IN THE SUPREME COURT OF THE STATE OF IDAHO
Docket Nos. 31659, 39417
STATE OF IDAHO, )
) Boise, November 2014 Term
Plaintiff-Respondent, )
) 2015 Opinion No. 29
v. )
) Filed: March 2, 2015
AZAD HAJI ABDULLAH, )
) Stephen W. Kenyon, Clerk
Defendant-Appellant )
_____________________________________ )
Appeal from the district court of the Fourth Judicial District of the State
of Idaho, Ada County. Hon. Cheri C. Copsey, District Judge.
The convictions, sentences, and the order denying post-conviction relief
are affirmed.
Sara B. Thomas, Idaho State Appellate Public Defender, Boise, attorney
for appellant. Shannon N. Romero argued.
Hon. Lawrence G. Wasden, Idaho Attorney General, Boise, attorney for
respondent. LaMont Anderson argued.
_____________________________
WALTERS, Justice pro tem
On November 19, 2004, a jury found Azad Haji Abdullah guilty of first-degree murder,
first-degree arson, three counts of attempted first-degree murder, and felony injury to a child.
The case proceeded to sentencing and the jury found the existence of two aggravating
circumstances. The jury also found that all the mitigating circumstances when weighed against
each aggravating circumstance individually were not sufficiently compelling to make the death
penalty unjust. Pursuant to the jury verdicts, the district court entered judgments of conviction
and sentenced Abdullah to death for first-degree murder and to a total of eighty years
imprisonment for the remaining five convictions. Abdullah sought post-conviction relief. On
October 14, 2011, following an evidentiary hearing, the district court dismissed Abdullah’s
petition for post-conviction relief in its entirety. Abdullah appeals to this Court, including both
1
his direct appeal from the trial and his appeal from the post-conviction proceedings. We affirm
the convictions, the sentences, and the order denying post-conviction relief.
I. FACTUAL AND PROCEDURAL BACKGROUND
On November 14, 2002, the grand jury sitting in Ada County indicted Abdullah on one
count of murder in the first degree, a felony, Idaho Code sections 18-4001 to -4003; one count of
arson in the first degree, a felony, Idaho Code section 18-802; three counts of attempted murder
in the first degree, a felony, Idaho Code sections 18-4001 and 18-306; and one count of injury to
a child, a felony, Idaho Code section 18-1501(1). The State alleged that on October 5, 2002,
Abdullah murdered his wife Angela Abdullah (Angie) in their home and then set fire to the home
with two of the children (A.H. and M.A.) and a young friend (S.S.) asleep inside and one of their
children (N.A.) in the backyard. On November 18, 2002, the district court arraigned Abdullah,
and, on November 26, 2002, Abdullah pled not guilty.
On December 3, 2002, the State filed a notice of its intent to seek the death penalty for
the crime of first-degree murder. In this notice, the State identified that it would rely on four
aggravating circumstances: (1) the defendant knowingly created a great risk of death to many
persons; (2) the murder was especially heinous, atrocious, or cruel, manifesting exceptional
depravity; (3) by the murder or circumstances surrounding its commission, the defendant
exhibited utter disregard for human life; and (4) the defendant, by prior conduct or conduct in the
commission of the murder at hand, has exhibited a propensity to commit murder which will
probably constitute a continuing threat to society.
The Ada County Public Defender initially represented Abdullah, but, on June 19, 2003,
private counsel Kim and Mitchell (Mitch) Toryanski (collectively “the Toryanskis”) filed a
notice of appearance. The district court granted their motion for substitution of counsel.
On February 23, 2004, the State amended the indictment. The original indictment
provided that Abdullah killed Angie by suffocation. The amended indictment provided that
Abdullah killed Angie “by suffocating her and/or by acute Prozac (fluoxetine) poisoning from
which she died.”
The case proceeded to trial in September of 2004. On September 10, the parties began
voir dire of the prospective jurors. On September 23, the parties accepted the jury as empaneled
and the jurors were sworn. The State gave its opening statement. The defense reserved its
opening statement until after the State’s presentation of its case-in-chief.
2
As an appellate court, our function is to examine the evidence, not reweigh it, and we
construe all facts and inferences in favor of upholding the district court’s decision. State v. Bush,
131 Idaho 22, 33, 951 P.2d 1249, 1260 (1997). With this standard in mind, the jury reasonably
could have found the following facts based on the evidence presented at trial: 1
Angie and Abdullah were married in March of 2001. Abdullah is Muslim and a Kurdish
refugee from northern Iraq. Angie converted to Islam for Abdullah before they married. Angie
had a daughter, A.H., from a previous marriage, and Abdullah had a son, R.A., from a previous
marriage. Angie and Abdullah had two sons together, N.A. and M.A. A.H. was nine years old at
the time of Angie’s death, R.A. was five years old, N.A. was eighteen months old, and M.A. was
three weeks old.
Angie and Abdullah’s marriage was troubled, and one point of disagreement was
Abdullah’s religious studies. Abdullah wanted to move the family to South Africa or Saudi
Arabia to study Islam, but Angie did not want to move. They also had financial troubles. A
financial analyst with the FBI opined that Angie and Abdullah were “living month to month” and
borrowing money to make ends meet. Shortly before the birth of M.A., Angie told health
professionals she was contemplating divorce. On September 9, 2002, Angie met with an attorney
to discuss divorce and other marital issues.
Abdullah, Angie, and their children lived in a home on 2292 North Siesta Way in Boise,
Idaho. Angie owned the Siesta residence. In June of 2002, Abdullah offered to sell everything in
the residence to a co-worker. In August of 2002, Abdullah tried to sell the residence without
Angie’s consent.
In response to a co-worker’s question as to the differences between American and
Kurdish culture, Abdullah told his co-workers it was acceptable to kill one’s wife or to have the
wife killed in his culture if she cheated on the husband and the husband made an offering to the
wife’s family. He made this comment in July or August of 2002.
Abdullah and Angie ran a vending machine business part-time. In the summer of 2002,
Abdullah stored the vending machines in the garage of the Siesta residence. On August 21, 2002,
Abdullah purchased a $50,000 insurance policy in cash to cover the vending machines if
destroyed by a fire. Although he was storing the vending machines at home, he was interested in
1
The summary of the evidence presented at trial follows in many respects the district court’s outline of the facts in
its memorandum decision regarding post-conviction relief.
3
only fire insurance and not theft insurance. Abdullah was a named insured on Angie’s
homeowner’s policy.
On October 2, 2002, Abdullah told a co-worker that divorce is “extremely frowned upon
in Islam, and that it just doesn’t happen.” He also went shopping at India Emporium that day and
received a plastic bag to hold his purchase.
On October 4, 2002, Abdullah drove to Salt Lake City, Utah, with his son R.A. Although
Abdullah wanted to take N.A., his favorite child, on the trip, he did not take N.A. He claimed
that the purpose of the trip was to get halal meat, which is a meat specially prepared for Muslims
under the Islamic dietary guidelines and was not available in Boise. Before Abdullah left for Salt
Lake City, he purchased approximately seventeen gallons of gasoline at a Chevron station in
Boise. He also made a separate purchase of about five gallons of gasoline for a gas can.
On October 4, 2002, a little before 4:00 p.m., Abdullah went to the Halal Market in Salt
Lake City, but he did not buy any halal meat or discuss that kind of purchase with the owner. At
approximately 4:15 p.m., Abdullah checked into the Dream Inn in Salt Lake City. At
approximately 6:30 p.m., Abdullah purchased two red plastic gas cans from Food 4 Less. At 6:52
p.m., Abdullah purchased at a Halloween store a long black cape that fully covered an adult and
a mask that fully covered an adult head. The Abdullah family did not observe Halloween for
religious reasons. 2 Abdullah also visited the mosque. At 8:10 p.m., Abdullah purchased twenty-
two and a half gallons of gasoline, Cheetos, and coffee at a 7-Eleven in Salt Lake City. Twenty-
two and a half gallons was more than the tank capacity of Abdullah’s van, which could hold a
little more than twenty-one gallons, but not twenty-two gallons. No one saw Abdullah in Salt
Lake City from approximately 8:00 p.m. on October 4, 2002, to 7:00 a.m. on October 5, 2002.
At seventy-five to eighty miles per hour, it would take about four and a half hours to
drive between Salt Lake City and Boise, approximately 330 miles. Abdullah’s van gets a little
over twenty-six miles per gallon and takes about thirteen gallons to make the trip.
In Boise, around noon on October 4, 2002, ten-year-old S.S., a friend of A.H., was taken
to the Siesta residence by S.S.’s mother to sleep over that night. Abdullah knew S.S. would be
staying the night. S.S.’s mother spent about an hour and a half with Angie discussing M.A.’s
2
Imam Khaja Shuab Din testified that some Muslims allow their children to celebrate Halloween, but there would
be no reason for adult costumes.
4
baby shower and testified that Angie seemed normal. 3 Around 6:00 or 6:30 p.m., Angie took
A.H., N.A., M.A., and S.S. to Angie’s Aunt Charlene Javernick’s house in Eagle, Idaho, for
dinner. Angie was acting normal, and she seemed relaxed and comfortable, not depressed, sad, or
tense. On the way home from dinner, Angie rented a movie for A.H. and S.S. Angie and the
children arrived home at approximately 10:30 p.m., and A.H. and S.S. watched the movie in the
family room. Around midnight A.H. and S.S. fell asleep in the family room. Before going to
sleep, Angie asked A.H. and S.S. to lock the doors. A.H. and S.S. made sure the front door and
back door were locked. A.H. and S.S. did not check the door in the master bedroom, which went
out to the back porch, or the door to the garage. A.H. and S.S. observed that Angie was wearing
a “blue tank top dress” or “dress kind of gown with little purple flowers” for pajamas.
Marjorie Wood, a clerk at a Chevron station in Mountain Home, Idaho, saw Abdullah in
the Chevron store a little after midnight on October 5, 2002. Wood identified Abdullah from a
photograph for law enforcement on October 11, 2002, and she told law enforcement that she was
100 percent sure Abdullah was in the store. 4
On October 5, 2002, shortly before 1:54 a.m., S.S. woke up because she felt heat. S.S.
saw “fire everywhere.” S.S. woke up A.H. by slapping her. A.H. saw fire “[a]ll over the roof”
(evidently referring to the ceiling). A.H. and S.S. saw a path through the garage and ran out of
the burning home. A.H. and S.S. had a minute or less to respond to the fire before a risk of death.
Edward Kerschensteiner and his wife, who lived across the street from the Siesta
residence, were awakened a little before 2:00 a.m. by A.H. and S.S. ringing their doorbell. A.H.
and S.S. told Edward that Angie and the other children were still in the house. Brian and Linda
Wright, who lived next to the Siesta residence, went with Edward to help search for other
individuals in the burning home. Edward kicked down the door to the master bedroom, which
was locked, ran into the bedroom, and rescued M.A., who was lying on the bed crying. Brian
helped Edward rescue M.A. and then went into the family room with Edward to search for
Angie. Neither Edward nor Brian saw N.A. in their search of the home.
M.A. had soot and oily residue around his mouth and nose and on his clothing. If M.A.
had not been rescued from the home, there was a very high probability M.A. would have died
before the firefighters arrived at the scene.
3
S.S.’s mother had never let S.S. sleep over before because she was uncomfortable with Abdullah.
4
Wood observed Abdullah talking with two other men with “black beards” in a different language in the store.
Wood testified, “They were all the same race,” and they left the store “at pretty much the same time.”
5
At approximately 2:00 a.m., the firefighters arrived and initially entered the burning
home in rescue mode. The firefighters quickly went into defensive mode, however, due to
concerns of flashover, which is when everything in the room reaches ignition temperature and
ignites at one time. Shortly after the firefighters retreated from the home through the front door,
the living room flashed over. There was a very high probability of fatal injuries to the firefighters
if any of them had been in the room when it flashed over.
One firefighter found N.A. in the backyard during a secondary search around the burning
home. N.A. was sitting on a large comforter from the master bedroom. N.A. was not covered in
soot, did not smell like smoke, and did not have any signs on his body of being in a fire. N.A.
could not open the door to the master bedroom or carry the comforter by himself. Due to the
intense fire load, N.A. would have been burned if he remained in the backyard.
The firefighters found that the front door was open with no signs of a forced entry, even
though A.H. and S.S. had checked the lock before they went to bed.
The firefighters used a thermal imager to scan the Siesta residence and saw a female
body, identified as Angie, lying on the bed in the southwest bedroom, which was one of the
children’s rooms. Angie had no clothing on except a sports bra. A plastic bag was over her head
and covered her face. The firefighters observed that her “face was down” and “her back side was
up in the air.” The body was in a peculiar and unusual position for a fire fatality. A nightgown
with flowers on it was found on a bedpost in the master bedroom.
Lance Hart, a senior special agent with the Bureau of Alcohol, Tobacco, and Firearms
(ATF), explained that the fire was intentionally set by someone who poured gasoline in the
garage, the living room, and the southwest bedroom in which Angie was found. So much
gasoline was poured in the garage that the gas water heater pilot light prematurely ignited the
fumes and caused the garage to explode before the other gas pours could be linked or ignited.
The explosion was so strong that it blew the bottom panel of the garage door off, which allowed
A.H. and S.S. to escape. The neighbors in the house behind the Siesta residence had to put water
on their roof to prevent their house from catching on fire. The Wrights could feel the heat from
outside their home, the paint peeled off their home due to the heat, and the nearby foliage was
singed.
Firefighters found a new red plastic gas can in the driveway of the Siesta residence that
matched the one Abdullah had purchased in Salt Lake City at Food 4 Less. The gas can was
6
melted due to the fire, but contained a small amount of gasoline. Law enforcement took the gas
can and transferred the remaining gasoline to a vial. The firefighters found a black cape at the
scene identical to the one purchased by Abdullah at the Halloween store in Salt Lake City.
On October 5, 2002, in Salt Lake City at approximately 7:00 a.m., Abdullah went to the
mosque, stayed for a few minutes, and then returned to the Dream Inn. He told law enforcement
that he slept until 10:35 a.m. and then checked out. At 11:36 a.m., Abdullah purchased another
sixteen gallons of gasoline at a Maverik gas station in Salt Lake City. 5 He also went to the Halal
Market again between 10:00 a.m. and 11:00 a.m., but did not place an order or purchase any
meat. Around noon he bought new sandals.
Around 2:00 p.m., Abdullah returned to the mosque. Abdullah then went to lunch with
Imam Khaja Shuab Din (Imam Din) at his home and stayed for the next five hours. At 3:30 p.m.,
Abdullah learned of the fire and Angie’s death. Abdullah left his van at Imam Din’s house and
flew to Boise with R.A. Law enforcement interviewed Abdullah at the airport immediately upon
his arrival in Boise.
On October 7, 2002, Abdullah learned law enforcement was going to verify his story.
Abdullah called his friend Moctar Ba that morning. Abdullah asked Ba to call Imam Din and ask
him to go to a pay phone to call Ba. Abdullah also asked Ba to ask Imam Din to go to Food 4
Less, purchase two gas cans, fill them with gas, and place them in his van, which was still parked
at Imam Din’s home. Abdullah told Ba that Imam Din’s phone was under surveillance. Ba told
Abdullah that he would not do as Abdullah requested.
Also on October 7, 2002, Abdullah left a voicemail for Imam Din, asking him to return
his phone call, that it was urgent, and that he should use a pay phone and not his home phone.
Imam Din purchased a phone card and returned Abdullah’s phone call from a pay phone.
Abdullah asked him to buy two red plastic gas cans, purchase gasoline, empty the gas cans, and
place them in his van. Abdullah told him that he was afraid the police would not believe his story
that R.A. did not like the smell of the gas cans so he threw them in the dumpster. Imam Din
refused.
When law enforcement took possession of Abdullah’s van, it did not contain any gas
cans, the cape, or the mask.
5
Other than the drive to Boise and the arson, there was no explanation as to how Abdullah could have used sixteen
gallons of gas between 8:00 p.m. on October 4, 2002, and the next morning on October 5, 2002.
7
During an interview on October 11, 2002, law enforcement observed “a healing-type
wound with scabs” on Abdullah’s left arm. Law enforcement collected hair samples from both of
Abdullah’s arms. A forensic scientist with the Idaho State Police laboratory found that the hair
samples from both arms showed exposure to high heat.
On October 17, 2002, at law enforcement’s request, Imam Din called Abdullah to clarify
some questions. In the recorded call, Imam Din asked Abdullah about his activities in Salt Lake
City. In particular, Imam Din asked Abdullah about the purchase of the cape and mask, and he
told Abdullah that law enforcement had a cape. Abdullah denied purchasing the cape or mask.
DNA from the cape and gas can found at the scene were compared with Abdullah’s
DNA. The gas can had DNA profiles from more than one individual, and Abdullah was excluded
as a major and minor contributor with a combination of three samples obtained from the gas can.
The cape had multiple DNA profiles as well. Abdullah was excluded as a major contributor, but
could not be excluded as a minor contributor to the cape.
Law enforcement sent gasoline samples to the Southwest Research Institute and Ethyl
Corporation for testing. They sent a sample of the gasoline in the gas can from the crime scene
and gasoline control samples from the Chevron station in Boise where Abdullah purchased
gasoline on October 4, 2002, before leaving for Salt Lake City and the 7-Eleven in Salt Lake
City where Abdullah also purchased gasoline on October 4, 2002. In October of 2002, Sinclair
Oil Company supplied gasoline to the 7-Eleven in Salt Lake City. The gasoline contained an
additive HiTEC 6423.
Melissa Williams, a senior research assistant at Southwest Research Institute, tested the
gasoline samples from the crime scene, 7-Eleven, and Chevron for Chevron’s fuel marker. 6
Williams found that it was unlikely the gasoline samples from the crime scene and 7-Eleven
contained the Chevron marker. The gasoline sample from Chevron tested positive for the
Chevron marker.
Dr. William Colucci, a senior research advisor at Ethyl Corporation, explained that Ethyl
Corporation (now Afton Chemical) supplies HiTEC 6423 to about forty percent of the national
gasoline market. Dr. Colucci tested the gasoline samples from the crime scene, 7-Eleven, and
Chevron for HiTEC 6423. He found HiTEC 6423 in the gasoline samples from the crime scene
and 7-Eleven. There was no HiTEC 6423 in the Chevron gasoline sample. Dr. Colucci also
6
A fuel marker identifies the fuel, but does not change its properties.
8
testified that both the gasoline sample from the crime scene and 7-Eleven had the lowest additive
concentration (LAC) of HiTEC 6423 with a similar fuel component that made quantifying the
LAC difficult.
Dr. Glen Groben, a forensic pathologist with the Ada County Coroner’s Office,
performed the autopsy of Angie’s body on October 5, 2002. He determined Angie died before
the fire. During the external examination of the body, Dr. Groben noticed melted plastic on the
back of Angie’s head. He observed that a strip of plastic went all the way around her neck. The
bag was from India Emporium, where Abdullah had been three days before Angie’s death and
received a similar plastic bag. Dr. Groben did not find any petechial hemorrhages, which would
indicate strangulation, or any indicators of blunt force trauma. He also found no signs of
defensive wounds. He found that Angie had a full stomach of vegetable matter at the time of
death. 7 Due in part to the fact that the first toxicology exam was negative for all tested
substances, Dr. Groben determined Angie’s manner of death as homicide caused by
“asphyxiation due to a plastic bag over the head.” He testified that he ruled out suicide because
the position of the body was inconsistent with suicide, “there were . . . no drugs on board at that
point in time to suggest” suicide “and no one places a bag over their head without drugs on
board,” and “other things.”
In December of 2003, Dr. Groben requested an additional toxicology exam to test for
certain antidepressants, including Prozac, the trade name for fluoxetine. He requested the
additional exam after receiving a letter from Mitch Toryanski that indicated Angie had a history
of depression. Dr. Groben learned that antidepressants such as fluoxetine were not tested in the
earlier toxicology exam, although he had believed otherwise when he requested the exam. The
additional toxicology exam was positive for fluoxetine in Angie’s blood with a potentially lethal
concentration. Through additional testing, Dr. Groben learned that a smaller concentration of the
metabolite of fluoxetine, norfluoxetine, was present in Angie’s blood and gastric contents. This
testing indicated to Dr. Groben that Angie was taking fluoxetine at therapeutic levels and
subsequently had “an acute increase in [f]luoxetine in the blood and then immediate death, not
allowing for any metabolism.” Dr. Groben found no indicators of the use of hypodermic needles.
He amended his autopsy report to change the cause of death to “acute fluoxetine poisoning
associated with asphyxiation due to a bag over the head.”
7
It takes approximately an hour and a half for the stomach to empty.
9
Dr. Ronald Backer, the president and laboratory director of Ameritox Laboratories,
testified that an individual would display symptoms of toxicity, such as seizures, sedation, or
difficulty breathing, with the level of concentration of fluoxetine found in Angie’s blood. He
opined that an individual would need to ingest forty to 100 forty-milligram capsules to obtain
that level of concentration. Assuming such ingestion, Dr. Backer would expect to find a
significant level of concentration of fluoxetine in the gastric contents of that individual. Only a
small level of concentration of fluoxetine was found in Angie’s gastric contents, however. Dr.
Backer explained that the level of concentration of fluoxetine found in Angie’s blood could be
dissolved in eight ounces of fluid or less and, if ingested on an empty stomach, could more
rapidly pass through the stomach into the small intestines. In his opinion, the administration of
fluoxetine to Angie had to have occurred before her last meal of vegetable matter due to the low
level of concentration of fluoxetine in the gastric contents.
Dr. Edward Barbieri, a forensic toxicologist at National Medical Services, explained that
the levels of concentration of fluoxetine and norfluoxetine in Angie’s blood and gastric contents
indicated therapeutic levels of Prozac taken chronically with an acute administration of a large
dose of Prozac superimposed on top of the therapeutic dosage. Dr. Barbieri opined Angie had to
have ingested the Prozac after her meal at Aunt Charlene’s house, but before her last meal of
vegetable matter. Dr. Barbieri explained that an individual would have to ingest thirty to 100
forty-milligram capsules to reach the level of concentration fluoxetine in Angie’s blood. He also
explained that the ingestion of that many capsules would show up as a mass of gelatinous
material in the stomach. Angie’s autopsy report contained no finding of gelatinous material in
the gastric contents, however. Dr. Barbieri stated that the fluoxetine capsules can be opened, the
contents have a slightly bitter taste that can be masked with a sweetener, and ingestion of the
contents with a liquid is an effective delivery system. He opined that this was a possible manner
of administration in this case. In Dr. Barbieri’s opinion, fluoxetine was a contributory factor in
Angie’s death that may have debilitated her, but it was not a competent cause of her death.
Angie took a therapeutic dose of Prozac in the months prior to her death. Angie’s
obstetrics-gynecology nurse practitioner recognized no characteristics in Angie to indicate she
was suffering from depression to the point of self-harm. Angie’s psychiatrist opined that Angie
displayed no characteristics of self-harm or suicide. Angie’s psychiatry nurse practitioner found
10
no characteristics of self-harm in Angie. Angie’s therapist stated she never found Angie to be
someone who was working toward self-harm.
Defense investigator Glen Elam testified for the State regarding a letter he found at the
Siesta residence on February 14, 2003, before the crime scene was destroyed. The letter appeared
to be written by Angie to Abdullah, and it conveyed Angie’s thoughts on their relationship,
Islam, and their children. A redacted version of the letter was read to the jury admitted only to
show Angie’s state of mind and not for the truth. The letter below is the redacted version: 8
Azad,
I have once again found myself devastated by you and your behavior. I felt
deep in my heart after you had made the Hajj our lives would be good again. I
have lost all faith in that and you. I am writing you because I can’t stand to hear
more lies and watch you turn everything around and make it look like I am stupid
and crazy.
The hardest part of being with you is the fact that you are such a hypocrite.
On the outside you ACT [sic] like such a good Muslim. On the inside you are no
better than What [sic] I cannot understand is that no matter what any Muslim in
this town or any other sees, Allah, the all knowing and all seeing knows what a
hypocrite you are. Now that you have completed the Hajj, the sins that you are
repeating are not going to be forgiven. Why do you act like such a good Muslim
when deep inside you are everything but one? I became a Muslim to better my
life, not to find myself in this situation. How would you feel if I just quit
practicing Islam? You would be ashamed and hurt. I am ashamed and hurt. You
have two faces and Allah knows them both.
I KNOW [sic] you did not go to South Africa. Why lie to me about that?
Not only did you lie about it, and then you made up all the information about
what it was like. On top of that, I was in the hospital trying to keep our baby from
coming too early.
I know you love me. I learned a long time ago that love is not enough.
You must have respect, trust, belief, and security. I feel none of these for you. I
don’t think I ever can. The biggest issue is the children. I don’t want my children
(including [R.A.]) to be raised by a hypocrite.
Before you tell me I am crazy and give me more lies, please remember, I
do my homework before I confront anyone about anything. I will not tolerate
more lies and deceit. I will not forgive anymore. I am finished. There is nothing
left in my heart.
On November 9, 2004, the State rested its presentation of evidence, and the defense gave
its opening statement. The defense presented testimony from (1) Abdullah’s former teacher and
close friend Sherry Rogers; (2) Abdullah’s cousin Jihad Kurmay (Jihad); (3) Abdullah’s cousin
Fuad Kurmay; (4) family friend Aida Meta; (5) fellow member of the Islamic Center of Boise
8
Both the redacted and unredacted versions of the letter are in the record, and the Court has reviewed both.
11
Zaid Ahmed-Zaid; (6) realtor and Abdullah’s friend Furqan Mehmood (Mehmood); (7)
Abdullah’s co-worker Brian Holford; (8) Abdullah’s sister Farma Abdullah (Farma); (9) human
resource manager at Abdullah’s former employment Pam Chut; (10) Abdullah’s sister-in-law
Mischa Harkovich (Harkovich); and (11) Abdullah’s acquaintance Rubina Gelel. This testimony
generally showed Angie and Abdullah were happily married and Abdullah was a loving and
caring father. Some testimony also addressed the vending machine business, the attempted sale
of the home, and the items found at the crime scene. For example, Jihad testified that Abdullah
wanted him to operate the vending machines in Nashville, Tennessee, but Abdullah would still
own the machines. Similarly, Farma testified that Angie was trying to sell the vending machines.
In addition, Mehmood discussed his involvement in Abdullah’s attempt to sell Angie’s home.
Finally, Harkovich testified that she went with her husband (Abdullah’s brother), Abdullah’s
father, and Abdullah to examine the crime scene on October 14, 2002. She testified that they
found clothing and other items in the garage that they believed to be evidence and she gave those
items to law enforcement the following day.
Dr. Groben testified for the defense that Angie had no defensive wounds and showed no
signs of strangulation. Clay Ward, a licensed psychologist, opined that Angie had suicidal
thoughts and displayed suicide risk factors based on his review of medical and autopsy records.
Ashraf Mozayani, chief toxicologist and laboratory director for the Harris County Medical
Examiner in Houston, Texas, testified that it was impossible for an individual to have such a high
level of concentration of fluoxetine in the blood immediately before death with such a small
level of concentration of fluoxetine in the gastric contents. Dr. Mozayani opined that Angie
could have been a slow or poor metabolizer, which would explain the different concentration
levels. Dr. Mozayani stated the contents inside the Prozac capsules have a very bitter taste that
cannot be sweetened. Defense investigator Terry Murphy testified as well. Abdullah elected not
to testify. On November 14, 2004, the defense rested.
In the State’s rebuttal case, a forensic psychologist opined that there was a very low
probability Angie committed suicide on October 4–5, 2002. Similarly, Angie’s therapist testified
on rebuttal that Angie never talked about suicide and would have never committed suicide
because Angie’s last husband, A.H.’s father, committed suicide. Her therapist stated, “Angie
would have never done that to [A.H.].” Additionally, ATF senior special agent Hart testified that
there were no articles of clothing found in the garage. He explained that it was impossible for
12
clothing to be found there because the firefighters removed all debris and applied water to the
concrete floor. If anything remained, Hart explained, it would be charred remains of clothing due
to the forty to fifty foot flames and fire temperatures in excess of 2,000 degrees Fahrenheit.
On November 18, 2004, the State and defense gave closing arguments. On November 19,
2004, the jury returned a verdict of guilty on all six counts. The district court ordered the jury to
remain sequestered to go immediately into the sentencing phase for first-degree murder.
On November 19, 2004, the State and defense gave opening statements in the sentencing
phase. The State presented aggravating evidence from two witnesses: Boise Police Department
Detective Tod Littlefield 9 and Steven Bankhead, an inmate at Idaho State Correctional
Institution (ISCI). Bankhead provided Littlefield with information significant to his investigation
of the Abdullah case. Bankhead testified regarding Abdullah’s plan for Bankhead to kill Angie.
Bankhead explained that while he was incarcerated in ISCI in late 1999, early 2000, he met
Abdullah, who was a volunteer for Islamic studies. According to Bankhead, he and Abdullah had
a close relationship. After Bankhead was paroled in August of 2000, Bankhead testified that
Abdullah asked him to kill Angie on or about November 1, 2000. Bankhead explained that
Abdullah gave him a vial of a chemical to knock Angie unconscious and told him to rape her and
cut her throat with a knife, also provided by Abdullah. Bankhead said Abdullah paid him $1,000
in cash to kill Angie. Bankhead testified that he knew he was not going to do it so, after taking
methamphetamines, he threw the knife and chemical vial in the trash at the Boise Greyhound bus
station and took a bus to Lewiston, Idaho. Bankhead testified that he returned to prison a number
of months later.
Abdullah presented mitigating evidence through testimony of (1) Michael Gunter, a
professor of political science and expert in the Kurdish situation; (2) Abdullah’s father Haji
Fetah; (3) Abdullah’s brother Dilshad Abdullah; (4) Abdullah’s cousin Nichivan Abdullah; (5)
Pam Lewis, who participated in a church-sponsored program in 1992 to assist the Abdullah
family in adjusting to life in the United States; (6) Jim Rogers, a friend of the Abdullah family;
(7) Aaron Irish, a deputy sheriff at the Ada County Jail where Abdullah was housed; (8) Michael
9
Littlefield was the case officer assigned to this case. On September 3, 2004, lead prosecutor Patrick Owen
disclosed to the district court and the Toryanskis that he had learned the week prior that prosecutor Erika Klein, the
assistant counsel in the case, had an affair with Littlefield during Littlefield’s investigation of the case. Owen
removed Klein from the case the day after the disclosure. On September 7, 2004, the defense moved for a
continuance to inquire into potential misconduct. The district court denied the motion.
13
Shutz, an inmate at ISCI; and (9) Abdullah’s mother Rihan Mustafa. Abdullah did not testify or
allocute.
Following Abdullah’s mitigation case, the State presented victim impact statements from
Angie’s mother Evelyn Whittington, her sister Randy Jewett, her stepsister Stephanie Williams,
and her cousin Leslie Beck on behalf of A.H.
On November 23, 2004, the State and defense gave closing arguments. Later that day, the
jury reached a verdict. The jury found the existence of two aggravating circumstances: (1) the
defendant knowingly created a great risk of death to many persons and (2) by the murder or
circumstances surrounding its commission, the defendant exhibited utter disregard for human
life. The jury was unable to reach a unanimous decision on the two remaining aggravating
circumstances: (1) the murder was especially heinous, atrocious, or cruel, manifesting
exceptional depravity and (2) the defendant, by prior conduct or conduct in the commission of
the murder at hand, has exhibited a propensity to commit murder which will probably constitute
a continuing threat to society. The jury found that all mitigating circumstances when weighed
against the great risk aggravator and the utter disregard aggravator individually were not
sufficiently compelling to make the death penalty unjust.
On March 4, 2005, the district court held a sentencing hearing for arson, three counts of
attempted first-degree murder, and felony injury to a child. The district court sentenced Abdullah
to death for first-degree murder, to twenty-five years imprisonment for arson, to fifteen years
imprisonment for each count of attempted first-degree murder, and to ten years imprisonment for
felony injury to a child, a total of eighty years imprisonment. On March 4, 2005, the district
court filed its judgments of conviction and sentences. On March 11, 2005, Abdullah filed a
notice of appeal. The district court appointed the State Appellate Public Defender (SAPD) to
represent Abdullah on all matters pertaining to the direct appeal and the petition for post-
conviction relief.
On April 15, 2005, Abdullah filed his original Post-Conviction Petition. On May 12,
2005, the State answered. The district court held a status conference on June 29, 2005, and the
parties agreed that they needed substantially more time to investigate potential post-conviction
claims. The district court issued a scheduling order allowing for an extension for Abdullah to file
14
an amended petition. The district court later granted two motions by Abdullah for extensions.10
On August 29, 2008, Abdullah filed a Final Amended Petition for Post-Conviction Relief. On
March 31, 2009, the State answered and moved for summary disposition. Abdullah requested an
evidentiary hearing. The district court ruled an evidentiary hearing was necessary to a number of
Abdullah’s claims.
An evidentiary hearing was held from September 2, 2010, to September 16, 2010. Mitch
and Kim Toryanski, Ada County Public Defender Gus Cahill, defense expert Craig Beaver,
Ph.D., and defense investigator Terry Murphy testified. The district court held a final hearing on
June 16, 2011. 11 The district court took the matter under advisement on September 23, 2011.
On October 14, 2011, the district court issued a Memorandum Decision Re: Post-
Conviction Relief. The district court found all of the witnesses credible and their testimony
remarkably consistent on material issues. The district court found Abdullah lacked credibility
and was “willing to say whatever he believes in order to suit his needs, regardless of the truth.”
The district court concluded Abdullah was not entitled to any of the requested post-conviction
relief. On October 14, 2011, the district court entered a final judgment dismissing Abdullah’s
petition.
On November 25, 2011, Abdullah filed a notice of appeal. On January 16, 2014,
Abdullah filed his Second Revised Brief with this Court. The State responded with its brief on
January 21, 2014. On March 26, 2014, Abdullah replied, and on April 23, 2014, Abdullah filed a
supplemental brief.
II. ISSUES ON APPEAL 12
10
Based on SAPD’s representation that it had no involvement with the trial, the district court found good cause to
allow SAPD more than three years to finalize the post-conviction petition. The district court then learned through its
review of the material in support of the Final Amended Petition that SAPD provided advice to the Toryanskis
before, during, and after trial. The district court found that SAPD had a conflict of interest. The district court
appointed outside counsel to advise Abdullah about the conflict. Although Abdullah initially refused to waive the
conflict and asked for the appointment of conflict counsel, Abdullah informed the district court approximately one
week later that he had changed his mind. Abdullah then knowingly and voluntarily waived the conflict. The district
court reappointed SAPD to represent Abdullah.
11
Prior to the hearing, the district court and the parties learned of the Idaho State Laboratory’s issues with lab
technician Susan Williams, who had tested certain pieces of evidence in Abdullah’s case for the presence of
gasoline. Williams breached State lab administrative policies by purchasing 100 grams of gamma-hydroxybutyric
acid (GHB, also known as the date rape drug) in excess of the amount allowed by the lab’s manual, and she hid her
mistake from the yearly auditor. Abdullah filed an additional claim alleging a Brady violation by failing to disclose
impeachment material. The district court rejected this claim. Abdullah does not appeal this claim to this Court.
12
This Court recognizes that Abdullah identifies over forty issues on appeal. Our identification of thirty-eight issues
in no way indicates that we overlooked or disregarded issues adequately raised on appeal. Rather, in some instances
this Court has simply combined two or more issues based on subject matter. We must caution, however, that we
15
A. GUILT PHASE ISSUES
1. Whether the district court abused its discretion by denying Abdullah’s requests
for funding for an expert to evaluate the DNA evidence.
2. Whether two allegedly biased jurors resulted in fundamental error during the guilt
and penalty phases of trial.
3. Whether sufficient evidence supported Abdullah’s convictions of first-degree
murder, first-degree arson, three counts of attempted first-degree murder, and
felony injury to a child.
4. Whether a jury instruction on the definition of “willfully” resulted in fundamental
error.
5. Whether the district court erred by admitting Angie’s out-of-court statements.
6. Whether the district court erred by admitting Abdullah’s out-of-court statements.
7. Whether the district court erred by excluding evidence of Angie’s life insurance
policy.
8. Whether the alleged instances of prosecutorial misconduct at trial resulted in
fundamental error.
9. Whether the district court violated Abdullah’s constitutional rights by failing to
properly swear the bailiff charged with custody of the jury.
10. Whether the district court violated Abdullah’s constitutional rights by failing to
record all proceedings.
11. Whether the district court erred by finding no basis for Abdullah to challenge the
grand jury term.
12. Whether the errors in the aggregate resulted in cumulative error at trial.
B. PENALTY PHASE ISSUES
13. Whether this Court’s decision in State v. Dunlap, 155 Idaho 345, 313 P.3d 1
(2013), violates Idaho Code section 19-2827, the separation of powers doctrine,
the Eighth Amendment to the United States Constitution, or the right to due
process.
14. Whether Abdullah was eligible to receive a death sentence in conformity with the
ex post facto clause and the right to due process.
refuse to consider issues Abdullah attempts to raise in his appeal purely by an incorporation by reference of his
petition for post-conviction relief. As we have consistently held numerous times, issues raised on appeal without
argument or authority are deemed waived by this Court, and this Court does not search the record for errors. See,
e.g., Murray v. State, 156 Idaho 159, 168–69, 321 P.3d 709, 718–19 (2014) (waiver of ineffective assistance of
counsel claims without legal authority); State v. Dunlap, 155 Idaho 345, 362, 313 P.3d 1, 18 (2013) (“we will not
scour the record in an effort to find errors not identified by the defendant”). Abdullah cannot incorporate by
reference his petition for post-conviction relief to submit any additional issues on appeal other than those raised with
sufficient argument and authority. See, e.g., State v. Hairston, 133 Idaho 496, 511, 988 P.2d 1170, 1185 (1999) (only
addressing ineffective assistance of counsel claim with argument and authority).
16
15. Whether Idaho’s death penalty violates the Eighth Amendment to the United
States Constitution.
16. Whether the district court erred by failing to strike the State’s notice of intent to
seek the death penalty because the aggravating circumstances were not alleged in
the indictment with a finding of probable cause and factual support.
17. Whether the statutory aggravating factors are void for vagueness under the due
process clause and the Eighth Amendment’s prohibition of cruel and unusual
punishment.
18. Whether this Court’s limiting construction of the statutory aggravating factors
violates the separation of powers doctrine.
19. Whether the district court erred by admitting a victim impact statement from
Angie’s step-sister.
20. Whether the alleged instance of prosecutorial misconduct during the penalty
phase resulted in fundamental error.
21. Whether the district court erred by failing to properly instruct the jury during the
penalty phase.
22. Whether the district court erred by limiting Abdullah’s right of allocution in
violation of his right to due process.
23. Whether the errors in the aggregate resulted in cumulative error during the penalty
phase.
C. POST-CONVICTION PHASE ISSUES
24. Whether the district court applied the correct standard for Abdullah’s ineffective
assistance of counsel claims.
25. Whether the district court erred by denying Abdullah’s discovery requests for
gasoline additive evidence.
26. Whether the district court erred by destroying certain jury questionnaires.
27. Whether the district court erred by dismissing Abdullah’s claim of ineffective
assistance of counsel due to the removal of a letter from the crime scene,
stipulation to the letter’s admission into evidence, and failure to object when the
State disclosed that the defense’s investigator discovered the letter.
28. Whether the district court erred by dismissing Abdullah’s claim of ineffective
assistance of counsel for failing to investigate, prepare, and present an adequate
case in mitigation.
29. Whether the district court erred by dismissing Abdullah’s claim of ineffective
assistance of counsel for failing to present an eyewitness identification expert.
30. Whether the district court erred by dismissing Abdullah’s claim of ineffective
assistance of counsel for failing to present testimony from a forensic pathologist.
31. Whether the district court erred by dismissing Abdullah’s claim of ineffective
assistance of counsel for failing to consult and present a gasoline expert.
17
32. Whether the district court erred by dismissing Abdullah’s claim of ineffective
assistance of counsel for failing to object to the admission of the defense’s letter
to prosecutors requesting additional testing of Angie’s blood.
33. Whether the district court erred by dismissing Abdullah’s claim of ineffective
assistance of counsel for delaying opening statement.
34. Whether the district court erred by dismissing Abdullah’s claim of ineffective
assistance of counsel for failing to present an alibi defense.
35. Whether the district court erred by dismissing Abdullah’s claim of ineffective
assistance of counsel for conceding Abdullah’s presence in Boise on the night of
the murder.
36. Whether the district court erred by dismissing Abdullah’s claim of ineffective
assistance of counsel regarding his right to testify in the guilt and penalty phases
and to allocute.
37. Whether the district court erred by dismissing Abdullah’s claim of ineffective
assistance of counsel during jury selection.
38. Whether the district court erred by dismissing Abdullah’s claim of ineffective
assistance of counsel for failing to object to defective guilt and penalty phase jury
instructions.
III. STANDARDS OF REVIEW
A. Abuse of Discretion
The Court determines whether the district court abused its discretion by examining: “(1)
whether the court correctly perceived the issue as one of discretion; (2) whether the court acted
within the outer boundaries of its discretion and consistently within the applicable legal
standards; and (3) whether the court reached its decision by an exercise of reason.” State v.
Shackelford, 150 Idaho 355, 363, 247 P.3d 582, 590 (2010).
B. Harmless Error
Under the harmless error standard, the defendant has the initial burden of establishing an
error, at which point the State has the burden of proving “beyond a reasonable doubt that the
error complained of did not contribute to the verdict obtained.” State v. Perry, 150 Idaho 209,
221, 227, 245 P.3d 961, 973, 979 (2010) (quoting Chapman v. California, 386 U.S. 18, 24
(1967)).
C. Fundamental Error
[I]n cases of unobjected to fundamental error: (1) the defendant must demonstrate
that one or more of the defendant’s unwaived constitutional rights were violated;
(2) the error must be clear or obvious, without the need for any additional
information not contained in the appellate record, including information as to
18
whether the failure to object was a tactical decision; and (3) the defendant must
demonstrate that the error affected the defendant’s substantial rights, meaning (in
most instances) that it must have affected the outcome of the trial proceedings.
Perry, 150 Idaho at 226, 245 P.3d at 978. The burden is on the defendant to prove “there is a
reasonable possibility that the error affected the outcome of the trial.” Id.; see also State v.
