.” On cross-
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examination, the prosecutor confronted Sandra Joslin with a deposition in which
she stated that the victim had used the singular rather than the plural. Given this
conflict, the prosecutor asked the witness whether the victim had used the
singular or the plural. Sandra Joslin wavered somewhat in answering and, as a
result, the prosecutor asked her essentially the same question numerous times
over the Defendant’s objection. Sandra Joslin eventually testified that she could
not be sure whether the victim had used the singular or plural.
During closing argum ent to the jury, the prosecutor stressed that Sandra
Joslin’s testimony had changed between the deposition and direct examination
at trial. The prosecutor suggested that she had changed her testimony in order
to allow the Defendant to raise a defense of a third person claim.
W e do not believe that questioning Sandra Joslin concerning the change
in her testimony or suggesting to the jury during closing argument a reason for
that change constituted prosecutorial misconduct. Although the trial court may
have erred in allowing the repetitive “singular/plural” questions, we find nothing
improper in the prosecutor’s conduct.
8. Remarks Concerning the Burden of Proof
The Defendant’s final allegation of prosecutorial misconduct involves
remarks made by the prosecutor which the Defendant argues misconstrued the
burden of proof and the Defendant’s constitutional rights. During closing
argument, the prosecutor com mented on defense proof of the victim’s violent,
aggressive character and conduct. The prosecutor spoke of the Defendant’s
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proof as innuendo and an attempt to construct a defense. He also made the
following remarks:
MR. JOLLEY: Rodney Shepard is entitled to equal protection under
the law.
MR. MONCIER: Objection, your Honor.
THE COURT: Overruled.
MR. JOLLEY: Rodney Shepard is entitled to a presumption of
innocence.
MR. MONCIER: Objection, your Honor.
MR. JOLLEY: Rodney Shepard is entitled--
THE COURT: Overruled.
MR. JOLLEY: --to proof beyond a reasonable doubt.
MR. MONCIER: Objection, your Honor.
THE COURT: W ell, members ... of the jury, I will instruct as to the
law. All right, General, proceed.
The Defendant contends that the prosecutor’s argument improperly shifted the
burden of proof and misconstrued the constitutional rights of the Defendant.
W e believe that the prosecutor’s references to equal protection, the
presumption of innocence and proof beyond a reasonable doubt, in the context
in which the remarks were made, were improper. In arguing to the jury, counsel
may not misstate the law nor may counsel argue law which is not related to the
facts of the case. See State v. Adkins, 653 S.W .2d 708, 714 (Tenn. 1983); Gray
v. State, 191 Tenn. 526, 235 S.W .2d 20, 24 (1950); State v. Byerley, 658 S.W .2d
134, 140 (Tenn. Crim. App. 1983); see also David Louis Raybin, Tennessee
Criminal Practice and Procedure, § 29.30. The trial judge, however, issued a
limiting instruction to the jury that he would instruct them as to the law and he did,
in fact, do so with regard to the presumption of innocence and the burden of
proof.
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B. Effect of Prosecutorial Misconduct
As we set forth above, the relevant inquiry for reviewing prosecutorial
misconduct is whether the improper conduct could have affected the verdict to
the prejudice of the defendant. Harrington, 215 Tenn. at 340, 385 S.W .2d at 759.
W e generally consider five factors in making that determ ination. See Judge, 539
S.W.2d at 344.
1. Conduct Complained of View ed in Context and in Light of the Facts
and Circumstances of the Case
In our discussion of the categories of alleged misconduct above, we
concluded that there were several instances of prosecutorial misconduct. The
prosecutor improperly stated his personal beliefs regarding the credibility of the
Defendant’s proof. In addition, the prosecutor misstated the law as it relates to
the presumption of innocence and the burden of proof. We must take note,
however, that the record in this case contains nearly three thousand pages. It is
also readily apparent from the record that this case was “forcefully” tried by
counsel with some history of antagonism. Viewed in context, the prosecutor’s
improper conduct was slight and relatively infrequent. Moreover, given the sheer
volume of the record, we do not believe that any undue emphasis was placed
upon the instances of misconduct. Furthermore, the prosecutorial misconduct did
not prevent the Defendant from presenting a thorough defense.
