Supreme Court of Florida
_____________
No. SC12-1442
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CHARLES C. PETERSON,
Appellant,
vs.
STATE OF FLORIDA,
Appellee.
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No. SC13-47
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CHARLES C. PETERSON,
Petitioner,
vs.
MICHAEL D. CREWS, etc.,
Respondent.
[June 26, 2014]
PER CURIAM.
Charles C. Peterson appeals an order of the circuit court denying his motion
to vacate his conviction of first-degree murder and sentence of death filed under
Florida Rule of Criminal Procedure 3.851 and petitions this Court for a writ of
habeas corpus. We have jurisdiction. See art. V, § 3(b)(1), (9), Fla. Const.
BACKGROUND
Trial
Peterson was convicted and sentenced to death for the murder of John
Cardoso. Peterson v. State, 2 So. 3d 146 (Fla. 2009). On direct appeal, we set
forth the relevant factual and procedural background as follows:
Karen Smith testified that she worked as an assistant manager at a Big
Lots in St. Petersburg, Florida, on the evening of December 24, 1997.
She testified that while she and two other employees were in the
store’s office after the store closed at 6 p.m., she heard a “ruckus.”
She explained that when she opened the locked office door, she was
immediately confronted by a man pointing a gun at her . . . . He wore
a “nylon scarf” over his face and off-white latex gloves. Soto
described the man as black, between five feet six inches and five feet
eight inches tall, and noted that he wore latex gloves.
[Ms. Smith and Maria Soto] testified that the man escorted the
three employees from the office through the employee break room
into the stockroom. The man held the gun to Smith’s head as they
walked. Smith testified that John Cardoso, another employee, was
lying on the floor of the break room when they entered. Soto testified
that the man forced her and the other employees to step over Cardoso
. . . . Smith testified that after collecting money from the office, the
man moved everyone into the break room and made them lie on the
floor near Cardoso’s body. The man then exited through the store’s
back emergency exit, which he previously had Smith unlock. After
the man left, Soto and [Wanda] Church got up to seek help.
Officer Richard L. McKee, of the City of St. Petersburg Police
Department, testified that when he arrived at Big Lots at
approximately 6:30 p.m. on December 24, 1997, he found a shooting
victim lying face down in a break room and three other individuals
who appeared to be in shock also lying face down in the room with
their hands behind their heads.
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Id. at 148-49.
On July 27, 2005, the jury found Peterson guilty of first-degree
murder by general verdict. The trial court conducted a one-day
penalty phase during which the State and the defense presented
evidence.
Id. at 151.
On July 29, 2005, the jury recommended the death sentence by
an eight-to-four vote. After conducting a hearing pursuant to Spencer
v. State, 615 So. 2d 688 (Fla. 1993) . . . the trial court followed the
jury’s recommendation and sentenced Peterson to death.
Id. at 152 (citation omitted). The trial court found and assigned weight to the
following aggravation:
(1) Peterson was under a sentence of imprisonment at the time
of the murder—life parole for three 1981 robberies (assigned great
weight); (2) Peterson was previously convicted of a violent felony,
based on thirteen convictions, resulting in a total of nine life sentences
(assigned great weight); and (3) Peterson committed the murder
during the commission of a robbery (assigned significant weight).
Id.
The trial court found the age statutory mitigating factor, despite
Peterson’s age of thirty-eight at the time of the offense, based on
expert testimony that he functioned at the emotional level of a
fourteen-to sixteen-year-old. This factor was given little weight.
Id.
The nonstatutory mitigating factors were: (1) Peterson had a
low to normal IQ (assigned little weight); (2) Peterson had some
limited mental impairment (assigned little weight); (3) Peterson had a
good relationship with at least two family members (assigned some
weight); (4) Peterson had a consistent work history (assigned some
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weight); and (5) Peterson had an exemplary disciplinary record in jail
and likely will behave properly when placed in prison (assigned little
weight).
Id.
Direct Appeal
On direct appeal, Peterson raised six issues:
(A) the trial court erred by admitting evidence of three collateral
robberies; (B) death by lethal injection constitutes cruel and unusual
punishment; (C) his death sentence is disproportionate; (D) the trial
court erred in denying defense counsel’s motion for a new penalty
phase due to the presentation of evidence and argument that Peterson
lacked remorse; (E) Florida’s capital sentencing process is
unconstitutional pursuant to Ring v. Arizona, 536 U.S. 584, 122 S. Ct.