Dunlap, 155 Idaho 345, 361–63, 313 P.3d 1, 17–19 (2013) (applying the harmless error and
fundamental error standards from Perry to capital cases).
D. Post-Conviction Phase
A post-conviction relief petition initiates a civil, rather than criminal,
proceeding. Clark v. State, 92 Idaho 827, 830, 452 P.2d 54, 57 (1969). Like the
plaintiff in a civil action, the applicant must prove by a preponderance of evidence
the allegations upon which the request for post-conviction relief is based. I.C. §
19-4907; Stuart v. State, 118 Idaho 865, 869, 801 P.2d 1216, 1220 (1990). “An
application for post-conviction relief differs from a complaint in an ordinary civil
action[.]” Dunlap v. State, 141 Idaho 50, 56, 106 P.3d 376, 382 (2004) (quoting
Goodwin v. State, 138 Idaho 269, 271, 61 P.3d 626, 628 (Ct. App. 2002)) (internal
quotations omitted). The “application must contain much more than ‘a short and
plain statement of the claim’ that would suffice for a complaint under [Idaho Rule
of Civil Procedure (I.R.C.P.)] 8(a)(1).” Goodwin, 138 Idaho at 271, 61 P.3d at
628. The application must present or be accompanied by admissible evidence
supporting its allegations, or the application will be subject to dismissal. I.C. § 19-
4903.
State v. Yakovac, 145 Idaho 437, 443–44, 180 P.3d 476, 482–83 (2008) (first alteration in
original).
Idaho Code § 19-4906 authorizes summary dismissal of an application for
post-conviction relief, either pursuant to motion of a party or upon the trial court’s
own initiative. Summary dismissal of an application is the procedural equivalent
of summary judgment under I.R.C.P. 56. Summary dismissal is permissible only
when the applicant’s evidence has raised no genuine issue of material fact that, if
resolved in the applicant’s favor, would entitle the applicant to the relief
requested. If such a factual issue is presented, an evidentiary hearing must be
conducted. Gonzales v. State, 120 Idaho 759, 763, 819 P.2d 1159, 1163 (Ct. App.
1991). However, summary dismissal may be appropriate even where the State
does not controvert the applicant’s evidence because the court is not required to
accept either the applicant’s mere conclusory allegations, unsupported by
admissible evidence, or the applicant’s conclusions of law. Roman v. State, 125
Idaho 644, 647, 873 P.2d 898, 901 (Ct. App. 1994).
State v. Payne, 146 Idaho 548, 561, 199 P.3d 123, 136 (2008).
On the other hand, “[w]hen appellate review of a district court’s denial of post-conviction
relief follows an evidentiary hearing, rather than a summary dismissal, the evidence must be
19
‘viewed most favorably to the trial court’s findings.’” McKeeth v. State, 140 Idaho 847, 849, 103
P.3d 460, 462 (2004) (quoting State v. Mathews, 133 Idaho 300, 304, 986 P.2d 323, 327 (1999)).
“[T]his Court will not disturb the district court’s factual findings unless they are clearly
erroneous.” McKinney v. State, 133 Idaho 695, 700, 992 P.2d 144, 149 (1999) (citing I.R.C.P.
52(a)). “This Court exercises free review of the district court’s application of the relevant law to
the facts.” McKeeth, 140 Idaho at 849–50, 103 P.3d at 462–63. “Constitutional issues are pure
questions of law over which this Court exercises free review.” Estrada v. State, 143 Idaho 558,
561, 149 P.3d 833, 836 (2006). “If a district court reaches the correct result by an erroneous
theory, this Court will affirm the order upon the correct theory.” McKinney, 133 Idaho at 700,
992 P.2d at 149.
A majority of Abdullah’s post-conviction claims involve allegations of ineffective
assistance of counsel. “The right to counsel in criminal actions brought by the state of Idaho is
guaranteed by the Sixth Amendment to the United States Constitution and Article 1, Section
13 of the Idaho State Constitution.” Murray v. State, 156 Idaho 159, 164, 321 P.3d 709, 714
(2014) (quoting Booth v. State, 151 Idaho 612, 617, 262 P.3d 255, 260 (2011)). This Court
utilizes the Strickland two-prong test to determine whether a defendant in a criminal case
received effective assistance of counsel. Dunlap, 155 Idaho at 383, 313 P.3d at 39 (citing
Strickland v. Washington, 466 U.S. 668, 687 (1984)). See also State v. Mathews, 133 Idaho at
306, 986 P.2d at 329. To establish deficient performance, “the defendant must show that
counsel’s representation fell below an objective standard of reasonableness.” Strickland, 466
U.S. at 688. To demonstrate prejudice, “[t]he defendant must show that there is a reasonable
probability that, but for counsel’s unprofessional errors, the result of the proceeding would have
been different.” Id. at 694. A reasonable probability is defined as “a probability sufficient to
undermine confidence in the outcome.” Id. “The likelihood of a different result must be
substantial, not just conceivable.” Harrington v. Richter, 131 S. Ct. 770, 792 (2011).
The defendant also must overcome a strong presumption “that counsel ‘made all
significant decisions in the exercise of reasonable professional judgment.’” Cullen v. Pinholster,
131 S. Ct. 1388, 1407 (2011) (quoting Strickland, 466 U.S. at 690). “A fair assessment of
attorney performance requires that every effort be made to eliminate the distorting effects of
hindsight, to reconstruct the circumstances of counsel’s challenged conduct, and to evaluate the
conduct from counsel’s perspective at the time.” Strickland, 466 U.S. at 689. Thus, strategic
20
decisions are “virtually unchallengeable” if made after a “thorough investigation of law and facts
relevant to plausible options.” Id. at 690. Decisions “made after less than complete investigation”
are still reasonable to the extent “reasonable professional judgments support the limitations on
investigation.” Id. at 691. Counsel is permitted to develop a strategy “that was reasonable at the
time” and may “balance limited resources in accord with effective trial tactics and strategies.”
Richter, 131 S. Ct. at 789.
IV. ANALYSIS
This opinion is divided into three sections, first examining the guilt phase issues, then the
penalty phase issues, and finally the post-conviction phase issues. Upon this Court’s review of
the issues adequately raised on appeal, we affirm the district court’s judgments of conviction and
sentences and its dismissal of Abdullah’s petition for post-conviction relief.
A. Guilt Phase Issues
1. The district court did not abuse its discretion by denying Abdullah’s requests for
funding for an expert to evaluate the DNA evidence.
a. Facts
Before trial, Abdullah filed an ex parte motion for funding to hire a forensic scientist. He
submitted that a forensic scientist was essential to evaluate the State’s DNA evidence, including
the cape and the gas can found at the crime scene. The district court denied Abdullah’s request,
explaining that he failed to (1) identify a forensic scientist expert; (2) contend the DNA evidence
was tainted or improperly prepared; and (3) explain how the expert would aid in his defense.
Abdullah then filed a supplemental ex parte motion for funding to hire a forensic expert in which
he identified an expert and the cost. He argued that he sought a corresponding forensic DNA
expert as a basic tool of an adequate defense. He also argued that the State would use the DNA
evidence as circumstantial proof that he was present at the Siesta residence at the time of the fire.
To support his argument, he attached a document by the State’s DNA experts that analyzed the
DNA found on the gas can and cape. The district court again denied Abdullah’s motion,
explaining that Abdullah did not contend that the DNA evidence was tainted, mishandled, or
improperly prepared. Further, the district court noted that the DNA evidence from the cape and
gas can was mostly exculpatory.
At trial, the State’s DNA expert testified that samples one, two, and three of the swabs
from the gas can handle had a mixture of DNA profiles from more than one individual. Abdullah
could not be excluded as a minor contributor of DNA from samples one and two. On number
21
three, however, the DNA expert obtained a higher concentration of DNA material and excluded
Abdullah as a major and minor contributor. The swabs and cuttings from the cape also had a
mixture of DNA profiles. Abdullah could not be excluded as a minor contributor from samples
one, two, three, and four from the cape. The expert then opined that the probability of randomly
selecting an unrelated individual with a DNA profile consistent with the DNA profile from
sample one of the cape is 1 in 16,000 in a Middle Eastern population database. When asked by
the prosecutor, the expert calculated that one would expect a possibility of ten male individuals
in the Boise area, based on a population of 250,000, to match the DNA profile from the first
sample from the cape. The prosecutor reiterated the expert’s calculation in closing argument.
b. Standard of Review
“[D]enial of a request for expert or investigative assistance will not be disturbed absent a
showing that the trial court abused its discretion by rendering a decision which is clearly
erroneous and unsupported by the circumstances of the case.” State v. Olin, 103 Idaho 391, 395,
648 P.2d 203, 207 (1982).
c. Analysis
The denial of access to the basic tools of an adequate defense impinges on the
defendant’s due process right to a fair trial. Olin, 103 Idaho at 394, 648 P.2d at 206. “[A]
criminal trial is fundamentally unfair if the State proceeds against an indigent defendant without
making certain that he has access to the raw materials integral to the building of an effective
defense.” Ake v. Oklahoma, 470 U.S. 68, 77 (1985). However, “[t]he constitution does not
require a state to provide expert or investigative assistance merely because a defendant requests
it.” Olin, 103 Idaho at 394, 648 P.2d at 206.
This Court stated in State v. Dunlap, 155 Idaho 345, 313 P.3d 1 (2013): “Before
authorizing the expenditure of public funds for a particular purpose in an indigent’s defense, the
trial court must determine whether the funds are necessary in the interest of justice.” Id. at 382,
313 P.3d at 38 (quoting State v. Lovelace (Lovelace I), 140 Idaho 53, 65, 90 P.3d 278, 290
(2003)). This Court also stated, “A defendant’s request for expert or investigative services should
be reviewed in light of all circumstances and be measured against the standard of ‘fundamental
fairness’ embodied in the due process clause.” Id. at 381–82, 313 P.3d at 37–38 (quoting
Lovelace I, 140 Idaho at 65, 90 P.3d at 290).
22
In this case, the district court did not abuse its discretion by denying Abdullah’s request
for funds for a forensic and DNA expert. There were no allegations that the DNA evidence was
improper or tainted or that the testing methods or conclusions were flawed. The DNA evidence
was mostly exculpatory—Abdullah was excluded as a major and minor contributor to the gas can
and as a major contributor to the cape. In addition, Abdullah does not claim on appeal that the 1
out of 16,000 probability was incorrect. Thus, Abdullah has not shown that the district court’s
decision was clearly erroneous and unsupported by the circumstances of the case. Based on the
record, the district court properly determined within its discretion the funds were not “necessary
in the interest of justice.” Dunlap, 155 Idaho at 382, 313 P.3d at 38.
Abdullah takes great issue with the expert’s testimony that possibly ten men in the Boise
population matched the DNA on the cape. He submits that this testimony was devastating to his
defense. However, even if the expert or the prosecutor misrepresented this calculation, 13 it did
not require expert testimony to rebut or explain. The validity of this calculation and its
significance was a proper inquiry for cross-examination and could have been adequately
addressed in closing argument. See Harrington v. Richter, 131 S. Ct. 770, 791 (2011) (“In many
instances cross-examination will be sufficient to expose defects in an expert’s presentation.”) It
was not necessary in the interest of justice for the defense to call a forensic or DNA expert to
rebut or explain this testimony.
This Court also recognizes that the United States Supreme Court in Ake outlined three
factors to determine whether the participation of an expert “is important enough to preparation of
a defense to require the State to provide an indigent defendant with access.” 470 U.S. at 77. The
United States Supreme Court delineated these factors in the context of the defense’s request for a
psychiatrist when the defendant’s sanity at the time of the offense was a substantial factor in his
13
Abdullah states that this calculation is the “so-called ‘prosecutor’s fallacy,’” McDaniel v. Brown, 558 U.S. 120,
127 (2010):
The prosecutor’s fallacy is the assumption that the random match probability is the same
as the probability that the defendant was not the source of the DNA sample. In other words, if a
juror is told the probability a member of the general population would share the same DNA is 1 in
10,000 (random match probability), and he takes that to mean there is only a 1 in 10,000 chance
that someone other than the defendant is the source of the DNA found at the crime scene (source
probability), then he has succumbed to the prosecutor’s fallacy. It is further error to equate source
probability with probability of guilt, unless there is no explanation other than guilt for a person to
be the source of crime-scene DNA. This faulty reasoning may result in an erroneous statement
that, based on a random match probability of 1 in 10,000, there is a .01% chance the defendant is
innocent or a 99.99% chance the defendant is guilty.
Id. at 128 (citation omitted).
23
defense. Id. at 72, 74, 86–87. The three factors are: (1) “the private interest that will be affected
by the action of the State”; (2) “the governmental interest that will be affected if the safeguard is
to be provided”; and (3) “the probable value of the additional or substitute procedural safeguards
that are sought, and the risk of an erroneous deprivation of the affected interest if those
safeguards are not provided.” Id. at 77.
There is little or no substantive difference between the Ake standards and this Court’s
standards in Olin, Lovelace, and Dunlap. State v. Martin, 146 Idaho 357, 363, 195 P.3d 716, 722
(Ct. App. 2008), review denied. While this Court’s precedent and the Ake factors articulate the
test differently, “each of these cases requires the provision of assistance at public expense where
it is necessary for a fair trial and a meaningful opportunity to present a defense, while sifting out
requests for services that are not shown to be reasonably necessary for these purposes.” Martin,
146 Idaho at 363, 195 P.3d at 722. In an abundance of caution, however, we will apply the Ake
factors here. Based on our application of the Ake factors, we conclude that participation of a
forensic or DNA expert was not “integral to the building of an effective defense.” 470 U.S. at 77.
As discussed above, the DNA evidence was not improper, tainted, or the result of flawed testing
or conclusions. The expert’s testimony of the DNA statistics was not identified as incorrect or a
miscalculation. Moreover, the DNA evidence was mostly exculpatory. Thus, while we recognize
that “[t]he private interest in the accuracy of a criminal proceeding that places an individual’s life
or liberty at risk is almost uniquely compelling,” the probable value of an additional forensic
science or DNA expert and risk of erroneous deprivation due to the State’s expert were both
minimal to nonexistent in this case. Id. at 78–79. Balancing the three factors provided by Ake,
funds for a forensic science or DNA expert for Abdullah were not important enough to the
preparation of a defense to require the State to provide him with access. Id. at 77.
Based on the foregoing reasons, the district court did not abuse its discretion by denying
funding for a forensic or DNA expert for Abdullah’s defense.
2. Abdullah has waived any challenge to two allegedly biased jurors.
Abdullah challenges the district court’s failure to excuse sua sponte two jurors for cause:
Juror 59 and Juror 83.
The invited error doctrine precludes a criminal defendant from “consciously” inviting
district court action and then successfully claiming those actions are erroneous on appeal. State v.
Owsley, 105 Idaho 836, 837, 673 P.2d 436, 437 (1983). “It has long been the law in Idaho that
24
one may not successfully complain of errors one has acquiesced in or invited. Errors consented
to, acquiesced in, or invited are not reversible.” Id. at 838, 673 P.2d at 438 (citation omitted); see
also State v. Dunlap, 155 Idaho 345, 379, 313 P.3d 1, 35 (2013) (applying invited error to a
capital case). In this case, the doctrine of invited error applies to any assignment of error
regarding Juror 59 and Juror 83. During voir dire Abdullah passed for cause on both jurors. He
did not use a peremptory challenge on Juror 59 or Juror 83 and again passed for cause on the
jury. Abdullah then accepted the jury as empaneled, which included Juror 59 and Juror 83. In
short, Abdullah failed to raise any objection to these jurors at any time and allowed these jurors
to be empaneled without any reservation. Thus, any error was invited and is not reversible. 14
Although Abdullah waived this issue on direct appeal, he also challenges these jurors’
alleged bias again in the post-conviction phase. For this reason alone, we review the alleged bias
of these jurors.
The Idaho Constitution states that “[t]he right of trial by jury shall remain
inviolate.” IDAHO CONST. art. I, § 7. That a jury be “impartial,” as “guaranteed by
the Sixth Amendment of the United States Constitution, is made applicable to the
individual states through the Fourteenth Amendment.” State v. Brooks, 103 Idaho
892, 896, 655 P.2d 99, 103 (Ct. App. 1982). “In essence, the right to jury trial
guarantees to the criminally accused a fair trial by a panel of impartial, indifferent
jurors.” Id. “The failure to accord an accused a fair hearing violates even the
minimal standards of due process.” Irvin v. Dowd, 366 U.S. 717, 722 (1971). Thus,
“the Due Process Clause protects a defendant from jurors who are actually
incapable of rendering an impartial verdict, based on the evidence and the law.”
Peters v. Kiff, 407 U.S. 493, 501 (1972).
State v. Moses, 156 Idaho 855, 862, 332 P.3d 767, 774 (2014) (alteration in original). “The
decision whether a juror can render a fair and impartial verdict is directed to the sound discretion
of the trial court and will not be reversed absent an abuse of discretion.” State v. Yager, 139
Idaho 680, 688, 85 P.3d 656, 664 (2004).
14
Other jurisdictions have ruled similarly. United States v. Ahmad, 974 F.2d 1163, 1165 (9th Cir. 1992) (any error in
court’s dismissal of juror for cause invited because counsel approved of dismissal); Vann v. State, 880 So. 2d 495,
497–99 (Ala. Crim. App. 2003) (prejudicial statement by juror was invited error because defense counsel agreed
with trial court’s decision not to question prospective jurors); State v. Rubio, 195 P.3d 214, 216–18 (Ariz. Ct. App.
2008) (defendant waived any error in trial court’s failure to remove prospective juror for cause because the
defendant must use a peremptory strike to remove an objectionable juror “whom the trial court has refused to
remove for cause” to preserve the issue for appeal); People v. Taylor, 220 P.3d 872, 893–95 (Cal. 2009) (“[W]e
adhere to the well-established rule that to preserve a claim a biased juror was improperly permitted to serve, the
defense must exhaust its peremptory challenges and object to the jury as sworn.”); State v. Lee, 128 P.3d 1179,
1182–83 (Utah 2006) (invited error precluded defendant from challenging the jury’s composition on appeal because
defendant raised no objection to the jurors in trial court); Jones v. State, 119 S.W.3d 766, 784 (Tex. Crim. App.
2003) (defense counsel estopped from raising any error in court’s discharge of juror because counsel requested
discharge).
25
“[T]he Constitution presupposes that a jury selected from a fair cross section of the
community is impartial . . . so long as the jurors can conscientiously and properly carry out their
sworn duty to apply the law to the facts of the particular case.” Ross v. Oklahoma, 487 U.S. 81, 86
(1988) (alteration in original) (quoting Lockhart v. McCree, 476 U.S. 162, 184 (1986)); see also
State v. Ellington, 151 Idaho 53, 69, 253 P.3d 727, 743 (2011) (“A juror is presumed to be
impartial.”). A juror lacks impartiality if actual or implied bias exists, and the Idaho Code provides
criminal defendants with the right to strike a biased juror for cause. I.C. §§ 19-2017, -2019, -2020.
The Idaho Code defines “actual bias” as “the existence of a state of mind on the part of the
juror in reference to the case, or to either of the parties, which, in the exercise of a sound discretion
on the part of the trier, leads to the inference that he will not act with entire impartiality.” I.C. § 19-
2019(2). Despite a juror’s expression of bias towards a party, “disqualification is not necessarily
required.” State v. Hauser, 143 Idaho 603, 609, 150 P.3d 296, 302 (Ct. App. 2006). A juror does
not have to be disqualified “if the juror can lay aside his impression or opinion and render a verdict
based on the evidence presented in court.” State v. Hairston, 133 Idaho 496, 506, 988 P.2d 1170,
1180 (1999) (quoting Murphy v. Florida, 421 U.S. 794, 800 (1975)). If a juror admits bias, “and
gives no unequivocal assurance of the ability to be impartial despite several efforts by the court
or counsel to elicit such an assurance,” the juror should be disqualified for lacking impartiality.
Hauser, 143 Idaho at 610, 150 P.3d at 303.
Similar rules regarding juror bias and disqualification apply in capital cases. To
determine “when a prospective juror may be excluded for cause because of his or her views on
capital punishment,” the “standard is whether the juror’s views would ‘prevent or substantially
impair the performance of his duties as a juror in accordance with his instructions and his oath.’”
Wainwright v. Witt, 469 U.S. 412, 424 (1985) (quoting Adams v. Texas, 448 U.S. 38, 45 (1980)).
This standard does not require that “a juror’s bias be proved with unmistakable clarity” because
“determinations of juror bias cannot be reduced to question-and-answer sessions which obtain
results in the manner of a catechism.” Id. at 424 (internal quotation marks omitted). “[T]his is
why deference must be paid to the trial judge who sees and hears the juror.” Id. at 426. Certain
responses by jurors, however, reflect “directly on that individual’s inability to follow the law.”
Morgan v. Illinois, 504 U.S. 719, 735 (1992). “It may be that a juror could, in good conscience,
swear to uphold the law and yet be unaware that maintaining . . . dogmatic beliefs about the
death penalty would prevent him or her from doing so.” Id. For example, “[a]ny juror who would
26
impose death regardless of the facts and circumstances of conviction cannot follow the dictates
of law.” Id. “[S]uch jurors—whether they be unalterably in favor of, or opposed to, the death
penalty in every case—by definition are ones who cannot perform their duties in accordance with
law, their protestations to the contrary notwithstanding.” Id.
With these standards in mind, a summary of the information provided by Juror 59 and
Juror 83 follows.
Juror 59 attained a bachelor of science from University of Idaho in 1996 with areas of
concentration in criminal justice and sociology. While in college, Juror 59 interned with the
Moscow Police Department. At the time of trial, Juror 59 was interviewing and testing with the
Boise Police Department, Idaho State Police, and Meridian Police Department. Juror 59 testified
that he 15 was intrigued by law enforcement work after a class in high school with a deputy
county sheriff and he thought law enforcement would be a rewarding and enjoyable job. Juror 59
tried to get a law enforcement job right out of college, but he could not find a position. He
worked as a security officer for a hotel in the past and currently worked as a trainer for Micron.
Juror 59 stated in the questionnaire that he would tend to believe the testimony of a law
enforcement officer more than most witnesses.
The district court asked Juror 59, “Is there anything about [the internship with the
Moscow Police Department] that makes you think that you would favor the prosecution over the
defense or vice versa?” and Juror 59 responded, “Oh, no.” The district court also asked Juror 59,
“Because you’re currently . . . trying to become employed by [the various police departments],
do you believe that you are going to have to treat their testimony . . . like it is more credible
because you are worried about being able to get the job?” and Juror 59 responded, “No.” The
district court then followed-up with the question, “[I]f they come in, are you going to be able to
find that their testimony is not credible if, in fact, you believe it was not credible?” and Juror 59
responded, “I would look at it either way. Not from the point of view of the job, but the person.”
Defense counsel asked Juror 59 if he would “tend to believe law enforcement more than
other witnesses?” and Juror 59 responded, “I tend to believe them a little more, yes.” Defense
counsel then asked, “If you were instructed by the judge that you were to consider all witnesses
in equal fashion, do you think that’s something that you could do?” and Juror 59 responded, “I
15
To preserve anonymity and for sake of clarity, we refer to all jurors with the pronouns “he” or “him.”
27
think, yeah, if I was instructed. I guess the same as going back to the law, you have to put your
personal opinions aside.”
Juror 59 thought the death penalty “is appropriate in some cases.” Juror 59 “generally
favor[ed] the death penalty, but [he] would base a decision to impose it on the facts and law in
the case.” The “facts of the case” would be most important to him when deciding whether a
person received a death sentence or life in prison. Juror 59 answered affirmatively when the
district court asked if he would be able to follow the district court’s instructions and be willing to
consider not imposing a death sentence. He also testified that the fact that children were in the
house when the fire occurred would not influence his ability to follow the district court’s
instructions on imposition of the death penalty. He affirmed that he would consider and weigh
mitigating circumstances. Defense counsel asked Juror 59 how would the fact that children were
present while the murder took place affect his ability to judge the case, and Juror 59 responded:
“If the Court instructed that that’s one of the aggravating circumstances according to law, then it
becomes part of the evidence, but if not, then it’s -- then it becomes my opinion on the -- which -
-.”
In the questionnaire, Juror 59 disagreed with the premise “Not executing murderers is
disrespectful to victims.” He disagreed with the propositions that “murder is murder,” and
understanding motives and circumstances is not important, and it does not matter what kind of
childhood a murderer had. He also disagreed with the premise “People who kill should be
punished no matter what the circumstances are.”
Abdullah highlights certain statements by Juror 59 regarding the death penalty. Juror 59
responded in his questionnaire that he ranked his belief in the death penalty a nine out of ten (ten
being the strongest belief and one the least). On the juror questionnaire, Juror 59 (1) agreed
executions are necessary to protect the public; (2) disagreed 16 life in prison without the
possibility of parole is not a harsh enough penalty for murder; (3) agreed society would be
stronger if the death penalty were imposed more often; (4) disagreed only the worst murderers
should be executed; (5) strongly disagreed it would be hard to vote to kill someone; and (6)
disagreed it is better for society to let some guilty people go free than to risk convicting an
innocent person. Juror 59 believed the best argument for the death penalty was “multiple
16
Abdullah stated in his brief that Juror 59 “strongly agreed” that life in prison without the possibility of parole was
not a harsh enough penalty for murder, but Juror 59 actually stated in his questionnaire that he “disagreed” with this
premise.
28
homicide or children.” Juror 59 testified that “children being a victim” was one of the best
arguments for the death penalty.
Juror 83 was the manager of the Laboratory Improvement Section of the Idaho Bureau of
Laboratories. He responded in his questionnaire that he ranked his belief in the death penalty
nine out of ten. Juror 83 “generally favor[ed] the death penalty, but [he] would base a decision to
impose it on the facts and law in the case.” He believed the best argument for the death penalty is
“life for a life.” “Circumstance-Intent” was the most important to Juror 83 in deciding whether to
sentence a person to death or life in prison in a murder case. Juror 83 believed the death penalty
“is appropriate in certain heinous crimes. Intent to do the act would certainly be required.” Juror
83 told the district court he would be willing to consider not imposing the death sentence and
“[a]bsolutely” would fairly consider imposing and not imposing the death penalty. He answered
“[n]o” when asked if his views on the imposition of the death penalty would prevent or
substantially impair him from following the district court’s instructions. He was not of the
opinion that death was the only appropriate sentence for murder in the first-degree.
In the questionnaire, Juror 83 (1) strongly disagreed murder is murder and understanding
the motives and circumstances is not important; (2) disagreed no one convicted of murder should
ever be allowed out of prison; (3) disagreed life in prison without the possibility of parole is not a
harsh enough penalty for murder; and (4) disagreed people who kill should be punished no
matter what the circumstances are. Juror 83 did not feel his views on the death penalty would
prevent or substantially impair his ability to view the facts impartially.
Abdullah highlights that Juror 83: (1) strongly agreed “I support the use of the death
penalty”; (2) disagreed only the worst murderers should be executed; (3) agreed our society
would be stronger if the death penalty were imposed more often; (4) agreed executions are
needed to protect the public; (5) agreed someone already convicted of a murder is likely to kill
someone else; and (6) agreed it doesn’t matter what kind of childhood a murderer had. Abdullah
also highlights certain statements made by Juror 83 during voir dire. Juror 83 explained that he
ranked his belief in the death penalty at nine out of ten because he believed “it is warranted in
heinous situations and that the State of Idaho now has agreed that there is a death penalty
warranted, so I agree with that. I think there is a place for the death penalty.” He explained his
“life for a life” argument as:
29
Well, I feel strongly in justice issues that there needs to be a notion of justice in
all that we do and if someone takes someone’s life, it is reasonable to expect that
their life may be taken for that purpose. And I realize there is a lot of mitigating
circumstances and that’s why under law we have various levels; first degree,
second degree and so forth in which it may not be warranted, but there are some
situations that I do believe are heinous enough and with so much malice that it is
warranted.
When asked by defense counsel if Juror 83 could wait to hear defense counsel’s mitigating facts
and circumstances before making a decision, Juror 83 said, “Yes, I believe so.”
Contrary to Abdullah’s allegations, Juror 59 and Juror 83 had no actual bias. Both jurors
stated that they were strongly in favor of the death penalty for specific reasons (“multiple
homicide or children” for Juror 59 and “a life for a life,” “heinous crimes” for Juror 83), but both
jurors also stated that they would base a decision to impose the death penalty on the facts and
law in the case. Many other questionnaire and voir dire responses by Juror 59 and Juror 83
showed that they recognized a death sentence was appropriate only in certain limited
circumstances as instructed by the district court. In the questionnaire and voir dire, each juror
exhibited the ability to “lay aside his impression or opinion and render a verdict based on the
evidence presented in court.” Hairston, 133 Idaho at 506, 988 P.2d at 1180 (quoting Murphy, 421
U.S. at 800). Neither juror exhibited an unalterable, unwavering view on capital punishment that
would prevent him from carrying out his duties in accordance with the law. Based on the record,
Juror 59 and Juror 83 were not biased due to their views on the death penalty.
Specific to Juror 59, Abdullah also argues that Juror 59 was biased because he was
interviewing for a job with law enforcement and stated in his questionnaire that he found law
enforcement officers more credible than other witnesses. When questioned by the district court
and defense counsel, however, Juror 59 repeatedly stated he would judge the credibility of a
witness, including law enforcement officers, in accordance with the instructions. “Although not
always dispositive, the trial judge is entitled to rely on assurances from venire persons
concerning partiality or bias.” Yager, 139 Idaho at 688, 85 P.3d at 664 (citing Hairston, 133
Idaho at 506, 988 P.2d at 1180). Based on all the information provided by Juror 59, an inference
Juror 59 would act biased due to favoritism toward law enforcement officers is not supported by
the record. 17
17
In addition, Abdullah argues that Juror 59 was biased because there was no jury instruction to counter Juror 59’s
witness credibility predispositions. To the contrary, Jury Instruction 4 provided in part:
30
Specific to Juror 83, Abdullah also argues that Juror 83 was biased because Juror 83
mistakenly believed mitigating evidence was presented during the guilt phase, not during the
sentencing phase, and his misunderstanding was not corrected by the district court or the parties.
According to Abdullah, once Juror 83 found Abdullah guilty of first-degree murder, the juror had
already decided the penalty of death. Juror 83’s comments do not indicate that Juror 83 would
automatically sentence Abdullah to death based on a conviction of first-degree murder. In other
parts of Juror 83’s questionnaire and in his statements during voir dire, Juror 83 said he would
consider not imposing a death sentence, follow the instructions, listen to mitigating
circumstances, and did not believe death was the only appropriate sentence for first-degree
murder. Based on all the information provided by Juror 83, and the detailed jury instructions, an
inference Juror 83 would automatically impose a death sentence for a first-degree murder
conviction is not supported by the record.
In summary, we do not review any alleged bias of Juror 59 and Juror 83 on direct appeal
due to the invited error doctrine, but we hold for purposes of post-conviction phase issues
discussed subsequently herein that Juror 59 and Juror 83 were not biased.
3. Abdullah’s convictions for first-degree murder, first-degree arson, three counts of
attempted first-degree murder, and felony injury to a child were supported by
substantial evidence.
Abdullah challenges his six convictions for lack of substantial evidence. We hold that
there was substantial evidence upon which any rational trier fact could have found the essential
elements of first-degree murder, first-degree arson, three counts of attempted first-degree
murder, and felony injury to a child beyond a reasonable doubt.
a. Standard of Review
Your duties are to determine the facts, to apply the law set forth in my instructions to
those facts, and in this way to decide the case. In doing so, you must follow my instructions
regardless of your own opinion of what the law is or should be . . . . The law requires that your
decision be made solely upon the evidence before you. Neither sympathy nor prejudice should
influence you in your deliberations. . . .
In determining the facts, you may consider only the evidence admitted in this trial. . . .
There is no magical formula by which one may evaluate testimony. You bring with you
to this courtroom all of the experience and background of your lives. In your everyday affairs you
determine for yourselves whom you believe, what you believe, and how much weight you attach
to what you are told. The same considerations that you use in your everyday dealings in making
these decisions are the considerations which you should apply in your deliberations.
In deciding what you believe, do not make your decision simply because more witnesses
may have testified one way than the other. Your role is to think about the testimony of each
witness you heard and decide how much you believe of what the witness had to say.
31
The Fourteenth Amendment of the United States Constitution guarantees
the right to due process, and the U.S. Supreme Court has held that as a part of that
due process, “no person shall be made to suffer the onus of a criminal conviction
except upon sufficient proof-defined as evidence necessary to convince a trier of
fact beyond a reasonable doubt of the existence of every element of the offense.”
Jackson v. Virginia, 443 U.S. 307, 316 (1979). The relevant inquiry is not
whether this Court would find the defendant to be guilty beyond a reasonable
doubt, but whether “after viewing 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.” Id. at 319 (emphasis in original).
State v. Adamcik, 152 Idaho 445, 460, 272 P.3d 417, 432 (2012).
“Thus,” when determining whether Abdullah’s convictions should be upheld, “the only
inquiry for this Court is whether there is substantial evidence upon which a reasonable jury could
have found that the State met its burden of proving the essential elements of [each crime] beyond
a reasonable doubt.” Id.
In conducting this analysis, the Court is required to consider the evidence in the
light most favorable to the State, and we do not substitute our judgment for that of
the jury on issues of witness credibility, weight of the evidence, or reasonable
inferences to be drawn from the evidence.
Id.
b. Abdullah’s conviction for first-degree murder was supported by substantial
evidence.
For the charge of first-degree murder, the State alleged in the indictment that Abdullah
“willfully, unlawfully, deliberately, with premeditation, and with malice aforethought,” killed
Angie “by suffocating her and/or by acute Prozac (fluoxetine) poisoning from which she died.”
See I.C. §§ 18-4001 to -4003. In addition, the State had to prove Angie’s death was caused by a
criminal act of Abdullah, which may be satisfied solely by circumstantial evidence. State v.
Severson, 147 Idaho 694, 713, 215 P.3d 414, 433 (2009).
Abdullah argues that the State failed to prove its case beyond a reasonable doubt because
the State’s theory required proof that Abdullah was responsible for causing Angie’s death due to
a combination of fluoxetine poisoning and suffocation. According to Abdullah, an integral
condition precedent to the suffocation of Angie with the plastic bag was her fluoxetine-induced
incapacitation. He argues that the evidence showed Angie ingested fluoxetine before her last
meal between 10:00 p.m. and midnight, but he did not arrive in Boise until 1:00 a.m. or later.
Therefore, Abdullah asserts that the State offered no evidence to demonstrate that he was
32
responsible for or connected to Angie’s ingestion of fluoxetine. For this reason, Abdullah
submits that his first-degree murder conviction was not supported by substantial evidence. 18
By focusing only on the State’s failure to connect Abdullah with Angie’s ingestion of
fluoxetine, Abdullah ignores that the indictment alleged that Abdullah killed Angie by
suffocation “and/or” fluoxetine poisoning. In Severson, the State alleged that the defendant killed
the victim by “overdosing her, suffocating her, or both.” 147 Idaho at 712, 215 P.3d at 432. The
Court stated that the fact that the victim may have died from one or two possible causes did not
preclude the jury from finding the defendant guilty of murder. Id. at 713, 215 P.3d at 433. “[T]he
State was not required to prove the specific cause” of the victim’s death. Id. The Court noted
parenthetically: “The state is required only to show a hypothesis that death occurred by criminal
agency; it is not required to show a hypothesis of a specific cause of death.” Id. (quoting Sheriff,
Washoe Cnty. v. Middleton, 921 P.2d 282, 286 (Nev. 1996)). Upon review of the evidence, the
Court in Severson concluded that there was substantial and competent evidence to support the
jury’s conclusion that the defendant was the person who killed the victim by overdosing her,
suffocating her, or both. Id. at 713–14, 921 P.3d at 433–34. The Court reasoned, “The fact that
the State did not provide direct evidence to that effect does not prohibit this conclusion. The
evidence produced at trial revealed that it was unlikely that [the victim’s] overdose was self-
imposed, but there was substantial evidence linking [the defendant] to her murder.” Id. at 714,
921 P.3d at 434 (footnote omitted) (citation omitted).
In this case, the jury was instructed that the State must prove Abdullah engaged in
conduct which caused Angie’s death. The jury was provided with substantial evidence to make
this finding. The State was not required to prove the specific cause of Angie’s death. Severson,
147 Idaho at 713, 215 P.3d at 433. Nor was the State required to prove Abdullah administered
the fluoxetine to Angie due to the “and/or” language in the indictment. Viewing the evidence in
the light most favorable to the prosecution, any rational trier of fact could have found Abdullah
killed Angie by suffocating her with a plastic bag. Adamcik, 152 Idaho at 460, 272 P.3d at 432.
Like the victim in Severson, there was no evidence to indicate Angie “died from natural causes,”
and “the evidence produced at trial revealed that it was unlikely that [Angie’s] overdose was
self-imposed,” which, in any event, was a determination for the jury. 147 Idaho at 713–14, 215
P.3d at 433–34. Based on the evidence presented at trial, there was substantial evidence upon
18
Abdullah presents no other argument challenging the sufficiency of the evidence for first-degree murder.
33
which a reasonable jury could have found the State met its burden of proving the essential
elements of first-degree murder beyond a reasonable doubt. Therefore, this Court affirms
Abdullah’s conviction for first-degree murder.
c. Abdullah’s conviction for first-degree arson was supported by substantial
evidence.
For the charge of first-degree arson, the State alleged in the indictment that Abdullah
“willfully and unlawfully by fire or explosion” damaged the Siesta residence. The jury
instruction on arson provided that the State had to prove Abdullah “willfully . . . by fire or
explosion . . . damaged . . . a dwelling.” Idaho’s arson statute provides: “Any person who
willfully and unlawfully, by fire or explosion, damages . . . [a]ny dwelling, whether occupied or
not . . . is guilty of arson in the first degree . . . .” I.C. § 18-802.
Abdullah contends that he is liable only for attempt to commit first-degree arson. He
argues that he should have been charged with attempted arson because the evidence showed the
gasoline was prematurely ignited by the pilot light from the water heater, not by the human hand.
We disagree. The attempt statute does not apply to Abdullah’s criminal activity. Under Idaho
law, a “person who attempts to commit any crime, but fails, or is prevented or intercepted in the
perpetration thereof” is guilty of attempt to commit the target crime. I.C. § 18-306. Here,
Abdullah did not fail in attempting to commit the crime, nor was his attempt prevented or
intercepted. His conduct caused the intended result—the damage of a dwelling by fire. I.C. § 18-
802. In other words, the fire would not have occurred but for his conduct and the fire was the
foreseeable, probable, and intended result of his conduct. Abdullah is liable for the targeted
crime of arson, rather than attempt, because his criminal conduct damaged a dwelling by fire.
Abdullah reads Idaho’s arson statute narrowly to demand ignition by the human hand.
Idaho’s arson statute is not that narrow, however. Based on the plain language of the statute, it
requires only that a person damages “by fire or explosion” any dwelling. I.C. § 18-802. In
contrast to arson statutes in other jurisdictions, Idaho’s arson statute does not contain any
language referencing that a person “sets fire” or “starts a fire.” Compare CAL. PENAL CODE §
451 (“A person is guilty of arson when he or she willfully and maliciously sets fire to or burns or
causes to be burned . . . any structure, forest land, or property.”), and OR. REV. STAT. § 164.325
(“A person commits the crime of arson in the first degree if . . . [b]y starting a fire or causing an
explosion, the person intentionally damages . . . [p]rotected property of another . . . .”), with
UTAH CODE ANN. § 76-6-102 (“A person is guilty of arson if . . . the person by means of fire . . .
34
unlawfully and intentionally damages . . . the property of another.”), and WASH. REV. CODE §
9A.48.020 (“A person is guilty of arson in the first degree if he or she knowingly and maliciously
. . . [c]auses a fire or explosion which damages a dwelling . . . .”). Idaho’s arson statute requires
only that a person willfully cause damage by fire or explosion. Thus, Idaho’s arson statute
imposes criminal liability not only on individuals that start a fire with the human hand, but also
on individuals that cause a fire or explosion through other means.
Abdullah submits that even if he engaged in more than “mere preparation” of the crime
by intentionally pouring the gasoline, he cannot be liable for first-degree arson because he did
not provide the ignition source. Drawing an analogy to first-degree murder, Abdullah asserts that
an intentional stabbing that does not kill the victim surely cannot be considered first-degree
murder simply because the stabbing was more than “mere preparation” for the crime. The flaw
with Abdullah’s analogy, and his argument here, is that he disregards the fact that the intended
result occurred. In this case, Abdullah’s willful, unlawful conduct damaged a dwelling by fire.
Thus, the correct analogy to the crime of first-degree murder also would have to include the
intended result: the victim’s death. What this analogy makes clear is that the defendant’s possible
criminal liability is not an issue of attempt, but rather an issue of proximate cause. “An
intervening, superseding cause generally refers to an independent act or force that breaks the
causal chain between the defendant’s culpable act and the victim’s injury. The intervening cause
becomes the proximate cause of the victim’s injury and removes the defendant’s act as the
proximate cause.” State v. Lampien, 148 Idaho 367, 374–75, 223 P.3d 750, 757–78 (2009)
(citations omitted). The defendant is relieved of criminal liability only if the intervening cause is
“an unforeseeable and extraordinary occurrence.” Id. at 375, 223 P.3d at 758. “The defendant
remains criminally liable if either the possible consequence might reasonably have been
contemplated or the defendant should have foreseen the possibility of harm of the kind that could
result from his act.” Id. Based on our interpretation of Idaho’s arson statute, we recognize that in
subsequent arson prosecutions an instruction on causation may be necessary depending on the
facts of the case. Yet in this case Abdullah did not submit any issue as to causation. We will not
address whether a causation instruction would have been warranted. See State v. Zichko, 129
Idaho 259, 263, 923 P.2d 966, 970 (1996). 19
19
Even assuming Abdullah may have been entitled to a jury instruction on proximate cause, any error in the
omission of that instruction was harmless. An argument based on proximate cause is “merely one of many ways in
35
In summary, this Court recognizes that proximate cause could serve to limit criminal
liability for arson in some cases. In this case, however, Abdullah raised no such objection to the
jury instructions on arson, and he submits no such argument on appeal. Abdullah raises no other
challenge to his conviction for first-degree arson, and this Court affirms his arson conviction
because it was supported by substantial evidence. Any reasonable jury could have found the
State met its burden of proving the essential elements of arson beyond a reasonable doubt.
d. Abdullah’s convictions for three counts of attempted first-degree murder were
supported by substantial evidence.