2. Curative Measures Taken by the Trial Court
Several somewhat improper remarks made by the prosecutor were met
with curative instructions from the trial court. As we stated above, juries are
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presumed to follow such instructions. See Compton, 642 S.W .2d at 746; Frazier,
566 S.W.2d at 551. We point out, though, that some improper comments on the
credibility of the Defendant’s proof which were objected to by defense counsel
were not met with curative instructions. The lack of a curative instruction causes
us some concern, but the number of improper remarks not cured is small. The
prejudice suffered by the Defendant as a result of these uncured remarks seems
overwhelmed by the amount of proof set forth at trial.
3. Intent of the Prosecutor
As we noted above, it appears from the record that there is some history
of antagonism between the prosecutor and defense counsel. It is quite obvious
that this trial was “hard-fought” by both attorneys. There is nothing in the record,
however, to indicate that the prosecutor acted in bad faith in making the improper
remarks. Rather, it seems that the prosecutor had momentary lapses of
judgment on a few occasions over the course of a trial which lasted nearly three
weeks. We recognize that the prosecutor made errors, but we discern no
improper intent on behalf of the prosecutor.
4. Cumulative Effect
On appeal, the Defendant raises several issues other than prosecutorial
misconduct. W e have discussed those issues in full detail earlier in this opinion.
Not surprisingly, our analysis revealed other errors which occurred during the
course of the Defendant’s three-week trial. We are satisfied, however, that the
cumulative effect of the prosecutorial misconduct and the other errors did not
affect the verdict to the prejudice of the Defendant. From our review of the
extensive record in this case, it plainly appears that this case was often
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contentious. Both the State and the Defendant presented compelling and
persuasive evidence and arguments. We cannot escape the conclusion that this
case presented a classic jury question. The jury resolved that question against
the Defendant. W e cannot conclude that the errors which occurred during trial
cumulatively rose to a level influencing either the evidence available to the jury
or the jury’s reasoning process so as to affect their verdict.
5. Relative Strength or Weakness of the Case
As we stated above, the evidence adduced at trial in this case presented
a classic jury question. The State offered eyewitness testimony demonstrating
that the Defendant had shot the victim and the manner in which the altercation
had taken place. The Defendant readily admitted that he had shot the victim, but
presented proof in support of a claim of self-defense. The case essentially boiled
down to a credibility judgment by the jury. The jury resolved the case against the
Defendant. While it is true that there are inconsistencies in the testimony of the
witnesses for the State and there is even testimony from State’s witnesses which
favors the Defendant, the same can be said of the Defendant’s proof. From our
review of the record, we conclude that the State presented a reasonably strong
case against the Defendant. The question of the Defendant’s guilt was, without
a doubt, hotly contested at trial, but there was persuasive evidence presented by
the State to support the jury’s verdict.
C. Conclusion Regarding Prosecutorial Misconduct
Having examined the instances of prosecutorial misconduct in light of the
Judge factors, we conclude that the improper conduct of the prosecutor did not
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affect the verdict to the prejudice the Defendant. See Harrington, 215 Tenn. at
340, 385 S.W .2d at 759. Accordingly, the sixth issue on appeal lacks merit.
VIII. SENTENCING
In the seventh issue, the Defendant challenges the trial court’s imposition
of a twenty-three year, Range I sentence. The Defendant first complains that the
trial court’s sentencing procedure was flawed. He also argues that the trial court
misapplied the relevant enhancement and mitigating factors. As a result, he
contends that his sentence is excessive. W e agree.
W hen an accused challenges the length, range, or the manner of service
of a sentence, this court has a duty to conduct a de novo review of the sentence
with a presumption that the determinations made by the trial court are correct.
Tenn. Code Ann. § 40-35-401(d). This presumption is "conditioned upon the
affirmative showing in the record that the trial court considered the sentencing
principles and all relevant facts and circum stances." State v. Ashby, 823 S.W .2d
166, 169 (Tenn. 1991).