2428, 153 L. Ed. 2d 556 (2002); and (F) the penalty-phase jury
instructions unconstitutionally shifted the burden of proof to the
defendant.
Peterson, 2 So. 3d at 152-53. In addition, this Court reviewed the sufficiency of
the evidence to support the conviction. Id. at 153. We affirmed Peterson’s
conviction of first-degree murder and his death sentence. Id.
Postconviction Motion for Relief
On or about September 21, 2010, Peterson filed a postconviction motion in
the circuit court, raising four claims: (1) trial counsel was ineffective for failing to
strike five biased jurors either for cause or by exercising a peremptory challenge,
thus violating Peterson’s rights under the Fifth, Sixth, Eighth, and Fourteenth
Amendments to the United States Constitution and equivalent provisions of the
Florida Constitution; (2) trial counsel was ineffective for failing to object to
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improper comments, arguments and other conduct of the State and request curative
instructions and mistrial, and for failing to investigate exculpatory evidence, thus
violating Peterson’s constitutional rights; (3) trial counsel was ineffective during
the penalty phase for failing to object to or limit testimony and evidence, thus
violating Peterson’s constitutional rights; and (4) the effect of cumulative errors
denied Peterson his constitutional rights. After an evidentiary hearing on the three
substantive claims of the four raised, held on December 12, 13, and 14, 2011, the
postconviction court denied relief.
Peterson now appeals, claiming that the postconviction court erred by
denying Peterson’s claim that his trial counsel was ineffective for: (1) failure to
strike five biased jurors either for cause or by exercising peremptory challenges;
(2) failure to object to improper comments, arguments and other conduct of the
State and request curative instructions and mistrial, and for failing to investigate
affirmative evidence of innocence; (3) failure to present available mitigation
evidence during the penalty phase; and (4) by denying relief based on the
cumulative effect of counsel’s errors. Peterson also petitions this Court for a writ
of habeas corpus, claiming ineffective assistance of appellate counsel.
ANALYSIS
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Any claim that defense counsel provided ineffective assistance at trial must
be analyzed under the standard articulated in Strickland v. Washington, 466 U.S.
668 (1984). See Carratelli v. State, 961 So. 2d 312, 321 (Fla. 2007).
First, counsel’s performance must be shown to be deficient, meaning
“counsel’s performance fell below the standard guaranteed by the Sixth
Amendment.” McCoy v. State, 113 So. 3d 701, 707 (Fla. 2013). The defendant
must point to “particular acts or omissions of the lawyer that are shown to be
outside the broad range of reasonably competent performance under prevailing
professional standards.” Bolin v. State, 41 So. 3d 151, 155 (Fla. 2010).
“[S]trategic decisions do not constitute ineffective assistance of counsel if
alternative courses have been considered and rejected and counsel’s decision was
reasonable under the norms of professional conduct.” Burns v. State, 944 So. 2d
234, 239 (Fla. 2006). “The defendant bears the burden to overcome the
presumption that, under the circumstances, the challenged action might be
considered sound trial strategy.” McCoy, 113 So. 3d at 707 (quoting Strickland,
466 U.S. at 689). However, there is a strong presumption that counsel’s
performance was not deficient, and great deference is given to counsel’s
performance. Johnston v. State, 63 So. 3d 730, 737 (Fla. 2011). Moreover,
counsel cannot be deemed ineffective for failing to make a meritless argument.
See Lukehart v. State, 70 So. 3d 503, 513 (Fla. 2011).
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Second, “the deficient performance must have prejudiced the defendant,
ultimately depriving the defendant of a fair trial with a reliable result.” McCoy,
113 So. 3d at 708. “[A] defendant need not show that counsel’s deficient conduct
more likely than not altered the outcome in the case.” Strickland, 466 U.S. at 693.
Rather, he “must show that there is a reasonable probability that, but for counsel’s
unprofessional errors, the result of the proceeding would have been different. A
reasonable probability is a probability sufficient to undermine confidence in the
outcome.” Id. at 694; see also Bolin, 41 So. 3d at 155.
Additionally, both deficient performance and prejudice must be shown.
McCoy, 113 So. 3d at 708. Therefore, “when a defendant fails to make a showing
as to one element, it is not necessary to delve into whether he has made a showing
as to the other element.” Thompson v. State, 796 So. 2d 511, 516 (Fla. 2001).