For the three counts of attempted first-degree murder, the State alleged in the indictment
that Abdullah “willfully, unlawfully, deliberately, with premeditation, and with malice
aforethought” attempted to kill A.H., M.A., and S.S. “by setting fire” to the Siesta residence
while A.H., M.A., and S.S. were “asleep inside.” The jury was instructed that State was required
to prove Abdullah “did some act which was a step towards committing the crime of Murder in
the First Degree” of A.H., M.A., and S.S. and “when doing so” Abdullah “intended to commit
that particular crime.” The jury also was instructed on the requirements for attempt and the
elements of first-degree murder.
Abdullah argues that the evidence supporting his convictions for attempted first-degree
murder was insufficient in two respects. First, he argues that the State failed to prove the charges
which the defense may attempt to cast doubt on the State’s case.” State v. Munoz, 970 P.2d 143, 147 (N.M. 1998).
Here, it is improbable that a rational jury would find that the premature ignition broke the casual chain because
ignition is a reasonably foreseeable consequence of a substantial quantity of poured gasoline in an enclosed room
with a pilot light. For example, in People v. Sullivan, the defendant argued that his counsel was ineffective for
failing to request a jury instruction on the issue of causation on a murder charge. 6 N.E.3d 888, 896 (Ill. Ct. App.
2014). The Appellate Court of Illinois held that the defendant could not satisfy the prejudice prong of the two-part
test for ineffective assistance of counsel because it was “not reasonably probable” that the jury would have found
that the victim’s subsequent injuries, which led to the victim’s death, broke the casual chain. Id. at 898. The court
explained, “To be guilty of murder, a defendant’s acts are not required to be the sole and immediate cause of death:
it is sufficient that the defendant’s criminal acts contribute to the victim’s death.” Id. at 897. Thus, “to be a true
intervening cause, the victim’s death must be unrelated to the criminal act of the defendant.” Id. at 898. The court
determined that the defendant set in motion the chain of events which led to the victim’s death. Id. Due to the
connection between the defendant’s actions and the victim’s death, the court held that it was not reasonably probable
that jury would have found the defendant not liable based on proximate cause. Id.
In this case, the intervening act of ignition by the pilot light was not “unforeseeable and extraordinary” or
unrelated to Abdullah’s willful, criminal actions. Lampien, 148 Idaho at 375, 223 P.3d at 758. To the contrary,
Abdullah’s willful, criminal actions set in motion the chain of events that directly and irrefutably led to the ignition
of the gasoline. Applying either the harmless or fundamental error standard, Abdullah cannot prevail. Beyond a
reasonable doubt the absence of a causation instruction did not contribute to the verdict obtained, and there is not a
reasonable possibility that the absence of a causation instruction affected the outcome at trial. See State v. Perry, 150
Idaho 209, 221, 226–227, 245 P.3d 961, 973, 978–79 (2010). Any reasonable person would foresee the possibility of
premature ignition based on the volume of gasoline poured in an enclosed room where a pilot light is located. Id. at
374, 223 P.3d at 757.
36
set forth in the indictment because he did not set fire to the residence. He submits that he only
attempted to set fire to the residence before the pilot light prematurely ignited the gasoline. This
argument fails for similar reasons as discussed above regarding the arson conviction. Due to
Abdullah’s willful, criminal conduct in pouring such a large amount of gasoline to cause a
premature ignition, any reasonable jury could have found based on the evidence that Abdullah
intentionally set fire to the residence in an attempt to kill the children in the home.
Second, Abdullah argues that no evidence supports the conclusion that he had the specific
intent to kill A.H., M.A., and S.S. He submits that he was trying to rescue the children in the
Siesta residence, evidenced by the fact that N.A. was found in the backyard. As discussed in the
following section, Abdullah’s intent was a determination for the jury. Any rational jury could
conclude that the evidence of Abdullah’s removal of N.A. from the residence demonstrated that
Abdullah wanted to remove N.A. only. This evidence substantiated, rather than negated, his
intent to murder the other children. In this case, there was substantial evidence for a reasonable
jury to conclude Abdullah intended for S.S., A.H., and M.A. to die in the burning home.
Therefore, this Court affirms Abdullah’s three convictions of attempted first-degree murder
because any rational trier of fact could conclude the State proved all essential elements beyond a
reasonable doubt.
e. Abdullah’s conviction for felony injury to a child was supported by substantial
evidence.
For the charge of felony injury to a child, the State alleged in the indictment that
Abdullah “did, under circumstances likely to produce great bodily harm or death, commit an
injury upon” N.A.
by unlawfully and willfully causing or permitting the child to be placed in a
situation endangering his health or person, while having care and/or custody of
the child by setting fire to his residence . . . and fleeing to avoid capture, while
leaving the child in the backyard of the burning residence unsupervised.
The statute for this offense provides:
Any person who, under circumstances or conditions likely to produce great bodily
harm or death, willfully causes or permits any child to suffer, or inflicts thereon
unjustifiable physical pain or mental suffering, or having the care or custody of
any child, willfully causes or permits the person or health of such child to be
injured, or willfully causes or permits such child to be placed in such situation
that its person or health is endangered, is punishable by imprisonment in the
county jail not exceeding one (1) year, or in the state prison for not less than one
(1) year nor more than ten (10) years.
37
I.C. § 18-1501(1).
Abdullah submits only one challenge to this conviction. He argues that the evidence
presented at trial was insufficient to convict him of felony injury to a child because the
reasonable inferences from the evidence showed Abdullah moved N.A. from inside the burning
home to a position of relative safety at the time of ignition.
Although a conviction may be based on circumstantial evidence only if the
circumstances, as found by the jury, are consistent with the defendant[’]s guilt and
inconsistent with his innocence, the conclusion of guilt need not necessarily
follow from the circumstances in proof, but may be obtained therefrom by
probable deductions. A mere possibility of innocence will not render a verdict of
guilty a nullity.
State v. Price, 93 Idaho 615, 617, 469 P.2d 544, 546 (1970) (footnotes omitted) (internal
quotation marks omitted). By arguing that the evidence showed Abdullah was trying to save
N.A., Abdullah is simply asking this Court to displace the role of the jury. The mere possibility
that Abdullah may have intended to move N.A. from a place of danger to a place of safety does
not invalidate his conviction. “[E]ven when circumstantial evidence could be interpreted
consistently with a finding of innocence, it will be sufficient to uphold a guilty verdict when it
also gives rise to reasonable inferences of guilt.” Severson, 147 Idaho at 712, 215 P.3d at 432.
The evidence showed Abdullah placed an eighteen-month-old child in the backyard of a burning
house with a fire so intense it would burn the child if the child was not moved to an area of
safety. This evidence was more than sufficient for the jury to reach a conclusion that Abdullah
was guilty of the crime charged. “The cumulative effect of this evidence is more than adequate to
establish the ultimate fact of guilt. Where, as here, there is competent, substantial, though
conflicting, evidence to sustain a jury’s verdict, this Court will not disturb the judgment.” Price,
93 Idaho at 617, 469 P.2d at 546. Abdullah’s challenge to his conviction for felony injury to a
child fails because there was substantial evidence for a reasonable jury to find Abdullah willfully
caused N.A. to be placed in situation that endangered N.A.’s person or health. I.C. § 18-1501.
Therefore, this Court affirms Abdullah’s conviction for felony injury to a child.
4. The jury instruction on the definition of “willfully” did not cause fundamental error
at trial.
Abdullah argues that the district court’s instruction to the jury on the definition of
“willfully” for the crime of arson caused an error in the jury’s determination of guilt for first-
degree murder, three counts of attempted first-degree murder, and felony injury to a child.
38
a. Facts
The jury initially did not receive an instruction on the definition of “willfully,” even
though all of the crimes charged had a “willful” element. While deliberating, the jury submitted a
question to the district court, asking: “In the instruction No. 20 item #3 can we be given the legal
definition of ‘willfully.’” Jury Instruction 20 pertained to the elements of arson. The district court
conferred with the parties, and they agreed to provide the following definition: “An act is
‘wilfull’ or done ‘wilfully’ when done on purpose. One can act wilfully without intending to
violate the law, to injure another, or to acquire any advantage.” This definition is similar to the
Idaho Code’s definition of “wilfully,” which provides:
The word “wilfully,” when applied to the intent with which an act is done or
omitted, implies simply a purpose or willingness to commit the act or make the
omission referred to. It does not require any intent to violate law, or to injure
another, or to acquire any advantage.
I.C. § 18-101(1). The jury did not submit any further questions to the district court.
b. Standard of Review
The Court reviews this issue for fundamental error because Abdullah did not object to the
instruction. State v. Perry, 150 Idaho 209, 226, 245 P.3d 961, 978 (2010). “Whether jury
instructions fairly and adequately present the issues and state the applicable law is a question of
law over which this Court exercises free review.” State v. Humpherys, 134 Idaho 657, 659, 8
P.3d 652, 654 (2000). The Court examines the jury instructions “as a whole, not individually, to
determine whether the jury was properly and adequately instructed.” State v. Shackelford, 150
Idaho 355, 373–74, 247 P.3d 528, 600–01 (2010).
c. Analysis
Abdullah argues that it must be presumed that the jury applied the definition of willful
not only to arson, but also to every offense containing a willful element. After asserting this
presumption, Abdullah submits argument on why the definition of willful was improper for first-
degree murder, attempted first-degree murder, and felony injury to a child.
Abdullah relies on Brown v. State, 137 Idaho 529, 50 P.3d 1024 (Ct. App. 2002), to
support his assertion: “When a jury receives only one definition, it must be presumed that the
jury applied that definition.” In Brown, the defendant was charged with five counts of grand theft
by possession of stolen property, two counts of burglary, and one count of grand theft. 137 Idaho
at 532, 50 P.3d at 1027. For one of the burglary charges, the jury instructions were incomplete
39
because they did not include the definition of theft, a crime the defendant allegedly intended to
commit during the burglary. Id. at 533–34, 50 P.3d at 1028–29. The defendant claimed his
counsel was ineffective for failing to object to the incomplete instructions. Id. at 533, 50 P.3d at
1028. Due to the missing definition for theft, the Idaho Court of Appeals determined that the
instructions failed to comply with “the well-established rule that a jury must be instructed on the
State’s burden to prove every element of a charged crime.” Id. at 534, 50 P.3d at 1029. Without
deciding whether the defendant’s counsel was deficient, the Court of Appeals held that the
defendant’s ineffective assistance of counsel claim failed because he was not prejudiced by his
counsel’s performance. Id. The jury was provided with all the elements of theft in the instruction
of another charge, “theft by possession of stolen property.” Id. The Court of Appeals reasoned
“that the jury followed the only definition of theft they were given,” i.e., the jury applied the
instruction for theft by possession of stolen property to the theft alleged in the burglary charge.
Id. For this reason, the Court of Appeals concluded that “the inclusion of additional elements”
for theft in the burglary instruction “could not have prejudiced the defendant.” Id.
Based on Brown, Abdullah contends that we must presume the jury applied the only
definition of willful they were given to the other charges of first-degree murder, attempted first-
degree murder, and felony injury to a child. Brown is inapposite to the case at hand. Unlike the
theft instruction in Brown, the jury was not provided an instruction of willful at the outset of
deliberations. Thus, there is no initial presumption as in Brown that the jury applied the willful
definition to all occurrences of the term.
There is no evidence to support a presumption that the jury applied the willful definition
for arson to the remaining charges. The jury specifically requested a definition of willful for
arson, and the definition of willful was in response and attached to the jury’s question. The
nature of the jury’s request logically narrows the application of the district court’s response to
their request. Without any evidence to the contrary, this Court will not assume the jury went
beyond the scope of their question to the judge and applied the willful definition for arson to the
other offenses.
We conclude that the willful instruction for arson did not alter or affect the other jury
instructions for the crimes charged. Abdullah’s arguments with respect to the jury instruction for
first-degree murder, attempted first-degree murder, and felony injury to a child are premised on
this willful definition. No other error in the guilt phase instructions was raised to this Court with
40
adequate argument and authority, and thus Abdullah’s challenges to the guilt phase jury
instructions fail.
5. The district court did not err by admitting Angie’s out-of-court statements.
Abdullah challenges the admission of Angie’s out-of-court statements, elicited by the
State through the testimony of (1) Angie’s obstetrician Dr. Brenda Williams; (2) her nurse
practitioner Velma Seabolt; (3) her therapist Gina Wolfe Seybold; and (4) attorney Deborah
Kristal.
Abdullah argues that the district court erred by admitting the testimony of Dr. Williams,
Seabolt, Seybold, and Kristal. He asserts that this testimony was irrelevant because “Azad did
not suggest suicide during the criminal investigation; as a result, the district court erred by
admitting evidence purporting to rebut a suicide defense theory during the State’s case-in-chief.”
“Instead,” he argues, “Angie’s statements were nothing more than prejudicial, inflammatory
character evidence having little or no relationship to a state of mind inconsistent with suicide.”
He further argues that Angie’s statements to Kristal were not consistent with suicidal ideation.
a. Standard of Review
The Court “reviews questions regarding the admissibility of evidence using a mixed
standard of review. First, whether the evidence is relevant is a matter of law that is subject to free
review.” State v. Shackelford, 150 Idaho 355, 363, 247 P.3d 582, 590 (2010) (citation omitted).
“Second,” the Court reviews “the district court’s determination of whether the probative value of
the evidence outweighs its prejudicial effect for an abuse of discretion.” Id.
b. Analysis
i. Testimony of Dr. Williams, Seabolt, and Seybold
Dr. Williams, Angie’s obstetrician, testified that Angie requested a tubal ligation
following the delivery of M.A. Dr. Williams explained that her standard approach is to discuss
whether a vasectomy is a more reasonable option because it is less invasive and less expensive,
and she believed that she discussed that option with Angie. Dr. Williams testified that Angie
responded that “her husband would not have a vasectomy and that she wanted a tubal ligation.”
Dr. Williams also testified, “It was very clear that Angie had made this decision on her own, that
she would undergo sterilization; that not being sterilized, for her, was not an option regardless of
her situation.” Dr. Williams stated, “Not that I recall,” when asked by the prosecutor, “Did the
defendant come to attend to his wife after her [tubal ligation]?” Dr. Williams’s testimony was
41
admitted pursuant to the hearsay exception in Idaho Rule of Evidence (I.R.E.) 803(4) for medical
diagnosis and treatment.
Seabolt was Dr. Williams’s primary nurse practitioner and assisted her in Angie’s care.
During a prenatal visit while Angie was pregnant with M.A., Seabolt testified that she had a
conversation with Angie regarding the condition of her marriage. Seabolt explained:
Angie said that -- it was probably the last trimester, she said that she was going to
get a divorce, but she had to stay married until after the pregnancy because she
didn’t have any health insurance, and she was a housewife at the time so she
couldn’t afford the children. So she said that she was going to pursue a divorce
after the pregnancy.
Seabolt’s testimony also was admitted pursuant to the exception in I.R.E. 803(4) for medical
diagnosis and treatment.
Seybold was a therapist in private practice, and she had counseled Angie on and off for
approximately seven years. She testified to Angie’s view of her marriage in the spring of 2002.
She explained:
In the spring of 2002 there had been events that she had experienced with Mr.
Abdullah that led her to believe that he was being unfaithful. And she was very
concerned about her relationship with him. I think she struggled for a couple of
years with issues of infidelity, and I believe toward the last when I saw her there
was a concern that he was bringing pornography though the computer ---
Abdullah immediately objected, but only to Seybold’s statement that Angie said Abdullah “was
bringing pornography through the computer.” The district court sustained Abdullah’s objection,
struck the “last answer” on pornography, and instructed the jury to disregard it.
As to Dr. Williams’s testimony of the tubal ligation and vasectomy, there was no error.
The transcript reveals that Abdullah did not challenge the relevancy of these statements at trial.
Abdullah specifically objected on hearsay grounds. He submitted no argument as to relevancy.
Indeed, the district court found that the evidence was relevant and stated on the record
“[A]pparently [defense] counsel agrees with me.” Abdullah responded, “Well, I have thoroughly
read the . . . sections that are relevant, so I can see the Court’s point.” Further, the district court
actually sustained Abdullah’s objection in part, finding that the State could not ask Dr. Williams
about Angie’s general feelings toward sterilization. Finally, we note that Abdullah submits on
appeal that Dr. Williams’s testimony was not relevant because it was inconsistent with suicide,
but the record plainly indicates that the district court found Dr. Williams’s testimony relevant on
other grounds—for which Abdullah submits no argument. Based on our review of the record, we
42
conclude that the district court properly determined that Dr. Williams’s testimony was relevant
and exercised its discretion pursuant to I.R.E. 403. Moreover, we conclude that any challenge as
to the admission of Dr. Williams’s testimony pursuant to I.R.E. 803(4) is waived. Abdullah
provides no argument or authority on this issue. See State v. Zichko, 129 Idaho 259, 263, 923
P.2d 966, 970 (1996).
As to Seabolt’s testimony of Angie planning to divorce Abdullah after her pregnancy, the
transcript again reveals that Abdullah did not object on relevancy or I.R.E. 403 grounds. Instead,
he objected on the basis that Seabolt’s testimony as to the condition of Angie’s marriage was
“beyond the scope of treatment” to fall within the hearsay exception in I.R.E. 803(4). On appeal,
Abdullah has submitted no argument or authority as to this hearsay exception. Abdullah has
waived any issue regarding the admissibility of Seabolt’s testimony See Zichko, 129 Idaho at
263, 923 P.2d at 970.
As to Seybold’s testimony, the transcript again illuminates the real issues discussed by
the parties and the court. The record shows that Abdullah only objected to Seybold’s statement
regarding pornography, which was sustained by the district court. On appeal, Abdullah raises no
issue with the district court’s ruling on the pornography statement, and he fails to provide any
argument to show that Seybold’s testimony regarding Abdullah’s unfaithfulness was improperly
admitted by the district court. Abdullah has waived his appeal of the admissibility of Seybold’s
testimony. See Zichko, 129 Idaho at 263, 923 P.2d at 970.
ii. Testimony of Kristal
Kristal, an attorney in general practice, met with Angie on September 9, 2002, about four
weeks before her death and about one week before she gave birth to M.A.
Immediately prior to Kristal’s testimony of Angie’s statements during their meeting,
Abdullah objected. The district court overruled the objection and discussed its ruling with the
parties:
[THE COURT:] This is -- the statements that are about to be admitted are
not testimonial statements that would be -- to which Crawford would apply. I
want to make it clear that although it appears that the defense is suggesting that
what we’re talking about with the so-called state of mind exception is 803
subsection 3, then-existing mental, emotional, or physical condition, but that’s, in
fact, not what we’re talking about.
What we’re talking about is out of court statements which, regardless of
their truth, imply the -- in this case -- the intention, motive, or a particular state of
43
mind of the person making the declaration. In this case, Ms. Abdullah. That’s all
they’re being offered for.
What I’m going to do is I’m going to allow them because they are being
offered only as circumstantial evidence to establish her state of mind in the weeks
leading up to her death.
In particular, in this case, they are relevant for several reasons. One of
those reasons is, as I understand it, the defense in the case is that Ms. Abdullah
committed suicide. And so these statements clearly go to what was going on in
her mind at that time. But they also go to what she was thinking about in the
weeks leading up to her death.
Before -- before Ms. Kristal will continue her testimony, and we’ll go
down that path, I’m going to instruct the jury -- I’m going to give them a limiting
instruction which indicates they’re about to hear testimony about certain
statements that may have been made by Ms. Abdullah to her attorney. Those
statements are not being offered -- and I’m going to tell them this -- they’re not
being offered for the truth of the statements made by Ms. Abdullah, but they’re
being offered solely to establish the state of mind that Ms. Abdullah had in talking
to her attorney, and they’re not to consider it for any other purpose.
Does either party object to that limiting instruction given?
MS. DUNN [the prosecutor]: No, Your Honor.
MR. TORYANSKI: No objection.
THE COURT: So I’m overruling the objection. We can bring in the jury.
And also, just for the record, I do understand that this is a matter of
discretion for the Court, and in making that determination I have also applied a
403 analysis and determined in looking at the probative value of the statements
and what they’re being offered for, their probative value is not significantly
outweighed by any potential substantial prejudice to the defendant, and it’s not --
will not be a waste of the jury’s time or confuse the issues. 20
20
The district court had previously ruled on the admissibility of Kristal’s testimony before the State called Kristal as
a witness. The State wanted to give the district court and Abdullah a “heads up” on their witness. Abdullah objected
to Kristal’s testimony, arguing that it was not probative because Angie’s state of mind did not go to whether
Abdullah harmed her or set the Siesta residence on fire and there were no facts showing that Abdullah was aware of
her state of mind. The district court ruled:
We have evidence already here, and that I believe was his coworker who testified that divorce was
not acceptable, at least in his view, in the Muslim faith and that we -- and if we have evidence that
she had actually sought the advice of a lawyer for the -- for a couple of purposes, but one of those
purposes was for a divorce, then it seems to me that that is relevant and probative to the -- in my
view, anyway, it’s probative to potential motive and to the State’s contention that he is in fact the
person who did this crime. And in this case -- so I do think it’s relevant.
I also think that it is nonhearsay because it goes -- it’s being offered for state of mind.
And I have done a 403 analysis and have found that it is probative, and it’s [sic] probative value is
not substantially outweighed by the danger of unfair prejudice to the defendant, nor is it likely to
confuse the issues or mislead the jury. And it certainly doesn’t unduly delay the -- or result in a
needless presentation of cumulative evidence. So it seems to me that it is admissible.
And I do understand, again, that rulings of this nature are within the sound discretion of
the court. And so unless there is some other problem with this testimony that has not been
identified for me, then I’m going to allow this testimony to come in.
44
Kristal then testified to numerous statements made by Angie during their meeting. Kristal
testified that Angie said, “My mom thinks I’m down here getting a divorce, but I’m not sure I’m
ready for that, I just want to talk to you about that.” Kristal testified that Angie said “she was
concerned about the present financial status and what would happen if she got divorced.” Kristal
stated that Angie also met with her because she wanted to make a formal will “that would cover
the child that she was pregnant with and her other son [N.A.]” Kristal explained that Angie had a
Muslim will for A.H. According to Kristal’s testimony, Angie told her: (1) “her husband wasn’t
good with money, he wasn’t trustworthy with money”; “[b]ills were unpaid”; and “he was just so
bad with money”; (2) she had to borrow $3,000 from her credit card to pay back Abdullah’s
brother after Abdullah used $3,000 from his brother for a trip to Mecca; (3) after experiencing
preterm labor in Nashville and being advised by her doctor to go to Boise, Angie had to borrow
money from family to return to Boise because Abdullah did not want her to go back or did not
have the money; (4) Abdullah had listed her house for sale, although the house was in her name;
(5) Abdullah had been accepted for religious studies in Saudi Arabia and South Africa; Angie
refused to go to Saudi Arabia; Angie considered South Africa “because they spoke English
there,” but she “just wasn’t sure with the state of her marriage that she wanted to be that far away
and that she wanted to do it”; (6) “[s]he was concerned that he would take the children” if there
was a divorce; (7) either “my husband isn’t a good man or my husband isn’t a nice man,” and
“he’s very controlling and he can’t be trusted,” but there was no physical abuse; (8) Abdullah
had an affair with “two girls” when she was pregnant with N.A.; (9) before going forward with
the divorce, she was going to wait to have the baby and also contact an elder in the Muslim
community to “talk some sense into him” or “save their marriage”; (10) “she wasn’t sure that she
wanted to go home to her husband that night”; and (11) she had left Abdullah before and he had
“made her come back.” Abdullah did not object to any of these specific statements.
On cross-examination, Kristal testified that Angie told her: (1) to send the legal bill in
care of her mother and to not telephone the house because she did not want Abdullah to know of
her visit; (2) Abdullah would take the children out of the United States if they divorced; (3) “he
was not the religious person that he portrayed himself to be because in order to go to Mecca,
you’re not supposed to do it unless you can do it without harming your family”; and (4)
Abdullah did not have a driver’s license, which showed “how he was irresponsible and didn’t
think the laws applied to him.”
45
We first observe that some of the allegedly inadmissible statements identified by
Abdullah in his brief were elicited by the defense on cross-examination. Abdullah cannot
complain of any error in out-of-court statements he elicited. State v. Gleason, 123 Idaho 62, 66,
844 P.2d 691, 695 (1992) (“Appellant cannot now be heard to denounce testimony that he
roused. This constitutes invited error.”).
We conclude that Kristal’s testimony was relevant. Statements of the declarant-victim’s
state of mind may be admitted “only after a determination that (1) the declaration is relevant, and
(2) the need for and value of such testimony outweighs the possibility of prejudice to the
defendant.” State v. Shackelford, 150 Idaho 355, 364, 247 P.3d 582, 591 (2010) (citing State v.
Garcia, 102 Idaho 378, 382, 630 P.2d 665, 669 (1981)). The Court has recognized “four well-
defined categories in which a declarant-victim’s state of mind is relevant because of its
relationship to the legal theories presented by the parties.” Id. The four categories are:
(1) when the defendant claims self-defense as justification for the killing; (2)
when the defendant seeks to build his defense around the fact that the deceased
committed suicide[,] evidence introduced which tends to demonstrate that the
victim made statements inconsistent with a design to take his or her own life is
relevant; (3) when the defendant claims the killing was accidental; and (4) when a
specific “mens rea” is in issue.
Id. (citing State v. Goodrich, 97 Idaho 472, 477 n.7, 546 P.2d 1180, 1185 n.7 (1976)). In regard
to the second category of the suicide defense, the Court stated that “where defendant seeks to
defend on the ground that the deceased committed suicide, evidence that the victim had made
statements inconsistent with a suicidal bent are highly relevant.” Garcia, 102 Idaho at 382, 630
P.2d at 669 (quoting United States v. Brown, 490 F.2d 758, 767 (D.C. Cir. 1973)). Here,
Abdullah focuses on the second category, that of a suicide defense. He raises no argument with
respect to the other three categories.
In Shackelford, the Court held that the district court erred by admitting the victim’s out-
of-court statements, which were inconsistent with suicide, because the statements were not
relevant. 150 Idaho at 363–66, 247 P.3d at 590–93. The Court explained that “to determine
whether the statements here were relevant to rebut a defense theory of suicide,” the Court first
“must determine whether there was a defense theory of suicide.” Id. at 365, 247 P.3d at 592. In
that case, the Court determined that the defense “did not present a theory of suicide during the
trial itself.” Id. at 366, 247 P.3d at 593. “Instead, the State offered testimony regarding
Shackelford’s statements during the initial investigation about suicide, and the defense merely
46
offered testimony to show that any mention Shackelford made of suicide during the initial
investigation did not affect the investigation in any way.” Id. Those statements made during the
criminal investigation “were not sufficient to allow rebuttal of a defense theory of suicide.” Id. at
365–66, 247 P.3d at 592–93. Therefore, the Court held that the district court erred in allowing
the State to introduce the victim’s out-of-court statements to show a state of mind inconsistent
with suicide. Id. at 366, 247 P.3d at 593.
Although the evidence was inadmissible in Shackelford, the Court limited its holding. We
cautioned: “We are not excluding the possibility that a defendant could make statements during a
criminal investigation that would create a theory of defense such that the State would find it
necessary to offer evidence in their case-in-chief or as rebuttal during trial.” Id. at 366, 247 P.3d
at 593. The Court also stated that “in State v. Radabaugh, [93 Idaho 727, 471 P.2d 582 (1970)]
this Court did not expressly condition the admission of state of mind evidence on it being offered
to rebut a defense theory.” Shackelford, 150 Idaho at 365, 247 P.3d at 592. Thus, this Court has
recognized that other representations by the defendant could open the door for the admission of
relevant evidence during the State’s case-in-chief regarding the defense’s suicide theory.
Limiting our conclusion to the facts here, we conclude that Abdullah made sufficient
representations to permit the State to present evidence of Angie’s out-of-court statements to
show a state of mind inconsistent with suicide. In this case, the district court stated to the parties
during one of its rulings on the admissibility of Angie’s out-of-court statements that “as I
understand it, the defense in the case is that Ms. Abdullah committed suicide.” Abdullah voiced
no objection to the district court’s assessment of his case, and he had represented to the district
court earlier in the trial that suicide was a defense. Moreover, Abdullah has provided no evidence
to support a finding that he was compelled to present a suicide defense due to the State’s
preemptive presentation of witnesses to rebut that defense. Abdullah questioned the jurors during
voir dire on suicide and questioned the State’s witnesses on depression, antidepressant
medication, and suicidal ideation. Even though there is no showing that Abdullah explicitly
made statements during a criminal investigation to create a suicide defense theory, whether or
not Angie committed suicide was a central issue throughout the trial, making it permissible for
the State to offer evidence of Angie’s state of mind during its case-in-chief. Shackelford, 150
Idaho at 366, 247 P.3d at 593. The State may always present evidence which excludes other
agents or theories of death. See 40A AM. JUR. 2d Homicide § 271 (“The state may also present
47
evidence of the victim’s character, habits, traits, and relationships to negate theories of suicide,
natural death, accidental death, justifiable or excusable homicide, or continuing life in absentia,
as part of the circumstantial evidence tending to prove the corpus delicti.”). Therefore, based on
the facts of this case, the State was permitted to offer evidence in their case-in-chief regarding
the defense’s suicide theory.
We further reject Abdullah’s argument that Angie’s out-of-court statements were
irrelevant as to whether Angie committed suicide or had suicidal ideations. Angie’s out-of-court
statements were inconsistent with “a design to take his or her own life” or a “suicidal bent” and
thus relevant. Shackelford, 150 Idaho at 364, 247 P.3d at 591; Garcia, 102 Idaho at 382, 630
P.2d at 669.
We also conclude that the district court properly admitted Angie’s out-of-court
statements on nonhearsay grounds. Generally, hearsay is inadmissible except as provided by the
Idaho Rules of Evidence or by the rules promulgated by this Court. Shackelford, 150 Idaho at
364, 247 P.3d at 591; I.R.E. 801, 802. Out-of-court statements of the declarant’s state of mind
can be offered pursuant to the state of mind exception to the hearsay rule, I.R.E. 803(3), 21 but
those statements of state of mind also can be offered for a nonhearsay purpose.
Offering evidence under the state of mind exception to the hearsay rule is
different from offering it for a non-hearsay purpose such as to show the
declarant’s state of mind, in that the exception to the hearsay rule is invoked when
a statement is offered for the truth of the matter asserted and shows the declarant’s
state of mind, whereas the mere utterance of a statement, without regard to its
truth, may indicate circumstantially the declarant’s state of mind, and is not
hearsay.
23 C.J.S. Criminal Law § 1179 (2014). See also 2 KENNETH S. BROUN, MCCORMICK ON
EVIDENCE §§ 274–275 (7th ed. 2014); 29 AM. JUR. 2d. Evidence § 677 (2014). For example, “I
hate X” offered under the state of mind exception to the hearsay rule goes to the truth of the
matter asserted and the declarant’s state of mind. Smith v. Duncan, 411 F.3d 340, 346 n.4 (2d
Cir. 2005). In contrast, “I am Napoleon” as non-hearsay goes to the declarant’s state of mind, but
not to the truth of the matter asserted. Id. As explained by the Court in Radabaugh:
21
I.R.E. 803(3) provides the following as an exception to the hearsay rule:
A statement of the declarant’s then existing state of mind, emotion, sensation, or physical
condition (such as intent, plan, motive, design, mental feeling, pain, and bodily health), but not
including a statement of memory or belief to prove the fact remembered or believed unless it
relates to the execution, revocation, identification, or terms of declarant’s will.
48
Declarations showing the declarant’s then presently existing state of mind are
admissible when relevant. If the declaration is offered to evidence the declarant’s
state of mind circumstantially, the hearsay rule is not encountered. If the
declaration is offered for the truth of the fact asserted, as whether the declaration
is “I hate X,” the declaration is hearsay but is admissible under the state-of-mind
exception to the hearsay rule. Since the declaration is admissible in either event, it
seems of no practical importance to determine in a given instance whether the
declaration offered to show the declarant’s existing state of mind is technically
hearsay or non-hearsay.
93 Idaho at 731, 471 P.2d at 586 (citation omitted) (quoting RICHARDSON ON EVIDENCE, § 270,
pp. 260, 261, 9th ed. (1964)). In this case, the district court limited the admissibility of Angie’s
statements to the nonhearsay purpose of circumstantially showing her state of mind. The district
court clearly ruled that the state of mind hearsay exception in I.R.E. 803(3) did not apply to
Angie’s statements. For this reason, Abdullah’s argument is misplaced by focusing solely on the
hearsay exception in I.R.E. 803(3). Based on the record, we conclude that the district court
properly admitted Angie’s statements as nonhearsay. We also conclude that the district court
properly exercised its discretion pursuant to I.R.E. 403.
iii. Harmless error
Finally, we conclude that any error in the admission of Dr. Williams, Seabolt, Seybold, or
Kristal’s testimony of Angie’s out-of-court statements was harmless. According to Abdullah, this
evidence was improperly admitted to show Abdullah was “a bad husband” and to prejudice the
jury against him. Assuming all of Angie’s out-of-court statements were inadmissible, any error
beyond a reasonable doubt did not contribute to the verdict obtained based on the overwhelming
evidence against Abdullah and the district court’s instructions to the jury. See State v. Perry, 150
Idaho 209, 221, 245 P.3d 961, 973 (2010).
6. The district court did not err by admitting Abdullah’s out-of-court statements.
a. Facts
Outside the presence of the jury, the State informed the district court that it intended to
elicit testimony from Abdullah’s former co-worker, Ed Reagles, about a statement made by
Abdullah that “in Kurdistan it is not illegal to kill your wife if she is . . . unfaithful to you.”
Abdullah argued that the statement was not probative and the prejudice vastly outweighed any
probative value. The district court admitted Abdullah’s statement, explaining that the statement
was relevant because “it certainly does go to Mr. Abdullah’s state of mind, especially in the
months leading up to what occurred in October” and “if the words are accurately reflected that
49
‘we’ --- so he’s still associating himself with this country . . . it is something that is odd for him
to pick out in the months leading up to the fire and death of Ms. Abdullah.” Although it was “a
very close question,” the district court concluded that the probative value was not substantially
outweighed by the danger of unfair prejudice.
Reagles told the jury he was driving with Abdullah and a few other co-workers to lunch
in the summer of 2002. Another co-worker asked Abdullah about the “differences in cultures.”
Reagles explained, “And so he [the co-worker] wanted to know, he said, you know, tell me
something about, you know, what it’s like over there versus here in the United States.” Reagles
testified that Abdullah said in response “it was legal to kill your spouse where he was from as
long as you explained it to his -- or excuse me, the daughter’s family and then made an offering
of some sort, of money or something.” Reagles clarified that Abdullah did not say spouse, but
rather “wife.” Reagles testified that Abdullah did not explain anything about the “offering” and,
to the best of Reagle’s recollection, Abdullah did not make any other comments regarding the
cultural differences.
On cross-examination, the defense elicited testimony that Abdullah did not (1) “state that
he thought it was a good idea”; (2) “state that he agreed with what he said they’d do over there”;
(3) “say that he endorsed the idea”; or (4) “express his feeling that that’s something that should
be adopted in America.”
On redirect examination Reagles repeated the statement by Abdullah: “It was, you know,
it’s okay to kill your wife as long as you -- you know, if she was unfaithful -- as long as you
explain to her parents, you know, why and made them an offering.” On recross-examination, the
defense asked Reagles if Abdullah used the word “unfaithful,” and Reagles responded, “Not
unfaithful. I’m sorry. The word was . . . [i]f you cheated on your wife or if your wife cheated on
you. That was it.” He testified that Abdullah did not indicate to him that he felt Angie had been
unfaithful.
Another co-worker, Rod Adams, corroborated Reagles’s testimony. Adams testified that
in July or August of 2002, while driving to lunch with Reagles, Abdullah, and a few other co-
workers, Abdullah “mentioned that in his country it was an acceptable practice to murder or have
your wife murdered if she did commit adultery.” Adams recalled that they were having a
conversation about the cultural differences between northern Iraq and America. He explained,
50
“We are just talking about some cultural differences, and the subject of adultery was brought
up.” Adams did not remember anything else about the conversation on that topic.
On cross-examination, Adams acknowledged: (1) there was no discussion “about what a
wife could do” if her husband committed adultery; (2) Abdullah did not “indicate that he thought
that it was a good idea”; (3) Abdullah did not “indicate in any way that he personally adopted . . .
this practice”; (4) Abdullah did not “express that he thought that this practice should be
implemented here in the United States”; and (5) Abdullah did not “mention his wife at all during
this conversation.”
b. Standard of Review
The Court “reviews questions regarding the admissibility of evidence using a mixed
standard of review. First, whether the evidence is relevant is a matter of law that is subject to free
review.” State v. Shackelford, 150 Idaho 355, 363, 247 P.3d 582, 590 (2010) (citation omitted).
“Second,” the Court reviews “the district court’s determination of whether the probative value of
the evidence outweighs its prejudicial effect for an abuse of discretion.” Id. Due to Abdullah’s
preservation of this issue with an objection, the Court reviews the admission of Abdullah’s
statement under the harmless error standard. Perry, 150 Idaho at 221, 227, 245 P.3d at 973, 979.
c. Analysis
Abdullah argues that the district court erred by admitting his statement because it was not
relevant. He further argues that the danger of unfair prejudice from Reagles’s and Adam’s
testimony far outweighed its probative value.
Evidence is relevant if it has “any tendency to make the existence of any fact that is of
consequence to the determination of the action more probable or less probable than it would be
without the evidence.” I.R.E. 401. “Whether a fact is ‘of consequence’ or material is determined
by its relationship to the legal theories presented by the parties.” Shackelford, 150 Idaho at 364,
247 P.3d at 591 (quoting State v. Yakovac, 145 Idaho 437, 444, 180 P.3d 476, 483 (2008)). Here,
Abdullah was charged with first-degree murder, which requires proof of deliberation,
premeditation, willfulness, and malice aforethought. I.C. §§ 18-4001–-4003(a). A statement by
the defendant regarding an acceptable circumstance to murder the victim makes the existence of
that mental state “more probable . . . than it would be without the evidence.” I.R.E. 401. Thus,
Abdullah’s statement was relevant to illustrate his state of mind in the months prior to Angie’s
51
death and his motive. There was no error in the admission of Abdullah’s statement on relevancy
grounds.
I.R.E. 403 requires the exclusion of relevant evidence “if its probative value is
substantially outweighed by the danger of unfair prejudice, confusion of the issues, or misleading
the jury.” I.R.E. 403. In this case, Abdullah’s statement was prejudicial because it supports an
inference that Abdullah believed he could kill his wife without offending those in his community
with similar views. However, Abdullah’s statement was highly probative for the very same
reason. The statement assists the State in proving its case because it goes directly towards
Abdullah’s state of mind and motive for the murder. “[A]lmost all evidence in a criminal trial is
demonstrably admitted to prove the case of the state, and thus results in prejudice to a
defendant.” State v. Leavitt, 116 Idaho 285, 290, 775 P.2d 599, 604 (1989). Hence, “[t]he fact
that certain evidence is horrifying and gruesome, is not in and of itself sufficient reason for
exclusion.” Id. Exclusion is necessary only if the probative value is substantially outweighed by
the danger of unfair prejudice. I.R.E. 403. This balancing test is a discretionary decision for the
district court. State v. Almaraz, 154 Idaho 584, 591, 301 P.3d 242, 249 (2013). The district court
in this case recognized Abdullah’s statement was prejudicial, but the probative value was not
substantially outweighed by the danger of unfair prejudice. Based on the record, the district court
perceived the admission of Abdullah’s out-of-court statements as a matter of discretion, acted
within the outer boundaries of its discretion and consistently within I.R.E. 403, and reached its
decision to admit the statements through an exercise of reason. There was no error. See Perry,
150 Idaho at 221, 227, 245 P.3d at 973, 979.
7. The district court did not err by excluding evidence of Angie’s life insurance
policies.
a. Facts
Approximately five years before her death and about three years before her marriage to
Abdullah, Angie purchased a $500,000 life insurance policy for herself and a $250,000 policy
for A.H. Angie kept these policies current until her death. The State filed a motion in limine to
exclude this evidence as irrelevant. Abdullah argued the evidence was relevant because (1) it
supported the defense theory that Angie committed suicide; (2) it showed Angie was untruthful
based on misrepresentations and omissions on the policy applications; and (3) it countered the
State’s theory that Abdullah murdered Angie to obtain insurance money. As evidence of Angie’s
untruthfulness on the insurance applications, the district court recognized that Angie was not
52
testifying and therefore concluded that the evidence was irrelevant and the danger of unfair
prejudice substantially outweighed its probative value. As evidence of Angie’s suicide, the
district court determined that the evidence was irrelevant and prejudicial because “the bare fact”
that she had life insurance did not make it more likely that she committed suicide.
Abdullah raised the admissibility of evidence of Angie’s life insurance policies again at
trial. He argued that the evidence of the policies was relevant to rebut the State’s claim that
Abdullah had a financial incentive for the murder because Abdullah was not a beneficiary under
those policies. He also argued that it was relevant because the State elicited at trial that Angie
had taken out a loan on the policy. The district court again concluded that the evidence was
irrelevant and the probative value did not outweigh the danger of unfair prejudice, confusing the
issues, and waste of time.
b. Standard of Review
The Court “reviews questions regarding the admissibility of evidence using a mixed
standard of review. First, whether the evidence is relevant is a matter of law that is subject to free
review.” Shackelford, 150 Idaho at 363, 247 P.3d at 590 (citation omitted). “Second,” the Court
reviews “the district court’s determination of whether the probative value of the evidence
outweighs its prejudicial effect for an abuse of discretion.” Id. The Court reviews the district
court’s exclusion of evidence of Angie’s life insurance policy under the harmless error standard.