In conducting a de novo review of a sentence, this court must consider: (a)
the evidence, if any, received at the trial and the sentencing hearing; (b) the
presentence report; (c) the principles of sentencing and argum ents as to
sentencing alternatives; (d) the nature and characteristics of the criminal conduct
involved; (e) any statutory mitigating or enhancement factors; (f) any statement
that the defendant made on his own behalf; and (g) the potential or lack of
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potential for rehabilitation or treatment. Tenn. Code Ann. §§ 40-35-102, -103,
and -210; see State v. Sm ith, 735 S.W.2d 859, 863 (Tenn. Crim. App. 1987).
If our review reflects that the trial court followed the statutory sentencing
procedure, imposed a lawful sentence after having given due consideration and
proper weight to the factors and principals set out under the sentencing law, and
that the trial court's findings of fact are adequately supported by the record, then
we may not modify the sentence even if we would have preferred a different
result. State v. Fletcher, 805 S.W.2d 785, 789 (Tenn. Crim. App. 1991).
In order to address this issue fully, we must examine the manner in which
the trial court conducted the sentencing of the Defendant. The sentencing
hearing was originally set for August 24, 1995. Shortly before that date, the
Defendant prepared and filed a detailed, fifteen-page sentencing memorandum.
Included with this memorandum were numerous letters of support from friends
of the Defendant and members of his community. The State had already filed a
notice of the enhancement factors asserted to be applicable. At the beginning
of the August 24 sentencing hearing, a controversy arose over certain alleged
courtroom conduct in the wake of the verdict. The trial court requested additional
information and argument from both the prosecution and the defense in order to
determine whether to consider the allegations for sentencing purposes. As a
result, the sentencing of the Defendant was continued to a later date.
On September 6, 1995, the actual sentencing hearing was conducted.
Having weighed the allegations surrounding the courtroom conduct and the
arguments in favor of and against its relevance for sentencing, the trial judge
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stated that he was not considering the allegations to arrive at a sentence for the
Defendant. After ruling on those allegations, the trial court immediately began to
announce the enhancement factors deemed applicable. The trial court applied
the following four enhancement factors:
(1) The Defendant has a previous history of criminal convictions
or behavior in addition to those necessary to establish the
appropriate range;
(2) The Defendant employed or possessed a firearm during the
commission of the offense;
(3) The Defendant had no hesitation about committing a crime
when the risk to human life was high; and,
(4) The crime was committed under circumstances under which
the potential for bodily injury to a victim was great.
Tenn. Code Ann. § 40-35-114(1), (9), (10), (16). The trial judge stated that he
would give great weight to the enhancement factor dealing with employment of
a firearm. He gave little weight to the remaining three factors.
After the trial court had ruled with regard to enhancement factors, defense
counsel interjected argument concerning those factors. The Defendant submitted
that the trial court had misapplied the factors. The trial court overruled the
Defendant’s arguments and, faced with continued argument by defense counsel,
stated, “Let me finish this sentencing.” The Defendant voiced a desire to be
heard on the subject. At that point, the trial court exclaimed, “You have been
heard!” The trial court then instructed defense counsel to sit down.
After that heated exchange, the trial court proceeded to consider the
mitigating factors proposed by the Defendant in the sentencing memorandum
submitted to the trial court. Those factors were:
(1) The Defendant acted under strong provocation;
(2) Substantial grounds exist tending to excuse or justify the
Defendant’s criminal conduct, though failing to establish a defense;
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(3) The Defendant was motivated by a desire to provide
necessities for his family or himself;
(4) The Defendant was suffering from a mental or physical
condition that significantly reduced his culpability for the offense;
(5) The Defendant, although guilty of the crime, committed the
offense under such unusual circumstances that it is unlikely that a
sustained intent to violate the law motivated his conduct;
(6) The Defendant acted under duress;
(7) The Defendant has a good reputation in the comm unity;
(8) The community believes that the Defendant possesses the full
potential for rehabilitation; and,
(9) The Defendant has no prior serious criminal record.
Tenn. Code Ann. § 40-35-113(2), (3), (7), (8), (11), (12), (13). The trial court’s
ruling with regard to the mitigating factors consisted of reading the proposed
factor and then stating, “I can’t find that.” The only extended comments by the
trial judge regarding mitigating factors came in response to the Defendant’s
asserted non-statutory mitigating factors concerning his relationship with his
com munity which were supported by more than twenty letters from community
members.