“Because both prongs of the Strickland test present mixed questions of law and
fact, this Court employs a mixed standard of review, deferring to the circuit court’s
factual findings that are supported by competent, substantial evidence, but
reviewing the circuit court’s legal conclusions de novo.” McCoy, 113 So. 3d at
708.
Peterson initially raises four general issues, which are comprised of eighteen
subclaims. Because we find that the following claims are without merit, we affirm
the postconviction court’s denial of these claims without further discussion: (1)
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II.A (failure to object during voir dire); (2) II.B (failure to file motion in limine and
object during State’s case-in-chief); (3) II.C.1 (State’s mischaracterization of
evidence during closing arguments); (4) II.C.2 (inadequately cross-examining
M.P., witness of the Hillsborough County Family Dollar collateral crimes); (5)
II.C.3 (failure to impeach Detective Jerry Herren); (6) II.C.4 (failure to make an
opening statement); (7) II.C.5 (failure to address State’s failure to prove collateral
crimes beyond a reasonable doubt); (8) II.D (failure to challenge Williams rule
evidence based on Apprendi); (9) II.E (inadequate handling of sexual battery
evidence from Family Dollar collateral case); (10) II.F (failure to object to and
challenge fingerprint evidence); (11) II.H (admission of Williams rule evidence
violated Peterson’s rights to due process, confrontation, and effective assistance of
counsel); (12) III.A (failure to object to State’s use of Williams rule cases as
aggravation); (13) III.B (failure to object to State arguing facts not in evidence);
(14) III.C (presenting only two lay witnesses as mitigation); and (15) III.D (failure
to rely on Peterson’s intellectual impairment and failing to mitigate State’s
branding of Peterson with antisocial personality stigma). See Lukehart, 70 So. 3d
at 513; see also Schoenwetter v. State, 46 So. 3d 535, 546 (Fla. 2010) (“Where this
Court has previously rejected a substantive claim on the merits, counsel cannot be
deemed ineffective for failing to make a meritless argument.”).
We now turn to the discussion of Peterson’s remaining claims.
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A. Biased Jurors
1. Failure to Challenge Jurors for Cause
Peterson first claims that trial counsel should have challenged jurors
Aundrea Johnson, Marilyn Breen, Thomas Walbolt, Necole Tunsil, and Christine
Salgado for cause on grounds of juror incompetency. “[W]here a postconviction
motion alleges that trial counsel was ineffective for failing to raise or preserve a
cause challenge, the defendant must demonstrate that a juror was actually biased.”
Carratelli, 961 So. 2d at 324. The actual bias standard requires a showing that the
questionable juror was not impartial, that is, “was biased against the defendant, and
the evidence of bias must be plain on the face of the record.” Id. (citing Patton v.
Yount, 467 U.S. 1025, 1038-40 (1984)). In other words, the test for juror
competency is whether a juror “can lay aside any bias or prejudice and render [his
or her] verdict solely upon the evidence presented and the instructions on the law
given to [him or her] by the court.” Id. (quoting Lusk v. State, 446 So. 2d 1038,
1041 (Fla. 1984)).
For each of the challenged jurors, Peterson has failed to allege actual bias.
See id. Furthermore, our review of the record does not uncover any indication that
a biased juror sat on Peterson’s jury. Because Peterson has not demonstrated
actual bias, the postconviction court properly denied this claim. See Thompson,
796 So. 2d at 516 (requiring both prongs under Strickland be established in order
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to prevail on ineffective assistance of counsel claim); Smithers v. State, 18 So. 3d
460, 464 (Fla. 2009) (requiring showing of actual bias in order to establish
prejudice prong); see also McCoy, 113 So. 3d at 708 (“Further, a court evaluating a
claim of ineffectiveness is not required to issue a specific ruling on the
performance component of the test when it is evident that the prejudice component
is not satisfied.”).
2. Failure to Effectively Use Peremptory Challenges
Peterson also claims that the postconviction court erred in denying his
ineffective assistance of counsel claim based on trial counsel’s failure to strike
biased jurors during jury selection. Regarding Peterson’s specific argument that
trial counsel should have exercised peremptory challenges to strike jurors Johnson,
Breen, Walbolt, Tunsil, and Salgado, “[e]ffective assistance of trial counsel
includes a proficient attempt to empanel a competent and impartial jury through
the proper utilization of voir dire, challenges to venire members for cause, and the
proper employment of peremptory challenges to venire members.” Nelson v.