Perry, 150 Idaho at 221, 227, 245 P.3d at 973, 979.
c. Analysis
Even if the existence of the life insurance policy was relevant, the district court properly
exercised its discretion to determine the probative value was substantially outweighed by the
danger of unfair prejudice, confusing the issues, and waste of time. I.R.E. 403. As alleged by
Abdullah, the existence of life insurance policies was probative to show Abdullah had less
financial incentive for the murder because he was not a beneficiary to Angie’s policy. This
probative value was minimal in relation to the danger of unfair prejudice, confusing the issues,
and waste of time. The life insurance policy evidence did not alter the fact that Abdullah took out
the vending machine insurance policies shortly before Angie’s death. The life insurance policies
were an extraneous piece of information that had little to do with the case. The district court did
not err by excluding evidence of Angie’s life insurance policies. Further, any error was harmless
53
because beyond a reasonable doubt any error in the exclusion of Angie’s life insurance policy
did not contribute to the verdict obtained. Perry, 150 Idaho at 221, 227, 245 P.3d at 973, 979.
8. The alleged instances of prosecutorial misconduct did not cause fundamental error
at trial.
Abdullah identifies four instances of alleged prosecutorial misconduct. Abdullah argues
that these four instances of misconduct individually and cumulatively caused fundamental error
and entitle him to a new trial.
a. Standard of Review
“Where prosecutorial misconduct was not objected to during trial, this Court may only
reverse when that misconduct constitutes a fundamental error.” State v. Adamcik, 152 Idaho 445,
480, 272 P.3d 417, 452 (2012) (citing Perry, 150 Idaho at 227, 245 P.3d at 979).
b. Analysis
“Where a prosecutor attempts to secure a verdict on any factor other than the law as set
forth in the jury instructions and the evidence admitted during trial, including reasonable
inferences that may be drawn from that evidence, this impacts a defendant’s Fourteenth
Amendment right to a fair trial.” Perry, 150 Idaho at 227, 245 P.3d at 979.
As public officers, prosecutors have a duty to ensure that defendants
receive fair trials. State v. Irwin, 9 Idaho 35, 43–44, 71 P. 608, 610–11 (1903). In
carrying out this duty, a prosecutor must “guard against anything that would
prejudice the minds of the jurors, and tend to hinder them from considering only
the evidence introduced.” Id. at 44, 71 P. at 611. A prosecutor must also ensure
that the jury receives only competent evidence. State v. Christiansen, 144 Idaho
463, 469, 163 P.3d 1175, 1181 (2007).
State v. Severson, 147 Idaho 694, 715, 215 P.3d 414, 435 (2009). “However, in reviewing
allegations of prosecutorial misconduct the Court must keep in mind the realities of trial. A fair
trial is not necessarily a perfect trial.” State v. Ellington, 151 Idaho 53, 62, 253 P.3d 727, 736
(2011) (citation omitted).
i. The prosecutor’s comment on a witness’s inability to identify Abdullah at
a pretrial proceeding was not misconduct.
The first alleged error occurred during the prosecutor’s reference in closing argument to a
judicially-noticed fact from the direct examination of Marjorie Wood, the clerk at the Chevron
gas station in Mountain Home. At trial, Wood identified Abdullah as the person she saw inside
the Chevron gas station a little after midnight on October 5, 2002, during her shift. She also
testified that two police officers showed her a photograph depicting Abdullah during her shift on
54
October 11, 2002, and she had identified the person in the photograph as the same person from
October 5, 2002. She testified that she had “[n]o doubt in my mind” and was “100 percent” sure
“at the time” the person from the photograph was the same person from October 5, 2002.
However, she testified that she was only “80 percent” sure when identifying Abdullah in court as
the person from the Chevron gas station on October 5, 2002, because “[i]t’s been a long time, a
couple of years.” Wood then acknowledged that she had testified at pretrial proceedings when
Abdullah was not present. Following this testimony, the prosecutor proposed:
Your Honor, I would ask if you would be willing to take judicial notice of the fact
that the defendant had actually been removed from a prior proceeding when Ms.
Wood testified approximately a year ago at a time she would have been able to
make an identification at a time more recent in her memory to the actual event.
The district court asked if defense counsel objected and counsel responded, “No, Judge.” The
district court then took “judicial notice of the fact that the last time that Ms. Wood testified in
front of this court the defendant had actually been removed from the court at that time.” The
prosecutor asked the district court to clarify that Abdullah’s removal from the court was at the
defense’s request, but Abdullah objected and the district court said, “I’m not going to respond to
that. The fact is that I’ll take judicial notice of the fact that the defendant was not present during
that testimony when she was here in the courtroom.” During closing argument, the prosecutor
referenced Wood’s testimony, stating:
There was something about [Abdullah] that struck Marjorie Wood so
significantly that she remembered him. When the police came to her store on
October 11th, sometime after 11:00 o’clock, put that picture down, she knew who
that was. She remembered it. . . . What did he do? She hasn’t so much seen a
picture of this man in two years. She’s been to court before.
You learned in the course of her testimony that on the prior court
appearance, not the trial, but some earlier court appearance, the defendant caused
himself to be removed from the room so she could not see him and yet here she
came two years later. Of course, she can be as certain today as she was two years
ago.
Abdullah argues that the prosecutor’s closing argument on his absence was prejudicial and akin
to comments on his right to remain silent. He also contends that the prosecutor intended to
inflame the passion and prejudice of the jury by suggesting Abdullah was absent from the earlier
proceeding to hide from Wood.
Abdullah has failed to provide this Court with authority to establish “a due process right
to be absent from the prior hearing to avoid a suggestive pretrial identification procedure.” The
55
United States Supreme Court has “held that the Due Process Clause requires courts to assess, on
a case-by-case basis, whether improper police conduct created a ‘substantial likelihood of
misidentification.’” Perry v. New Hampshire, 132 S. Ct. 716, 724 (2012) (quoting Neil v.
Biggers, 409 U.S. 188, 201 (1972)). The United States Supreme Court explained, however, that
“the potential unreliability of a type of evidence does not alone render its introduction at the
defendant’s trial fundamentally unfair.” Id. at 728. With this caveat, the United States Supreme
Court concluded: “The fallibility of eyewitness evidence does not, without the taint of improper
state conduct, warrant a due process rule requiring a trial court to screen such evidence for
reliability before allowing the jury to assess its creditworthiness.” Id. Therefore, contrary to
Abdullah’s argument, the United States Supreme Court precedent stands for a due process right
to exclude eyewitness identifications based on a number of factors. Id. at 730 (Thomas, J.,
concurring) (“The Court correctly concludes that its precedents establish a due process right to
the pretrial exclusion of an unreliable eyewitness identification only if the identification results
from police suggestion.”). These cases do not create a due process right to be absent from a
potentially unreliable misidentification.
The right advocated by Abdullah arguably is more in line with the right to remain silent.
The Fifth and Fourteenth Amendments of the U.S. Constitution, as well as Article
I, section 13 of the Idaho Constitution, guarantee a criminal defendant the right
not to be compelled to testify against himself. U.S. CONST. amends. V, XIV;
IDAHO CONST. art. I, § 13. The U.S. Supreme Court has interpreted this right also
to bar the prosecution from commenting on a defendant’s invocation of that right.
Griffin v. California, 380 U.S. 609, 613–14 (1965).
Ellington, 151 Idaho at 60, 253 P.3d at 734. But unlike the right to remain silent, which is rooted
in the Fifth Amendment, Abdullah has failed to point to any authority to establish a
constitutional right to be absent at a pretrial proceeding. To the contrary, criminal defendants
have “the right to be present at all stages of a criminal proceeding ‘if absence could, under some
set of circumstances, be harmful.’” State v. Wood, 132 Idaho 88, 108, 967 P.2d 702, 722 (1988)
(quoting State v. Crawford, 99 Idaho 87, 95, 577 P.2d 1135, 1143 (1978)). Without a right to be
absent from a proceeding, there is no constitutional basis for the prosecutor to be precluded from
commenting on that absence, unless the comment itself is sufficiently egregious to result in
fundamental error. See Perry, 150 Idaho at 219, 245 P.3d at 971.
The prosecutor’s statement was not so egregious as to prejudice the minds of the jurors.
The purpose of the prosecutor’s statement regarding Abdullah’s absence was to bolster Wood’s
56
credibility. Wood acknowledged that she was only eighty percent sure at trial when she
identified Abdullah as the person in the gas station on October 5, 2002, even though she had no
doubt when she identified him to the police shortly after the crime. To counter an inference by
the jury that Wood’s confidence in her identification has deteriorated over time, the prosecutor
introduced Abdullah’s absence at the earlier proceeding to show that Wood had not had an
opportunity in over two years to identify Abdullah. The focus of the prosecutor’s remarks was
not on Abdullah intentionally hiding from a witness to avoid identification. Moreover,
Abdullah’s argument is a moot point because he conceded in closing argument that he was not
contesting that he drove to Boise the night of the alleged crime. Hence, Abdullah now has no
reason to challenge Wood’s identification of him as the person in the gas station in Mountain
Home the night of the alleged crime.
In summary, the prosecutor’s comment during closing argument was not misconduct, and
thus Abdullah has failed to demonstrate a violation of an unwaived constitutional right under the
first prong of the fundamental error standard. Further, even assuming this comment was
misconduct, any error was harmless because there is not a reasonable possibility the error
affected the outcome of the trial. Perry, 150 Idaho at 226, 245 P.3d at 978.
ii. The prosecutor’s use of state of mind evidence to prove Abdullah’s motive
was not misconduct and any error was harmless.
Regarding the second error, Abdullah argues that the prosecutor relied on evidence
admitted to show Angie’s state of mind to prove the truth of the matter asserted. When
discussing Abdullah’s motive for the murder, the prosecutor stated in closing argument:
We’ll first look at motive. It had become clear certainly that Angie was
not going abroad with the defendant. That testimony comes from a variety of
sources. Certainly by the time she wrote the letter that was read to you aloud . . .
she was finished. She certainly was not going to South Africa. When he made up
the details of the trip to South Africa, he was supposedly scoping it out as an
alternative to Saudi Arabia, and he makes up what it was like there. Doesn’t even
go . . . . Doesn’t go at all . . . . [Y]ou see that knowledge reflected in a letter that
Glen Elam read to you which says, “I cannot believe that you made up the details
of that trip.” It further diminished her trust in him and obviously she isn’t going
anywhere with him at that point. That’s communicated to Deborah Kristal and
others.
She wasn’t going to let her kids go either. She was already conversing
with Deborah Kristal about how to make sure that the defendant did not make
remove [sic] her children from the country. She was talking to Deborah Kristal
about leaving him. That letter makes it pretty clear. Leaving a marriage is not like
living [sic] a building, you are not in it one minute and out the next. It was a
57
process. And for Angie it was a process that was complicated by something that
seems pretty simple, health insurance. [M.A.] was a troubled pregnancy as far as
her preterm labor. She knew she needed health insurance through the delivery.
She communicate [sic] to Dr. Williams and Velma Seabolt that she was going to
stay with him until she was through the delivery. Then you found out from Dr.
Shaffer that [M.A.] was to the pediatrician six times in his short 18 days before
Angie’s death.
She may have mentally left that marriage already, but she was going [to]
physically stay until she was resolved that [M.A.]’s health was more stable.
Again, she was not in one minute and out the next, but she was clearly on her way
out.
He needed money. You cannot move to another country for free. . . .
Think about back on Stephanie Hobbs, what did the defendant say to her on
October 3rd, about 36 hours before his wife died? Words to the effect of, “We
don’t do divorce.” Angie wanted this marriage to end. The defendant had different
ideas about how that should happen.
She told Deborah Kristal her one last best hope of turning the defendant
around was to go to the Muslim community elders and ask them for help, but as
part and parcel of that she has to tell the Muslim community about his failings,
about her position that he is a hypocrite, that he was either not a good or nice
man. . . . What do you suppose he thought of that?
And, again, when you pull motive away from this interlocking set of
factors, you begin to see things pretty clearly.
Under the fundamental error standard, Abdullah had the burden to establish that the
prosecutor’s comments caused a plain violation of his unwaived constitutional rights. Perry, 150
Idaho at 226, 245 P.3d at 978. We are not persuaded that the prosecutor’s comments rise to this
level of error. First, the prosecutor’s statements did not appeal to the passions or prejudices of the
jury. Second, the prosecutor’s comments primarily reviewed for the jury the evidence of Angie’s
state of mind presented at trial through witnesses such as Kristal and the health professionals. We
recognize that a few of the prosecutor’s remarks could be construed as interpreting the evidence
in an inaccurate light and inconsistent with the district court’s rulings on the scope of this
evidence. However, despite these remarks, the prosecutor’s comments here in their entirety were
not sufficiently egregious to result in fundamental error. See Perry, 150 Idaho at 219, 245 P.3d at
971.
Even assuming the prosecutor’s statements were improper, any error was harmless.
“[I]nappropriate prosecutorial statements may be cured by appropriate instructions by the trial
court.” State v. Dunlap, 155 Idaho 345, 369, 313 P.3d 1, 25 (2013). Here, the district court
instructed the jury that certain evidence, such as Angie’s out-of-court statements, was admitted
for a limited purpose and that the jury could not consider that evidence for any other purpose.
58
The district court also instructed the jury that the prosecutor’s statements during closing
argument were not evidence. These instructions cured any error. Further, this closing argument
on motive goes towards the State’s burden to prove beyond a reasonable doubt that Abdullah
committed the murder willfully, deliberately, and with premeditation and malice aforethought,
but the jury was presented with overwhelming evidence of Abdullah’s intent through other
means than the motive. See 40A AM. JUR. 2d Homicide § 450 (motive is not an element of first-
degree murder, but may be relevant to prove intent). Even if the prosecutor engaged in
misconduct, the prosecutorial misconduct was harmless because there is not a reasonable
possibility the error affected the outcome of the trial due to the overwhelming evidence of guilt.
Perry, 150 Idaho at 226, 245 P.3d at 978.
iii. The prosecutor’s comments on “the truth” were not misconduct.
Regarding the third error, Abdullah argues that the prosecutor improperly commented on
evidence as the truth in closing argument. In summarizing Wood’s identification of Abdullah,
the prosecutor stated:
[Law enforcement said,] “We’re doing an investigation. Do you recognize this
man?” And [Wood] said, “Yeah, I know him.” And she provides the dates. She
provides the time. Why? Because it is accurate. It is the truth and he made such an
impression on her she could remember it. She was a very no nonsense, unbiased
kind of a witness. Nothing to gain by being here. And she remembered him
because he was rude. That’s consistent with him being in a hurry. He had business
in Boise. Putting him here at midnight gave him plenty of time to drive home and
set the fire. Plenty of time.
The prosecutor then stated during rebuttal:
I want to talk to you about fluoxetine and Prozac. . . . You will recall that we
learned about that when the defendant’s lawyers wrote us and asked us to check
for that. . . . We did it and I will tell you that everyone connected with the
prosecution of the defendant from myself, Dr. Groben, the police agency were
just shocked to find out about the extreme level of Prozac in the blood of Angie
Abdullah.
The district court struck this last statement sua sponte and instructed the jury to disregard it. The
prosecutor then stated shortly thereafter:
Now, it got tough to figure out because all of the doctors, all the medical
professionals expected to find the significant content of either the pill material,
fluoxetine material, the gel capsules in her stomach or GI tract and that’s kind of
confusing until you figure out it only -- there’s only one thing left that would
explain it, that if she drank something. Then it would clear her stomach, and, you
know, she had to drink it before the last meal because there’s nothing in the
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contents, the stomach was full. If she had taken it with the meal, it would still be
there. I’m not a toxicologist, but it is the only explanation that fits the evidence,
and therefore, it is the truth.
The district court again struck this last statement sua sponte and instructed the jury to disregard
it.
Neither of the prosecutor’s remarks on “the truth” was misconduct. In closing argument,
the prosecutor may discuss whether “evidence confirms or calls into doubt the credibility of
particular witnesses. . . . It is improper, however, for the prosecution to express a personal belief
as to the credibility of witnesses, unless the comment is based solely on inferences from evidence
presented at trial.” State v. Sheahan, 139 Idaho 267, 280, 77 P.3d 956, 969 (2003) (citation
omitted). The first statement of Wood’s testimony as “the truth” was not misconduct because it
was based solely on inferences presented at trial. The prosecutor was not expressing a personal
opinion on Wood’s credibility, but inviting the jury to make an inference based on Wood’s
detailed recollection of her encounter with the person she identified as Abdullah. See State v.
Carson, 151 Idaho 713, 722, 264 P.3d 54, 63 (2011); State v. Mendoza, 151 Idaho 623, 627, 262
P.3d 266, 270 (Ct. App. 2011). The second statement of the toxicologist’s explanation as “the
truth” was not misconduct for similar reasons. The prosecutor was not vouching for the
toxicologist’s testimony, but rather emphasizing to the jury that the evidence supported only one
explanation for the potentially lethal concentration of fluoxetine in Angie’s blood. Therefore,
Abdullah has failed to demonstrate a violation of an unwaived constitutional right due to the
alleged prosecutorial misconduct.
Moreover, assuming misconduct, any error in the prosecutor’s comments on “the truth”
was harmless because there is not a reasonable possibility that the error affected the outcome of
the trial. Perry, 150 Idaho at 226, 245 P.3d at 978. “[P]rosecutorial misconduct during closing
arguments will constitute fundamental error only if the comments were so egregious or
inflammatory that any consequent prejudice could not have been remedied by a ruling from the
trial court informing the jury that the comments should be disregarded.” Sheahan, 139 Idaho at
280, 77 P.3d at 969 (quoting State v. Cortez, 135 Idaho 561, 565, 21 P.3d 498, 502 (Ct. App.
2001)). Hence, “inappropriate prosecutorial statements may be cured by appropriate instructions
by the trial court.” Dunlap, 155 Idaho at 369, 313 P.3d at 25. In this case, the district court
instructed the jury that “[t]he arguments and statements of the attorneys are not evidence.” The
district court also instructed: “Certain things you have heard or seen are not evidence, including .
60
. . arguments and statements by lawyers. The lawyers are not witnesses. What they say in their . .
. closing arguments . . . is included to help you interpret the evidence, but is not evidence.” In
addition, the district court charged the jury “[a]s the sole judges of fact” to determine what
evidence to believe and the weight of such evidence and to evaluate testimony. “We presume
that the jury followed the jury instructions given by the trial court in reaching its verdict.”
Carson, 151 Idaho at 718, 264 P.3d at 59. Due to these instructions, it is not reasonably possible
the prosecutor’s first statement on “the truth” of Wood’s testimony affected the outcome at trial
because the multiple jury instructions cured any inappropriate comment. Turning to the
prosecutor’s second statement on “the truth” of the toxicologist’s explanation, it is not
reasonably possible this comment affected the outcome due to the jury instructions and the fact
that the district court immediately struck the statement and instructed the jury to disregard it.
Based on the above reasons, Abdullah has failed to demonstrate fundamental error in the alleged
prosecutorial misconduct of commenting on “the truth” of certain evidence.
iv. The prosecutor’s comment to be “shocked and outraged” was not
misconduct.
Regarding the fourth and final allegation of prosecutorial misconduct, Abdullah argues
that the prosecutor appealed to the jury’s passion and prejudice by stating during rebuttal:
You should be shocked and outraged that at the conclusion of this trial in his very
last statements, Counsel wants you to believe that his client was here in Boise, did
all the things that the State has proven he’s done to get himself here and that he
drove himself back to Salt Lake City and engaged in no criminal conduct. None.
The prosecutor’s statement was in response to the following statement by the defense in closing
argument: “Now, let me tell you right up front we are not going to be arguing that Azad did not
drive to Boise on the morning of 5 October, 2002.”
“Both sides have traditionally been afforded considerable latitude in closing argument to
the jury and are entitled to discuss fully, from their respective standpoints, the evidence and the
inferences to be drawn therefrom.” Sheahan, 139 Idaho at 280, 77 P.3d at 969. “Despite this
wide latitude, ‘appeals to emotion, passion or prejudice of the jury through use of inflammatory
tactics are impermissible.’” State v. Parker, 157 Idaho 132, 146, 334 P.3d 806, 820 (2014) (per
curiam) (quoting Ellington, 151 Idaho at 62, 253 P.3d at 736). In this case, the prosecutor did not
engage in misconduct. The prosecutor’s comment on the defense’s concession expressed to the
jury the improbability based on the evidence that Abdullah was in Boise but did not commit the
crime. It also highlighted to the jury that the defense presented no alternative explanation as to
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why Abdullah would drive to Boise that night. This was not “inflammatory language seemingly
calculated to arouse negative emotions.” State v. Phillips, 144 Idaho 82, 87, 156 P.3d 583, 588
(Ct. App. 2007). Even assuming that the prosecutor engaged in misconduct, any error was
harmless because there is not a reasonable possibility the error affected the outcome of the trial.
Perry, 150 Idaho at 221, 245 P.3d at 973.
9. Abdullah’s constitutional rights were not violated by the absence of evidence in the
record to show the content of the oath given to the bailiff charged with custody of
the jury.
a. Facts
After the State and Abdullah gave closing arguments and just prior to sequestration of the
jury for deliberations in the guilt phase of trial, the record states:
THE COURT: At this time we will give the oath to the bailiffs and then we will
pick the alternates.
(Oath given to the bailiffs.)
THE COURT: At this time we will pick the alternates.
Similarly, after closing arguments in the penalty phase and just prior to sequestration of the jury
for deliberations, the record states:
THE COURT: At this time we need to swear the bailiffs.
(Bailiffs are sworn.)
THE COURT: At this time I would ask the bailiffs to take the jurors to the
appropriate -- keep alternates separate at this point, but to take the jurors to the
appropriate jury room. . . .
Abdullah argues that the record does not affirmatively show the district court properly swore the
bailiffs who took custody of the sequestered jury during the guilt and penalty phases, which
violated his right to a fair trial before an impartial jury.
b. Standard of Review
The Court exercises free review over constitutional questions and interpretation of a
statute. State v. Glenn, 156 Idaho 22, 24, 319 P.3d 1191, 1193 (2014); State v. Rogers, 144 Idaho
738, 740, 170 P.3d 881, 883 (2007).
c. Analysis
In State v. Rodriguez, the Court held that “the record must affirmatively show that the
bailiff was sworn” because the relevant Idaho statute, Idaho Code section 19-2126, “speaks in
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mandatory terms.” 93 Idaho 286, 289, 460 P.2d 711, 714 (1969). Idaho Code section 19-2126
provides in part:
[W]hen first given custody of the jury the officer or bailiff must be sworn to keep
the jury together during each recess and adjournment during the trial; to allow no
person to speak to or communicate with them, or any of them, nor to do so
himself, on any subject connected with the trial, and to return them into court as
ordered by the court. 22
I.C. § 19-2126. This “statutory requirement that the bailiff be sworn to keep the jury together in a
murder trial was enacted to guarantee defendant a fair and impartial trial.” Rodriguez, 93 Idaho
at 289, 460 P.2d at 714 (footnote omitted). “Whatever is essential in a criminal proceeding to
deprive a person of his liberty must appear of record and nothing is taken by intendment or
implication.” Id. For example, in Rodriguez the Court determined that “the mere claim that the
oath was given is not sufficient to resolve” whether the bailiff was properly sworn prior to
placing the jury in his custody. Id. The record in Rodriguez provided:
The Court: Do you remember? Did you swear the Bailiff?
The Clerk: No, I don’t recall and I don’t have it in my minutes.
The Court: I was quite sure that she did. In fact, I was quite sure I could
remember what she told him.
[Rodriguez’s counsel] Mr. Reeves: It is our recollection from our notes that there
was no swearing until the time of the final submission and may the record show
that the Clerk indicates that she does not recall?
The Court: She says she don’t [sic] remember.
Mr. Reeves: Does the Bailiff perhaps recall whether he was sworn?
The Court: Do you recall whether we had you sworn when we started?
The Bailiff: I don’t remember whether I was or not. I thought I swore every time
the rest did.
Id. at 289 n.2, 460 P.2d at 714 n.2. The Court then explained, “A record is constituted of proper
and legitimate elements set down in their order; for it is certainly not the law that all the gossip a
clerk or prothonotary writes down in his docket, ipso facto becomes the voice of undeniable
truth.” Id. at 289, 460 P.2d at 714 (quoting Ball v. United States, 140 U.S. 118, 130 (1891)). The
Court concluded that the record in Rodriguez did “not reflect that the bailiff was sworn prior to
22
A related statute provides:
After hearing the charge, the jury may either decide in court or may retire for deliberation. If they
do not agree without retiring, an officer must be sworn to keep them together in some private and
convenient place, and not permit any person to speak or communicate with them, nor to do so
himself, unless by order of the court, or to ask them whether they have agreed upon a verdict, and
to return them into court when they have so agreed, or when ordered by the court.
I.C. § 19-2133.
63
placing the jury in his custody.” Id. Although the record did not show that the bailiff was sworn,
the Court ultimately held that the error was harmless. Id. at 289–90, 460 P.2d at 714–15.
This case is distinguishable from Rodriguez. The issue in Rodriguez was whether the oath
was given at all. In contrast, the record in this case clearly shows that an oath was given to the
bailiff. Rodriguez was limited to the facts of the case, and its holding does not require in every
case that the court reporter transcribe the oath given to the bailiff verbatim. In other words,
Rodriquez did not create a bright-line rule that the oath must be in the record in its entirety in all
criminal cases. In this case, the record complies with Idaho Code section 19-2126 and Rodriguez
by affirmatively showing the bailiff was sworn. There was no error in the district court’s failure
to transcribe the specific oath provided to the bailiff in the record.
Moreover, there is no allegation that any error was prejudicial to Abdullah. There is no
indication that the bailiff caused the jury to be tainted in some way due to an improper oath. Nor
is there any allegation that the jury acted improperly. In a related context, the Court presumes
“regularity in the performance of official duties by public officers.” Roberts v. Bd. of Trs.,
Pocatello, Sch. Dist. No. 25, 134 Idaho 890, 894, 11 P.3d 1108, 1112 (2000). “Absent evidence
to the contrary,” public officers “are presumed to have properly carried out the duties of their
office.” Farm Bureau Fin. Co. v. Carney, 100 Idaho 745, 750, 605 P.2d 509, 514 (1980). This
presumption can be rebutted by a production of evidence showing that the public officer failed to
carry out the duty at issue. Roberts, 134 Idaho at 894–95, 605 P.2d at 1112–13. A similar
presumption to the swearing of the bailiff is applicable here. Abdullah points to nothing in the
record to show that an improper swearing of the bailiff prejudiced his rights at trial. Rodriguez,
93 Idaho at 289–90, 460 P.2d at 714–15. Absent evidence to the contrary, this Court presumes
the bailiff was properly sworn.
10. Abdullah’s constitutional rights were not violated by the district court’s failure to
record the oath given to the bailiff charged with custody of the jury.
a. Facts
The swearing of the bailiffs prior to sequestering the jury during their deliberations in the
guilt and penalty phase of trial were not recorded and therefore not available as a transcript for
Abdullah on appeal. Similar to Abdullah’s argument above regarding the court reporter’s failure
to transcribe the bailiff’s oath verbatim, he argues that the district court’s failure to record the
oath violates his due process right to meaningful appellate review of his trial and sentencing
proceedings.
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b. Standard of Review
The Court exercises free review over constitutional questions and interpretation of a
statute. Glenn, 156 Idaho at 24, 319 P.3d at 1193; Rogers, 144 Idaho at 740, 170 P.3d at 883.
c. Analysis
Idaho Code section 1-1103 provides that the reporter “shall correctly report all oral
proceedings had in said court and the testimony taken in all cases tried before said court.” I.C. §
1-1103. For death penalty cases, the transcript on appeal “shall include all hearings and
proceedings held in the trial court of every nature and description.” Idaho Appellate Rule
(I.A.R.) 25(e). For indigent defendants, “[t]he State is only required to provide . . . a record on
appeal that is sufficient for adequate appellate review of the errors alleged regarding the
proceedings below.” State v. Strand, 137 Idaho 457, 462, 50 P.3d 472, 477 (2002). The State’s
failure to provide a sufficient record for adequate appellate review may amount to a denial of
equal protection and due process. Griffin v. Illinois, 315 U.S. 12, 16–19 (1956).
In State v. Lovelace (Lovelace I), 140 Idaho 53, 90 P.3d 278 (2003), the Court rejected
the defendant’s claim that “the district court committed reversible error in failing to record all
oral proceedings such that they could be transcribed for purposes of appeal.” Id. at 65, 90 P.3d at
290 (2003). The defendant contended that “the unrecorded proceedings probably dealt with
appealable issues,” but the Court found these contentions to be “nothing more than speculation.”
Id. The Court explained, “It is basic to appellate practice that error will not be presumed, but
must be affirmatively shown by an appellant.” Id. “Furthermore,” the Court stated, “error in the
abstract does not necessarily rise to the level of constitutional dimension unless and until a
defendant properly presents a specific prejudice from such error.” Id. Thus, because the
defendant identified no appealable issues with any specificity, the Court rejected the defendant’s
claim of reversible error in the failure to record all proceedings. Id.
Abdullah’s argument is distinguishable from Lovelace I in that Abdullah appears to argue
that the failure to record the proceedings in and of itself deprives him of due process and the
right to appeal. Despite these differences, Abdullah’s assignment of error fails for similar reasons
as in Lovelace I. Abdullah does not allege that any specific prejudice occurred from the failure to
record the swearing of the bailiffs. He does not allege that he is unable to raise a specific
appealable issue due to the absence of a recording. Nor does he even allege than the unrecorded
swearing of the bailiffs “probably dealt with appealable issues.” Id. As noted in the preceding
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section, Abdullah points to nothing in the record to show that an improper swearing of the bailiff
prejudiced his rights at trial or tainted the jury. There was no error here.
11. The district court did not err in rejecting Abdullah’s request to view the grand jury
selection transcripts.
a. Facts
On June 5, 2012, Abdullah filed a second objection to the record on appeal. He argued
that the district court should have added to the record “[a]ny and all documents and/or transcripts
relating to the formation and term of the grand jury which indicted Mr. Abdullah.” On June 21,
2012, the State responded to Abdullah’s objection and requested that the district court deny
Abdullah’s request. 23
On August 13, 2012, the district court denied Abdullah’s objection, but added to the
record three public orders to summon jurors and notice the empaneling of a grand jury Panel A
and Panel B. The district court also conducted an in camera review of the grand jury materials
and determined that the grand jury was duly empaneled and not expired on the date of
Abdullah’s indictment. The district court further determined from its review that the indictment
was proper. Therefore, the district court found no good cause to release the underlying grand jury
proceedings or make them part of the record on appeal, except the three public orders.
b. Standard of Review
The Court defers to the district court’s factual findings if supported by substantial and
competent evidence, but exercises free review over the district court’s conclusions of law. State
v. Clark, 135 Idaho 255, 257, 16 P.3d 931, 933 (2000).
c. Analysis
Abdullah requests that this Court vacate the district court’s order that denied his request
to add grand jury documents to the record on appeal. He further requests that this Court, upon
vacating the district court’s decision, order the district court to provide the grand jury selection
transcripts to him for review and permit supplemental briefing if necessary. Alternatively, he
requests that this Court remand this issue to the district court for that court to provide the grand
jury selection transcripts.
23
The State also submitted that Abdullah attempted to circumvent the district court’s order by filing an objection to
the record rather than a motion. On April 6, 2012, the district court learned that the State Appellate Public Defender
(SAPD) contacted the Ada County Jury Commissioner by phone to inquire and request grand jury information
related to Abdullah’s case. The district court filed an order admonishing SAPD and informed them that the only
appropriate method to seek grand jury information is by filing a motion with a district judge with notice to the State.
66
According to Abdullah’s brief, he seeks the grand jury selection transcripts to determine
whether he has any basis to challenge the grand jury term. He explains that the grand jury
documents he has been provided indicate that the grand jury empaneled may not have been the
same grand jury that indicted him and thus the grand jury term may have expired prior to his
indictment. Abdullah rests his argument on the fact that the court minutes show that the grand
jury selection for Grand Jury Panels A and B began at 9:15 a.m. on August 28, 2002, but the
three court orders to summon jurors for the panels state that jury selection would begin at 1:30
p.m., not 9:15 a.m. Based on this discrepancy, he asserts that “[t]here is no document showing a
relationship between jurors who indicted Azad on November 14, 2002, and jurors impaneled the
morning of August 28, 2002.”
Pursuant to Article I, Section 8 of the Idaho Constitution, “No person shall be held to
answer for any felony . . . unless on presentment or indictment of a grand jury . . . .” IDAHO
CONST. art. 1, § 8. “[N]o grand jury shall serve more than six (6) months unless specifically
ordered by the court which summoned the grand jury.” Idaho Criminal Rule (I.C.R.) 6.8. An
indictment is void and the district court lacks subject matter jurisdiction if the grand jury issues
an indictment past its six-month term. State v. Lute, 150 Idaho 837, 840–41, 252 P.3d 1255,
1258–59 (2011).
“Grand jury proceedings are intended, to the extent possible, to be secret.” In re Petition
for Review of Hearing Comm. of Prof’l Conduct Bd. of Idaho State Bar, 140 Idaho 800, 805, 102
P.3d 1119, 1124 (2004). I.C.R. 6.4 provides, “No other person present in a grand jury proceeding
shall disclose to any other person what was said or done in the proceeding, except by order of
any court for good cause shown.” I.C.R. 6.4(c). Therefore, Abdullah must demonstrate “good
cause” for this Court to allow his review of the grand jury selection transcripts.
Abdullah’s argument that the grand jury term may have expired is meritless. He submits
that there is no document showing a relationship between “jurors who indicted” and “jurors
impaneled,” but this assertion is incorrect. Although the district court’s three public orders
indicate that the jurors were to be summoned at 9:15 a.m., the court minutes—which were
provided to Abdullah—show that on August 28, 2002, Grand Jury Panel A and B were seated
and administered the oath by the judge. The grand jury indictment—also provided to Abdullah—
shows that Grand Jury Panel B issued the indictment on November 14, 2002. These facts plainly
show that Grand Jury Panel B was properly empaneled and issued an indictment within the six-
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month term limit. Based on these facts, Abdullah provides no legal basis for this Court to allow
his review of the grand jury selection transcripts. We decline to order the district court to provide
Abdullah with the grand jury selection transcripts.
12. The alleged errors in the aggregate did not result in cumulative error at trial.
Abdullah argues that the accumulation of errors deprived him of his constitutional rights
to due process and a fair trial before an impartial jury.
“Under the cumulative error doctrine, ‘an accumulation of irregularities, each of which
might be harmless in itself, may in the aggregate reveal the absence of a fair trial in
contravention of the defendant’s right to due process.’” State v. Shackelford, 150 Idaho 355, 385,
247 P.3d 582, 612 (2010) (quoting State v. Severson, 147 Idaho 694, 723, 215 P.3d 414, 443
(2009)). “[A] necessary predicate to the application of the doctrine is a finding of more than one
error.” State v. Perry, 150 Idaho 209, 230, 245 P.3d 961, 982 (2010). In this case, Abdullah “has
failed to demonstrate at least two errors, a necessary predicate to the application of our
cumulative error doctrine.” Id. at 231, 245 P.3d at 983. This Court affirms Abdullah’s judgments
of conviction.
B. Penalty Phase Issues
13. The Court’s decision in State v. Dunlap, 155 Idaho 345, 313 P.3d 1 (2013), does not
violate Idaho Code section 19-2827, the separation of powers doctrine, the Eighth
Amendment to the United States Constitution, or the right to due process.
In Abdullah’s supplemental brief, he submits that this Court should revisit its decision in
Dunlap regarding the standard of review for unpreserved errors in capital cases. In Dunlap, this
Court held that the standards of review from Perry, a non-capital case, applied to capital cases as
well. Dunlap, 155 Idaho at 361–63, 313 P.3d at 17–19. This Court stated, “Our reasoning in
Perry is as applicable in capital cases as in other situations.” Dunlap, 155 Idaho at 363, 313 P.3d
at 19. Applying Perry, this Court in Dunlap provided the following standards of review:
[W]hen this Court considers appeals in capital cases, we will consider the issues
the defendant has identified, including those claimed errors raised for the first
time on appeal. On review of these unpreserved claims, the defendant has the
burden of proving that an error occurred and that the error is not harmless,
meaning that the defendant must show that there is a reasonable possibility that
the defendant would not have been sentenced to death. See Perry, 150 Idaho at
226, 245 P.3d at 978. When reviewing alleged errors that were properly preserved
by an objection, we apply the harmless error test, which first requires the
defendant to demonstrate that there was an error. Then, upon that showing, the
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State has the burden of demonstrating beyond a reasonable doubt that the error
did not contribute to the death sentence. Perry, 150 Idaho at 227, 245 P.3d at 979.
155 Idaho at 363, 313 P.3d at 19.
After this Court issued its opinion in Dunlap, the defendant in Dunlap petitioned for a
rehearing. Among other issues, the defendant specifically requested that this Court reconsider its
decision to apply the standards of review outlined in Perry to capital cases. This Court denied the
defendant’s petition.
Abdullah raises nearly identical arguments as the defendant in Dunlap regarding the
standard of review for unpreserved errors in capital cases. He argues that the application of the
fundamental error standard in capital cases (1) disregards the plain language of Idaho Code
section 19-2827, which requires the Court to review “all claims of error the defendant raises on
appeal” in a capital case, Dunlap, 155 Idaho at 362, 313 P.3d at 18; (2) violates separation of
powers principles; (3) violates Eighth Amendment and Fourteenth Amendment principles of
meaningful appellate review of death sentences; and (4) violates his due process rights. These
arguments are similar or identical to those raised by the defendant in Dunlap in his reply brief,
response to the State’s supplemental brief, and brief in support of his petition for rehearing.
Thus, this Court has considered these arguments raised by Abdullah numerous times throughout
the Dunlap case. Upon our reconsideration—again—of these arguments in favor of revisiting the
Dunlap decision, we are unpersuaded. This Court reaffirms that the standard of review for
unpreserved errors in capital cases is the fundamental error standard and the standard of review
for preserved errors in capital cases is the harmless error standard.
14. Abdullah was eligible to receive a death sentence in conformity with the ex post
facto clause and right to due process.
Abdullah argues that Idaho did not have a valid death penalty statute in effect at the time
of the murder. As a result, he contends that his death sentence pursuant to Idaho Code section
19-2515 violates the ex post facto and due process clauses of the Idaho and United States
Constitutions.
a. Standard of Review
Abdullah preserved this issue for appeal, and therefore the harmless error standard
applies to the Court’s review. Dunlap, 155 Idaho at 363, 313 P.3d at 19. Constitutional issues are
questions of law subject to free review by the Court. Murray v. State, 156 Idaho 159, 164, 321
P.3d 709, 714 (2014). The constitutionality of Idaho’s capital sentencing scheme is a question of
69
law over which the Court exercises free review. Rhoades v. State, 149 Idaho 130, 132, 233 P.3d
61, 63 (2010).
b. Analysis
Article I, Section 9, Clause 3 and Article I, Section 10, Clause 1 of the United States
Constitution and Article I, Section 16 of the Idaho Constitution prohibit ex post facto laws.
Weaver v. Graham, 450 U.S. 24, 28 & n.8 (1981); State v. Forbes, 152 Idaho 849, 852, 275 P.3d
864, 867 (2012).
The ex post facto clauses prevent the enactment of “any statute [1] which
punishes as a crime an act previously committed, which was innocent when done;
[2] which makes more burdensome the punishment for a crime, after its
commission, or [3] which deprives one charged with crime of any defense
available according to law at the time when the act was committed . . . .”
Forbes, 152 Idaho at 852, 275 P.3d at 867 (quoting Wheeler v. Idaho Dept. of Health & Welfare,
147 Idaho 257, 262, 207 P.3d 988, 993 (2009) (omission in original)); see also Dobbert v.
Florida, 432 U.S. 282, 292 (1977). “Through this prohibition, the Framers sought to assure that
legislative Acts give fair warning of their effect and permit individuals to rely on their meaning
until explicitly changed. The ban also restricts governmental power by restraining arbitrary and
potentially vindictive legislation.” Weaver, 450 U.S. at 28–29 (citations omitted).
At issue here is the second category of ex post facto laws, those that make “more
burdensome the punishment for a crime, after its commission.” Forbes, 152 Idaho at 852, 275
P.3d at 867. The ex post facto clause “was intended to secure substantial personal rights against
arbitrary and oppressive legislation and not to limit the legislative control of remedies and modes
of procedure which do not affect matters of substance.” Beazell v. Ohio, 269 U.S. 167, 171
(1925) (citation omitted). Hence, “[e]ven though it may work to the disadvantage of a defendant,
a procedural change is not ex post facto.” Dobbert, 432 U.S. at 293. In contrast, a substantive
change to the law such as an increase in punishment is ex post facto. State v. Lovelace (Lovelace
I), 140 Idaho 53, 69, 90 P.3d 278, 294 (2003) (citing Hopt v. Utah, 110 U.S. 574, 580 (1884)).
The change in the law at issue here is the amendments to Idaho Code section 19-2515 to
comply with Ring v. Arizona, 536 U.S. 584 (2002).
In Ring, the United States Supreme Court held, “Capital defendants, no less than
noncapital defendants . . . are entitled to a jury determination of any fact on which the legislature
conditions an increase in their maximum punishment.” Id. at 589. “The effect of Ring was to
convert statutory aggravating circumstances relevant to sentencing into ‘the functional equivalent
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of an element of a greater offense,’ which was to be proved to a jury beyond a reasonable doubt.”
Lovelace I, 140 Idaho at 66, 90 P.3d at 291 (quoting Ring, 536 U.S. at 609). Ring was decided on
June 24, 2002, and at that time Idaho’s death penalty procedure statute Idaho Code section 19-
2515 “required the trial judge to make the factual findings regarding the existence of aggravating
circumstance.” Lovelace I, 140 Idaho at 66, 90 P.3d at 291; see also I.C. § 19-2515 (Michie
2002). “Ring rendered unconstitutional the sentencing scheme of I.C. § 19-2515 . . . .” Lovelace
I, 140 Idaho at 66, 90 P.3d at 291.