I [the trial judge] ordinarily don’t read letters, because the writer is
not subjected to cross-examination, although I did read these. I
found it unusual that five of the letters were written by those who
rent from the defendant. Eleven contained the word -- describing
Mr. Joslin’s behavior as uncharacteristic, and twelve used the words
remorseful or regret. Two showed their absolute unfamiliarity with
the duties of this Court by phrases such as it’s unfortunate that
someone of his caliber has been forced to defend himself against
these charges and he should be completely exonerated.
No argument concerning the mitigating factors was permitted.
After ruling on the mitigating factors, the trial court asked the Defendant if
he had anything he wished to say. Defense counsel pointed out that the trial
court had apparently already come to a conclusion with regard to sentencing, and
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the Defendant chose not to say anything further. The trial court then imposed a
twenty-three year, Range I sentence with the Department of Correction.19
On appeal, the Defendant first challenges the sentencing procedure itself.
W e agree that the manner in which the trial court conducted the sentencing
hearing is troubling. The trial court made no effort to allow either the State or the
Defendant to present evidence. See Tenn. Code Ann. § 40-35-209(b). The trial
court severely limited argument concerning the relevant sentencing principles
and, at one point, flatly prohibited defense counsel from arguing. We recognize
that the Defendant had previously submitted a detailed sentencing memorandum
which included extensive argument concerning the relevant sentencing principles.
If the hearing became merely repetitive of the submitted memorandum, the trial
judge could have, as part of his discretion in controlling argument, limited
argument during sentencing to material which had not been covered adequately
by the sentencing memorandum. To fail to allow for the presentation of evidence
and argument nearly altogether was improper in our view.
Given the thorough sentencing memorandum submitted by the Defendant
and the extensive record in this case, however, we believe that we do have
enough information for an effective review of the Defendant’s challenge to his
sentence. Initially, we note that we will review the Defendant’s sentence without
affording the presumption of correctness to the trial court’s ruling. See Tenn.
Code Ann. § 40-35-401(d); State v. Shelton, 854 S.W .2d 116, 123 (Tenn. Crim.
App. 1992) (if the trial court applies inappropriate factors or otherwise fails to
19
Second-degree murder is a class A felony. Tenn. Code Ann. § 39-13-210(b). Thus, the
app licable s ente ncing ran ge fo r the D efenda nt wa s fiftee n to twenty-five years. Tenn. C ode Ann . §
40-35-112 (a)(1).
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follow the Sentencing Reform Act of 1989, the presumption of correctness falls).
From our review of the record, we cannot conclude that the trial court considered
all of the relevant sentencing principles applicable to this case. Aside from the
procedural problems outlined above, the trial court denied the Defendant’s
proposed mitigating factors almost summarily. As we shall explain later, several
of those factors merited application. At the very least, given the Defendant’s
detailed analysis and support of mitigating factors in his memorandum, the trial
judge should have explained his reasoning rather than issue a cursory denial.
Aside from the complaint about sentencing procedure, the Defendant also
challenges the enhancement factors applied by the trial court. From our review
of the record, we conclude that the trial court properly applied the four
enhancement factors. The record indicates that the Defendant does have prior
misdemeanor convictions. As a result, the “previous history of criminal
convictions or behavior in addition to those necessary to establish the appropriate
range” factor is applicable. Tenn. Code Ann. § 40-35-114(1). Moreover, the
record is clear that the Defendant “employed a firearm during the commission of
the offense.” Tenn. Code Ann. § 40-35-114(9). The Defendant argues that the
use of a firearm is inherent in the offense of second-degree murder and, as such,
that enhancement factor is inapplicable. See Tenn. Code Ann. § 40-35-114.
That argument has been rejected by this Court on several occasions. See, e.g.,
State v. Butler, 900 S.W .2d 305, 312-13 (Tenn. Crim. App. 1994); State v.
Raines, 882 S.W.2d 376, 385 (Tenn. Crim. App. 1994).