State, 73 So. 3d 77, 85 (Fla. 2011).
The postconviction court found that trial counsel, an experienced defense
attorney, made thoughtful inquiries to reach an intelligent decision in selecting the
jury. This finding is supported by competent, substantial evidence. During the
postconviction evidentiary hearing, Richard Watts, trial counsel for Peterson,
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testified that it is most important to him in death-eligible cases to focus on the
sentencing recommendation. He acknowledged that he has sometimes, including
in the instant case, had to select jurors that were not favorable to the defense in the
guilt phase, but were favorable in the penalty phase. Furthermore, Attorney Watts
testified that in his experience of selecting nearly eighty jurors in death-eligible
cases, he has never achieved seating a “perfect jury”; the same was true for the
instant case.
Trial counsel attempted to empanel a competent and impartial jury that
would have been favorable to the defense in the penalty phase. See id. This Court
has recognized such a strategy as a reasonable one. See Dillbeck v. State, 964 So.
2d 95, 102-03 (Fla. 2007) (finding trial counsel adopted a reasonable trial strategy
of avoiding a death sentence by attempting to seat jurors likely to recommend a life
sentence); see also Burns, 944 So. 2d at 239. Peterson does not point to any
particular venire member that would have been better qualified to serve in place of
a seated juror. See Johnson v. State, 903 So. 2d 888, 896 (Fla. 2005) (rejecting
appellant’s argument that trial counsel could have used peremptory challenges in a
different manner to obtain a more defense-friendly jury; “[s]uch speculation fails to
rise to the level of ineffective assistance under Strickland . . . .”). Moreover, the
record shows that Peterson heavily participated in selecting the jury panel and
discussed with defense counsel his desires to retain certain jurors, which further
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undermines Peterson’s claim of ineffective assistance as to counsel’s exercise of
his peremptory challenges. See Gamble v. State, 877 So. 2d 706, 714 (Fla. 2004)
(“[I]f the defendant consents to counsel’s strategy, there is no merit to a claim of
ineffective assistance of counsel.”).
On balance, Peterson has failed to demonstrate that counsel acted beyond the
broad range of reasonably competent performance under prevailing professional
standards. And, as discussed above, Peterson cannot demonstrate prejudice
because no biased juror sat on his jury. See Phillips v. State, 894 So. 2d 28, 36
(Fla. 2004) (rejecting claim of ineffective assistance of counsel for failure to
exercise two remaining peremptory challenges because defendant failed to
demonstrate that his resentencing counsel’s performance was deficient during voir
dire and that such deficiency created a jury that was not impartial). Accordingly,
we affirm the postconviction court’s denial of relief with respect to this claim.
B. Failure to Challenge In- and Out-of-Court Identifications
Peterson argues that trial counsel was ineffective for not filing a pretrial
motion to suppress various in- and out-of-court identifications of Peterson on the
ground that the identifications were made in violation of Peterson’s due process
rights. Peterson also claims ineffective assistance in that counsel should have
elicited testimony from an eyewitness identification expert to discuss the factors
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that potentially affected the accuracy of the witnesses’ identifications in the instant
case as well as the Williams rule cases.
Regarding counsel’s failure to consult an eyewitness identification expert,
Peterson has not demonstrated that counsel’s failure to consult with such an expert
in eyewitness identification was deficient. Peterson was identified by three
different individuals who were at the scene of the crime on the night of the murder
and were able to identify Peterson, including witnesses who identified Peterson
before the robbery. The postconviction court explained that the witnesses’
in-court identifications were bolstered in the instant case by the photo-
pack identification of Peterson by another black male, Mr. Davis, who
placed Peterson in the store just prior to the robbery; by Maria Soto
who identified Peterson in court, both by facial features and by
clothing as being the robber and as a person who had been in the store
just prior to the robbery; and by Karen Smith’s photo-pack
identification of Peterson after the crime and in court.
As also found by the postconviction court, each of the Williams rule collateral
crime cases introduced into evidence supports the witnesses’ identifications. These
three collateral cases, which each involved a signature modus operandi, were based
on a combination of DNA, shoeprint and fingerprint evidence, videotape
surveillance, and Peterson’s possession of the stolen goods.