On February 13, 2003, the legislature amended Idaho Code section 19-2515 to comply
with Ring. Ch. 19, § 4, 2003 Idaho Sess. Laws 71, 72–74. Pursuant to Ring, the jury must find
the existence of aggravating circumstances and weigh each aggravating circumstance against all
mitigating circumstances to determine whether the imposition of the death penalty would be
unjust. Id.; see also I.C. § 19-2515. The legislature deemed the amendment retroactive, stating:
This act shall apply to any capital sentencing proceeding occurring after
the effective date of this act, including those cases where the murder for which
sentence is to be imposed occurred before the effective date of this act and
including those cases where a first-degree murder conviction or death sentence
occurring before the effective date of this act has been set aside and the case is
before the court for retrial or resentencing; provided however, that the provisions
of this act relating to mandatory fixed life sentences based upon the finding of a
statutory aggravating circumstance apply only to crimes occurring after the
effective date of this act and provided further that the provisions of this act
relating to notices of intent to seek the death penalty apply only to cases where the
entry of a plea occurs after the effective date of this act. No provision of this act
shall be construed to invalidate a death sentence that has been imposed prior to
the effective date of this act.
Ch. 19, § 6, 2003 Idaho Sess. Laws at 75–76.
Subsequently, in Schriro v. Summerlin, the United States Supreme Court held, “Ring’s
holding is properly classified as procedural.” 542 U.S. 348, 353 (2004). The United States
Supreme Court explained:
This holding did not alter the range of conduct [state] law subjected to the death
penalty. It could not have; it rested entirely on the Sixth Amendment’s jury-trial
guarantee, a provision that has nothing to do with the range of conduct a State
may criminalize. Instead, Ring altered the range of permissible methods for
determining whether a defendant’s conduct is punishable by death, requiring that
a jury rather than a judge find the essential facts bearing on punishment.
71
Id. As in Summerlin, this Court has repeatedly recognized that Ring issued a procedural rule. See,
e.g., Rhoades, 149 Idaho at 139–40, 233 P.3d at 70–71; Hoffman v. State, 142 Idaho 27, 29, 121
P.3d 958, 960 (2005).
In a post-Ring decision, Lovelace I, the Court rejected Lovelace’s argument that the
imposition of the new death penalty procedures in Idaho Code section 19-2515 violated the ex
post facto clause. 140 Idaho at 69–70, 90 P.3d at 294–95. The Court held that the resentencing of
the defendant pursuant to directives from Ring was purely procedural. Lovelace I, 140 Idaho at
69–70, 90 P.3d at 294–95. The Court explained that the new guidelines in Idaho Code section
19-2515 did not place the defendant “in jeopardy of any greater punishment.” Id. at 70, 90 P.3d
at 295 (quoting State v. Ring, 65 P.3d 915, 928 (Ariz. 2003)). Nor did the new guidelines alter
the aggravating circumstances or the State’s burden of proof. Id. The Court recognized that Idaho
Code section 18-4004 prescribed the punishment of life imprisonment or death for first-degree
murder at the time of the commission of the crime. Id. at 69, 90 P.3d at 294. “Clearly,” the Court
explained, “Lovelace had fair warning that death was a possible punishment for first-degree
murder.” Id. Therefore, the Court could not “conclude that the subsequent statute authorized a
more onerous punishment than that authorized by the unconstitutional statute.” Id.
The Court revisited the defendant’s ex post facto argument in State v. Lovelace (Lovelace
II), 140 Idaho 73, 77–78, 90 P.3d 298, 302–03, cert. denied, 543 U.S. 936 (2004). The Court
reaffirmed that the resentencing of the defendant pursuant to the Ring directives was purely
procedural. Id. The Court stated, “The revised death penalty scheme only provides new
procedures for determining the aggravating circumstances redefined as the functional equivalent
of elements of capital murder of which Lovelace had notice.” Id. at 78, 90 P.3d at 303. The Court
concluded, “Idaho’s new sentencing statutes do not place Lovelace in jeopardy of any greater
punishment than that prescribed under the superseded statutes. Thus, the newly enacted statutes
do not violate the Ex Post Facto Clause.” Id.
Similar to Lovelace I and II, the United States Supreme Court confronted an ex post facto
issue in Dobbert, 432 U.S. 282. Although Dobbert was issued before Ring, it presented an almost
identical issue—whether a state’s amendment of its death penalty statute to conform with United
States Supreme Court precedent violated the ex post facto clause. Dobbert, 432 U.S. at 287–88.
In Dobbert, the defendant committed a crime punishable by death. Id. at 288. After the
commission of the crime, the United States Supreme Court issued an opinion that invalidated the
72
state’s death penalty statute. Id. Consequently, the state amended its death penalty statute to
comply with the United States Supreme Court’s ruling. Id. These amendments changed the role
of the judge and jury at sentencing, 24 but did not change the possibility of a death sentence for
the crime charged. Id. at 288–92. The defendant in Dobbert first argued that the change in the
death penalty statute constituted an ex post facto violation. Id. at 292. The United States Supreme
Court disagreed, holding that “the change in the statute was clearly procedural.” Id. at 293. The
United States Supreme Court explained, “[N]ot only was the change in the law procedural, it was
ameliorative. It is axiomatic that for a law to be ex post facto it must be more onerous than the
prior law.” Id. at 294. The United States Supreme Court held, “The new statute simply altered
the methods employed in determining whether the death penalty was to be imposed; there was no
change in the quantum of punishment attached to the crime.” Id. at 293–94.
The defendant also argued that there was no valid death penalty in effect at the time of
the murder. Id. at 297. The United States Supreme Court flatly rejected this argument. Id. at 297–
98. The United States Supreme Court explained:
[T]his sophistic argument mocks the substance of the Ex Post Facto Clause.
Whether or not the old statute would in the future, withstand constitutional attack,
it clearly indicated Florida’s view of the severity of murder and of the degree of
punishment which the legislature wished to impose upon murderers. The statute
was intended to provide maximum deterrence, and its existence on the statute
books provided fair warning as to the degree of culpability which the State
ascribed to the act of murder.
....
Here the existence of the statute served as an ‘operative fact’ to warn the
petitioner of the penalty which Florida would seek to impose on him if he were
24
Florida’s death penalty statute provided that “a person convicted of a capital felony was to be punished by death
unless the verdict included a recommendation of mercy by a majority of the jury.” Dobbert, 432 U.S. at 288. This
was held unconstitutional in Donaldson v. Sack, 265 So. 2d 499 (Fla. 1972), based on the United States Supreme
Court’s decision in Furman v. Georgia, 408 U.S. 238 (1972). Dobbert, 432 U.S. at 288. Florida amended its death
penalty statute to provide:
After a defendant is found guilty of a capital felony, a separate sentencing hearing is held before
the trial judge and the trial jury. Any evidence that the judge deems relevant to sentencing may be
admitted, and certain evidence relating to aggravating or mitigating circumstances must be
admitted. The jury, by a majority vote, then renders an advisory decision, not binding on the court,
based upon these aggravating and mitigating circumstances. The court must then also weigh the
aggravating and mitigating circumstances. If the court imposes a sentence of death, it must set
forth written findings of fact regarding the aggravating and mitigating circumstances. A judgment
of conviction and sentence of death is then subject to an automatic, priority review by the Florida
Supreme Court.
Id. at 290–92. The United States Supreme Court upheld this procedure as constitutional. Id. at 289.
73
convicted of first-degree murder. This was sufficient compliance with the ex post
facto provision of the United States Constitution.
Id. In summary, the United States Supreme Court rejected the defendant’s argument that a
change in the procedure itself to impose a death sentence triggered the ex post facto clause. The
United States Supreme Court also rejected the defendant’s argument that a punishment is invalid
simply because the procedure to impose it is invalid.
Abdullah argues that his case is distinguishable from this Court’s and the United States
Supreme Court’s precedent, which we recognize to completely foreclose his assignment of error.
Based solely on the date of the crime—October 5, 2002—he contends that the State cannot
impose the death penalty. Abdullah explains that at the time of the murder Idaho’s death penalty
procedure was invalidated by Ring, but the legislature had not yet amended Idaho Code section
19-2515 to comply with Ring. Without a valid statute to impose the death penalty, he asserts that
the death penalty did not exist in Idaho at the time he committed the murder. He also argues that
the aggravating circumstances, which he submits to have a unique role in Idaho’s death penalty
laws to create death-eligible offenses, were therefore void at the time of his offense. We
conclude that Abdullah’s argument is unavailing.
Abdullah’s argument is premised on factual distinction without a difference. The fact that
Abdullah committed the crime after Ring but before the legislature amended Idaho’s death
penalty procedural statute does not insulate him from a death sentence. A similar argument was
rejected in State v. Galindo, 774 N.W.2d 190 (Neb. 2009), cert. denied, 559 U.S. 1010 (2010).
The same timeline of events occurred in Galindo as in the case here: the defendant committed a
death-eligible crime after Ring invalidated Nebraska’s death penalty procedure, but before the
Nebraska legislature amended its statute to comply with Ring. Galindo, 774 N.W.2d at 209–10.
The defendant argued that the imposition of the death penalty under the new statute violated the
ex post facto clause because “his crimes occurred during a brief moment when there was no
death penalty in Nebraska.” Id. at 212–13. The Nebraska Supreme Court rejected the defendant’s
argument. The court reasoned:
[D]espite the fact that there was no constitutional means to carry out a death
sentence, the sentence itself was not invalid. Similarly, despite the fact that during
the months between Ring and [the amendment to the death penalty statute], there
was no constitutional procedure to determine death eligibility in a trial for first
degree murder, it does not follow that Nebraska law no longer provided for the
death penalty as the maximum punishment at the time of [the defendant]’s crimes.
74
Id. at 214. The court concluded, “Ring invalidated a particular procedure for determining death
eligibility at trial, but it did not invalidate the death penalty.” Id. at 213.
We hold that Ring did not affect the penalties in Idaho for first-degree murder or alter
Idaho’s aggravating circumstances. “The invalidity of a single provision purely procedural in
nature does not automatically invalidate the underlying punishment to which that procedure
applies.” Galindo, 774 N.W.2d at 213. At the time of Abdullah’s offense, the death penalty
certainly existed as a possible punishment. I.C. § 18-4004 (Michie 2002). In fact, Idaho Code
section 18-4004 has prescribed a punishment of death for first-degree murder since its enactment
in 1972. Ch. 336, § 1, 1972 Idaho Sess. Laws 844, 928. In addition, the aggravating
circumstances were unchanged by Ring. The aggravating circumstances have been part of Idaho
Code section 19-2515 since 1977. Ch. 154, § 3, 1977 Idaho Sess. Laws 390, 391–93. “Clearly,”
Abdullah “had fair warning that death was a possible punishment for first-degree murder.”
Lovelace I, 140 Idaho at 69, 90 P.3d at 294. The new procedural changes in Idaho Code section
19-2515 did not place Abdullah “‘in jeopardy of any greater punishment than that already
imposed under the superseded statutes,’ and therefore do not violate the Ex Post Facto Clause.”
Id. at 71, 90 P.3d at 295 (quoting Ring, 65 P.3d at 928); see also Lovelace II, 140 Idaho at 78, 90
P.3d at 303.
Finally, we address Abdullah’s argument that this Court’s decision in State v. Lindquist,
99 Idaho 766, 589 P.2d 101 (1979), supports his position that Idaho Code section 19-2515 cannot
be retroactively applied to him. Abdullah’s argument is misplaced. In Lindquist, the Court
vacated the defendant’s death sentence “on the basis that Woodson v. North Carolina, 428 U.S.
280 (1976), had effectively invalidated Idaho’s then mandatory death penalty” for first-degree
murder in Idaho Code section 18-4004. State v. Creech, 105 Idaho 362, 374, 670 P.2d 463, 475
(1983) (summarizing Lindquist). The Court refused to apply an amended version of Idaho Code
section 18-4004 retroactively to the defendant, recognizing that the legislature did not expressly
declare the amended version was retroactive. Lindquist, 99 Idaho at 768, 589 P.2d at 103. The
Court also noted that “a retroactive construction” of the former Idaho Code section 18-4004 “to
make it constitutional . . . poses serious ex post facto problems.” Id. at 770, 589 P.2d at 105. In
contrast to Lindquist, the statute at issue here is not the statute which prescribes the penalties for
first-degree murder. At issue here is only the procedural statute for imposition of the death
penalty. Additionally, unlike the statute in Lindquist, the new version of Idaho Code section 19-
75
2515 applied retroactively. Ch. 19, § 6, 2003 Idaho Sess. Laws at 75 (“This act shall apply to any
capital sentencing proceeding occurring after the effective date of this act, including those cases
where the murder for which sentence is to be imposed occurred before the effective date of this
act . . . .”). Therefore, Lindquist does not support Abdullah’s position.
Based on the above reasons, the imposition of a death sentence does not violate the
prohibition of ex post facto laws. 25
15. Idaho’s death penalty does not violate the Eighth Amendment to the United States
Constitution.
Abdullah argues that his death sentence amounts to cruel and unusual punishment in
violation of the Eighth Amendment to the United States Constitution. In support of this
argument, Abdullah explains that “[o]ur evolving standards of decency, which mark our progress
as a maturing society, no longer support the death penalty as an acceptable sentencing option.”
Abdullah relies upon the fact that an increasing number of states have chosen to abolish the death
penalty or issued moratoriums on scheduled executions and that public opinion polls indicate, as
a society, support for use of the death penalty as a sentencing option is low.
a. Standard of Review
“The requirements of the Idaho and U.S. Constitutions are questions of law, over which
this Court has free review.” State v. Draper, 151 Idaho 576, 598, 261 P.3d 853, 875 (2011).
When examining whether a punishment violates the Eighth Amendment:
The Court first considers “objective indicia of society’s standards, as expressed in
legislative enactments and state practice” to determine whether there is a national
consensus against the sentencing practice at issue. Roper v. Simmons, 543 U.S.
551, 572 (2005). Next, guided by “the standards elaborated by controlling
precedents and by the Court’s own understanding and interpretation of the Eighth
Amendment’s test, history, meaning, and purpose,” Kennedy v. Louisiana, 554
U.S. 407, 421 (2008), the Court must determine in the exercise of its own
independent judgment whether the punishment in question violates the
Constitution. Simmons, 543 U.S. at 572.
Graham v. Florida, 560 U.S. 48, 61 (2010); see also Draper, 151 Idaho at 598, 261 P.3d at 875
(reciting the same standard).
b. Analysis
25
Abdullah submits that the imposition of the death penalty violates the ex post facto and due process clauses, but
provides no sufficient argument or authority on due process. Therefore, any issue as to due process that is separate
and distinct from the ex post facto issue is waived. See State v. Zichko, 129 Idaho 259, 263, 923 P.2d 966, 970
(1996).
76
The Eighth Amendment states “excessive bail shall not be required, nor excessive fines
imposed, nor cruel and unusual punishments inflicted.” U.S. CONST. amend. VIII. The Eighth
Amendment is applicable to the States through the Fourteenth Amendment’s Due Process
Clause. Robinson v. California, 370 U.S. 660, 675 (1962) (Douglas, J., concurring). Article I,
Section 6 of the Idaho Constitution also prohibits the imposition of cruel and unusual
punishments. IDAHO CONST. art. I, § 6.
This Court has held that Idaho’s death penalty statute does not violate the Eighth
Amendment. See State v. Wood, 132 Idaho 88, 101–03, 967 P.2d 702, 715–17 (1998) (holding
Idaho’s statutory scheme for consideration of the death penalty constitutional under the Eighth
Amendment); State v. Pizzuto, 119 Idaho 741–42, 768, 810 P.2d 680, 705–06 (1991) (holding
Idaho Code section 19-2515 does not violate the Eighth Amendment), overruled on other
grounds by State v. Card, 121 Idaho 425, 825 P.2d 1081 (1991). “[T]he punishment of death is
not cruel, within the meaning of that word as used in the Constitution.” Baze v. Rees, 553 U.S.
35, 48 (2008) (plurality opinion) (quoting In re Kemmler, 136 U.S. 436, 447 (1890)). Capital
punishment is not prohibited under the United States Constitution, and “the States may enact
laws specifying that sanction.” Id. at 61. “State efforts to implement capital punishment must
certainly comply with the Eighth Amendment, but what that Amendment prohibits is wanton
exposure to ‘objectively intolerable risk,’ not simply the possibility of pain.” Id. at 61–62
(quoting Farmer v. Brennan, 511 U.S. 825, 846 & n.9 (1994)).
Here, Abdullah’s sole argument rests on the premise that, as a society, support for the use
of the death penalty is declining. While Abdullah may have identified a shift in support for
imposition of the death penalty, this shift does not provide objective indicia of society’s
standards, such as legislative enactments or executive action, to allow this Court to determine
that there is a national consensus against the death penalty as a sentence for first-degree murder.
Draper, 151 Idaho at 598–99, 261 P.3d at 875–76. Thirty-two states, the military, and the federal
government continue to allow the death penalty as a sentencing option. See DEATH PENALTY
INFORMATION CENTER, http://www.deathpenaltyinfo.org/states-and-without-death-penalty (last
visited February 23, 2015); Tracy L. Snell, Bureau of Justice Statistics, U.S. Dep’t of Justice,
Capital Punishment, 2012–Statistical Tables (Rev. 2014), available at
http://www.bjs.gov/content/pub/pdf/cp12st.pdf. As stated by the United States Supreme Court in
Trop v. Dulles:
77
Whatever the arguments may be against capital punishment, both on moral
grounds and in terms of accomplishing the purposes of punishment—and they are
forceful—the death penalty has been employed throughout our history, and, in a
day when it is still widely accepted, it cannot be said to violate the constitutional
concept of cruelty.
356 U.S. 86, 99 (1958). “[I]t is difficult to regard a practice as ‘objectively intolerable’ when it is
in fact widely tolerated.” Baze, 553 U.S. at 53. Therefore, absent some legislative or executive
action, a determination by this Court that Idaho’s death penalty statute is unconstitutional based
on evolving standards of decency and public opinion is unsupported. “Courts are not
representative bodies. They are not designed to be a good reflex of a democratic society.” Gregg
v. Georgia, 428 U.S. 153, 175 (1976) (quoting Dennis v. United States, 341 U.S. 494, 525 (1951)
(Frankfurter, J., concurring in affirmance of judgment)). Abdullah’s death sentence is affirmed
on the basis that it does not amount to cruel or unusual punishment in violation of the Eighth
Amendment to the United States Constitution.
16. The district court did not err by failing to strike the State’s notice of intent to seek
the death penalty.
a. Facts
On November 15, 2002, the State filed an indictment charging Abdullah with first-degree
murder, first-degree arson, three counts of attempted first-degree murder, and felony injury to a
child. On December 3, 2002, the State filed a notice of intent to seek the death penalty. 26 In this
notice, the State provided that it would rely on four statutory aggravating circumstances: (1) the
defendant knowingly created a great risk of death to many persons; (2) the murder was especially
heinous, atrocious, or cruel, manifesting exceptional depravity; (3) by the murder or
circumstances surrounding its commission, the defendant exhibited an utter disregard for human
life; and (4) the defendant, by prior conduct or conduct in the commission of the murder at hand,
has exhibited a propensity to commit murder which will probably constitute a continuing threat
to society. 27 Abdullah moved to strike the State’s notice of intent to seek the death penalty, and
the district court denied Abdullah’s motion. Abdullah appeals the district court’s denial of his
motion.
b. Standard of Review
26
The State subsequently filed an amended indictment.
27
In 2002, the statute contained ten aggravating circumstances. I.C. § 19-2515(h) (Michie 2002). It now contains
eleven. I.C. § 19-2515(9).
78
“The requirements of the Idaho and U.S. Constitutions are questions of law, over which
this Court has free review.” State v. Draper, 151 Idaho 576, 598, 261 P.3d 853, 875 (2011).
c. Analysis
Based on various constitutional and statutory provisions, Abdullah raises a few
interrelated challenges to the State’s failure to include the statutory aggravating circumstances in
the indictment or otherwise provide factual support for the aggravating circumstances. He relies
on Article I, Section 8 of the Idaho Constitution, which provides in part, “[n]o person shall be
held to answer for any felony or criminal offense of any grade, unless on presentment or
indictment of a grand jury or on information of the public prosecutor,” and the notice
requirement of the Sixth Amendment to the United States Constitution, which states in part, “[i]n
all criminal prosecutions, the accused shall enjoy the right . . . to be informed of the nature and
cause of the accusation.” IDAHO CONST. art. I, § 8; U.S. CONST. amend. VI. 28 He also relies on
Idaho Criminal Rule 7(b), which states, “[t]he indictment or the information shall be a plain,
concise and definite written statement of the essential facts constituting the offense charged,” and
Idaho Code section 19-1409, which states that the indictment “must contain . . . [a] statement of
the acts constituting the offense in ordinary and concise language, and in such manner as to
enable a person of common understanding to know what is intended.” I.C. § 19-1409; I.C.R.
7(b). He argues that these constitutional and statutory provisions require the State to include the
aggravating circumstances in the indictment, subject to a probable cause determination, or to
submit a factual basis for each aggravating circumstance in the alternative.
Abdullah’s argument is premised on the changes to Idaho’s death penalty law due to
Ring. “In Ring v. Arizona, 536 U.S. 584 (2002), the United States Supreme Court held that the
Sixth Amendment’s jury trial guarantee requires that a jury, not a judge, find an aggravating
circumstance necessary for the imposition of the death penalty.” Porter v. State, 140 Idaho 780,
782, 102 P.3d 1099, 1101 (2004). The Ring decision was based solely on the Sixth Amendment
right to a jury trial. 536 U.S. at 597 n.4. The United States Supreme Court specifically noted in
Ring that it did not address “whether notice of a fact that would be used to support a sentence
had to be conveyed to the defendant through an indictment versus some other means.” State v.
Lovelace (Lovelace I), 140 Idaho 53, 70, 90 P.3d 278, 295 (2003) (quoting Terrell v. State, 572
28
“The notice provision of the Sixth Amendment is incorporated within the Due Process Clause of the Fourteenth
Amendment and is therefore fully applicable to the states.” Gray v. Raines, 662 F.2d 569, 571 (9th Cir. 1981).
79
S.E.2d 595, 602 (Ga. 2002)); see Ring, 536 U.S. at 597 n.4 (“Ring does not contend that his
indictment was constitutionally defective.”); see also Apprendi v. New Jersey, 530 U.S. 466, 477
n.3 (2000) (“Apprendi has not here asserted a constitutional claim based on the omission of any
reference to sentence enhancement . . . in the indictment. . . . We thus do not address the
indictment question separately today.”). Although Ring was silent with respect to the indictment
issue, “[t]he effect of Ring was to convert statutory aggravating circumstances relevant to
sentencing into ‘the functional equivalent of an element of a greater offense,’ which was to be
proved to a jury beyond a reasonable doubt.” State v. Shackelford, 150 Idaho 355, 387, 247 P.3d
582, 614 (2010) (quoting Ring, 536 U.S. at 609). Based on this “functional equivalent” language
from Ring, Abdullah argues that the aggravating circumstances are elements of the offense of
first-degree murder and must be included in the indictment.
Although this indictment issue has not been considered by this Court, this Court in Porter
discussed Ring in the context of whether it applied “retroactively to cases that have already
become final on direct review.” 140 Idaho at 782, 103 P.3d at 1101. In explaining the effect of
Ring on Idaho’s death penalty law, the Court stated:
Section 19-2515 did not define a separate crime of capital first-degree murder. It
merely set forth the procedures that must be followed in order to impose a death
sentence, defined the statutory aggravating circumstances, and required that at
least one aggravating circumstance be found beyond a reasonable doubt before a
defendant could be sentenced to death. Ring did not elevate those statutory
aggravating circumstances into elements of a crime, nor did it create a new
crime. Schriro v. Summerlin, 542 U.S. 348 (2004). Indeed, the United States
Supreme Court lacks the authority to enact or amend state legislation. Only our
state legislature has that authority, and it did not make the aggravating
circumstances elements of the crime. Ring merely held that a state cannot impose
the death penalty unless its sentencing procedures have the jury, not the judge,
determine the existence of a statutory aggravator.
Porter, 140 Idaho at 784, 103 P.3d at 1103 (emphasis added). Thus, this Court stated in clear
terms that the statutory aggravating circumstances are not elements of a crime.
The Court’s discussion of Ring in Porter forecloses Abdullah’s argument, and this
outcome is consistent with the majority rule. Due to this “functional equivalent” language from
Ring, many other jurisdictions have discussed whether Ring required the aggravating
circumstance “elements” be included in the indictment. Upon review of this issue, the
overwhelming majority of states have distinguished between the “functional equivalent of an
element” and the actual elements of the offense to hold that the aggravating circumstances do not
80
need to be alleged in the indictment pursuant to the Fifth Amendment, Sixth Amendment, or Due
Process Clause. 29 5 WAYNE R. LAFAVE ET AL., CRIMINAL PROCEDURE § 19.3(a) & nn.41–44
(2013); 41 AM. JUR. Indictments and Informations § 117 & nn.7–13 (2d ed. 2014); 42 C.J.S.
Indictments § 172 & nn.16–17 (2014). For example, the Minnesota Supreme Court held that the
“[United States Supreme] Court’s conclusion that sentencing factors operate as the ‘functional
equivalent’ of elements for purposes of the Sixth Amendment jury trial right does not dictate that
such factors are elements for purposes of a Minnesota indictment.” State v. Kendell, 723 N.W.2d
597, 611 (Minn. 2006) (en banc). The Minnesota Supreme Court explained:
The right to a jury trial serves a different purpose than the “nature and cause”
requirement [in the Sixth Amendment] and the due process notice requirement;
the former addresses the adequacy of proof of the offense charged and of the
aggravating sentencing factors, while the latter simply provides a defendant notice
of the charges.
Id. Similarly, in State v. Siers, the Washington Supreme Court concluded, “The United States
Constitution does not require states to allege aggravating circumstances in local
prosecutions. Neither does the Washington Constitution require aggravators to be alleged in an
information.” 274 P.3d 358, 363–64 (Wash. 2012) (en banc). The Washington Supreme Court
highlighted some policy concerns, stating, “In our view, treating aggravators as the functional
equivalent of essential elements that must be pleaded in the charging document is harmful to the
public interest because it wastes valuable judicial resources and imposes too heavy a burden on
the criminal justice system.” Id. at 364. The analysis of the Kansas Supreme Court in State v.
Scott, 183 P.3d 801 (Kan. 2008), is also informative. The Kansas Supreme Court recognized that
29
As stated in Evans v. State, 886 A.2d 562, 573 (Md. 2005), cert. denied, 546 U.S. 1219 (2006):
Under Ring, . . . aggravating factors are no longer regarded as mere sentencing factors, but as
matters to be determined by a jury . . . beyond a reasonable doubt, but that does not, ipso facto,
mean that they have to be alleged in an indictment. That has been the view expressed by every
State court, save New Jersey, that has considered the effect of Ring on the indictment issue.
See also Lewis v. State, 24 So. 3d 480, 533–35 (Ala. Crim. App.), aff’d, 24 So.3d 540 (Ala.), cert. denied, 558 U.S.
1078; McKaney v. Foreman ex rel. Cnty. of Maricopa, 100 P.3d 18, 20–23 (Ariz. 2004); Banks v. State, 842 So. 2d
788, 793 (Fla. 2003); Jones v. State, 653 S.E.2d 456, 461–62 (Ga. 2007); People v. McClain, 799 N.E.2d 322, 335–
36 (Ill. App. Ct. 2003); Soto v. Commonwealth, 139 S.W.3d 827, 841–43 (Ky. 2004), cert. denied, 544 U.S. 931
(2005); State v. Kendell, 723 N.W.2d 597, 611 (Minn. 2006); Stevens v. State, 867 So. 2d 219, 226–27 (Miss. 2003),
cert. denied, 543 U.S. 858 (2004); State v. Johnson, 207 S.W.3d 24, 48 (Mo. 2006), cert. denied, 550 U.S. 971
(2007); State v. Hunt, 582 S.E.2d 593, 602–06 (N.C.), cert. denied, 539 U.S. 985 (2003); Primeaux v. State, 88 P.3d
893, 899–900 (Okla. Crim. App.), cert. denied, 543 U.S. 944 (2004); State v. Sawatzky, 125 P.3d 722, 727 (Or.
2005); State v. Edwards, 810 A.2d 226, 233–34 (R.I. 2002), cert. denied, 538 U.S. 980 (2003); Moeller v. Weber,
689 N.W.2d 1, 18–22 (S.D. 2004); State v. Reid, 164 S.W.3d 286, 311–12 (Tenn. 2005); Renteria v. State, 206
S.W.3d 689, 709 (Tex. Crim. App. 2006); Morrisette v. Warden of Sussex I State Prison, 613 S.E.2d 551, 556 (Va.
2005), cert. denied, 546 U.S. 1225 (2006); State v. Siers, 274 P.3d 358, 363–64 (Wash. 2012).
81
the Sixth Amendment right to notice of the “nature and cause of the accusation” was applicable
to the states and required some form of notice of the aggravating circumstances. Id. at 835.
However, the Kansas Supreme Court held that this notice requirement did not demand notice of
the aggravating circumstances in the indictment. The Sixth Amendment required “only that the
defendant be given ‘notice and an opportunity to respond.’” Id. (quoting Fawcett v. Bablitch, 962
F.2d 617, 618 (7th Cir. 1992)). The Kansas Supreme Court reviewed its statutory notice
procedures, which required the State to notify the defendant of its intent to seek the death penalty
within five days of the arraignment and to inform the defendant of the specific aggravating
circumstances “prior to the sentencing proceeding,” and determined its procedures were
“sufficient to give the defendant a meaningful opportunity to respond to the aggravating factors
against him or her.” Id.
We hold that Ring did not transform the “functional equivalent” elements of aggravating
circumstances to the level of actual elements of an offense to require the State to allege the
aggravating circumstances in the indictment or information. Idaho Criminal Rule 7(b) and Idaho
Code section 19-1408(2) are therefore inapplicable because those provisions pertain to the facts
and allegations that must be stated in an indictment. Similarly, Article I, Section 8 of the Idaho
Constitution is inapplicable because it too involves the requirements of an indictment.
Without the designation of aggravating circumstances as elements of a crime, the State’s
formal notification of the intent to seek the death penalty does not carry the constitutional
requirements of an indictment or information.
Although prosecutions in the federal courts require, under the Fifth Amendment,
that aggravators be alleged in an indictment and supported by probable cause, the
same requirement is inapplicable to prosecutions in our state courts. . . . Because a
state is not required, as a matter of federal constitutional law, to empanel grand
juries for purposes of indictment, it would be anomalous for us to require, under
the United States Constitution, that a grand jury determine probable cause as a
basis for alleging aggravating factors.
McKaney v. Foreman ex rel. Cnty. of Maricopa, 100 P.3d 18, 20 (Ariz. 2004) (en banc) (citation
omitted). In other words, “[b]ecause the aggravating circumstances are not required to be
pleaded in the charging document, it naturally follows that they are not subject to a probable-
cause determination.” Maestas v. State, 275 P.3d 74, 87 (Nev.), cert. denied, 133 S. Ct. 275
(2012). Thus, we also hold that there is no constitutional requirement that the State present
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evidence demonstrating probable cause for each aggravating circumstance to properly notify the
defendant of its intent to seek the death penalty. 30
We recognize that the Sixth Amendment’s “nature and cause” provision and the right to
due process impose a notice requirement on the aggravating circumstances, but Idaho’s statutory
procedures fully satisfy these constitutional protections. The requirements of Idaho Code section
18-4004A provide defendants with adequate notice of the State’s intent to seek the death penalty
and the aggravating circumstances. “The Sixth Amendment and basic principles of due process
guarantee a criminal defendant the fundamental right to be informed of the nature and cause of
the accusations against him so that he may have a meaningful opportunity to prepare an adequate
defense against every issue raised by those accusations.” Smith v. Lopez, 731 F.3d 859, 866 (9th
Cir. 2013), rev’d per curiam on other grounds, 135 S. Ct. 1 (2014). Idaho Code section 18-
4004A requires that the State notify the defendant of its intent to seek the death penalty “no later
than sixty (60) days after entry of a plea.” I.C. § 18-4004A(1). The notice “shall include a listing
of the statutory aggravating circumstances that the state will rely on in seeking the death
penalty.” I.C. § 18-4004A(1). We hold that the requirements in Idaho Code section 18-4004A
comport with the Sixth Amendment and due process by notifying the defendant of the nature of
the aggravating circumstances and by providing the defendant with a meaningful opportunity to
respond and prepare. See Terrell, 572 S.E.2d at 602–03 (finding constitutionally sufficient notice
of State’s intent to seek the death penalty with notice filed several months before trial); Scott,
183 P.3d at 835 (holding that notice of intent to seek the death penalty sufficient under the Sixth
Amendment); State v. Hunt, 582 S.E.2d 593, 604–06 (N.C. 2003) (holding that aggravators do
not need to be pled in the indictment because statutory notice and procedures are sufficient under
the Sixth Amendment). These notice requirements in Idaho Code section 18-4004A are
constitutionally adequate and stand “in lieu of charging them in the information or indictment.”
State v. Glass, 136 S.W.3d 496, 513 (Mo. 2004), cert. denied, 543 U.S. 1058 (2005).
Finally, Abdullah argues that due process requires that a defendant be apprised “not only
of the name of the offense charged but in general terms of the manner in which it is alleged to
30
Most recently, this Court reached a similar result regarding a non-death eligible crime in State v. Schall, 157 Idaho
488, 337 P.3d 647 (2014). In Schall, this Court held that Idaho Code section 18-8005(6), which requires that a
violation of Idaho’s DUI statute be enhanced to a felony in certain circumstances, did not create a separate offense.
Id. at 492, 337 P.3d at 651. Rather, Idaho Code section 18-8005(6) is an enhancement provision. Id. at 492–95, 337
P.3d at 651–54. Relevant here, this Court stated, “The fact that an enhancement provision has serious ramifications
for a defendant tells us nothing about whether the Legislature intended to define a new offense or to enhance the
penalty associated with a pre-existing offense.” Id. at 495, 337 P.3d at 654.
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have been committed.” In Gray v. Netherland, however, the United States Supreme Court stated,
“A defendant’s right to notice of the charges against which he must defend is well established.
But a defendant’s claim that he has a right to notice of the evidence that the state plans to use to
prove the charges stands on quite a different footing.” 518 U.S. 152, 167–68 (1996) (citations
omitted). “[T]here is no extant constitutional right to advance notice of the evidence to prove
such charges in a capital sentencing hearing.” United States v. LeCroy, 441 F.3d 914, 929 (11th
Cir. 2006) (citing Gray, 518 U.S. at 166–70). Thus, the State “is not required to provide specific
evidence in its notice of intent” to seek the death penalty. United States v. Battle, 173 F.3d 1343,
1347 (11th Cir. 1999).
Consistent with the foregoing, we hold that there is no due process right to be informed
of the specific evidence or factual basis underlying each aggravating circumstance alleged by the
State. The State’s notification of the aggravating circumstances that it will rely upon to seek the
death penalty is sufficient to inform the defendant of the “general terms” or basis of each
aggravating circumstance. “The nature of the aggravators themselves ensures that defendants
will be reasonably apprised of the evidence that could lead to a sentence of death.” Hunt, 582
S.E.2d at 605. Idaho’s statutory aggravating circumstances “are sufficiently distinct that, in
almost all cases, it will be apparent to the defendant prior to trial which factors the State will be
relying on.” Scott, 183 P.3d at 835; see also I.C. § 19-2515(h) (Michie 2002). “Even in the event
there is some ambiguity as to the factors that will be relied on, the State is required to provide the
exact factors prior to the penalty phase.” Scott, 183 P.3d at 835. The State’s identification of the
four aggravating circumstances in its notice to seek the death penalty was sufficient to notify
Abdullah of the facts underlying each aggravating circumstance and satisfy due process.
In conclusion, this Court holds that Article I, Section 8 of the Idaho Constitution, Idaho
Criminal Rule 7(b), and Idaho Code section 19-1409(2) do not require that the aggravating
circumstances be alleged in the indictment. This Court also holds that compliance with the notice
requirements in Idaho Code section 18-4004A is sufficient to satisfy due process and the Sixth
Amendment notice requirement. Finally, this Court holds that the State is not required by the due
process clause to submit a factual basis for each aggravating circumstance. This Court affirms
the district court’s denial of Abdullah’s motion to strike the State’s notice of intent to seek the
death penalty.
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17. The statutory aggravating circumstances are not void for vagueness under the Due
Process Clause and the Eighth Amendment’s prohibition of cruel and unusual
punishment.
Abdullah argues that the four aggravating circumstances alleged by the State are
unconstitutionally vague and therefore violate the Due Process Clause and the Eighth
Amendment to the United States Constitution.
a. Facts
In its notice of intent to seek the death penalty, the State provided that it would rely on
four statutory aggravating circumstances: (1) the defendant knowingly created a great risk of
death to many persons (great risk aggravator); (2) the murder was especially heinous, atrocious,
or cruel, manifesting exceptional depravity (HAC aggravator); (3) by the murder or
circumstances surrounding its commission, the defendant exhibited an utter disregard for human
life (utter disregard aggravator); and (4) the defendant, by prior conduct or conduct in the
commission of the murder at hand, has exhibited a propensity to commit murder which will
probably constitute a continuing threat to society (propensity aggravator). Abdullah moved for
the district court to declare the four aggravating circumstances unconstitutional under the Idaho
and United States Constitutions, including the Due Process Clause and the Eighth Amendment.
The district court denied Abdullah’s motion.
Although the jury was unable to reach a unanimous decision on the HAC and propensity
aggravators, the jury found that the State had proven beyond a reasonable doubt the existence of
the great risk and utter disregard aggravators. The jury weighed the great risk aggravator and
utter disregard aggravator individually against all mitigating circumstances and found that the
mitigating circumstances were not sufficiently compelling that the death penalty would be
unjust.
b. Standard of Review
As a preserved claim of error, the Court employs the harmless error standard to
Abdullah’s challenges to the aggravating circumstances. State v. Perry, 150 Idaho 209, 227, 245
P.3d 961, 979 (2010). “The requirements of the Idaho and U.S. Constitutions are questions of
law, over which this Court has free review.” State v. Draper, 151 Idaho 576, 598, 261 P.3d 853,
875 (2011).
c. Analysis
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“Our capital punishment doctrine is rooted in the principle that ‘[t]he Eighth and
Fourteenth Amendments cannot tolerate the infliction of a sentence of death under legal systems
that permit this unique penalty to be . . . wantonly and . . . freakishly imposed.’” State v. Card,
121 Idaho 425, 434, 825 P.2d 1081, 1090 (1991) (quoting Lewis v. Jeffers, 497 U.S. 764, 774
(1990) (alteration in original) (omissions in original)). “This principle requires a State to
‘channel the sentencer’s discretion by clear and objective standards that provide specific and
detailed guidance, and that make rationally reviewable the process for imposing a sentence of
death.’” Id. (quoting Jeffers, 497 U.S. at 774).
“Claims of vagueness directed at aggravating circumstances defined in capital
punishment statutes are analyzed under the Eighth Amendment . . . .” Maynard v. Cartwright,
486 U.S. 356, 361 (1988). These claims “characteristically assert that the challenged provision
fails adequately to inform juries what they must find to impose the death penalty and as a result
leaves them and appellate courts with the kind of open-ended discretion which was held invalid
in Furman v. Georgia, 408 U.S. 238 (1972).” Cartwright, 486 U.S. at 361–62; see also id. at 362
(“Furman held that Georgia’s then-standardless capital punishment statute was being applied in
an arbitrary and capricious manner; there was no principled means provided to distinguish those
that received the penalty from those that did not.”). A claim of vagueness is analyzed by
determining whether the challenged aggravating circumstance adequately informs the jury of
what it must find in order to impose the death penalty, or whether it leaves the jury with
unchanneled discretion to make an arbitrary and capricious decision. State v. Dunlap, 125 Idaho
530, 536, 873 P.2d 784, 790 (1993). The aggravating circumstances must be construed to permit
the jury to make a principled distinction between those who deserve the death penalty and those
who do not. Card, 121 Idaho at 434–35, 825 P.2d at 1090–91.
“[W]here the statutory language defining the aggravating circumstance is itself vague,
there must be a limiting construction if the state is to meet its constitutional obligation to ‘tailor
and apply its law in a manner that avoids the arbitrary and capricious infliction of the death
penalty.’” State v. Pizzuto, 119 Idaho 742, 771, 810 P.2d 680, 709 (1991) (quoting Godfrey v.
Georgia, 446 U.S. 420, 428 (1980)), overruled in part on other grounds by Card, 121 Idaho 425,
825 P.2d 1081.
i. Any challenge to HAC and propensity aggravators is moot.
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The constitutionality of the HAC aggravator and propensity aggravator is moot because
the jury did not reach a unanimous decision as to these aggravators. The Court does not decide
moot issues. Hoagland v. Ada Cnty., 154 Idaho 900, 912, 303 P.3d 587, 599 (2013). An issue is
moot if it “does not present a real and substantial controversy that is capable of being concluded
through judicial decree of specific relief” or if “a favorable judicial decision would not result in
any relief or the party lacks a legally cognizable interest in the outcome.” Arambarri v.
Armstrong, 152 Idaho 734, 739, 274 P.3d 1249, 1254 (2012) (citations omitted). Without a
unanimous decision, these aggravators were not subject to any weighing against the mitigating
circumstances to determine whether the death penalty would be unjust. Hence, the HAC and
propensity aggravators had no bearing on the jury’s decision to sentence Abdullah to death. The
Court cannot invalidate his death sentence on factors that in no way influenced the jury’s
decision. A decision regarding these factors in Abdullah’s favor would not result in any relief to
Abdullah. Put another way, even if Abdullah could establish that the aggravators were
unconstitutionally vague, any constitutional error beyond a reasonable doubt did not contribute
to the jury’s decision to sentence Abdullah to death. See Perry, 150 Idaho at 227, 245 P.3d at
979.
ii. The utter disregard aggravator is not void for vagueness.
Abdullah argues that the utter disregard aggravator is unconstitutionally vague because
the jury sentencing requirement from Ring v. Arizona, 536 U.S. 584 (2002), renders the limiting
construction of utter disregard inadequate to properly instruct the jury.