The Defendant also challenges the application of the two remaining
enhancement factors, that he had “no hesitation about committing a crime when
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the risk to human life was high” and that the “crime was committed under
circumstances under which the potential for bodily injury was great.” Tenn. Code
Ann. § 40-35-114(10) and (16). He again argues that these factors are inherent
in the offense of second-degree murder. The Defendant’s argument ignores that
the proof at trial demonstrated that there was another individual, Gary Massengill,
in the direction in which the he fired his pistol. Both of these enhancement
factors may be applied when there are individuals other than the victim in the
area and subject to injury. See State v. Ruane, 912 S.W .2d 766, 784 (Tenn.
Crim. App. 1995); State v. Bingham, 910 S.W .2d 448, 453 (Tenn. Crim. App.
1995); State v. Sims, 909 S.W .2d 46, 50 (Tenn. Crim. App. 1995); State v.
Makoka, 885 S.W.2d 366, 373 (Tenn. Crim. App. 1994).
W e turn now to the mitigating factors proposed by the Defendant but
rejected by the trial court. From our review of the facts of this case as they
unfolded at trial, particularly the history between the Defendant and the victim,
three of the mitigating factors proposed by the Defendant seem intertwined.
Those three factors are “the Defendant acted under strong provocation,”
“substantial grounds exist tending to excuse or justify the Defendant’s criminal
conduct though failing to establish a defense,” and “the Defendant committed the
offense under such unusual circumstances that it is unlikely that a sustained
intent to violate the law motivated his conduct.” Tenn. Code Ann. § 40-35-113(2),
(3), (11). We believe that these three intertwined mitigating factors are applicable
to some degree given the history between the Defendant and the victim and the
alleged actions of the victim, largely unrefuted by the State, in the months prior
to the shooting. Although the jury rejected the Defendant’s claim of self-defense,
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the relationship and history between the victim and the Defendant most certainly
played a significant role in the commission of this offense.
Likewise, we believe that two of the Defendant’s proposed non-statutory
mitigating factors are applicable. Those two factors are that the Defendant has
a good reputation in his community and the members of his community believe
he possesses the full potential for rehabilitation. Tenn. Code Ann. § 40-35-
113(13). The Defendant attached more than twenty letters of support from
members of his community to his sentencing memorandum. The trial court
apparently attributed some type of deceptive motive to those letters. W e fail to
see any such deceit in the letters.20 In our view, they express genuine positive
feelings about the Defendant.
W e find that the remaining mitigating factors proposed by the Defendant
are not applicable. For instance, the Defendant argues that he was motivated by
a desire to provide necessities for his family or himself. Tenn. Code Ann. § 40-
35-113(7). More specifically, the Defendant contended that he was motivated by
a desire to provide safety for his family and himself. W e believe that this
argument is substantially encompassed by the Defendant’s self-defense claim,
which was rejected by the jury.
20
W e note that the trial judge stated on the record that he o rdinarily does not read letters
subm itted by defendants in support of m itigating fac tors. G iven that th e trial judge state d that he did
read this Defendant’s letters, we find no error in this regard in the case sub judice. W e do, howeve r,
suggest that the trial judge should read such letters in all cases. If the characteristics indicate that
such letters should be given little weight, the trial judge may make an appropriate finding, but he
should certainly endeavor to consider sentencing evidence and argument presented by defendants,
including lette rs of s upport from m em bers of their co m m unity.
-113-
In addition, the Defendant argues that he was suffering from a mental
condition which significantly reduced his culpability. Tenn. Code Ann. § 40-35-
113(8). The Defendant points to Dr. Engum’s testimony detailing his passive-
aggressive and narcissistic personality traits and what role those traits played in
his perception of the victim’s behavior. W hile those psychological characteristics
might very well help to explain the Defendant’s perception of the victim’s behavior
and his own reaction to that behavior, we do not believe that the Defendant’s
personality traits significantly reduced his culpability for the offense.