Further, it is well-established that trial counsel cannot be ineffective for
failing to present cumulative evidence. See Duckett v. State, 918 So. 2d 224, 236
(Fla. 2005); Marquard v. State, 850 So. 2d 417, 429-30 (Fla. 2002); Patton v. State,
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784 So. 2d 380, 393 (Fla. 2000). This rule is consistent with the Florida Evidence
Code, which allows for the exclusion of cumulative evidence. See § 90.403, Fla.
Stat. (2013). “Cumulative evidence” calls for a mere “repetition of testimony.”
See Gracy v. Atl. Coast Line R.R. Co., 42 So. 903, 906 (Fla. 1907).
The record shows that Attorney Watts familiarized himself with Dr.
Brigham’s area of expertise by reading eyewitness identification literature authored
by Dr. Elizabeth Loftus and others. This, in conjunction with Attorney Watts’ trial
experience, training and attendance at related seminars, taught him the various
areas in eyewitness identification testimony that are ripe for attack as well as the
tactics to employ in attacking those areas. Further, there is competent, substantial
evidence to support the postconviction court’s findings that trial counsel
effectively cross-examined each Big Lots witness regarding these points of attack,
including their ability to see the perpetrator, their level of stress, the fact that a gun
was in close proximity to their faces, and the passage of time. Moreover, the
record shows that counsel reiterated this information at various points throughout
closing arguments. Dr. Brigham’s testimony, therefore, would have been
repetitive, that is, cumulative, of the eyewitness identification evidence elicited by
trial counsel. See Duckett, 918 So. 2d at 236; Marquard, 850 So. 2d at 429-30;
Patton, 784 So. 2d at 393; see also Owen v. State, 986 So. 2d 534, 546 (Fla. 2008).
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Accordingly, while it may have been useful to have consulted with an
eyewitness identification expert, the failure is not deficient given all the
circumstances of this case. Simply put, this is not the type of case in which there
was a substantial likelihood of misidentification such that the failure to consult
with an expert in eyewitness identification is deficient or where such testimony, if
introduced, would have resulted in a reasonable probability of a different result,
that is, one that undermines confidence in the outcome. Therefore, neither
deficiency nor prejudice can be established.
As to Peterson’s contention that trial counsel was ineffective for failing to
file a motion to suppress the various identifications, this Court has recognized that
counsel cannot be deemed ineffective for failing to file a pretrial motion to
suppress identifications where the decision not to file a motion was a strategic one.
Maharaj v. State, 778 So. 2d 944, 959 (Fla. 2000). In addition, we do not second-
guess counsel’s reasonable trial decisions. See Jones v State, 845 So. 2d 55, 65
(Fla. 2003). According to the record, the defense team strategized not to attack the
eyewitness identifications in the collateral Williams rule cases, given that physical
evidence existed which connected Peterson to those identifications. Rather, the
defense strategized to attack the eyewitness identifications in the instant case
because there was no physical evidence associated with Peterson. For instance, the
trial transcript shows that counsel elicited cross-examination testimony from Big
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Lots witness Karen Smith tending to show that her photo identification of the Big
Lots perpetrator may have been tainted by a newsflash picture designated to be
Peterson that she saw shortly after the robbery. Further, Attorney Watts testified
that the focus was to attack the identifications in front of the jury so the jurors
could perceive for themselves that the alleged identifications of Peterson were
tainted. On review, it appears that trial counsel employed a reasonable trial
strategy, given counsel’s efforts to weaken the identifications in the instant case for
which Peterson was actually charged. Therefore, because Peterson has failed to
demonstrate ineffective assistance, we affirm the postconviction court’s denial of
this claim. See Maharaj, 778 So. 2d at 959.1
HABEAS PETITION
In his petition for a writ of habeas corpus, Peterson alleges that appellate
counsel was ineffective for erroneously conceding guilt of the three Williams rule
cases, which prejudicially led to the denial of relief in this case. Consistent with
the Strickland standard, to grant habeas relief for ineffective assistance of appellate
counsel, this Court follows a two-prong test:
1. We also deny Peterson’s claim that due to the cumulative effect of errors
that occurred during the guilt and penalty phases, he is entitled to relief. Because
Peterson has not demonstrated that he is entitled to relief on any of the claims he
has raised, his cumulative effect claim is meritless. See Brown v. State, 846 So. 2d
1114, 1126 (Fla. 2003) (“Each of Brown’s claims is insufficient under Strickland,
and because this is the case, the claim for cumulative error fails as well.”).