The utter disregard aggravator requires a limiting construction to meet constitutional
requirements. State v. Osborn, 102 Idaho 405, 417–19, 631 P.2d 187, 199–201 (1981). The
limiting construction provided by the Court in Osborn construes “utter disregard” “to be
reflective of acts or circumstances surrounding the crime which exhibit the highest, the utmost,
callous disregard for human life, i.e., the cold-blooded, pitiless slayer.” Id. at 419, 631 P.2d at
201. The United States Supreme Court in Arave v. Creech, 507 U.S. 463 (1993), reviewed the
Court’s construction in Osborn of the utter disregard aggravator and “held that because this
construction ‘defines a state of mind that is ascertainable from surrounding facts,’ the aggravator
was not unconstitutional.” State v. Dunlap, 155 Idaho 345, 377, 313 P.3d 1, 33 (2014) (quoting
Creech, 507 U.S. at 471–74). The Osborn construction satisfies the Eighth Amendment by
87
genuinely narrowing the class of persons eligible for the death penalty. Creech, 507 U.S. at 474–
75.
“In Creech, the Court used both ‘sentencer’ and ‘sentencing judge’ when referring to the
entity that would apply the aggravator to determine a sentence.” Dunlap, 155 Idaho at 377, 313
P.3d at 33 (quoting Creech, 507 U.S. at 474–76). The defendant in Dunlap contended “that the
Creech Court found the Osborn construction sufficient only in the context of judge sentencing.”
Dunlap, 155 Idaho at 377, 313 P.3d at 33. The Court rejected the defendant’s argument,
explaining that “the determination in Creech was based upon the U.S. Supreme Court’s
consideration of the ‘ordinary meaning’ of the limiting construction that this Court had applied to
the statutory language.” Dunlap, 155 Idaho at 377–78, 313 P.3d at 33–34 (citing Creech, 507
U.S. at 472). The United States Supreme Court did not base its determination on any difference
between judge and jury sentencing. Id. Therefore, the Court held in Dunlap “that the utter
disregard aggravator is not rendered unconstitutional by the change from judge to jury
sentencing.” Id. at 378, 313 P.3d at 34.
Abdullah raises a similar argument. He argues that this Court’s construction of utter
disregard is no longer valid because it relied on the fact that judges, who understand and apply
narrowing constructions to avoid vague aggravators, would sentence the defendant to death.
Abdullah’s argument has been foreclosed by Dunlap. We reaffirm Dunlap’s holding that the
utter disregard aggravator with a limiting construction is not void for vagueness under the Eighth
Amendment.
In this case, Jury Instruction 46 provided:
“Exhibited utter disregard for human life,” with regard to the murder or the
circumstances surrounding its commission, refers to acts or circumstances
surrounding the crime that exhibit the highest, the utmost, callous disregard for
human life, i.e., the cold-blooded, pitiless slayer. “Cold-blooded” means marked
by absence of warm feeling: without consideration, compunction, or clemency,
matter of fact, or emotionless. “Pitiless” means devoid of or unmoved by mercy
or compassion. A “cold-blooded, pitiless slayer” refers to a slayer who kills
without feeling or sympathy. The utter disregard factor refers to the defendant’s
lack of conscience regarding killing of another human being.
This instruction “accurately instructed the jury as to this limiting construction” of utter disregard.
Dunlap, 155 Idaho at 378, 313 P.3d at 34. Abdullah’s void for vagueness challenge to the utter
disregard aggravator fails.
iii. Any error with regard to the great risk aggravator was harmless.
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Abdullah raises three separate issues with respect to the great risk aggravator. First, he
argues that the great risk aggravator itself is unconstitutionally vague. Second, he argues that the
district court’s jury instruction for the great risk aggravator was a legislative act in violation of
separation of powers principles. Finally, he argues that the district court’s jury instruction
violated his due process rights because it failed to connect the great risk aggravator with the
offense of first-degree murder.
It is not necessary for this Court to consider these arguments on appeal. Even if the great
risk aggravator is unconstitutional or if the district court’s instruction was inadequate, any error
was harmless. “In Idaho, the [jury] must weigh each of the aggravating circumstances separately
against all of the mitigating circumstances.” State v. Hairston, 133 Idaho 496, 509–10, 988 P.2d
1170, 1183–84 (1999); see also I.C. § 19-2515(c) (Michie 2002); I.C. § 19-2515(3)(b), (7),
(8)(a).
When such an analysis is followed, the invalidation of one or more of the
aggravating circumstances has no effect on the validity of the sentence imposed;
[the jury] has already determined that any one of the aggravating circumstances
standing alone outweighs all the mitigating circumstances, thus justifying the
death sentence.
Hairston, 133 Idaho at 510, 988 P.2d at 1184. In this case, the jury found that the State had
proven beyond a reasonable doubt the existence of two aggravating circumstances: great risk and
utter disregard. Weighing each aggravating circumstance individually, the jury found that all
mitigating circumstances were not sufficiently compelling that the death penalty would be unjust
based on either aggravating circumstance standing alone. Therefore, even if the great risk
aggravator was unconstitutionally vague and should not have been submitted to the jury without
a limiting construction from the Court, this Court affirms the jury’s finding to impose the death
penalty based on the utter disregard aggravator. See id.; State v. Wood, 132 Idaho 88, 105–06,
967 P.2d 702, 719–20 (1998).
18. This Court’s limiting construction of the HAC and utter disregard aggravators does
not violate the separation of powers doctrine.
Abdullah argues that this Court’s limiting construction of the HAC aggravator and utter
disregard aggravator from State v. Osborn, 102 Idaho 405, 631 P.2d 187 (1981), and State v.
Creech, 105 Idaho 362, 670 P.2d 463 (1983), respectively, violates the separation of powers
doctrine because the Court’s limiting constructions “rewrote” those aggravating circumstances in
contravention of the legislature’s exclusive power to define the elements of a criminal offense.
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Abdullah bases his argument on Ring v. Arizona, 536 U.S. 584 (2002), which he contends to
have elevated the aggravating circumstances to elements of a crime. However, the Court held
that “Ring did not elevate those statutory aggravating circumstances into elements of a crime, nor
did it create a new crime.” State v. Porter, 140 Idaho 780, 784, 103 P.3d 1099, 1103 (2004). The
aggravating circumstances are only “the functional equivalent” of elements of a crime. State v.
Shackelford, 150 Idaho 355, 387, 247 P.3d 582, 614 (2010) (discussing Ring). As such, the
Court’s limiting construction of an aggravating circumstance is not constrained by the separation
of powers doctrine.
This Court is within its constitutional authority to narrowly construe an aggravating
circumstance to avoid an unconstitutionally vague statute. “In charging the jury, the court must
state to them all matters of law necessary for their information.” I.C. § 19-2132. “[P]ossible
infirmity for vagueness may be avoided if the statute is given a limiting judicial construction,
consistent with the apparent legislative intent and comporting with constitutional limitations.”
State v. Cobb, 132 Idaho 195, 199, 969 P.2d 244, 248 (1998) (quoting State v. Richards, 127
Idaho 31, 38, 896 P.2d 357, 364 (Ct. App. 1995) (discussing a facial vagueness challenge)).
It is the courts alone that have the power to determine the validity or invalidity of
a statute. It is the role of the courts to ascertain and give effect to the intention of
the legislature as expressed in the statutes. To apply the principle of statutory
interpretation is not a violation of the separation of powers doctrine.
Neill v. State, 896 P.2d 537, 555 (Okla. Crim. App. 1994) (citations omitted) (rejecting
defendant’s claim that the court’s narrowing construction of the HAC aggravator violates the
separation of powers doctrine), cert. denied, 516 U.S. 1080 (1996). See also State v. Breton, 824
A.2d 778, 827–28 (Conn.) (reaffirming its holding that the court has the power to define
“especially cruel” and the power is not reserved to the legislature), cert. denied, 540 U.S. 1055
(2003); Victorino v. State, 23 So. 3d 87, 104 (Fla. 2009) (rejecting without discussion the
defendant’s claim that the court’s limiting construction of the HAC aggravator violates the
separation of powers). “In choosing between two constructions of a statute, one valid and one
constitutionally precarious,” the Court may “search for an effective and constitutional
construction that reasonably accords with the legislature’s underlying intent.” State v. Breton,
562 A.2d 1060, 1066 (Conn. 1989). Therefore, we hold that our limiting construction of an
aggravating circumstance to avoid an unconstitutionally vague statute does not violate the
separation of powers doctrine.
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19. The district court did not err by admitting a victim impact statement from Angie’s
step-sister.
Abdullah argues that the district court erred when it permitted Angie’s step-sister
Stephanie Williams to offer victim impact testimony during the sentencing proceeding. Abdullah
argues that Idaho Code section 19-5306 does not permit step-siblings the opportunity to offer
victim impact evidence because they are not immediate family members.
a. Standard of Review
Abdullah did not object to the admission of Williams’s victim impact statement, and
therefore this alleged error is subject to the fundamental error standard. State v. Dunlap, 155
Idaho 345, 363, 313 P.3d 1, 19 (2013). The interpretation of a statute is a question of law over
which this Court exercises free review. State v. Payne, 146 Idaho 548, 575, 199 P.3d 123, 150
(2008).
b. Analysis
Article I, Section 22(6) of the Idaho Constitution and Idaho Code section 19-5306
guarantee victims the right to be heard, upon request, at sentencing. IDAHO CONST. art. I, § 22(6);
I.C. § 19-5306(1)(e), (h); see also Payne, 146 Idaho at 575, 199 P.3d at 150. A victim may
exercise the right to be heard with a victim impact statement at the defendant’s sentencing
hearing. State v. Hansen, 156 Idaho 169, 173, 321 P.3d 719, 723 (2014). In cases of homicide,
Idaho Code section 19-5306 limits victim impact statements to immediate family members of the
victim. I.C. § 19-5306(3); Payne, 146 Idaho at 575, 199 P.3d at 150. “Immediate family
members” is not defined in Idaho Code section 19-5306. Payne, 146 Idaho at 575, 199 P.3d at
150.
Whether step-siblings are immediate family members entitled to give a victim impact
statement is a matter of first impression for this Court. In Payne, the Court turned to other
definitions of “immediate family members” in the Idaho Code and Black’s Law Dictionary to
determine the definition for purposes of Idaho Code section 19-5306. The Court explained:
For instance, in I.C. § 41-1325, “‘immediate family member’ means a parent,
mother-in-law, father-in-law, husband, wife, sister, brother, brother-in-law, sister-
in-law, son-in-law, daughter-in-law, or a son or daughter.” I.C. § 41-1325(2).
Likewise, in I.C. § 44-1601, “‘[i]mmediate family member’ means the spouse,
children, brother, sister, mother or father.” Similarly, Black’s defines “immediate
family member” as: “1. A person’s parents, spouse, children, and siblings. 2. A
person’s parents, spouse, children, and siblings, as well as those of the person’s
spouse.” Black’s Law Dictionary 273 (2d Pocket Ed. 2001).
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Payne, 146 Idaho at 575, 199 P.3d at 150. Thus, the Court indicated that relatives related by
marriage, such as in-laws, are immediate family members. It logically follows that siblings
related by marriage are also immediate family members. Black’s Law Dictionary also supports
this determination, which notes in its definition of “immediate family members” that
“[s]tepchildren and adopted children are usu[ally] immediate family members.” BLACK’S LAW
DICTIONARY 721 (10th ed. 2014). Therefore, this Court holds that step-siblings of the victim are
immediate family members for purposes of providing a victim impact statement pursuant to
Idaho Code section 19-5306. For this reason, the district court did not err when it permitted
Williams to read a victim impact statement during the sentencing proceeding.
20. The alleged instance of prosecutorial misconduct during the penalty phase did not
result in fundamental error.
Abdullah submits one instance of prosecutorial misconduct during the penalty phase of
trial. He argues that this error violated his right to due process, his right to a fair trial, and the
equal protection clause.
a. Facts
During closing argument of the penalty phase, the prosecutor discussed the penalty of
death under Islamic law. The transcript provides:
MR. OWEN [the prosecutor]: You will recall that point in the trial when I
examined that Imam from the mosque in Salt Lake City . . . you will recall that in
answer to counsel’s question, I asked the Imam what is the penalty for murder
under Islam--
THE COURT: Counsel, side bar.
(bench conference as follows:)
THE COURT: I know where you’re going. Don’t go there.
MR. OWEN: I don’t think you know.
THE COURT: Are you bringing in the fact that the penalty should be death?
MR. OWEN: With the understanding that that’s not the law that we have in this
state, that we don’t get to execute somebody just because they commit a murder.
That’s the point.
THE COURT: All right. I didn’t want --
MR. OWEN: I’m not going to make that point.
(Back on the record.)
MR. OWEN: You’ll recall in response to the question by counsel what the penalty
for murder under Islamic law is and the answer was death for death. But we’re not
92
Islamic law. You are obligated to follow the laws of the state as given to you by
this Judge. That law is expressed in this instruction that you have. Idaho law has
been structured so that the only persons who will eligible [sic] to receive the death
penalty are the worst of the worst. That’s why you have to find an aggravator.
Once you find an aggravator, that’s why you have to weigh all of the mitigation
against that.
Abdullah did not object to the prosecutor’s statement.
b. Standard of Review
“Where prosecutorial misconduct was not objected to during trial, this Court may only
reverse when that misconduct constitutes a fundamental error.” State v. Adamcik, 152 Idaho 445,
480, 272 P.3d 417, 452 (2012) (citing State v. Perry, 150 Idaho 209, 227, 245 P.3d 961, 979
(2010)); see also State v. Dunlap, 155 Idaho 345, 363, 313 P.3d 1, 19 (2013). The first step in
considering Abdullah’s claim of prosecutorial misconduct is to determine whether “the alleged
conduct actually rises to the level of prosecutorial misconduct.” Dunlap, 155 Idaho at 368, 313
P.3d at 24.
c. Analysis
Abdullah argues that the prosecutor’s comment on Islamic law was an attempt to ask the
jury to decide the penalty based on factors other than evidence and law. He also contends that the
prosecutor’s argument undercut the jurors’ sense of responsibility for imposing the death
penalty. In Abdullah’s supplemental brief, he contends that the prosecutor emphasized Islamic
law to highlight Abdullah’s ethnicity and religion at a time when the American public was
hostile towards Iraqis and Muslims due to the September 11 terrorist attacks and subsequent war
in Iraq. Abdullah submits that the prosecutor’s reference to Islamic law was an appeal to jury
prejudice based on religion and ethnicity.
The prosecutor’s comment was not misconduct. Prosecutorial misconduct occurs when
the prosecutor “attempts to secure a verdict on any factor other than . . . the evidence admitted
during trial, including reasonable inferences that may be drawn from that evidence.” Perry, 150
Idaho at 227, 245 P.3d at 979. It also occurs when the prosecutor “[a]ppeals to emotion, passion
or prejudice of the jury through use of inflammatory tactics.” State v. Ellington, 151 Idaho 53,
62, 253 P.3d 727, 736 (2011) (quoting State v. Phillips, 144 Idaho 82, 87, 156 P.3d 583, 588 (Ct.
App. 2007)). Neither occurred here. The jury did not learn from the prosecutor that the penalty
for murder was death under Islamic law. The defense’s cross-examination of a witness during the
93
guilt phase informed the jury of this penalty. 31 In referencing this evidence presented by the
defense, the prosecutor did not ask the jury to draw any negative inferences from that evidence.
Rather, the prosecutor noted the evidence and then directed the jury to follow the instructions of
the district court. Thus, the prosecutor did not seek the death penalty based on excluded or
admissible evidence. Further, the prosecutor did not appeal to emotion, passion, or prejudice of
the jury. The prosecutor’s reference to Islamic law served to emphasize to the jury to follow the
law of Idaho. To reach Abdullah’s contention that the prosecutor attempted to capture the
general public’s alleged animosity towards certain ethnicities and religious groups for the
September 11 terrorist attacks would require inference upon inference, all in spite of the
instruction to the jury that prejudice should not influence their deliberation. Finally, any error
was harmless. Abdullah has failed to show that there is a reasonable possibility the prosecutor’s
comment on Islamic law affected the outcome of the sentencing phase. Dunlap, 155 Idaho at
363, 313 P.3d at 19.
21. The district court did not err by failing to properly instruct the jury during the
penalty phase.
Abdullah raises five challenges to the district court’s jury instructions during the penalty
phase. This Court concludes that there was no error in the district court’s jury instructions.
a. Standard of Review
“Whether jury instructions fairly and adequately present the issues and state the
applicable law is a question of law over which this Court exercises free review.” State v.
Humpherys, 134 Idaho 657, 659, 8 P.3d 652, 654 (2000). Abdullah did not object to these
instructions at trial, and therefore their validity is reviewed under the fundamental error standard.
State v. Dunlap, 155 Idaho 345, 363, 313 P.3d 1, 19 (2013).
b. Jury Instruction 47: Definition of “Many Persons”
The district court instructed the jury that “many persons” for the great risk aggravator
“means more than four people.” This instruction is identical to the instruction requested by
Abdullah. Abdullah argues that this definition defined “many” too narrowly. We reject
31
Defense counsel elicited this information during cross-examination of Imam Din. The defense counsel asked on
cross-examination, “What does the Islamic faith say about killing a human being?” and Imam Din responded, “It is a
major sin and it is -- the person will be punished in the hereafter by being put in the hellfire.” Defense counsel then
asked, “Does it say anything about punishment here on earth?” and Imam Din responded, “Yes. According to
Islamic law, there is death for death, like the Taliban.” On redirect, the prosecutor asked, “Did I understand you to
state that murder in the Muslim faith is haram?” (“Haram” “is something that is forbidden by God.”) Imam Din
responded, “Yes.”
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Abdullah’s assignment of error. Abdullah “cannot assert as error on appeal the giving of an
instruction which he himself requested.” State v. Draper, 151 Idaho 576, 589, 261 P.3d 853, 866
(2011) (quoting State v. Aragon, 107 Idaho 358, 363, 690 P.2d 293, 298 (1984)).
c. Jury Instruction 53: No Definition of “Sufficiently Compelling”
The district court instructed the jury:
If you find that all the mitigating circumstances are sufficiently
compelling to make the imposition of the death penalty unjust, or you cannot
unanimously agree on that issue, then the judge must sentence the Defendant.
....
You must each decide for yourself whether all mitigating circumstances
presented, when weighed against each statutory aggravating circumstance proven
by the State, are sufficiently compelling to make the imposition of the death
penalty unjust.
Abdullah argues that the district court’s failure to define “sufficiently compelling” is
unconstitutional. He explains that “sufficiently compelling” did not inform the jury on how to
weigh each aggravating circumstance against the mitigating evidence. This Court recently
addressed a similar argument in Dunlap, 155 Idaho 345, 313 P.3d 1. The Court explained:
Dunlap argues that “sufficiently compelling” should have been defined because
the jury might have thought that the phrase required some specific amount of
mitigation to overcome the aggravating circumstance. We disagree. It is
unnecessary to define “sufficiently compelling” because the phrase is comprised
of ordinary words that do not require definition.
Id. at 365, 313 P.3d at 21. We reaffirm that a definition of “sufficiently compelling” is
unnecessary. Therefore, we reject Abdullah’s assignment of error.
d. Jury Instruction 53: Failure to Instruct Jury on Judge Sentencing
The district court’s instruction at issue provided:
If you find that all the mitigating circumstances are sufficiently compelling to
make the imposition of the death penalty unjust, or you cannot unanimously agree
on that issue, then the judge must sentence the Defendant.
Abdullah argues that the district court’s instruction was erroneous because the district court
should have instructed the jury that the judge would sentence him to life imprisonment if the jury
found aggravating circumstances existed but the death penalty would be unjust when weighing
each aggravating circumstance against all mitigating circumstances.
At the time of Abdullah’s offense, Idaho Code section 18-4004 provided:
[E]very person guilty of murder of the first degree shall be punished by death or
by imprisonment for life, . . . and provided further that whenever the court shall
95
impose a sentence of life imprisonment, the court shall set forth in its judgment
and sentence a minimum period of confinement of not less than ten (10) years
during which period of confinement the offender shall not be eligible for parole or
discharge or credit or reduction of sentence for good conduct, except for
meritorious service.
I.C. § 18-4004 (Michie 2002). As apparent by the statute, the judge could sentence the defendant
to life imprisonment with a range of fixed years from ten years to life for the crime of first-
degree murder.
On February 13, 2003, the legislature amended Idaho’s death penalty statutes to require
the judge to sentence the defendant to “a fixed life sentence” if the jury finds “a statutory
aggravating circumstance beyond a reasonable doubt but finds that the imposition of the death
penalty would be unjust.” Ch. 19, § 1, 2003 Idaho Session Laws 71, 71; I.C. § 18-4004 (Michie
2003); I.C. § 18-4004 (2014) (same). The legislature also required that the jury shall be informed
accordingly:
(a) If the jury finds that a statutory aggravating circumstance exists and no
mitigating circumstances exist which would make the imposition of the death
penalty unjust, the defendant will be sentenced to death by the court.
(b) If the jury finds the existence of a statutory aggravating circumstance but finds
that the existence of mitigating circumstances makes the imposition of the death
penalty unjust or the jury cannot unanimously agree on whether the existence of
mitigating circumstances makes the imposition of the death penalty unjust, the
defendant will be sentenced to a term of life imprisonment without the possibility
of parole; and
(c) If the jury does not find the existence of a statutory aggravating circumstance
or if the jury cannot unanimously agree on the existence of a statutory aggravating
circumstance, the defendant will be sentenced by the court to a term of life
imprisonment with a fixed term of not less than ten (10) years.
Ch. 19, § 1, 2003 Idaho Session Laws at 74; I.C. § 19-2515(7) (Michie 2003); I.C. § 19-2515(7)
(2014) (same). Thus, according to the current death penalty laws, the jury must be informed that
the court will sentence the defendant to life imprisonment without the possibility of parole if the
jury finds the existence of aggravating circumstances, but also finds all mitigating circumstances
outweigh each aggravating circumstance.
This fixed life sentence penalty and requirement to inform the jury of the fixed life
sentence were not retroactive. The legislature stated: “[T]he provisions of this act relating to
mandatory fixed life sentences based upon the finding of a statutory aggravating circumstance
apply only to crimes occurring after the effective date of this act [February 13, 2003] . . . .” Ch.
19, § 1, 2003 Idaho Session Laws at 75. Abdullah’s crime occurred in October of 2002.
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Abdullah contends that the district court had to inform the jury of the possible penalties.
He relies on United States Supreme Court case law, but those cases are inapplicable in this
context. The United States Supreme Court held in “Simmons v. South Carolina, 512 U.S. 154
(1994), that when ‘a capital defendant’s future dangerousness is at issue, and the only sentencing
alternative to death available to the jury is life imprisonment without possibility of parole, due
process entitles the defendant ‘to inform the jury of [his] parole ineligibility, either by a jury
instruction or in arguments by counsel.’” Kelly v. South Carolina, 534 U.S. 246, 248 (2002)
(emphasis added) (quoting Shafer v. South Carolina, 532 U.S. 36, 39 (2001) (alteration in
original)). The United States Supreme Court has made clear that the Simmons rule only “comes
into play” when the state law provides “no third choice,” i.e., the jury has only two sentencing
options: death or life imprisonment without the possibility of parole. Shafer, 532 U.S. at 51.
“Simmons applies only to instances where, as a legal matter, there is no possibility of parole if
the jury decides the appropriate sentence is life in prison.” Ramdass v. Angelone, 530 U.S. 156,
169 (2000).
In this case, due to the date of Abdullah’s offense, the jury was not faced with only two
sentencing options: death or a fixed life sentence. If the jury found the existence of aggravating
circumstances, but all the mitigating circumstances outweighed each aggravating circumstance,
life imprisonment without the possibility of parole was not the only alternative sentence. The
district court could sentence Abdullah to life imprisonment with a range of fixed years from ten
to life. I.C. § 18-4004 (Michie 2002). Therefore, Simmons is inapplicable, and Abdullah was not
entitled to a jury instruction on the judge’s sentencing options in the event that the jury did not
recommend a death sentence. See Collier v. Cockrell, 300 F.3d 577, 583 (5th Cir.) (Simmons
provides no support to the defendant’s due process challenge because the defendant faced an
alternative sentence with the possibility of parole after forty years), cert. denied, 537 U.S. 1084
(2002); State v. Bush, 942 S.W.2d 489, 503 (Tenn.) (“Since Tennessee is a state in which
defendants sentenced to life imprisonment are eligible for parole, Simmons does not require that
the jury be given information about parole availability.”), cert. denied, 522 U.S. 953 (1997).
We note that Abdullah’s argument implies that he submitted a proper instruction to the
district court, which the district court improperly rejected. However, the record proves otherwise.
The record shows that Abdullah proposed the following instruction in writing:
97
If you find that all the mitigating circumstances are sufficiently compelling to
make the imposition of the death penalty unjust, or you cannot unanimously agree
on that issue, then the defendant will be sentenced to life in prison without the
possibility of parole.
Then on three separate occasions during the district court’s discussions with the parties on jury
instructions, Abdullah represented that he wanted the instruction to end with the precise language
adopted by the district court: “then the judge must sentence the defendant.” This instruction was
a correct representation of the law at the time of Abdullah’s offense, as discussed above, and it
was the instruction sought by Abdullah. Abdullah cannot complain that the district court failed to
use the erroneous instruction he proposed to the court. There was no error in the district court’s
instruction.
e. Jury Instruction 53: Double-Counting Aggravator Evidence
In regards to the evidence for each aggravating circumstance, Abdullah proposed the
following instruction:
If you find that two or more of the aggravating factors are proven beyond a
reasonable doubt by a single aspect of the offense, you are to consider that as
supporting only one aggravating factor. For example, the exhibited utter disregard
for human life aggravator and knowingly created a great risk of death to many
persons may be considered as only being a single aggravating factor.
During oral conference on the jury instructions, the district court informed Abdullah that his
proposed instruction was contrary to Idaho law. After further discussion, the district court
determined the double-counting instruction would provide: “In determining whether a certain
aggravating circumstance exists, you may consider the same evidence you considered to support
a different aggravator so long as you find additional aggravating evidence to support a finding of
that particular aggravator beyond a reasonable doubt.” This rule against double-counting or
double-weighing has been consistently upheld by this Court “because we presume that the
legislature did not intend to duplicate aggravating circumstances.” Dunlap, 155 Idaho at 365, 313
P.3d at 21.
Abdullah contends that the district court’s instruction in this case was confusing and
unclear as to the evidence the jurors could rely on to find multiple aggravating circumstances.
We disagree. The district court’s instruction properly instructed the jury against double-counting.
In fact, the district court modeled its instruction after State v. Wood, 132 Idaho 88, 967 P.2d 702
(1998), which stated: “In determining whether a certain aggravating circumstance exists, the
sentencing judge may consider the same evidence he considered in relation to a different
98
aggravator so long as he finds additional aggravating evidence to support a finding of that
particular aggravator beyond a reasonable doubt.” Id. at 104, 967 P.2d at 718. We hold that this
instruction adequately informs the jury of the applicable law, and therefore Abdullah has failed
to establish any error with respect to the double-counting instruction.
Assuming the district court’s instruction was in error, any error was harmless. In Dunlap,
the jury found the existence of three aggravating circumstances, but the jury did not receive a
double-counting instruction. 155 Idaho at 365, 313 P.3d at 21. The Court held that “the trial court
erred by failing to instruct the jurors that they were required to find independent evidence existed
for each aggravator.” Id. Even so, the Court held that any error was harmless. The Court
explained:
We accept Dunlap’s implicit premise that the jury may have relied upon the
entirety of the evidence in aggravation as supporting each of the three aggravating
circumstances they found to be true. However, we do not accept his explicit
premise that we don’t know which specific aggravator can be supported by the
evidence. To the contrary, the entirety of the evidence in aggravation would
support the finding of any of the three aggravating circumstances, as the jury’s
verdict reflects. Although as a matter of law, the jury could not consider all of the
evidence in aggravation as supporting each of the aggravators, this simply means
that the verdict cannot stand as to all three aggravators, not that all three
aggravators are unsupported by the evidence. Because each of the three
aggravators was supported by the entirety of the evidence, at least one remains
unaffected by the failure to give the required instruction.
Id. Similar to Dunlap, at least one of the two aggravating circumstances found by the jury in this
case remains unaffected by an erroneous instruction on double-counting. The utter disregard
aggravator, standing alone, remains valid and justifies the death sentence, even if the jury found
that the same evidence supported it and the great risk aggravator. Therefore, any improper jury
instruction on double-counting was harmless error.
f. Jury Instruction 50, 53, & 58: Duty to Consult & Unanimous Verdict
Finally, Abdullah argues that the district court’s instructions did not make clear to the
jury it did not have to reach a unanimous verdict in deciding whether all the mitigating evidence
made the imposition of the death penalty unjust.
Abdullah takes issue with three jury instructions. First, Jury Instruction 50 provided:
As jurors, you have a duty to discuss the case with one another and to deliberate
in an effort to reach a just verdict. Each of you must decide the case for yourself,
but only after you consider the evidence impartially with your fellow jurors.
During your deliberations, you should not hesitate to re-examine your own views
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and change your opinion if you become convinced that it is wrong. However, you
should not change your honest belief as to the weight or effect of the evidence
solely because of the opinions of your fellow jurors, or for the mere purpose of
returning a verdict.
This instruction was almost identical to Abdullah’s proposed instruction. 32 Second, Jury
Instruction 53 provided, in relevant part,
If the State has failed to prove the existence of a statutory aggravating
circumstance, you need not deliberate further. Merely notify the bailiff that you
are done. The judge must then sentence the defendant.
If you unanimously find that the State has proven the existence of a
statutory aggravating factor, then you must so indicate on the verdict form. You
must also then consider whether any mitigating circumstances exist that make the
imposition of the death penalty unjust.
If you find that all the mitigating circumstances are sufficiently
compelling to make the imposition of the death penalty unjust, or you cannot
unanimously agree on that issue, then the judge must sentence the Defendant.
If you find that all mitigating circumstances do not make the imposition of
the death penalty unjust, then the defendant will be sentenced to death.
You must each decide for yourself whether all mitigating circumstances
presented, when weighed against each statutory aggravating circumstance proven
by the State, are sufficiently compelling to make the imposition of the death
penalty unjust. Any finding by you that the mitigating circumstances do or do not
make the imposition of the death penalty unjust must be unanimous, but you do
not have to unanimously agree upon what mitigating circumstances exist. The
existence of mitigating circumstances need not be proven beyond a reasonable
doubt. You must each decide for yourself whether mitigating circumstances exist
and, if so, then consider them in your individual weighing process.
Once you have reached a unanimous decision on whether or not all
mitigating circumstances, when weighed against each aggravating circumstance,
make the imposition of the death penalty unjust, or have concluded that you are
unable to reach a unanimous decision on that issue, so indicate on the verdict
form and notify the bailiff that you are done.
Like Jury Instruction 50, this instruction was almost identical to Abdullah’s proposed
instruction. 33 Third, Jury Instruction 58 provided, in relevant part:
32
The only difference between this instruction and Abdullah’s proposed instruction is that Abdullah’s proposed
instruction included “a just and unanimous verdict,” rather than “a just verdict” in the first sentence. Abdullah
agreed during oral conference on the jury instructions that “it is misleading” to include “unanimous” in this
instruction.
33
Abdullah’s proposed instruction had three differences. First, the very first reference to aggravating circumstances
stated “any statutory aggravating circumstance,” rather than “a statutory aggravating circumstance.” Second, he
requested specific language on his possible sentencing options rather than “the judge must sentence the defendant.”
Third, he requested that the district court include as the last sentence of Jury Instruction 53: “However, regardless of
your findings with respect to aggravating and mitigating circumstances, you are never required to recommend a
sentence of death.”
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As jurors you have a duty to consult with one another and to deliberate
before making your individual decisions. . . .
During your deliberations, you each have a right to re-examine your own
views and change your opinion. You should only do so if you are convinced by
fair and honest discussion that your original opinion was incorrect based upon the
evidence the jury saw and heard during the trial and the law as given you in these
instructions.
Consult with one another. Consider each other’s views, and deliberate
with the objective of reaching an agreement, if you can do so without disturbing
your individual judgment. Each of you must decide this case for yourself; but you
should do so only after a discussion and consideration of the case with your
fellow jurors.
However, none of you should surrender your honest opinion as to the
weight or effect of the evidence because a majority of the jury feels otherwise or
for the purpose of returning a verdict.
This instruction was almost identical to Idaho Criminal Jury Instruction 204, “Concluding
Remarks (How to Deliberate).” The record indicates that the district court proposed this
instruction, but Abdullah informed the district court that he had no objection to it.
Abdullah argues that these instructions, taken together, erroneously informed the jurors to
be unanimous in deciding whether the mitigating evidence made the death penalty unjust. He
relies on Mills v. Maryland, 486 U.S. 367 (1988), and McKoy v. North Carolina, 494 U.S. 433
(1990), in which the United States Supreme Court “held invalid capital sentencing schemes that
require juries to disregard mitigating factors not found unanimously.” Beard v. Banks, 542 U.S.
406, 408 (2004).
We reject Abdullah’s challenge to these jury instructions for two reasons. First, any error
was invited. Abdullah’s argument is premised on Jury Instruction 53, as this instruction
specifically informed the jury on how to deliberate on the aggravating and mitigating
circumstances. This instruction was proposed by Abdullah, and the district court adopted
Abdullah’s instruction in all respects related to this assignment of error. Similarly, the district
court adopted Abdullah’s proposed instruction for Jury Instruction 50 almost verbatim, excluding
just two words. Due to Abdullah’s proposal of the instructions he now challenges on appeal, he
cannot allege any error as to those instructions. See Draper, 151 Idaho at 589, 261 P.3d at 866.
Second, even assuming the invited error doctrine does not apply, there was no error in the
district court’s jury instructions. Abdullah has selected piecemeal phrases of the jury instructions
to support his argument. Taken as a whole, however, the instructions clearly inform the jurors
that they do not have to unanimously agree on the mitigating evidence and their decision does
101
not have to be unanimous. The instructions also informed the jurors that they must make an
individual decision. For example, Jury Instruction 53 instructed the jury to “decide for yourself”
whether the mitigating circumstances were sufficiently compelling and to “decide for yourself”
whether the mitigating circumstances exist in an individual weighing process. Similarly, Jury
Instruction 58 instructed the jury to “consider each other’s views, and deliberate with the
objective of reaching an agreement, if you can do so without disturbing your individual
judgment.” Moreover, Jury Instruction 55, the verdict form, provided the following option for
each aggravator found by the jury: “we are unable to unanimously decide whether or not all
mitigating circumstances are sufficiently compelling that the death penalty would be unjust.”
Additionally, the jury was explicitly informed: “you do not have to unanimously agree upon
what mitigating circumstances exist,” thus satisfying the rule from Mills and McKoy. There was
no error in these instructions.
22. The district court did not limit Abdullah’s right of allocution in violation of his right
to due process.
Abdullah argues that the district court erred by imposing unreasonable restrictions on the
scope of his allocution during the penalty phase in violation of his due process rights, which
resulted in a complete denial of his right to allocute.
a. Facts
The issue of allocution was first raised after the defense rested its mitigation case. While
discussing the penalty phase jury instructions, the district court provided its position on
allocution for the record. The district court stated that Idaho law established a right to allocute
with judge sentencing, but it was not clear whether that right remained with the change to jury
sentencing. The district court explained that it would “like to err on the side of protecting the
defendant’s rights.”
The following day the district court took up the issue of allocution. Abdullah told the
district court he intended to allocute, and the State opposed any allocution. The district court then
reviewed the scope of allocution with Abdullah’s counsel. Based on Abdullah’s counsel’s
representations, the district court was concerned that Abdullah would attempt under the guise of
allocution to testify without being subject to cross-examination. The district court took a brief
recess to allow Abdullah’s counsel to discuss the parameters of allocution with him. Following a
recess, the district court explained that Abdullah had a right to allocute and to address the jury as
a form of mitigation, but the right was limited. Specifically, the district court informed Abdullah
102
that he could not “use allocution as a way to circumvent the traditional rules of evidence and
make unsworn statements to the sentencing jury as to matters of fact going to guilt without being
subject to cross-examination.” The district court also warned Abdullah that any statement could
be used against him in further proceedings. In addition, the district court explained that the jury
was instructed not to consider unsworn statements. According to the district court, the purpose of
allocution was not “to allow him to -- in essence to testify as to factual matters.” Abdullah’s
counsel informed the district court that Abdullah wanted
to talk about how much his family means to him, his love and respect for his
family the -- I guess some overseas trips, explain some overseas trips that he
made, the support his family received from other members of the family, his
thoughts and feelings throughout this process, and relationships. Not challenging
any factual statements made by Mr. Bankhead, 34 but the nature of his relationship
with him.
Based on this information, the district court informed the parties that if Abdullah began to
discuss factual matters, such as his relationship with Bankhead and the overseas trips, the State
could object and the district court would rule accordingly. Abdullah’s counsel also indicated that
Abdullah wanted to testify, and the district court said it would allow the defense to reopen the
mitigation phase to allow Abdullah to testify. The district court warned that it would not allow
Abdullah to revisit the guilt phase.
After another recess, Abdullah informed the district court that he wished to testify.
Abdullah also told the district court, “I never wanted to give up my right for the guilt phase to
testify.” The district court explained to Abdullah that he could not reopen the guilt phase, but he
could testify regarding Bankhead in the mitigation phase. The district court also explained that
Abdullah would be subject to cross-examination. Abdullah was informed by the district court
that he could allocute as well, but “allocution is not a substitute for testimony.” The district court
stated, “It has to be really going to asking the jury to mitigate against the death penalty.” The
34
Steven Bankhead testified during the penalty phase. In the end of 1999 and the beginning of 2000, Bankhead met
Abdullah in prison while Abdullah was a volunteer for Islamic study. Bankhead was subsequently released from
prison in August of 2000, and Abdullah and Bankhead continued to have a close relationship. In November of 2000,
while Bankhead was out of prison, Abdullah asked him to kill Angie. Bankhead was to knock Angie unconscious
with poison provided by Abdullah, rape her, and then slit her throat with a knife, also provided by Abdullah.
Abdullah paid Bankhead $1,000 to kill Angie. Bankhead did not go through with Abdullah’s plan and left town
instead. A number of months later, Bankhead returned to prison.
103
district court also stated, “The right to allocute, it is true that -- that there are very few
restrictions, but you don’t get to go and make factual statements in that allocution.” 35
Following yet another recess, the district court had another colloquy with Abdullah
wherein the district court found Abdullah waived his right to testify in the mitigation phase.
After the State presented victim impact evidence, the district court confirmed that
Abdullah intended to allocute. The district court told Abdullah:
You understand, again, that you have the right -- that anything you say in that
discussion can be used against you in other proceedings and you also understand
that you also -- that it is your decision to allocute and that you really have to --
this allocution should be confined to those matters which have to do with the
mitigation of punishment. All right. At this point I’m not allowing any -- what is
in effect testimony.
Abdullah stated that he understood. After a recess, the district court told Abdullah it would
require his allocution statement to be made in writing for the district court and the parties to
review to ensure that he does not “effectively attempt to circumvent the rules of evidence by
talking about the guilt phase.” The district court also “wanted to make clear that I’m not going to
allow statements of fact to be made in the form of allocution.”
The district court received Abdullah’s written allocution statement and reviewed it with
the parties and Abdullah. The district court told Abdullah that it would not allow Abdullah to
discuss (1) Angie’s wishes for her family (“For her family to accept her as she was and what she
was accepted as Muslim”); (2) “things I wish could happen at trial, not blaming anyone”; and (3)
any “attack” on Bankhead’s testimony. The district court again warned Abdullah not to stray into
those areas. Abdullah’s counsel requested a short recess to make sure Abdullah understood the
district court’s parameters.
After the recess, the district court was informed by Abdullah’s counsel that he “has
changed his mind on allocution.” The following colloquy took place:
THE COURT: Mr. Abdullah, I have indicated to you -- we spent a lot time [sic]
on this. You do have the right to allocution and address the jury and that your
attorney can’t make that decision for you. Now you are indicating that you don’t
want to allocute; it that correct?
35
Abdullah states in his brief that the district court stated that it would allow the defense to reopen the mitigation
phase so Abdullah could testify, but this occurred outside Abdullah’s presence. Abdullah contends that the record
does not show that the offer to reopen the mitigation phase was made to Abdullah or in his presence. However, the
record shows otherwise. This allegation that Abdullah did not know he could reopen the mitigation phase is
completely baseless—the record shows that Abdullah was present and discussed with the district court that he could
reopen the mitigation phase if he wished to testify.
104
THE DEFENDANT: Yes.
THE COURT: And you understand that you have the right to do that, but, in
effect, what you are doing is waiving the right to allocute to the jury; is that
correct?
THE DEFENDANT: Yes, Your Honor, but my reasons start why I’m changing
my mind.
THE COURT: Well, I don’t know what your reasons are at this time.
THE DEFENDANT: The fact that the trial, you know, I’m not allowed to say
anything about the trial or my thinking or feelings and everything else has been
mentioned already.
THE COURT: The only thing the Court has prevented you from talking about is
your wife’s wishes toward her family, which is simply not proper mitigation at
all. Furthermore, what happened in the trial could be the subject of an appeal, but
is not relevant and not something that the jury has any business making a decision
about. So it is not relevant to mitigation. That’s the reason the Court has excluded
those two items. They have nothing to do with the decision of punishment.
THE DEFENDANT: The fight about Mr. Bankhead, I’m not arguing with you or
anything, but I just want to let you know I have been there three years teaching
and I never met him one time in prison. So I’m not allowed to mention him.
THE COURT: If you want to testify about that, you can testify, but you chose not
to testify after extensive, excruciating discussion with the Court. I’m not going to
let you make statements of fact that are not subject to cross-examination. All
right. And as far as I know, you have not indicated to me anything about -- all I
have told you with respect to Mr. Bankhead to the extent that you try to introduce
facts, I’m not allowing you to do that. But if you want to talk about your teaching,
because that clearly is mitigation, the fact that you have taught other people about
your religion and --
THE DEFENDANT: He never attended any of my classes, your Honor, so I don’t
know --
THE COURT: Well, I know, but you didn’t -- you didn’t want to testify about
that fact and be subject to cross-examination.
THE DEFENDANT: That’s true.
THE COURT: That’s true, right?
THE DEFENDANT: Yes.