The Defendant also contends that he acted under duress. Tenn. Code
Ann. § 40-35-113(12). The Defendant’s contention ignores the language of the
remainder of that mitigating factor. That statutory mitigating factor, in its entirety,
reads as follows: “The defendant acted under duress or under the domination of
another person, even though the duress or the domination of another person is
not sufficient to constitute a defense to the crime.” Id. (emphasis added). In the
present case, we find that the alleged threatening conduct of the victim against
the Defendant and his family does not qualify as “duress or domination” within the
meaning of this statutory mitigating factor.
Lastly, the Defendant argues that his lack of a prior serious criminal record
should be considered in mitigation. Tenn. Code Ann. § 40-35-113(13). The
Defendant cites several cases in support of his argument. State v. Moss, 727
S.W.2d 229 (Tenn. 1986); State v. Makoka, 885 S.W.2d 366 (Tenn. Crim. App.
1994); State v. Dykes, 803 S.W.2d 250 (Tenn. Crim. App. 1990); State v. W illis,
735 S.W .2d 818 (Tenn. Crim. App. 1987); State v. Jenkins, 733 S.W .2d 528
(Tenn. Crim. App. 1987). Our reading of these cases does not support the
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Defendant’s contention. In each of the cases, the defendant had no prior criminal
record rather than no prior serious criminal record. Moss, 727 S.W .2d at 233
(indicating that, other than traffic offenses, the defendant had prior arrests but no
convictions); Makoka, 885 S.W .2d at 374; Dykes, 803 S.W .2d at 258; W illis, 735
S.W.2d at 822; Jenkins, 733 S.W .2d at 533-34. W e agree that the lack of a
criminal history may be considered as a mitigating factor pursuant to Tennessee
Code Annotated section 40-35-113(13). Bingham, 910 S.W.2d at 453. Given the
Defendant’s prior misdemeanor convictions, however, we do not find this
mitigating factor to be applicable in his case.
W ith regard to the Defendant’s personal history, we note that he was born
in Knoxville, Tennessee in 1930 and was sixty-three years old at the time of the
commission of the offense. Other than the misdemeanor convictions from 1973,
he has no criminal record. He was married to his first wife for approxim ately
twenty-four years and raised four children to adulthood. He is presently married
to his second wife. They have been married for approximately twenty-two years
and have two adolescent children. The Defendant has always been self-
employed and was a successful, semi-retired businessman at the time of the
offense. Judging from the letters of support submitted by the Defendant, he is a
well-liked and respected member of his church and comm unity.
After considering the entire record in this case and weighing the applicable
enhancement and mitigating factors, we conclude that the trial court’s imposition
of a twenty-three year sentence was excessive. W e believe that a sentence of
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seventeen years as a Range I standard offender is more appropriate under the
circumstances of this case.21
IX. CONCLUSION
W e recognize that this appeal presents a very difficult, close case. The
Defendant has made a num ber of compelling arguments. In fact, we agree with
the Defendant that several errors occurred during the course of his trial. Yet, as
we stated above, this case strikes us as one involving a classic jury question.
From our review of the record, we do not believe that the errors which occurred
during the Defendant’s trial unfairly affected the evidence available to the jury or
the credibility of the Defendant’s proof in such a way as to undermine our
confidence in the jury’s verdict.
Thus, for the reasons set forth in the discussion above, we conclude that
the Defendant’s issues on appeal provide no basis for reversing his conviction.
W e do, however, find that the trial court erred in sentencing the Defendant. We
therefore affirm his conviction for second-degree murder but modify his sentence
to seventeen (17) years as a Range I standard offender with the Department of
Correction. This case is remanded to the trial court solely for entry of a judgment
consistent with this opinion.
21
Th e Defenda nt arg ues that he sho uld be classified a s an esp ecially mitigated offend er. See
Tenn. C ode. A nn. § 40-35-109(a). Because we have fou nd enhancem ent facto rs applicable in his
case, the Defendant does not qualify as an especially mitigated offender. Tenn. Code Ann. § 40-35-
109 (a)(2 ); State v. Braden, 867 S.W .2d 750, 763 (T enn. Crim . App. 1993).
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____________________________________
DAVID H. WELLES, JUDGE
CONCUR:
___________________________________
DAVID G. HAYES, JUDGE
___________________________________
THOMAS T. WOODALL, JUDGE
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