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[F]irst, whether the alleged omissions are of such magnitude as to
constitute a serious error or substantial deficiency falling measurably
outside the range of professionally acceptable performance and,
second, whether the deficiency in performance compromised the
appellate process to such a degree as to undermine confidence in the
correctness of the result.
Schoenwetter, 46 So. 3d at 563. The defendant bears the burden of “alleging a
specific, serious omission or overt act upon which the claim of ineffective
assistance of counsel can be based. Id. (quoting Freeman v. State, 761 So. 2d
1055, 1069 (Fla. 2000)).
Our opinion in Peterson reflects that appellate counsel informed this Court
that Peterson was “either convicted or pled guilty to each collateral robbery,”
including the Family Dollar, McCrory’s, and Phar-Mor cases. See Peterson, 2 So.
3d at 153. However, the record indicates that Peterson was only charged and
convicted in the Family Dollar case. Therefore, we find that appellate counsel was
deficient for providing incorrect information to the Court. See Fla. Bar R. 4-3.3(a)
(no lawyer shall knowingly make a false statement of fact or law to a tribunal).
Nonetheless, we find that Peterson failed to demonstrate the second prong under
Schoenwetter. Based on the record, the trial court found that there was clear and
convincing evidence that Peterson was the perpetrator in the three collateral cases.
Because we based our decision in Peterson to affirm Peterson’s conviction on
substantially identical factual findings, he cannot show that appellate counsel’s
misstatement “compromised the appellate process to such a degree as to undermine
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confidence in the correctness of the result.” See Schoenwetter, 46 So. 3d at 563.
Accordingly, we deny Peterson’s petition for a writ of habeas corpus.
CONCLUSION
Based on the foregoing analysis, we affirm the postconviction court’s denial
of relief. We also deny Peterson’s petition for a writ of habeas corpus.
It is so ordered.
POLSTON, C.J., and PARIENTE, LEWIS, QUINCE, LABARGA, and PERRY,
JJ., concur.
PARIENTE, J., concurs with an opinion in which QUINCE, J., concurs.
CANADY, J., concurs in result.
NOT FINAL UNTIL TIME EXPIRES TO FILE REHEARING MOTION, AND
IF FILED, DETERMINED.
PARIENTE, J., concurring.
I concur in the majority opinion affirming the postconviction court’s denial
of relief and denying Peterson’s habeas corpus petition, and agree that counsel’s
failure to utilize an eyewitness identification expert in this case did not constitute
ineffective assistance of counsel. However, because I am concerned that our prior
jurisprudence has left the impression that testimony of an eyewitness identification
expert is generally inadmissible, I write separately to explain why such testimony
should be generally admissible to assist the jury in determining the reliability of
eyewitness identifications, especially in cases resting substantially or entirely on
eyewitness testimony.
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Specifically, I would adopt the rationale of the Supreme Court of
Connecticut in State v. Guilbert, 49 A.3d 705, 720 (Conn. 2012), and conclude that
this Court’s precedent, which suggests that factors affecting eyewitness testimony
are within the common experience of jurors, is “out of step with the widespread
judicial recognition that eyewitness identifications are potentially unreliable in a
variety of ways unknown to the average juror.” Indeed, as noted in Guilbert, the
widely accepted scientific research available today “convincingly demonstrates the
fallibility of eyewitness identification testimony and pinpoints an array of variables
that are most likely to lead to a mistaken identification.” Id. at 721. Accordingly,
in cases involving eyewitness testimony, I encourage trial courts to truly exercise
their discretion in determining whether to admit expert testimony on eyewitness
identifications, which oftentimes has the potential to aid the jury in evaluating this
extremely weighty evidence.
Among multiple claims and subclaims of guilt-phase ineffectiveness,
Peterson claimed that his lawyer was ineffective in dealing with the eyewitness
identification evidence presented to the jury. Although I agree with the majority
that the defense attorney’s failure to consult with an eyewitness identification
expert did not constitute ineffective assistance of counsel in this case, I remain
concerned that this Court’s prior precedent may erroneously lead some
practitioners and judges to the conclusion that this type of expert testimony is per
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se inadmissible. In actuality, the admissibility of expert testimony regarding the
reliability of eyewitness identifications is properly determined on a case-by-case
basis depending on the specific factual circumstances of the case. See Johnson v.