THE COURT: Okay. And so that was a decision that you made. So I’m not going
to allow you to get up and introduce facts that are not subject to cross-
examination. That’s not what allocution is about. Allocution is about mitigating
factors for them to consider, but to the extent that you are introducing facts, they
must be made as testimony. Just like every other witness, every other witness has
to testify under oath. And that’s why the Court told you if you want to testify, and
I gave you the opportunity several times this morning to do that so you could
105
testify and you chose not to after a great deal of discussion. So to this extent if
you are still of the opinion you do not want to allocute, I want to know right now;
is that true?
THE DEFENDANT: Yes.
THE COURT: That is your decision and not your attorneys’ decision?
THE DEFENDANT: Yes.
The district court did not discuss allocution further. Shortly thereafter, the district court gave the
jury their instructions and the parties gave closing arguments.
After the jury returned its verdict recommending a sentence of death, but before the
district court issued its judgments, the district court issued a written memorandum to reflect its
reasoning on the scope of allocution.
b. Standard of Review
The issue raised by Abdullah on appeal is specific: whether the district court
unconstitutionally limited the scope of Abdullah’s allocution, which caused him to waive his
right to allocute. There is nothing in the record, however, affirmatively showing Abdullah or his
counsel opposed the district court’s limitations on the scope of allocution. Although the district
court engaged in multiple discussions with parties and Abdullah, Abdullah did not submit any
legal argument or briefing on the proper scope of allocation to comport with constitutional
standards. In addition, Abdullah ultimately decided to waive his right to allocute, 36 and his
counsel voiced no objection on the record at that time. Nor did his counsel raise any objection to
the district court’s scope of allocution at any time. Based on the above reasons, we review this
issue for fundamental error.
c. Analysis
Under the first prong of the fundamental error standard, the defendant must establish that
an unwaived constitutional right was violated. State v. Parton, 154 Idaho 558, 565, 300 P.3d
1046, 1053 (2013). Pursuant to this fundamental error approach, it is not necessary to discuss the
parameters or scope of the right of allocution. Rather, the resolution of this issue depends solely
on whether a constitutional right to allocution in fact exists. We hold that there is no
constitutional right of allocution. It follows that any limitation by the district court on the scope
of Abdullah’s allocution did not violate any constitutional right, regardless of whether the district
court improperly defined the parameters of Abdullah’s allocution.
36
Abdullah makes no argument on appeal that his waiver was not knowing, voluntary, and intelligent.
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Black’s Law Dictionary defines allocution as:
1. A trial judge’s formal address to a convicted defendant, asking whether the
defendant wishes to make a statement or to present information in mitigation of
the sentence to be imposed . . . 2. An unsworn statement from a convicted
defendant to the sentencing judge or jury in which the defendant can ask for
mercy, explain his or her conduct, apologize for the crime, or say anything else in
effort to lessen the impending sentence. This statement is not subject to cross-
examination . . . .
BLACK’S LAW DICTIONARY 91 (10th ed. 2014). The Delaware Supreme Court has observed the
history and modern practice of allocution:
Allocution is a historic common-law right of a defendant in a capital case.
At common law, allocution consisted of the court’s asking the defendant if he
[had] anything to offer why judgment [of death] should not be awarded against
him. Allocution provided the accused with the only opportunity to present one of
four strictly defined reasons why he should not be executed: (1) he was not the
person convicted; (2) he had the benefit of clergy or pardon; (3) he was insane; or
(4) if a woman, she was pregnant.
At common law, allocution was essential because the accused was neither
permitted to have counsel at trial nor to testify on his or her own behalf.
Furthermore, the judge possessed little sentencing discretion because the
mandatory punishment for almost all felonies was death. Thus, the defendant’s
response to the tribunal’s invitation to speak had little to do with pleading for
leniency but was the defendant’s only opportunity to present one of the specific
legal defenses which might arrest the proceedings.
....
With the development of modern criminal procedure, such as the right to
counsel and the accused’s right to testify, the need for common law allocution
diminished. Today, it is argued, any defense, including those recognized at
common law, can be properly brought up by counsel during the trial. As the trial
courts have been granted greater discretion in sentencing, allocution has evolved
into a mechanism in which a defendant in a criminal case may express remorse
for his crime and plead for leniency.
Shelton v. State, 744 A.2d 465, 491–92 (Del. 2000) (alterations in original) (footnotes omitted)
(internal quotation marks omitted).
“[T]he opportunity to personally address the sentencer retains both symbolic and
practical significance. It may increase for some defendants the perceived equity of the process.”
6 WAYNE R. LAFAVE ET AL, CRIMINAL PROCEDURE § 26.4(g) (3d ed. 2013). The New Jersey
Supreme Court recognized another purpose of allocution:
Under our system of capital punishment, a jury of men and women forms the
essential link between society and the defendant before the court. Each capital
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jury expresses the collective voice of society in making the individualized
determination that a defendant shall live or die. Whatever the Constitution
permits, it bespeaks our common humanity that a defendant not be sentenced to
death by a jury “which never heard the sound of his voice.” McGautha v.
California, 402 U.S. 183, 220 (1971). . . . It is difficult to sympathize with
defendants who have caused so much suffering, but we need not discard our
common humanity in the process of decision.
State v. Zola, 548 A.2d 1022, 1045–46 (N.J. 1988). Thus, allocution serves two purposes: “it
reflects our commonly-held belief that our civilization should afford every defendant an
opportunity to ask for mercy” and “it permits a defendant to impress a jury with his or her
feelings of remorse.” Shelton, 744 A.2d at 492 (quoting State v. DiFrisco, 645 A.2d 734, 757
(N.J. 1994)).
Idaho Criminal Rule 33 and Idaho Code section 19-2510 establish a procedural, statutory
right of allocution. Idaho Criminal Rule 33(a)(1) provides in relevant part: “Before imposing
sentence the court . . . shall address the defendant personally to ask if the defendant wishes to
make a statement and to present any information in mitigation of punishment.” I.C.R. 33(a)(1).
Idaho Code section 19-2510 states:
When the defendant appears for judgment he must be informed by the
court, or by the clerk, under its direction, of the nature of the indictment and of his
plea, and the verdict if any thereon, and must be asked whether he has any legal
cause to show why judgment should not be pronounced against him.
I.C. § 19-2510 (emphasis added). These two provisions provide the foundation for the right to
allocute in Idaho. The Idaho Criminal Jury Instructions (I.C.J.I.) also recognize a right of
allocution. Drafted specifically for capital cases, I.C.J.I. 1709 states:
The Defendant has the right to personally address you. This is called the
“right of allocution.” Allocution is not made under oath and is not subject to
cross-examination. The law provides that these statements are something that the
defendant is allowed to present to you as mitigation. You may consider these
statements in your deliberations.
I.C.J.I. 1709 (The Defendant’s Right to Allocution, Death Penalty Sentencing Instruction).
The constitutional ties, if any, to the right of allocution have not been explored by this
Court. A dissenting opinion by Justice Bistline provides some guidance, however. Justice
Bistline referred to allocution as a “basic right,” but also stated that the right was granted to the
defendant “by statute.” State v. Coutts, 101 Idaho 110, 114, 609 P.2d 642, 646 (1980) (Bistline,
J., dissenting). Justice Bistline made no mention of any constitutional underpinnings to the right.
He noted that this right was “established as a part of the Idaho law in the Criminal Practice Act
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of 1864.” Id. The defendant’s right of allocution was described as “his right to be asked whether
any reason exists why judgment should not be pronounced against him, and to explain mitigating
factors to the court.” Id. Justice Bistline recognized that “it has been suggested that giving the
defendant this final opportunity to speak before sentencing is pronounced may have a therapeutic
effect rather than helping the trial court exercise a reasoned discretion.” Id. at 117, 609 P.2d at
649 (citation omitted).
The Court briefly discussed the right of allocution in State v. Goodrich, 97 Idaho 472,
546 P.2d 1180 (1976). In Goodrich, this Court outlined the proper procedure in the trial court for
the defendant to exercise his right to allocute:
To avoid problems with regard to the right of a defendant under I.C.R.
32(a), 37 a trial judge before sentencing must directly address the defendant, and
offer him personally a clear opportunity to make a statement in his own behalf,
and to present any information in mitigation of punishment. Affording only the
defendant’s counsel the right to speak on the accused’s behalf does not constitute
compliance with this rule.
Id. at 480, 546 P.2d at 1188. Again, the Court did not discuss any constitutional basis for
allocution.
The Idaho Court of Appeals has explored the right of allocution in some detail. Most
recently, the Court of Appeals held that the due process clause does not require that the
defendant be afforded the right of allocution. State v. Hansen, 154 Idaho 882, 888, 303 P.3d 241,
247 (Ct. App. 2013), review denied. The Court of Appeals reasoned:
Although Idaho appellate courts have stressed the importance of the right of
allocution, we have never explicitly held that due process, required under Article
I, Section 13, of the Idaho Constitution, requires that a defendant be afforded the
right to allocution. Rather, in our jurisprudence, we have depended on [I.C.R.]
33(a), prior precedent, and the role of allocution in the history of Idaho’s criminal
justice system. We have referenced a criminal defendant’s due process rights in
regards to sentencing and, within that context, examined other jurisprudence that
recognizes that the right of allocution is vital to a defendant’s defense. Even
where we reference constitutional due process rights of a criminal defendant, we
have only gone so far as to acknowledge there is case law that accepts allocution
as a constitutional right guaranteed by due process when a defendant requests to
make a statement and the district court affirmatively denies the request.
Id. (citations omitted). Based on this reasoning, the Court of Appeals determined that a defendant
was unable to meet the first prong of the fundamental error standard based on a claim that the
37
I.C.R. 33(a)(1) was codified at I.C.R. 32(a) at the time of Goodrich.
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trial court’s failure to invite the defendant to make a statement of allocution violated his due
process rights. Id. at 885, 888, 303 P.3d at 244, 247.
Turning to other jurisdictions, “[m]odern treatment of the right to allocution has varied
significantly. In fact, we are surprised by the lack of uniformity among the federal courts and the
state jurisdictions that provide a right to allocution.” Shelton, 744 A.2d at 492.
On the one hand, several jurisdictions hold that the common-law right of
allocution encompasses the right of the defendant to make unsworn statements to
the jury that are not subject to cross-examination. Moreover, some states have
determined that allocution is a right protected by their state constitutions. . . . A
minority of jurisdictions adheres strictly to the common-law right of allocution, in
that the court will ask the accused only whether any legal cause exists to show
why judgment should not be pronounced against him or her. . . .
On the other hand, several jurisdictions have held that there is no
common-law right to allocution. Moreover, the majority of federal courts and
state jurisdictions hold that the United States Constitution does not protect the
right to allocution.
The federal courts of appeals are split on whether the right of allocution
expressly provided by . . . the Federal Rules of Criminal Procedure is a right
guaranteed by the Due Process Clause of the Fourteenth Amendment.
Id. at 492–494 (footnotes omitted) (citations omitted). In addition, some courts have abolished
the right of allocution in capital cases: “[M]ost of the state and federal courts presented with
allocution statute language referring to the court and a separate death penalty sentencing
provision that is silent on allocution have concluded that a defendant has no statutory right to
allocution in front of the death penalty jury.” State v. Stallings, 163 P.3d 1232, 1237 (Kan. 2007)
(citing cases). In contrast, “[s]ome jurisdictions have allowed a defendant to make a statement to
the jury, despite the absence of statutory authority,” in capital cases. Id. at 1238 (citing cases).
Despite this varied treatment, most courts hold that there is no state or federal
constitutional right of allocution. Every federal circuit court of appeals, except the Ninth Circuit
Court of Appeals, “has held that allocution is not a constitutional right.” State v. Roberts, 998
N.E.2d 1100, 1121 (Ohio 2013) (citing federal circuit court of appeals cases); see United States
v. Carper, 24 F.3d 1157, 1159 (9th Cir. 1994) (recognizing case law holding that the due process
clause guarantees a right of allocution, but a violation of the right limited to circumstance in
which the trial court denies the defendant’s affirmative request to speak before sentencing). The
majority of state courts agree, holding that there is no constitutional right of allocution. State v.
Colon, 864 A.2d 666, 794–95, 799 (Conn. 2004) (citing cases and holding accordingly); Shelton,
744 A.2d at 493 & n.124 (citing cases); see 3 JOSEPH G. COOK, CONSTITUTIONAL RIGHTS OF THE
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ACCUSED 3d § 21:9 & n.36 (3d ed. 2014) (right of allocution is not a constitutional right); 3
ALAN WRIGHT, ET AL., FEDERAL PRACTICE & PROCEDURE CRIMINAL § 530 & n.33 (4th ed. 2014)
(allocution is not a right protected by constitution); 24 C.J.S. Criminal Law § 2048 & nn.6–8
(2014) (no separate constitutional right of allocution); see also State v. Young 853 P.2d 327, 360
& n.177 (Utah 1993) (citing cases that hold allocution is a statutory right); 6 WAYNE R. LAFAVE
ET AL., CRIMINAL PROCEDURE § 26.4(g) & nn.133–34 (2013) (right to allocution recognized in
most jurisdictions by court rule or statute).
In addition, the United States Supreme Court has not recognized a constitutional right of
allocution. In Hill v. United States, 368 U.S. 424, 425–26, 428 (1962), the United States
Supreme Court rejected a petitioner’s claim that his constitutional rights were violated by the
trial court’s failure to comply with the requirements of the federal rule of criminal procedure
governing allocution. The United States Supreme Court held:
The failure of a trial court to ask a defendant represented by an attorney
whether he has anything to say before sentence is imposed is not of itself an error
of the character or magnitude cognizable under a writ of habeas corpus. It is an
error which is neither jurisdictional nor constitutional. It is not a fundamental
defect which inherently results in a complete miscarriage of justice, nor an
omission inconsistent with the rudimentary demands of fair procedure.
Id. at 428. Although the United States Supreme Court rejected this claim based on the trial
court’s failure to inquire into the defendant’s allocution, the United States Supreme Court
expressly reserved for consideration whether a trial court’s denial of a petitioner’s affirmative
request for an opportunity to speak would raise constitutional issues. Id. at 429. Subsequently, in
McGautha v. California, 402 U.S. 183 (1971), the United States Supreme Court recognized that
it “has not directly determined whether or to what extent the concept of due process of law
requires that a criminal defendant wishing to present evidence or argument presumably relevant
to the issues involved in sentencing should be permitted to do so.” Id. at 218. The United States
Supreme Court again expressly reserved for consideration whether “silencing a defendant who
wished to speak would rise to that level” of “constitutional dimensions.” Id. at 218 n.22. The
United States Supreme Court still has not addressed the issue.
We agree with the majority rule. We hold that allocution is purely a statutory, procedural
right guaranteed by Idaho Criminal Rule 33 and Idaho Code section 19-2510. In other words, the
right of allocution is not guaranteed by the due process clauses of the Idaho and United States
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Constitutions. The right of allocution derives from the common law and is preserved by statute
only.
Abdullah has failed to meet the first prong of the Perry analysis based on a claim that his
due process rights were violated by the district court’s limitations on the scope of his allocution.
Further, we conclude that Abdullah’s argument fails on the third prong of Perry as well. There is
not a reasonable possibility any error in the scope of allocution affected the outcome of the
proceeding. State v. Perry, 150 Idaho 209, 226, 245 P.3d 961, 978 (2010). Based on the evidence
presented at trial, it is not reasonably possible that Abdullah’s allocution would affect the jury’s
unanimous finding that all mitigating circumstances when weighed against the utter disregard
aggravating factor were not sufficiently compelling to make the death penalty unjust. Therefore,
this Court rejects this assignment of error.
23. The alleged errors in the aggregate did not result in cumulative error during the
penalty phase.
Abdullah submits that the accumulation of errors deprived him of his constitutional rights
to due process and a fair trial before an impartial jury. “When there is an ‘accumulation of
irregularities, each of which by itself might be harmless, but when aggregated, the errors show
the absence of a fair trial,’ the cumulative error doctrine requires a reversal of the conviction as
the trial has contravened the defendant’s right to due process.” State v. Payne, 146 Idaho 548,
568, 199 P.3d 123, 143 (2008) (quoting State v. Field, 144 Idaho 559, 572–73, 165 P.3d 273,
286–87 (2007)). “[A] necessary predicate to the application of the doctrine is a finding of more
than one error.” Perry, 150 Idaho at 230, 245 P.3d at 982. In this case, Abdullah “has failed to
demonstrate at least two errors, a necessary predicate to the application of our cumulative error
doctrine.” Id. at 231, 245 P.3d at 983. There was no cumulative error.
C. Post-Conviction Phase Issues
24. The district court applied the correct standard for Abdullah’s ineffective assistance
of counsel claims.
Abdullah argues that the district court erred by applying a preponderance of the evidence
standard to his claims of ineffective assistance of counsel and by failing to consider ABA
guidelines for effective assistance of counsel in capital cases.
a. Facts
Abdullah’s petition raised numerous claims of ineffective assistance of counsel by both
the Ada County Public Defender and the Toryanskis. In its memorandum decision denying post-
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conviction relief, the district court stated that Abdullah needed to “prove by a preponderance of
the evidence a reasonable probability that, but for counsel’s unprofessional errors, the result of
the proceeding would have been different.” This statement forms the basis of Abdullah’s claim
of error.
b. Standard of Review
Under the second prong of Strickland, the defendant must show a reasonable probability
that the outcome of trial would be different but for counsel’s deficient performance. State v.
Row, 131 Idaho 303, 312, 955 P.2d 1082, 1091 (1998). “A reasonable probability is a probability
sufficient to undermine confidence in the outcome.” Strickland v. Washington, 466 U.S. 668, 694
(1984).
c. Analysis
In Strickland, the United States Supreme Court rejected a preponderance of the evidence
standard for demonstrating prejudice when asserting an ineffective assistance of counsel claim.
466 U.S. at 693 (“[A] defendant need not show that counsel’s deficient conduct more likely than
not altered the outcome in the case.”). The United States Supreme Court explained, “The result
of a proceeding can be rendered unreliable, and hence the proceeding itself unfair, even if the
errors of counsel cannot be shown by a preponderance of the evidence to have determined the
outcome.” Id. at 694.
The United States Supreme Court rejected an assignment of error similar to Abdullah’s in
Holland v. Jackson, 542 U.S. 649 (2004) (per curiam). In Jackson, the defendant sought post-
conviction relief due to ineffective assistance of counsel. Id. at 650. In denying relief, the state
court cited to the correct Strickland standard, but also stated that in post-conviction proceedings
the defendant carries the burden of proving allegations by a preponderance of the evidence. Id. at
654. The state court also noted the defendant “failed to carry his burden of proving that the
outcome of the trial would probably have been different but for those errors.” Id. at 654–55
(citation omitted). The United States Supreme Court held that, given the context of these
statements, the reference to a “preponderance of the evidence” was generally referring to the
state’s post-conviction standards and did not demonstrate that the state court applied that
standard to the ineffective assistance of counsel claims. Id. at 654–55. The United States
Supreme Court further explained that “the unadorned word ‘probably’ is permissible shorthand
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when the complete Strickland standard is elsewhere recited.” Id. at 655 (citing Woodford v.
Visciotti, 537 U.S. 19, 23–24 (2002) (per curiam)).
Thus, in the post-conviction phase, the context in which a district court articulates the
Strickland standard is central to the determination of an error in the standard itself. In this case,
the context of the statement in the district court’s memorandum decision demonstrates that the
district court applied the correct standard. Idaho Criminal Rule 57 provides that a petitioner must
prove by a preponderance of evidence the allegations upon which the request for post-conviction
relief is based. I.C.R. 57(c). In its memorandum decision, the district court correctly applied this
burden, stating that Abdullah must “prove by a preponderance of the evidence ‘a reasonable
probability that, but for counsel’s unprofessional errors, the result of the proceeding would have
been different.’” Immediately following this statement, the district court properly defined
“reasonable probability”: “a probability sufficient to undermine confidence in the outcome.”
Additionally, in the initial paragraph addressing Abdullah’s ineffective assistance of counsel
claims, the district court stated that to demonstrate prejudice Abdullah must show “there is a
reasonable probability that, but for counsel’s errors, the result would have been different.” The
district court reiterated this standard again on the following page. Finally, the district court used
the reasonable probability language, absent the preponderance standard, in other instances in its
decision. Upon our review of the context of the “preponderance of the evidence” statement, it is
clear the district court did not improperly apply the prejudice standard addressed in Strickland.
We observe that Abdullah overstates the effect of the district court’s “preponderance of
the evidence” statement. This statement “does not require that [Abdullah] establish by a
preponderance of the evidence that the result would be different, but rather, that [Abdullah]
establish by a preponderance of the evidence that there is a reasonable probability that the result
would have been different.” Jeremiah v. State, 73 S.W.3d 857, 858–59 (Mo. Ct. App.), cert.
denied, 537 U.S. 863 (2002). This is consistent with Strickland in the context of a post-
conviction proceeding. Id. The district court properly applied Strickland to evaluate the prejudice
prong of Abdullah’s ineffective assistance of counsel claims.
Next, the district court accorded appropriate weight to the ABA guidelines. In Strickland,
the United States Supreme Court stressed that the standard for deficient performance is one of
reasonableness and that “[m]ore specific guidelines are not appropriate.” 466 U.S. at 688.
Likewise, in Bobby v. Van Hook, the United States Supreme Court again stated that the ABA
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guidelines “can be useful as ‘guides’ to what reasonableness entails, but only to the extent they
describe the professional norms prevailing when the representation took place.” 558 U.S. 4, 7
(2009) (quoting Strickland, 466 U.S. at 688). In addressing the standard for deficient
performance, the United States Supreme Court explained:
No particular set of detailed rules for counsel’s conduct can satisfactorily take
account of the variety of circumstances faced by defense counsel or the range of
legitimate decisions regarding how best to represent a criminal defendant. Any
such set of rules would interfere with the constitutionally protected independence
of counsel and restrict the wide latitude counsel must have in making tactical
decisions.
Strickland, 466 U.S. at 688–89.
Here, the district court’s memorandum decision demonstrates that its focus was on the
prevailing professional norms at the time of trial. Although the district court did not expressly
state that it considered the ABA Guidelines, it did not state that it was rejecting them either. In
other contexts, this Court has previously declined to adopt ABA Guidelines. State v. Porter, 130
Idaho 772, 782, 948 P.2d 127, 137 (1997) (declining to adopt the ABA Guidelines requiring two
attorneys be appointed to represent a defendant in a capital case). Given the district court’s
correct emphasis on the prevailing professional norms at the time of trial, the district court
properly applied the correct standards to evaluate the deficiency prong of Abdullah’s ineffective
assistance of counsel claims.
25. The district court did not err by denying Abdullah’s discovery requests for gasoline
additive evidence.
Abdullah contends that the district court abused its discretion by denying his request to
have gasoline samples sent to his post-conviction expert for testing and also by denying his
request for the underlying data used by the state’s expert.
a. Facts
At trial, the State presented testimony from Dr. William Colucci, a senior research
advisor for Ethyl Corporation. Dr. Colucci testified that gasoline found at the crime scene
contained a performance additive, HiTEC 6423, which he also located in a gasoline sample taken
from the 7-Eleven store in Salt Lake City where Abdullah purchased gas on October 4, 2002. Dr.
Colucci also testified that other businesses produce additives and Ethyl Corporation produces
additives other than HiTEC 6423. He indicated that Ethyl supplies around forty percent of the
gasoline performance additives in the United States market. Dr. Colucci did not testify that
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gasoline with the HiTEC 6423 additive could be purchased in Boise or the surrounding area.
While Abdullah did not conduct independent tests to confirm or dispel Dr. Colucci’s testing
results, Abdullah explored the methodologies employed by Dr. Colucci during cross-examination
at trial.
During post-conviction proceedings, Abdullah requested that gas samples from the scene
and the Salt Lake City 7-Eleven be given to his expert, John Lentini, for testing to determine if
HiTEC 6423 was present. Abdullah also sought the underlying data relied on by Dr. Colucci to
reach the conclusions he testified to at trial. Abdullah contended that this evidence was necessary
to support his claim that the Toryanskis were ineffective for failing to move to exclude Dr.
Colucci’s testimony or, in the alternative, for failing to adequately challenge his testimony.
After argument, the district court reserved ruling on the motion until completion of the
Toryanskis’ depositions. Abdullah subsequently limited his request to the data underlying Dr.
Colucci’s opinion. The district court indicated that it may not be willing to order the disclosure
of such information if it were proprietary. The State agreed to contact Ethyl and check if the
underlying data was proprietary information. The State subsequently submitted a response
indicating the data was indeed proprietary. Abdullah then renewed his request for the data, and
the district court denied this request. Finally, Abdullah filed a motion seeking clarification of the
district court’s ruling. The district court denied this motion, stating that Abdullah did not have an
expert with the requisite knowledge or ability to find the performance additive and therefore any
attempt to look for the marker was irrelevant without a qualified expert.
b. Standard of Review
A district court has discretion to grant discovery in post-conviction proceedings. I.C.R.
57(b); Hall v. State, 151 Idaho 42, 45, 253 P.3d 716, 719 (2011). However, discovery is required
when a petitioner demonstrates it is necessary to protect his substantial rights. Hall, 151 Idaho at
45, 253 P.3d at 719. The petitioner “must identify the specific subject matter where discovery is
requested and why discovery as to those matters is necessary to his or her application.” Id.
(quoting State v. LePage, 138 Idaho 803, 810, 69 P.3d 1064, 1071 (Ct. App. 2003)). While
reasonable discovery may be permitted, the district court should not allow the petitioner to
engage in a “[f]ishing expedition.” Murphy v. State, 143 Idaho 139, 148, 139 P.3d 741, 750 (Ct.
App. 2006). “The UPCPA provides a forum for known grievances, not an opportunity to
research for grievances.” Id.
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c. Analysis
Initially, Abdullah contends that the district court abused its discretion by denying his
request for gasoline samples to be sent to Lentini for testing. However, Abdullah expressly
withdrew this portion of his request and sought only the data underlying the conclusions testified
to by Dr. Colucci. We “will not review a trial court’s alleged error on appeal unless the record
discloses an adverse ruling which forms the basis for the assignment of error.” State v. Yakovac,
145 Idaho 437, 442, 180 P.3d 476, 481 (2008) (quoting Mallonee v. State, 139 Idaho 615, 622–
23, 84 P.3d 551, 558–59 (2004)). Although the district court, in an abundance of caution,
provided a ruling on this issue, Abdullah withdrew his request for the gasoline samples to be sent
to Lentini. Thus, the district court’s ruling was not necessary and cannot form a basis for appeal.
Even if the district court’s gratuitous ruling preserved the issue for appeal, the district
court did not abuse its discretion by denying the motion. Abdullah has not alleged or
demonstrated that the State’s “testing was flawed or that there is new technology that would
make current testing more reliable.” Raudebaugh v. State, 135 Idaho 602, 605, 21 P.3d 924, 927
(2001) (rejecting the argument that where a district court finds deficient performance by trial
counsel, discovery should be authorized to permit scientific testing without a showing of “any
probability that the independent examination will yield exculpatory evidence”). Abdullah’s
request for the gasoline samples was speculative. Accordingly, the district court properly refused
this request.
Next, Abdullah contends that the district court abused its discretion by failing to grant
him access to the data underlying Dr. Colucci’s opinion. Abdullah asserts that this information
was necessary to assess whether Dr. Colucci’s methods were reliable. The State responds that
Abdullah’s proposed expert Lentini did not have the requisite training and expertise in the
subject area.
The record demonstrates that Lentini holds a Bachelor of Arts in Natural Sciences and
has taken post-graduate courses in chemistry and criminal investigation. Lentini has extensive
experience in fire cause and origin investigations. On the other hand, Dr. Colucci held a Bachelor
of Science in biochemistry and a Ph.D. in organic chemistry and has two years of post-doctoral
work in pharmaceuticals. Dr. Colucci’s expertise, as it pertained to the trial, focused on fuel
performance additives and markers. Abdullah has failed to present evidence that Lentini
possessed expertise in this area. Abdullah also has failed to establish that Lentini could perform
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the requisite tests to uncover the additive. Because the evidence indicates that Abdullah was
generally exploring this area in the lower court with the hopes of developing a claim for post-
conviction relief, the district court did not abuse its discretion by refusing to order discovery of
the data underlying Dr. Colucci’s expert opinion. Murphy, 143 Idaho at 148, 139 P.3d at 750
(“‘Fishing expedition’ discovery should not be allowed.”).
Finally, Abdullah contends that the restrictions on discovery should be relaxed if the
petitioner establishes a prima facie case or the district court orders an evidentiary hearing. He
asserts that, in those circumstances, discovery is governed by Idaho Code section 19-4907(a).
Idaho Code section 19-4907(a) of the UPCPA provides, “All rules and statutes applicable
in civil proceedings including pre-trial, discovery and appellate procedures are available to the
parties.” I.C. § 19-4907(a). However, Idaho Criminal Rule 57(b), which also governs post-
conviction proceedings, provides, “[T]he provisions for discovery in the Idaho Rules of Civil
Procedure shall not apply to the proceedings unless and only to the extent ordered by the trial
court.” I.C.R. 57(b) (emphasis added). “When a statute and rule ‘can be reasonably interpreted so
that there is no conflict between them, they should be so interpreted rather than interpreted in a
way that results in a conflict.’” State v. Johnson, 145 Idaho 970, 974, 188 P.3d 912, 916 (2008)
(quoting State v. Currington, 108 Idaho 539, 543, 700 P.2d 942, 946 (1985) (Bakes, J.,
dissenting)). “When there is a conflict between a statute and a criminal rule, this Court must
determine whether the conflict is one of procedure or one of substance; if the conflict is
procedural, the criminal rule will prevail.” Id.
Although a clear line of demarcation cannot always be delineated between what is
substantive and what is procedural, the following general guidelines provide a
useful framework for analysis. Substantive law prescribes norms for societal
conduct and punishments for violations thereof. It thus creates, defines, and
regulates primary rights. In contrast, practice and procedure pertain to the
essentially mechanical operations of the courts by which substantive law, rights,
and remedies are effectuated.
State v. Beam, 121 Idaho 862, 863–64, 828 P.2d 891, 892–93 (1992) (quoting Currington, 108
Idaho at 541, 700 P.2d at 944). Here, post-conviction discovery is a practice and procedure that
pertains “to the essentially mechanical operations of the courts by which substantive law, rights,
and remedies are effectuated.” Id. (quoting Currington, 108 Idaho at 541, 700 P.2d at 944). Thus,
the conflict between Idaho Code section 19-4907(a) and Idaho Criminal Rule 57(b) is procedural
and Idaho Criminal Rule 57(b) governs. See Johnson, 145 Idaho at 974, 188 P.3d at 916; Beam,
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121 Idaho at 863–64, 828 P.2d at 892–93. Contrary to Abdullah’s argument, the discovery
restrictions in post-conviction proceedings do not become relaxed upon an evidentiary hearing or
establishment of a prima facie case.
The district court correctly perceived the discovery request as a discretionary issue, acted
within the outer boundaries of that discretion and consistently with the applicable legal
standards, and reached its decision by an exercise of reason. Therefore, the district court did not
err by denying Abdullah’s requests for gasoline additive evidence.
26. The district court did not err by destroying certain jury questionnaires.
Abdullah argues that the district court’s failure to preserve the Toryanskis’ copies of the
jury questionnaires deprived him of due process, a meaningful right to appeal, and his statutory
right to seek post-conviction relief.
a. Facts
Prior to jury selection, the district court advised the parties and the veniremen that all
copies of the completed jury questionnaires would be returned to the district court. The district
court also explained that one copy would be retained for court records and all other copies would
be destroyed. Abdullah did not object to this process, and the additional questionnaires were so
destroyed. In her deposition, Kim Toryanski confirmed that she wrote notes on the questionnaire
copies to aid in jury selection, including her impressions about potential jurors.
b. Standard of Review
“In criminal appeals in which the death penalty was imposed, all documents in the trial
court file of every nature, kind and description, except that the presentence investigation report
shall be forwarded as an exhibit to the record.” I.A.R. 28(b)(2)(O). “In criminal appeals in which
the death penalty was imposed the standard transcript shall include all hearings and proceedings
held in the trial court of every nature and description.” I.A.R. 25(e). For indigent defendants, the
State “is only required to provide . . . a record on appeal that is sufficient for adequate appellate
review of the errors alleged regarding the proceedings below.” State v. Strand, 137 Idaho 457,
462, 50 P.3d 472, 477 (2002). The State’s failure to provide a sufficient record for adequate
appellate review may amount to a denial of equal protection and due process. Griffin v. Illinois,
351 U.S. 12, 16–19 (1956). This Court exercises free review over constitutional questions and
the interpretation of statutes. State v. Glenn, 156 Idaho 22, 24, 319 P.3d 1191, 1193 (2014); State
v. Rogers, 144 Idaho 738, 740, 170 P.3d 881, 883 (2007).
119
c. Analysis
Due to Abdullah’s failure to object to the destruction of the questionnaires, the
fundamental error standard requires that he demonstrate the alleged error violated an unwaived
constitutional right. State v. Perry, 150 Idaho 209, 226, 245 P.3d 961, 978 (2010). Accordingly,
the initial inquiry is whether Abdullah’s right to due process under the Fourteenth Amendment 38
was violated by the failure to maintain defense counsel’s copy of the jury questionnaires for
appellate review.
Due process requires a record sufficient for adequate appellate review of the alleged
errors. Strand, 137 Idaho at 462, 50 P.3d at 477. Here, the relevant alleged error is the
Toryanskis’ ineffective assistance of counsel during jury selection. In support of this error, the
record contains the transcript of voir dire, the jury questionnaires and responses (without the
Toryanskis’ notes), deposition testimony from the Toryanskis, and a preemptory challenge
matrix that contains notes made by the Toryanskis regarding their impressions of each juror. This
is an adequate record for appellate review of Abdullah’s claim of error. Thus, Abdullah failed to
demonstrate the destruction of the jury questionnaires violated his right to due process and this
claim of error fails to meet the first prong of the fundamental error standard. Perry, 150 Idaho at
226, 245 P.3d at 978. As Abdullah failed to satisfy this threshold requirement, Abdullah’s claim
of error is not reviewable on appeal. See id.
27. The district court did not err by dismissing Abdullah’s claim of ineffective
assistance of counsel due to the removal of a letter from the crime scene, stipulation
to the letter’s admission into evidence, and failure to object when the State disclosed
that the defense’s investigator discovered the letter.
Abdullah argues that the district court erred in summarily dismissing his claim he was
denied effective assistance of counsel with respect to a letter admitted at trial based on three
distinct actions: (1) the removal of the letter from the Siesta residence; (2) the Toryanskis’
stipulation to admit the letter into evidence; and (3) the Toryanskis’ failure to object when the
State elicited testimony indicating that the investigator who discovered the letter worked for
Abdullah’s former defense counsel.
a. Facts
38
Abdullah also cites to a similar provision of the Idaho Constitution. However, Abdullah has made no showing or
any compelling argument regarding how the standards applied by the Idaho Constitution would be applied any
differently than those of the United States Constitution. “In absence of such a showing, this Court normally applies
federal constitutional standards.” State v. Doe, 148 Idaho 919, 923 n.1, 231 P.3d 1016, 1020 n.1 (2010).
Accordingly, we address this issue under the United States Constitution.
120
At trial, the investigator Glen Elam, who worked for Abdullah’s former counsel Gus
Cahill, testified that he went to the Siesta residence to examine the crime scene before it was
destroyed. 39 At the residence, Elam located a letter apparently written by Angie to Abdullah
wedged between a dresser and a trash can in the master bedroom. The letter conveyed Angie’s
thoughts on their relationship, religion, and children. It also discussed intimate details of Angie
and Abdullah’s sexual relationship and contained accusations of infidelity and prejudicial sexual
proclivities, which were redacted for the jury. By stipulation, the redacted version of the letter
was admitted for a limited purpose to show Angie’s state of mind.
During post-conviction proceedings, Cahill testified that he was with Elam at the scene,
but he could not remember specifically if he was present when Elam discovered the letter or if
Elam showed him the letter while still at the scene. In either event, Cahill testified that Elam told
him “pretty early on that he had found something there.” Cahill could not recall whether there
was any discussion or thought of simply leaving the letter at the scene. Cahill then researched his
ethical obligations and ultimately turned the letter over to law enforcement. Cahill also explained
that he did consider seeking an in camera review with the court, but he could not recall why he
declined to pursue that route.
b. Standard of Review
The privilege against self-incrimination and the attorney-client privilege apply solely to
communicative evidence. State v. Dillon, 93 Idaho 698, 710, 471 P.2d 553, 565 (1970). These
privileges do not apply to real evidence. Id. “An attorney may not act as a depository for criminal
evidence, and he may not suppress such evidence.” Id.; see also State v. Guthrie, 631 N.W.2d
190, 194 (S.D. 2001) (“Physical evidence, whether exculpatory or inculpatory, cannot be
withheld by a criminal defense attorney.”).
c. Analysis
i. The removal of the letter from the Siesta residence was not ineffective
assistance of counsel.
Abdullah contends that Elam’s removal of the letter from the Siesta residence constituted
ineffective assistance of counsel. He also submits that the district court failed to address this
claim. In its memorandum decision, however, the district court stated:
39
The State had previously sent Cahill and co-counsel a message indicating the Siesta residence needed to be
demolished.
121
Abdullah argues if his previous trial counsel had left the letter at the scene,
then there would be no duty to disclose the fact of its discovery or its contents to
the State. However, while the attorney-client privilege protects any
communication between a defendant and his counsel regarding the location of
evidence, once the evidence is in counsel’s possession he is still obligated to
provide it to the prosecution under state law. . . .
Here, Abdullah’s original trial counsel, Gus Cahill, testified that the
existence of the letter and its location were not known to defense counsel prior to
their final inspection of the Siesta residence. Thus, there was no communication
protected by the attorney-client privilege. Once Elam discovered the letter and
took it from the scene, defense counsel were in possession of evidence and
became obligated to disclose the letter under [Idaho Rule of Professional
Conduct] 3.4 and pursuant to discovery. Therefore, appointed counsel’s disclosure
of the letter to the State is not a basis for ineffective assistance of counsel with
respect to either counsel.
Thus, the district court reviewed and then rejected this argument, concluding that Cahill was
obligated to turn it over to the State once the letter was in his possession. We recognize that the
district court may have in part erroneously based its decision on Idaho Code section 18-2603,
Idaho Rule of Professional Conduct 3.4, and the Idaho Criminal Rules addressing discovery.
Those statutes and rules likely do not apply to this situation.40 “Where the lower court reaches
40
Idaho Code Section 18-2603 provides:
Every person who, knowing that any book, paper, record, instrument in writing, or other object,
matter or thing, is about to be produced, used or discovered as evidence upon any trial,
proceeding, inquiry, or investigation whatever, authorized by law, wilfully destroys, alters or
conceals the same, with intent thereby to prevent it from being produced, used or discovered, is
guilty of a misdemeanor, unless the trial, proceeding, inquiry or investigation is criminal in nature
and involves a felony offense, in which case said person is guilty of a felony and subject to a
maximum fine of ten thousand dollars ($10,000) and a maximum sentence of five (5) years in
prison.
This statute likely does not apply to the instant facts because the first element—the individual “knew that an object
was about to be produced, used, or discovered as evidence in any legally authorized trial, proceeding, inquiry, or
investigation”—probably is not met. See State v. Peteja, 139 Idaho 607, 610, 83 P.3d 781, 784 (Ct. App. 2003)
(stating the elements of Idaho Code section 18-2603). Furthermore, Idaho Rule of Professional Conduct 3.4(a)
prohibits an attorney from unlawfully obstructing “another party’s access to evidence” and unlawfully altering,
destroying, or concealing “a document or other material having potential evidentiary value.” Thus, this Rule hinges
upon unlawful conduct, which did not occur here.
Lastly, Idaho Criminal Rule 16(c)(1) provides:
(c) Disclosure of Evidence by the Defendant Upon Written Request. Except as otherwise
hereinafter provided in this rule, the defendant shall at any time following the filing of charges
against the defendant, upon written request by the prosecuting attorney, disclose the following
information, evidence and material to the prosecuting attorney, which shall not be filed with the
court, unless otherwise noted.
(1) Documents and Tangible Objects. Upon written request of the prosecuting attorney,
the defendant shall permit the prosecutor to inspect and copy or photograph books,
papers, documents, photographs, tangible objects or copies or portions thereof,
122
the correct result by an erroneous theory, however, this Court will affirm the order on the correct
theory.” Row v. State, 135 Idaho 573, 579, 21 P.3d 895, 901 (2001). In addition, the district court
also premised its decision on the absence of attorney-client privilege. As discussed below, we
agree with the district court’s determination that no ineffective assistance of counsel occurred in
the removal of the letter from the crime scene.
Abdullah’s argument relies on People v. Meredith, 631 P.2d 46 (Cal. 1981). In Meredith,
the defendant was convicted of first-degree murder and first-degree robbery. Id. at 48. Prior to
trial, an investigator for the defense removed the victim’s wallet from a location where the
defendant previously told his attorney it would be. Id. The defendant’s attorney subsequently
turned the wallet over to police. Id. On appeal, the defendant argued that California Evidence
Code section 954 41 barred testimony concerning the location of the wallet. Id. at 50. The
California Supreme Court held:
We therefore conclude that whenever defense counsel removes or alters
evidence, the statutory privilege does not bar revelation of the original location or
condition of the evidence in question. We thus view the defense decision to
remove evidence as a tactical choice. If defense counsel leaves the evidence
where he discovers it, his observations derived from privileged communications
are insulated from revelation. If, however, counsel chooses to remove evidence to
examine or test it, the original location and condition of that evidence loses the
protection of the privilege.
Id. at 54 (footnote omitted). Thus, Meredith involved the discovery of evidence based on a
privileged communication. Id. In contrast, the case here did not involve any communication from
Abdullah regarding the letter. We are not persuaded that a defense attorney can provide
ineffective assistance of counsel by disclosing to the State accusatory evidence discovered as the
result of a happenstance discovery by a defense investigator without any communication from
the defendant. Furthermore, whether disclosure of the letter was required by rule or statute
which are within the possession, custody or control of the defendant, and which the
defendant intends to introduce in evidence at the trial.
In order for this rule to apply, the defendant must intend to introduce the evidence at trial. Here, there was no
indication that Abdullah intended to introduce the letter at trial. Indeed, due to the damaging and prejudicial nature
of the unredacted version, it is highly unlikely Abdullah would have offered it at trial. Thus, the district court’s
reasoning appears to have been in error in part.