State, 438 So. 2d 774, 777 (Fla. 1983) (adopting an abuse of discretion standard for
determining whether the trial court erred in excluding expert testimony on
eyewitness identification). Moreover, although trial counsel’s failure to consult
with an expert in eyewitness identification was not deficient in this case, it is
simply against the weight of scientific authority and the recent decisions of courts
throughout the country that have addressed this issue to conclude that jurors never
require “special knowledge or experience” to determine the reliability of
eyewitness identification. Id.
As the Supreme Court of New Jersey recognized in State v. Delgado, 902
A.2d 888, 895 (N.J. 2006), “[m]isidentification is widely recognized as the single
greatest cause of wrongful convictions in this country.” For that reason, the
Innocence Commission appointed by the Florida Supreme Court to analyze the
causes of wrongful convictions chose eyewitness misidentification as its first area
of study. Florida Innocence Commission, Final Report to the Supreme Court of
Florida 18 (2012). Indeed, citing analysis undertaken by the Innocence Project, the
Florida Innocence Commission noted that eyewitness misidentification has played
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a role in more than seventy-five percent of convictions that were subsequently
overturned through DNA testing. Id.
Thirty-one years ago, prior to the scientific studies available today pointing
out the flaws in eyewitness testimony, I can understand how this Court might have
concluded that “a jury is fully capable of assessing a witness’ ability to perceive
and remember . . . without the aid of expert testimony.” Johnson, 438 So. 2d at
777. However, even in reaching this conclusion, rather than electing a per se rule
of exclusion, this Court adopted an abuse of discretion standard. Id.
Unfortunately, though, this Court offered no real guidance as to how a trial
court should determine the admissibility of an eyewitness identification expert and
even indicated that there was no reason to admit such testimony, stating as follows:
A trial court has wide discretion concerning the admissibility of
evidence and the range of subjects about which an expert can testify.
Expert testimony should be excluded when the facts testified to are of
such nature as not to require any special knowledge or experience in
order for the jury to form its conclusions. We hold that a jury is fully
capable of assessing a witness’ ability to perceive and remember,
given the assistance of cross-examination and cautionary instructions,
without the aid of expert testimony.
Id. (citations omitted). As I have previously explained, “[i]n so holding, we
signaled to trial judges that expert testimony in this area is unnecessary because the
assessment of eyewitness identification is within the common experience of
jurors.” Simmons v. State, 934 So. 2d 1100, 1123-24 (Fla. 2006) (Pariente, C.J.,
specially concurring). However, subsequent research in the area of eyewitness
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identification has clearly demonstrated that the reliability of eyewitness
identification testimony is subject to a multitude of factors, the effects of which are
often not within the realm of an average juror’s general knowledge.
The powerful impact that eyewitness identification evidence has on jurors
cannot be overstated. That such testimony has the potential to sway a jury towards
a conviction provides even more reason for this Court to take note of subsequent
studies on the issue of eyewitness identification that have undermined this Court’s
conclusion in Johnson that expert testimony is unnecessary for a jury to assess
eyewitness identification evidence. As I have previously noted:
For example, common sense would lead us to believe that greater
certainty by an eyewitness in making an identification corresponds to
greater accuracy. Yet research shows that a witness’s degree of
certainty correlates weakly, at best, with the accuracy of the
identification. See Elizabeth Loftus & James Doyle, Eyewitness
Testimony: Civil and Criminal § 3–12, at 67 (3d ed. 1997) (“The
consensus of the literature that deals with [whether eyewitness
confidence is an indication of eyewitness accuracy] seems to indicate
that eyewitness confidence is not a very good indicator of eyewitness
accuracy.”). In fact, the “certainty an eyewitness expresses in his
identification can be a misleading indicator of the identification’s
accuracy.” Gary L. Wells, Eyewitness Identifications: Scientific
Status, in Science In the Law: Social and Behavioral Science Issues
391, 412 (David L. Faigman et al. eds., 2002). Other features of
eyewitness unreliability, such as difficulty identifying persons of
another race, have also become well established. See Loftus & Doyle,
supra, § 4–9, at 86; Wells, supra, at 404.
Simmons, 934 So. 2d at 1124 (Pariente, C.J., specially concurring).
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Since our decision in Simmons, courts throughout the country have
continued to take notice of the growing body of scientific research on eyewitness
identifications and have repeatedly recognized that expert testimony on eyewitness
identification provides jurors with information that is beyond an average juror’s
general knowledge. For example, only three years after this Court’s decision in
Simmons, the Supreme Court of Utah, in concluding that a trial court had abused
its discretion by excluding expert witness testimony, held that “the testimony of a
qualified expert regarding factors that have been shown to contribute to inaccurate
eyewitness identifications should be admitted whenever it meets the requirements
of [the Utah rules of evidence].” State v. Clopten, 223 P.3d 1103, 1112 (Utah
2009). Further, the Supreme Court of Utah went on to explain that it expected its
decision in Clopten to “result in the liberal and routine admission of eyewitness
expert testimony.” Id.
The Supreme Court of Connecticut reached a similar conclusion in Guilbert,
noting that while the court had previously concluded that expert testimony on
eyewitness identification was inadmissible because “the reliability of eyewitness
identification is within the knowledge of jurors,” State v. Kemp, 507 A.2d 1387,
1389 (Conn. 1986), its prior decisions on the issue were “out of step with the
widespread judicial recognition that eyewitness identifications are potentially
unreliable in a variety of ways unknown to the average juror.” Guilbert, 49 A.3d at
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720. Relying on “extensive and comprehensive research, as reflected in hundreds
of peer reviewed studies and meta-analyses,” the Supreme Court of Connecticut
explained that scientific evidence “convincingly demonstrates the fallibility of
eyewitness identification testimony and pinpoints an array of variables that are
most likely to lead to a mistaken identification.” Id. at 721. Thus, the Supreme
Court of Connecticut concluded that “[m]any of the factors affecting the reliability
of eyewitness identifications are either unknown to the average juror or contrary to
common assumptions, and expert testimony is an effective way to educate jurors
about the risks of misidentification.” Id. at 731.
Citing the Supreme Court of Connecticut’s decision in Guilbert, the
Supreme Court of Oregon stated that “courts around the country have recognized
that traditional methods of informing factfinders of the pitfalls of eyewitness
identification—cross-examination, closing argument, and generalized jury
instructions—frequently are not adequate to inform factfinders of the factors
affecting the reliability of such identifications.” State v. Lawson, 291 P.3d 673,
695 (Or. 2012) (citing Guilbert, 49 A.3d at 705). In light of this conclusion, the
Supreme Court of Oregon explained that “the use of experts may prove vital to
ensuring that the law keeps pace with advances in scientific knowledge, thus
enabling judges and jurors to evaluate eyewitness identification testimony
according to relevant and meaningful criteria.” Id. at 696.
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These decisions represent the modern trend among courts that have
addressed the admissibility of expert testimony on eyewitness identification. As
noted by the Supreme Court of Connecticut, there is now a “widespread judicial
recognition that eyewitness identifications are potentially unreliable in a variety of
ways unknown to the average juror.” Guilbert, 49 A.3d at 720. By bringing to
light research findings on factors that affect an eyewitness identification, which
would otherwise be beyond a juror’s general knowledge, expert testimony within
this area can assist the trier of fact in correctly determining a defendant’s guilt.
Given the widespread judicial acceptance of the fact that the reliability of
eyewitness testimony is subject to factors beyond the common knowledge of
jurors, I once again encourage trial courts to “truly exercise their discretion as to
the admission of this testimony.” Simmons, 934 So. 2d at 1126 (Pariente, C.J.,
specially concurring). As the burgeoning body of scientific research indicates and
courts across the country increasingly recognize, expert witness testimony on the
reliability of eyewitness identifications can be a “powerful tool in helping the
criminal justice system achieve its goal of convicting the guilty while acquitting
the innocent.” Id. It is my hope that when this Court is squarely faced with the
issue in a direct appeal case, we will seize the opportunity to recede from Johnson,
join the modern trend, and hold that eyewitness identification expert testimony
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should be generally admissible, especially in cases resting substantially or entirely
on eyewitness testimony, as long as the other predicates for admissibility are met.
QUINCE, J., concurs.
Two Cases:
An Appeal from the Circuit Court in and for Pinellas County,
Linda Ruth Allan, Judge - Case No. CRC00-05107CFANO
And an Original Proceeding – Habeas Corpus
David Dixon Hendry, Assistant CCRC, Capital Collateral Regional Counsel-
Middle Region, Tampa, Florida,
for Appellant/Petitioner
Pamela Jo Bondi, Attorney General, Tallahassee, Florida and Katherine Vickers
Blanco, Assistant Attorney General, Tampa, Florida,
for Appellee/Respondent
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