41
California Evidence Code section 954 provides in pertinent part, “[T]he client, whether or not a party, has a
privilege to refuse to disclose, and to prevent another from disclosing, a confidential communication between client
and lawyer . . . .” Idaho Rule of Evidence 502(b) likewise provides, “A client has a privilege to refuse to disclose
and to prevent any other person from disclosing confidential communications made for the purpose of facilitating
the rendition of professional legal services . . . .”
123
presented a complex legal issue neither Cahill nor Elam could be expected to understand in full
at the Siesta residence. Removing the letter and subsequently performing the necessary research
was not deficient performance. This Court affirms the district court’s dismissal of this claim of
ineffective assistance of counsel.
Along the same lines as Abdullah’s challenge to Cahill’s removal of the letter, Abdullah
argues that Cahill’s failure to move for an in camera review of the letter prior to disclosing it
constituted ineffective assistance of counsel. Abdullah fails to cite any authority in support of
this contention, and this argument is waived. See State v. Zichko, 129 Idaho 259, 263, 923 P.2d
966, 970 (1996). Further, his argument presents a novel legal theory, and this Court “will
generally not find deficient performance” in such circumstances. Schoger v. State, 148 Idaho
622, 630, 226 P.3d 1269, 1277 (2010). In addition, “[w]here the alleged deficiency is counsel’s
failure to file a motion, a conclusion that the motion, if pursued, would not have been granted by
the trial court, is generally determinative of both prongs of the [Strickland] test.” State v. Payne,
146 Idaho 548, 562, 199 P.3d 123, 137 (2008) (second alteration in original) (quoting Sanchez v.
State, 127 Idaho 709, 713, 905 P.2d 642, 646 (Ct. App. 1995)). Once the letter had been removed
from the scene (and the Siesta residence subsequently destroyed), it is highly likely that the
district court would have ordered disclosure to the State. See Dillon, 93 Idaho at 710, 471 P.2d at
565 (“An attorney may not act as a depository for criminal evidence . . . .”). This Court rejects
this assignment of error. See also Rubin v. State, 602 A.2d 677, 686–87 (Md. 1992) (collecting
cases holding that a defense attorney may not conceal physical evidence and must turn over such
evidence to the prosecution).
ii. The Toryanskis’ stipulation to admit a redacted version of the letter was
not ineffective assistance of counsel.
Next, Abdullah argues that the Toryanskis provided ineffective assistance of counsel by
stipulating to the admission of the redacted letter. Specifically, Abdullah contends that the State
was not able to meet the foundational elements to have the letter admitted at trial and thus the
Toryanskis provided deficient performance in stipulating to its admission.
Tactical and strategic decisions by trial counsel will not be second-guessed and “cannot
serve as a basis for post-conviction relief unless the decision is shown to have resulted from
inadequate preparation, ignorance of the relevant law, or other shortcomings capable of objective
review.” State v. Shackelford, 150 Idaho 355, 382–83, 247 P.3d 582, 609–10 (2010). In the
absence of evidence that a strategic decision was “the product of inadequate preparation or
124
ignorance of the relevant law,” this Court will not find deficient performance. Johnson v. State,
156 Idaho 7, 11, 319 P.3d 491, 495 (2014); State v. Dunlap, 155 Idaho 345, 384, 313 P.3d 1, 40
(2013).
As a condition precedent to the admissibility of a document, an offering party must
present “evidence sufficient to support a finding that the matter in question is what its proponent
claims.” I.R.E. 901(a). When seeking to admit a writing, which is not self-authenticating, a party
must provide proof of its genuineness separate from the writing itself before it is admissible.
Idaho First Nat’l Bank v. Wells, 100 Idaho 256, 262, 596 P.2d 429, 435 (1979). “The purported
signature or recital of authorship on the face of a writing will not be accepted as sufficient
preliminary proof of authenticity for the admission of a writing in evidence.” Id. Idaho Code
section 9-405 provides that a writing can be authenticated in the following ways: (1) by anyone
who saw the writing executed; (2) by evidence of genuineness of the handwriting of the maker;
or (3) by a subscribing witness. I.C. § 9-405.
In post-conviction proceedings, the petitioner has the burden to demonstrate error. In this
case, there is no evidence that the decision to stipulate was the product of inadequate preparation
or ignorance of the law. Decisions by trial counsel are presumed to be made “in the exercise of
reasonable professional judgment.” Strickland, 466 U.S. at 690. By stipulating to the admission
of the redacted letter, the Toryanskis effectively excluded highly prejudicial information, such as
Abdullah’s sexual proclivities. Through a stipulation the Toryanskis were able to control
precisely what information was excluded and avoid the risk and uncertainty of the admission of
certain extremely unfavorable portions of the letter. In addition, the letter provided support for a
suicide defense. Thus, the stipulation was a strategic decision by the Toryanskis and not the
result of inadequate preparation or ignorance of relevant law. See Johnson, 156 Idaho at 11, 319
P.3d at 495. The Toryanskis’ stipulation was not deficient performance.
iii. The Toryanskis’ failure to object when the State disclosed that the
investigator who discovered the letter worked for defense counsel was not
ineffective assistance of counsel.
Finally, Abdullah argues that the Toryanskis provided ineffective assistance by failing to
object when the State revealed Elam was acting as an investigator for Cahill when Elam
discovered the letter. Specifically, Abdullah contends that this testimony implied the defense was
gathering evidence against their own client or Elam learned about the letter through
conversations with Abdullah. In turn, this implied Abdullah knew about the letter. Abdullah also
125
speculates that the jurors could have assumed former counsel ceased representing Abdullah after
discovering the letter because the letter led his counsel to believe Abdullah was guilty.
In support of this argument, Abdullah relies on cases from other jurisdictions which stand
for the proposition that the source of evidence located by defense counsel via a privileged
communication and then turned over to the State cannot be disclosed to the jury. Meredith, 631
P.2d at 54 n.8 (“In offering the evidence, the prosecution should present the information in a
manner which avoids revealing the content of attorney-client communications or the original
source of the information.”); Anderson v. State, 297 So. 2d 871, 875 (Fla. Dist. Ct. App. 1974)
(holding that to meaningfully preserve the privilege, the State could not introduce evidence that
the State received incriminating physical evidence from defendant’s attorney); People v. Nash,
313 N.W.2d 307, 314 (Mich. Ct. App. 1981) (no violation of defendant’s attorney-client
privilege in requiring attorney to relinquish physical evidence, but testimony that evidence
obtained pursuant to search of attorney’s office violated privilege because infers the defendant
gave evidence to attorney); Commonwealth v. Stenhach, 514 A.2d 114, 123 (Pa. Super Ct. 1986)
(stating where physical evidence, obtained by the defense from a privileged communication from
the defendant, is turned over to the State by the defense, the State cannot disclose to the finder of
fact the source of the evidence); State v. Olwell, 394 P.2d 681, 685 (Wash. 1964) (where State
received incriminating evidence from defense counsel, the prosecution “should take extreme
precautions to make certain that the source of the evidence is not disclosed in the presence of the
jury” to preserve the attorney-client privilege). However, these cases are inapposite because in
this case the letter was not discovered as the result of a privileged communication. The letter was
revealed to defense counsel by an investigator without any communication from Abdullah. “If
the location of the real evidence was revealed to defense counsel by a non-client third party, then
the attorney-client privilege does not prohibit the State from proving, even through testimony
from the attorney or the attorney’s agent, where and how the evidence was located.” Rubin, 602
A.2d at 687. Therefore, the attorney-client privilege did not prohibit the State from introducing
evidence regarding where and how the letter was located. Thus, the State’s question to Elam was
not improper and the Toryanskis did not render deficient performance by failing to object. State
v. Yakovac, 145 Idaho 437, 445, 180 P.3d 476, 484 (2008) (attorney not required to object to
admissible evidence).
126
iv. Abdullah has not shown prejudice for any ineffective assistance of counsel
claim regarding the letter.
Finally, even if Abdullah established deficient performance on any of the above claims,
he has failed to establish a reasonable probability of a different result. Upon admission of the
letter, the district court informed the jury it was admitted only for the purpose to show Angie’s
state of mind and directed the jury not to consider it for any other purpose. Furthermore, the
redacted letter omitted highly prejudicial portions and formed a basis for Abdullah’s suicide
defense, which Kim Toryanski referenced in her closing argument. Lastly, the prejudice
Abdullah asserts from the State revealing Elam discovered the letter is highly speculative and
unfounded. The district court’s limiting instruction to consider the letter for only Angie’s state of
mind would have prevented the jury from making such attenuated assumptions. See State v.
Hedger, 115 Idaho 598, 601, 768 P.2d 1331, 1334 (1989) (it is presumed a jury obeys a court’s
curative instruction). Therefore, Abdullah has failed to establish either prong of the Strickland
two-part test, and this Court affirms the district court’s dismissal of this claim of ineffective
assistance of counsel.
28. The district court did not err by dismissing Abdullah’s claim of ineffective
assistance of counsel due to counsel’s failure to investigate, prepare, and present an
adequate case in mitigation.
a. Facts
Numerous witnesses testified on Abdullah’s behalf in the penalty phase. First, the
Toryanskis called Dr. Michael Gunter, an expert in Kurdish history. Dr. Gunter testified that the
Kurds are a separate ethnic group in the Middle East and they do not have their own independent
state. Dr. Gunter explained that the Kurds desire cultural, political, and social autonomy.
However, the nations where the Kurds reside (Turkey, Iraq, Iran, and Syria) will not provide
those conditions. Dr. Gunter then testified about Koreme, a village in northern Iraq where
Abdullah was raised. Saddam Hussein, in conjunction with the Anfal campaign, destroyed
Koreme in the late 1980s. The Anfal campaign involved the genocide of the Kurdish people and
the destruction of their villages. During this period, attacks from the Iraqi Army forced villagers
from Koreme to flee into the mountains and live in caves. When some villagers went back to
retrieve belongings, the Iraqi Army summarily executed them. The district court recognized this
testimony to be “moving” and “very powerful.”
127
Abdullah’s father, Haji Fetah, also testified about the Anfal campaign and Saddam
Hussein’s systematic destruction of his family’s village and the Kurdish people. Fetah explained
that he was imprisoned for fighting in opposition to the Iraqi Army. Fetah also noted that
Musheer, Abdullah’s older brother, is mentally handicapped. As a result of these circumstances,
Abdullah assumed a leadership role in the family, acting as the head of the household and
looking after the family. Abdullah helped smuggle his family out of Iraq.
Abdullah’s brother, Dilshad, also testified about life in northern Iraq. Dilshad stated that
helicopters would often come to bomb their homes. Other times, the helicopters would observe
them and leave, only for soldiers to return later and burn their homes. Dilshad also established
the family’s agrarian lifestyle. Dilshad recounted one occurrence where the Iraqi Army removed
their father’s cousin from the village, tortured him with electricity by applying it to his “private
parts,” and returned him to the village paralyzed. Further, Dilshad testified to the brutal killing of
their uncle, who was shot to death by Iraqi soldiers while he prayed. Dilshad explained in
graphic detail that his uncle owned a cement wall and that “his brains were all over that.” After
killing their uncle, the soldiers came to the family’s home searching for their father. The family
concealed their father from the soldiers by hiding him in a hole and covering him with blankets.
However, the soldiers kicked the family members, including their pregnant mother. Dilshad also
testified about the family’s struggles while fleeing Iraq in 1988. Dilshad stated the decision to
flee came after the family received warning of a chemical weapons attack. The district court
characterized this testimony as “very moving.”
Abdullah’s cousin, Nichivan, also testified. Nichivan recounted the conditions of Turkish
refugee camps endured by the family. Nichivan explained that the family lived in tents despite
inclement weather conditions. Nichivan stated snowfall could sometimes reach three feet in
depth. While surviving in these conditions, the family did not have shoes, jackets, or adequate
food. Once a week, soldiers provided them bread. Their other source of food came from
vegetables grown within the camp and from leftover scraps from the soldiers. Nichivan detailed
one incident in which a fight broke out between the Turkish military and the Kurds inside the
camp. Soldiers shot an individual in the head while that individual stood next to Nichivan’s
brother. Abdullah, present at the scene, guided Nichivan and Nichivan’s brother home and
instructed them to stay away from the area for the rest of the day. Nichivan also testified to an
128
episode where he fell into a hole and Abdullah rescued him. Nichivan hypothesized that
Abdullah’s actions likely saved his life.
Rahan Mustafa, Abdullah’s mother, testified as well. Mustafa explained that Abdullah
was a critical part of their family and was an honest man. Mustafa also requested mercy for
Abdullah.
Finally, the Toryanskis produced witnesses to demonstrate Abdullah’s positive
community relationships. Pam Lewis assisted Abdullah and his family in adjusting to life in
America when they first immigrated here. Lewis testified that Abdullah learned quickly and was
always helpful to other individuals. Jim Rogers, a family friend, testified that Abdullah had a
loving character and cared about people. Aaron Irish, a deputy sheriff, observed Abdullah in jail
and noted how respectful Abdullah was toward jail personnel. Moreover, Michael Shutz, a
fellow inmate housed with Abdullah, testified to Abdullah’s good behavior and that Abdullah
assisted him studying Islam.
b. Standard of Review
Trial counsel has a duty to conduct a thorough mitigation investigation in preparation for
the penalty phase of a capital case. Porter v. McCollum, 558 U.S. 30, 40 (2009). Defense counsel
must obtain information the State has and plans to use against the defendant. Rompilla v. Beard,
545 U.S. 374, 387–90 (2005).
Presentation of some mitigating evidence, even if strong, is insufficient if other
mitigating evidence is available upon reasonable investigation. Rompilla, 545
U.S. at 387–93. However, no relief is mandated where counsel’s investigation is
not as thorough as it could have been because the courts “address not what is
prudent or appropriate, but only what is constitutionally compelled.” Burger v.
Kemp, 483 U.S. 776, 794 (1987). This Court held, in State v. Row, that counsel is
not required to investigate a defendant’s “entire life in order to objectively present
. . . mitigation evidence” and that decisions regarding mental health and allocution
statements are “strictly strategic and shall not be second-guessed by this Court.”
131 Idaho 303, 313, 955 P.2d 1082, 1092 (1998).
State v. Dunlap, 155 Idaho 345, 388, 313 P.3d 1, 44 (2013) (omission in original).
c. Analysis
Abdullah’s argument consists of three components: (1) the timing of the mitigation
investigation; (2) the failure to present additional testimony from family members; and (3) the
failure to retain a cultural expert with sufficient background and experience. Each will be
addressed in turn.
129
i. The timing of the Toryanskis’ decisions on conducting a mitigation
investigation did not constitute ineffective assistance of counsel.
Abdullah contends that the Toryanskis provided ineffective assistance of counsel by
failing to begin a mitigation investigation at the earliest possible stages, by instructing mitigation
specialist Rosanne Dapsauski to cease working on the case until a few days before sentencing,
and by pursuing a theory of the case that blamed the victim.
In support of this argument, Abdullah relies in large part on the ABA Guidelines and its
accompanying commentary. Guideline 4.1 provides in capital cases, “The defense team should
consist of no fewer than two attorneys . . . , an investigator, and a mitigation specialist.” ABA
Guideline 4.1(A)(1). Further, the commentary to ABA Guideline 1.1 provides that the
investigation for the mitigation case must begin immediately upon counsel’s entry into the case.
ABA Guideline 1.1 cmt. As discussed above, the ABA standards provide non-binding guidance
to determine the reasonableness standard. Indeed, this Court has previously recognized that
mitigation experts are not always required in death penalty cases. State v. Hairston, 133 Idaho
496, 516, 988 P.2d 1170, 1190 (1999) (district court did not abuse discretion, or violate United
States or Idaho Constitutions, in refusing to appoint mitigation specialist in death penalty case).
Counsel does have a duty “to conduct a thorough investigation of the defendant’s background,”
however. Williams v. Taylor, 529 U.S. 362, 396 (2000).
During the early stages of this case when Abdullah was still represented by the Ada
County Public Defender, Cahill retained mitigation specialist Dapsauski. Dapsauski started to
investigate a mitigation strategy. Specifically, she completed a “draft chronology” on Abdullah’s
life, requested records from Abdullah’s past, and met with members of the Boise Muslim
community. Dapsauski also traveled to Tennessee and conducted preliminary interviews with
Abdullah’s family and associates.
The Toryanskis continued to utilize Dapsauski’s services when they substituted in as
counsel. Initially, Dapsauski participated in some of the defense team meetings. As time
progressed, however, the Toryanskis devoted more attention to guilt phase issues and Dapsauski
was invited to fewer meetings. At one point, Kim informed Dapsauski her services were no
longer needed. As a result, Dapsauski ceased working on Abdullah’s case for a number of
months. A few days prior to sentencing, Kim approached Dapsauski and requested that she
resume work on Abdullah’s case.
130
The foregoing facts, combined with the evidence presented during the penalty phase,
demonstrate that the Toryanskis pursued a constitutionally sufficient mitigation investigation on
Abdullah’s behalf. The period of time where the Toryanskis focused on guilt phase issues was in
accord with Abdullah’s statements. “The reasonableness of counsel’s actions may be determined
or substantially influenced by the defendant’s own statements or actions. Counsel’s actions are
usually based, quite properly, on informed strategic choices made by the defendant and on
information supplied by the defendant.” Strickland, 466 U.S. at 691. In a letter addressed to
Cahill, Abdullah stated the following:
Now to the death penalty. The State said they will seek the death penalty
when they find me guilty. You are so worried about that; you’re not focusing on
the guilty part. I know you have to do certain things in death penalty cases. I
admire you for being so worried about it, but I have told you over and over
again, “Don’t worry about the death penalty, and please work on the case to
make it ready in time for the trial.” . . . .
....
. . . All I ask is please work on the case and get it ready for me. . . . As for the
death penalty, Allah, or god, is sufficient for me and will protect me. I have put
my trust in him, for He is the one who makes the decisions about life and death.
My life is in His hands, and not even the state of Idaho will make me worry. . . .
If my life is to be gone, neither you nor I, or anybody else, can save me. That is
why I’m asking you to do your job, please.
....
Again, I ask you with all due respect to please work on the guilty part of
the case. If you have extra time, then go ahead and work on the death penalty
part. Know that neither you nor the state can change the time of my death one
second earlier or later. Please, Gus, I am not worried about that at all. What I am
worried about is going in front of the jury and not having answers, witnesses,
evidence, etc., there with us. . . . Let’s get ready for the trial, please.
Furthermore, in the Final Amended Petition itself, Abdullah conceded his “objective was to
obtain an acquittal, or other form of relief that would not involve prison time. . . . Abdullah made
it clear to all who ever represented him that he did not want potential penalty phase outcomes,
even the potential of a death sentence, to affect his guilt phase objective.” The reasonableness of
the Toryanskis’ actions should be examined within the context of these instructions from
Abdullah. See Strickland, 466 U.S. at 691. Given these directions from Abdullah, and
considering the efforts the Toryanskis still devoted to the mitigation case, the Toryanskis did not
provide deficient performance. For this reason, as well as the lack of prejudice discussed below,
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this Court affirms the district court’s dismissal of a claim of ineffective assistance of counsel
based on mitigation.
ii. The Toryanskis did not render ineffective assistance by failing to present
additional mitigation testimony from family members.
Abdullah also contends that the Toryanskis’ inadequate investigation and preparation led
to their failure to present and prepare meaningful and compelling mitigation evidence through
the testimony of family members. We disagree. The evidence that Abdullah contends should
have been presented is cumulative of the evidence presented during the sentencing phase. In
summary, the proffered evidence consists of the following: violent, horrific incidents Abdullah
witnessed and was subjected to as a child; deplorable conditions Abdullah endured while living
in refugee camps in Turkey; and the impact of a death sentence on Abdullah’s family. This
proffered testimony is undoubtedly heartfelt, emotional, vivid, and moving. But, as recounted
above, so was the testimony the Toryanskis presented at the penalty phase. The decision to
present a fewer number of witnesses than Abdullah would now prefer on appeal is a conceivable
tactical decision. Under the deferential Strickland standard, this decision is “strongly presumed”
to be reasonable. 466 U.S. at 690. Thus, Abdullah has failed to establish deficient performance,
and this Court affirms the district court’s dismissal of this claim of ineffective assistance of
counsel.
iii. The Toryanskis did not render ineffective assistance by failing to retain an
adequate cultural expert.
Abdullah also contends that Dr. Gunter, the expert retained by the Toryanskis, did not
have the requisite background and experience to sufficiently convey the experiences Abdullah
endured growing up as a Kurd in northern Iraq. A review of the record disproves these
assertions. Dr. Gunter testified that he had been a professor in political science at Tennessee
Technological University since 1981. His primary area of instruction was international relations,
and he also taught courses on international law, international organizations, and American
foreign policy. In addition, Dr. Gunter had been a “senior Fulbright lecturer of international
relations” at the Middle East Technical University in Turkey during the 1978–79 academic year.
Dr. Gunter also testified that he was a leading expert in the world on the “Kurdish situation.” He
provided detailed testimony about the Anfal campaign, the village of Koreme, and the hardships
endured by the Kurdish people. Thus, the Toryanskis did not provide deficient performance in
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selecting Dr. Gunter as a cultural expert. This Court affirms the district court’s dismissal of this
claim of ineffective assistance of counsel.
iv. The case law relied on by Abdullah does not support his claim of
ineffective assistance of counsel.
The cases Abdullah relies on to assert ineffective assistance of counsel claims regarding
mitigation involve situations where counsel completely failed to investigate and present critical
mitigating evidence. 42 For example, in Williams, the defendant was convicted of robbery and
capital murder and sentenced to death. 529 U.S. at 368–70. At sentencing, trial counsel offered
the testimony of the defendant’s mother, two neighbors, and a recorded statement by a
psychiatrist. Id. at 369. The testimony from witnesses was brief and described the defendant as a
“nice boy” and not violent. Id. The recorded statement “did little more than relate Williams’
statement during an examination that in the course of one of his earlier robberies, he had
removed the bullets from a gun so as not to injure anyone.” Id. The United States Supreme Court
held that trial counsel “failed to conduct an investigation that would have uncovered extensive
records graphically describing Williams’ nightmarish childhood, not because of any strategic
calculation but because they incorrectly thought that state law barred access to such records.” Id.
at 395. The United States Supreme Court further held that when this missing mitigation evidence
was considered in conjunction with the mitigation evidence presented at sentencing, there was a
reasonable probability the result would have been different. Id. at 398–99.
Likewise, in Wiggins, the defendant was convicted of first-degree murder, robbery, and
two counts of theft. 539 U.S. at 515. At sentencing, counsel made a motion to bifurcate the
hearing into two phases. Id. One phase would focus on whether the defendant acted as a
“principal in the first degree.” Id. In the other phase, counsel would present psychological reports
and expert testimony demonstrating the defendant’s “limited intellectual capacities and childlike
emotional state” and also “the absence of aggressive patterns in his behavior, his capacity for
empathy, and his desire to function in the world.” Id. at 515–16. The trial court denied the
motion. Id. at 515. During sentencing, counsel did not introduce any evidence of the defendant’s
life history and simply challenged the guilt aspect of the case. Id. A jury sentenced the defendant
to death. Id. at 516. During post-conviction proceedings, a social worker prepared a report that
42
Abdullah cites to Williams v. Taylor, 529 U.S. 362 (2000), Wiggins v. Smith, 539 U.S. 510 (2003), and Rompilla
v. Beard, 545 U.S. 374 (2005).
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revealed the defendant had undergone extensive sexual and physical abuse as a child at the hands
of numerous perpetrators. Id. at 516–17.
On habeas corpus review, the United States Supreme Court recognized: “The ABA
Guidelines provide that investigations into mitigating evidence ‘should comprise efforts to
discover all reasonably available mitigating evidence and evidence to rebut any aggravating
evidence that may be introduced by the prosecutor.” Id. at 524 (quoting ABA Guideline
11.4.1(C)). The Court then explained that trial counsel had departed from these standards and
“abandoned their investigation of petitioner’s background after having acquired only
rudimentary knowledge of his history from a narrow set of sources.” Id. The United States
Supreme Court held that the failure to investigate the defendant’s upbringing “did not reflect
reasonable professional judgment,” the evidence counsel failed to discover was powerful, and
counsel’s deficient performance prejudiced the defendant. Id. at 534–36.
Finally, in Rompilla, the State indicted the defendant for murder. 545 U.S. at 377. A jury
found the defendant guilty of murder and a number of related counts. Id. at 377–78. At the
sentencing phase, the State argued three aggravating factors justified imposition of a death
sentence: “that the murder was committed in the course of another felony; that the murder was
committed by torture; and that Rompilla had a significant history of felony convictions
indicating the use or threat of violence.” Id. at 378. “Rompilla’s evidence in mitigation consisted
of relatively brief testimony: five of his family members argued in effect for residual doubt, and
beseeched the jury for mercy, saying that they believed Rompilla was innocent and a good man.”
Id. The jury sentenced the defendant to death. Id.
During post-conviction proceedings, it was revealed that trial counsel failed to examine
the defendant’s prior conviction file before sentencing. Id. at 382–84. On federal habeas review,
the United States Supreme Court held that counsel provided deficient performance. Id. at 393.
The Court explained that counsel provided deficient performance “because they failed to make
reasonable efforts to review the prior conviction file, despite knowing that the prosecution
intended to introduce Rompilla’s prior conviction not merely by entering a notice of conviction
into evidence but by quoting damaging testimony of the rape victim in that case.” Id. at 389. In
such a circumstance, “[i]t flouts prudence to deny that a defense lawyer should try to look at a
file he knows the prosecution will cull for aggravating evidence, let alone when the file is sitting
in the trial courthouse, open for the asking.” Id. Addressing the question of prejudice, the Court
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summarized the overlooked evidence and recognized that it created “a mitigation case that bears
no relation to the few naked pleas for mercy actually put before the jury.” Id. at 393.
In contrast to the roles of counsel in Williams, Wiggins, and Rompilla, the Toryanskis
conducted an extensive investigation of Abdullah’s background and upbringing. They uncovered
mitigation evidence from family members and acquaintances who testified to the oppressive
environment in which Abdullah was raised and the hardships he endured while in refugee camps.
Further, the Toryanskis elicited testimony regarding atrocities experienced by Abdullah’s family
members and fellow villagers. The Toryanskis hired an expert on Abdullah’s Kurdish heritage
who testified in depth about the culture in which Abdullah was raised, the brutal regime of
Saddam Hussein, and the persecution of the Kurdish people. In addition, the Toryanskis called
witnesses to attest to Abdullah’s good character in general and his model behavior as an inmate
following his arrest. The mitigation investigation and case presented by the Toryanskis goes far
beyond that in Williams, Wiggins, and Rompilla. Thus, this Court affirms the district court’s
determination that the Toryanskis did not provide deficient performance in mitigation.
v. Abdullah failed to establish prejudice.
Finally, after examining the evidence that Abdullah contends should have been presented
at the mitigation hearing, this Court determines that there is not a reasonable probability the
result of the sentencing proceeding would have been different. The mitigation evidence proffered
by Abdullah is cumulative to what was provided at sentencing. For additional mitigation
evidence to demonstrate prejudice in a post-conviction proceeding, it simply cannot be
cumulative of evidence presented at sentencing, but rather must create a substantial likelihood of
a different sentence. Compare Cullen v. Pinholster, 131 S. Ct. 1388, 1409–10 (2011) (evidence
introduced during a collateral proceeding on an ineffective assistance claim that “largely
duplicated the mitigation evidence at trial” did not satisfy a showing of prejudice under
Strickland), and Cunningham v. Wong, 704 F.3d 1143, 1161–63 (9th Cir. 2013) (recognizing the
cumulative nature of the “new” evidence presented and holding petitioner failed to demonstrate
Strickland prejudice), with Foust v. Houk, 655 F.3d 524, 539 (6th Cir. 2011) (where the new
evidence, “[f]ar from being cumulative . . . paints an altogether different picture” of the
petitioner’s childhood, Strickland prejudice prong is met).
In addition, the brutal and callous nature in which Abdullah perpetrated this crime cannot
be ignored. See Bobby v. Van Hook, 558 U.S. 4, 12–13 (2009) (holding the Sixth Circuit Court of
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Appeals erred by focusing on the “number of aggravating factors instead of their weight” in
conducting a Strickland prejudice analysis). Abdullah premeditated the murder of his wife,
placed a bag over her head to asphyxiate her, poured gasoline throughout their home, and left
three children inside a home engulfed in flames to cover up his actions. The brutal nature of this
crime is evidenced by the jury’s finding of the utter disregard aggravator.
Abdullah contends that “the perceived brutality or egregious nature of a particular crime
is never an excuse for counsel to fail to do their job to present a readily-available mitigation case,
and is no basis for a court to deem the presentation of a slip-shod mitigation case adequate or
effective.” In support of this argument, Abdullah cites to Gardner v. Johnson, 247 F.3d 551 (5th
Cir. 2001). In pertinent part, Gardner addressed the demonstration of prejudice in the context of
a Fifth Amendment Estelle violation. 43 Gardner, 247 F.3d at 562–63. There, the Fifth Circuit
Court of Appeals reasoned:
Almost without exception, the cases we see in which conviction of a capital crime
has produced a death sentence arise from extremely egregious, heinous, and
shocking facts. But, if that were all that is required to offset prejudicial legal error
and convert it to harmless error, habeas relief based on evidentiary error in the
punishment phase would virtually never be available, so testing for it would
amount to a hollow judicial act.
Id. at 563. Gardner is distinguishable, however, in that it involved a situation where the
defendant was not informed of his constitutional right to remain silent when ordered to undergo a
psychiatric evaluation during sentencing. Id. at 557–58. The defendant made statements in the
evaluation which led the evaluator to conclude the defendant posed a significant risk of future
dangerousness. Id. at 562. The Fifth Circuit Court of Appeals summarized the evaluator’s
testimony as follows:
Dr. Griffith testified, with “one hundred percent certainty,” that Gardner would
“commit violent acts in the future”; that he was “super dangerous, and [would]
kill [again] given any chance at all”; and that he would be a danger to others even
if incarcerated. “Would”: not “might,” not likely “would,” but absolutely
“would.” Dr. Griffith further testified that Gardner exhibited no remorse for his
crimes and that any behavior to the contrary should not to be believed [sic].
Id. (alterations in original). It was in this context that the Fifth Circuit Court of Appeals rejected
the State’s argument that the brutality of the crime demonstrated harmless error. Id. at 562–63.
43
Estelle v. Smith, 451 U.S. 454, 469 (1981), held that where psychological evaluations are used to determine
whether the death penalty should be imposed, such evaluations must be preceded by Miranda warnings.
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By contrast, Abdullah contends that his attorneys should have presented more detailed
and vivid testimony during the mitigation phase, even though this testimony was cumulative.
This is a far cry from the extremely damaging testimony erroneously admitted in Gardner
through the defendant’s own statements. It is well established that when analyzing the prejudice
prong of an ineffective assistance claim, a court should consider the strength of aggravating
circumstances associated with the defendant’s case. Strickland, 466 U.S. at 700 (“Given the
overwhelming aggravating factors, there is no reasonable probability that the omitted evidence
would have changed the conclusion that the aggravating circumstances outweighed the
mitigating circumstances and, hence, the sentence imposed.”). See also Smith v. Gibson, 197
F.3d 454, 463–64 (10th Cir. 1999) (holding testimony from family members, friends, employers,
and former coaches insufficient to demonstrate jury would have returned a different sentence “in
light of the brutal and senseless nature” of the crime and the State’s strong evidence supporting
the aggravating circumstances); Dobbs v. Turpin, 142 F.3d 1383, 1390 (11th Cir. 1998) (analysis
of Strickland prejudice prong must take into account aggravating circumstances of the case).
Accordingly, this Court affirms the district court’s determination that Abdullah failed to establish
a reasonable probability the result of the sentencing phase would have been different but for any
deficient performance. Therefore, this Court affirms the district court’s dismissal of this claim of
ineffective assistance of counsel.
29. The district court did not err by dismissing Abdullah’s claim of ineffective
assistance of counsel for failing to present an eyewitness identification expert.
Abdullah argues that the Toryanskis provided ineffective assistance in failing to retain
and call an expert on the reliability of eyewitness testimony at both the pretrial suppression
hearing and at trial.
a. Facts
A key witness in the State’s case was Marjorie Wood. She worked as a gas station clerk
in Mountain Home and identified Abdullah as having entered the gas station around midnight on
the night of the murder. Wood identified Abdullah for law enforcement a week after the crime
from a single photograph depicting Abdullah. The detectives asked Wood whether she had seen
that individual in the photograph before, and Wood immediately responded that she had seen the
individual a week prior. She further indicated that she remembered Abdullah because he had
acted rude, which caused him to stand out in her mind.
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In seeking to challenge the identification made by Wood, among other things, Abdullah
requested a memory and identification expert. The district court denied this motion because
Abdullah failed to identify a specific expert and budget. Abdullah then requested the
appointment of Dr. Elizabeth Loftus, a Washington-based psychologist. The district court denied
this request because Abdullah failed to explain why an expert in the local area could not testify
and why these issues could not be addressed in pretrial motions. Abdullah then renewed his
request, asking that Dr. Charles Honts be appointed. The district court granted this request.
Abdullah filed a motion to suppress Wood’s identification. Wood and the detectives
involved in the identification testified at the suppression hearing. The district court concluded
that there were no due process implications, nor was there a substantial risk of mistaken
identification. Even assuming suggestive procedures, the district court examined the relevant
factors and concluded Wood’s identification was sufficiently reliable to outweigh any potential
low-level suggestiveness.
The State then filed a motion in limine, asserting that expert testimony on the topic of
eyewitness identifications was not scientific. The State also challenged the qualifications of Dr.
Honts. The Toryanskis decided not to oppose the State’s motion for the following reasons: (1)
they concluded Dr. Honts did not qualify as an expert in eyewitness identification; (2) the topic
of eyewitness identifications may not be proper science for expert testimony; and (3) due to
strategic choices on where to focus their time and energy. At the evidentiary hearing, Mitch
Toryanski confirmed a dispute existed as to whether Dr. Honts qualified as an expert witness in
eyewitness identifications and with respect to the scientific field generally. Mitch indicated that
he wanted Dr. Honts to testify because he thought it was important to have a witness explain
eyewitness identification issues to the jury.
b. Standard of Review
To determine whether evidence of an out-of-court identification violates
due process, this Court applies a two-step test. See State v. Hoisington, 104 Idaho
153, 162, 657 P.2d 17, 26 (1983). First, the defendant must establish that the
identification procedure was overly suggestive. United States v. Wade, 388 U.S.
218, 240 n.31 (1967); Hoisington, 104 Idaho at 162, 657 P.2d at 26. Second, if the
defendant meets that burden, courts consider whether the identification was
nonetheless reliable under the totality of the circumstances. Hoisington, 104 Idaho
at 162, 657 P.2d at 26. This second step entails considering the witness’s
opportunity to view the perpetrator, his degree of attention, the accuracy of his
description, his level of certainty, and the time between the crime and pretrial
confrontation, and then weighing those factors against the “corrupting effect of
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the suggestive identification.” Manson v. Brathwaite, 432 U.S. 98, 108 (1977);
Hoisington, 104 Idaho at 162, 657 P.2d at 26. Thus, greater indicia of reliability
may be necessary the more egregious the suggestive procedures.
State v. Almaraz, 154 Idaho 584, 593, 301 P.3d 242, 251 (2013).
c. Analysis
Abdullah first argues that the Toryanskis provided ineffective assistance of counsel by
failing to have Dr. Honts testify at the suppression hearing. In support of this argument, Abdullah
cites to an affidavit of Dr. Honts, an affidavit of Dr. Roy Malpass (an expert retained on post-
conviction relief), and a publication by the United States Department of Justice—Eyewitness
Evidence: A Guide for Law Enforcement.
“Where the alleged deficiency is counsel’s failure to file a motion, a conclusion that the
motion, if pursued, would not have been granted by the trial court, is generally determinative of
both prongs of the [Strickland] test.” State v. Payne, 146 Idaho 548, 562, 199 P.3d 123, 137
(2008) (alteration in original) (quoting Sanchez v. State, 127 Idaho 709, 713, 905 P.2d 642, 646
(Ct. App. 1995)). In this case, the considerations addressed in the affidavits and attached
publication on eyewitness evidence relied on by Abdullah are predominantly covered by factors
articulated in Idaho case law. In Payne, this Court reaffirmed the factors Idaho courts consider
when examining claims involving eyewitness identification procedures:
For an out-of-court identification to taint an in-court identification, the
out-of-court identification must have been “so suggestive that there is a very
substantial likelihood of misidentification.” State v. Trevino, 132 Idaho 888, 892,
980 P.2d 552, 556 (1999). “Due process requires the exclusion of identification
evidence if police suggestiveness created a substantial risk of mistaken
identification, except where the reliability of the identification is sufficient to
outweigh the corrupting effect of the suggestive identification.” Id. (citation
omitted) (emphasis added). “[S]ingle subject showups are inherently suspect and
generally not condoned . . . .” State v. Hoisington, 104 Idaho 153, 162, 657 P.2d
17, 26 (1983). However, “reliability is the linchpin in determining the
admissibility of identification testimony.” Id. at 161, 657 P.2d at 25 (quoting
Manson v. Brathwaite, 432 U.S. 98, 114 (1977)). The question of whether
improper suggestiveness exists is determined from a totality of the circumstances.
Neil v. Biggers, 409 U.S. 188, 196 (1972). Factors to review in determining
whether an identification is reliable include: “(1) the opportunity of the witness to
view the criminal at the time of the crime; (2) the witness’ degree of attention; (3)
the accuracy of the witness’ prior description of the criminal; (4) the level of
certainty demonstrated at the identification; and (5) the length of time between the
crime and the identification.” Trevino, 132 Idaho at 893, 980 P.2d at 557.
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Id. (alteration in original) (omission in original). Given these factors, the proposed expert
testimony at the suppression hearing would have been cumulative.
Further, while use of a single photo can create suggestiveness, Hoisington, 104 Idaho at
162, 657 P.2d at 26, the situation here was not a traditional line-up or photo array procedure.
Wood was neither a victim nor an eyewitness to a crime. In the traditional context, a victim or
eyewitness being shown a single photo might suggest that the individual in the photo is the
perpetrator. That risk did not exist here. Calling an expert to testify would not have provided any
additional information for the district court to consider not already addressed in Idaho’s case law.
Moreover, Kim examined witnesses and made arguments regarding many of the topics
addressed in the affidavits of Dr. Malpass and Dr. Honts. For example, at the suppression
hearing, Kim examined Detective Chip Morgan regarding the suggestiveness of using a single
photograph and the procedural safeguards to minimize inherent suggestiveness. On examination
by the State, Detective Morgan acknowledged, “In my opinion, any time I’m only showing one
photo, the potential exists for a false positive . . . .”
Even assuming the use of a single photograph was impermissibly suggestive, the district
court’s findings of fact indicate the following: (1) Wood had an opportunity to observe Abdullah;
(2) only one week passed between this observation and the identification; (3) Wood was certain
of her identification; (4) Abdullah’s behavior drew Wood’s attention to him and caused Wood to
remember him; (5) Wood was focused on Abdullah while he was in the store; and (6) the
situation was non-threatening and non-stressful. There was substantial and competent evidence
to support the district court’s findings. Based on these findings, the identification was reliable
even assuming any suggestiveness. Accordingly, this Court concludes that the testimony of
Wood would not have been suppressed even if an expert testified at the suppression hearing. This
Court affirms the district court’s dismissal of this claim.
In addition to the above discussion, Kim testified during the post-conviction evidentiary
hearing that the decision not to have an expert testify was strategic. While Kim was considering
the testimony of an eyewitness expert, she was also considering a number of medical and
scientific issues and was “intensely . . . focused” on scientific evidence. Abdullah has failed to
present any evidence that indicates this decision was anything but strategic. 44 “The decision of
44
Abdullah’s brief cites to portions of the record that indicate during post-conviction proceedings Kim could not
recall why they did not have Dr. Honts testify. Abdullah also cites to testimony from Mitch indicating there were
140
what witnesses to call ‘is an area where we will not second guess counsel without evidence of
inadequate preparation, ignorance of the relevant law, or other shortcomings capable of objective
evaluation.’” Payne, 146 Idaho at 563, 199 P.3d at 138 (quoting State v. Larkin, 102 Idaho 231,
234, 628 P.2d 1065, 1068 (1981)). These strategic reasons provide another basis to conclude that
the Toryanskis did not render deficient performance at the suppression hearing by failing to call
an expert on eyewitness identifications.
Abdullah next argues that the Toryanskis provided ineffective assistance by failing to
present an eyewitness expert at trial. Specifically, he contends that “[s]uch testimony would have
assisted jurors by helping them understand factors that impact the reliability of an identification
and by helping them understand the fallibility of such identifications generally.” Abdullah
further argues that an expert would have cast doubt on Wood’s identification and demonstrated
that the techniques used by officers in securing the identification were flawed, thereby rendering
the identification unreliable.
Abdullah’s challenges to the techniques used by detectives are unfounded. In seeking to
locate a potential eyewitness along the route from Salt Lake City to Boise, two detectives drove
that route stopping at all gas stations and convenience stores along the freeway. This
investigative trip lasted around seventeen hours. Throughout the trip, the detectives asked clerks
whether they worked on the night in question. If a clerk responded in the affirmative, the
detectives inquired further by showing a picture of Abdullah and asking whether they had seen
him. The detectives used special caution not to mention Abdullah’s name. While the affidavit of
Dr. Honts contends that the detectives should have considered a “double-blind lineup using live
persons,” this contention ignores the nature of the investigation. During the detectives’
seventeen-hour trip, they questioned around 120 potential witnesses without inquiring into any
particular incident or mentioning Abdullah’s name. The detectives could not have feasibly
utilized a double-blind live lineup in this situation, and there is no justification for such a
procedure in this context.
questions regarding the qualifications of Dr. Honts and the Toryanskis were unsure whether this area of science
(eyewitness experts) was legitimate. Finally, Abdullah cites the affidavit of Dr. Honts, which indicates the
Toryanskis informed him he could not testify because the district court believed Abdullah to be Caucasian, and thus
the district court did not find cross-racial identification issues relevant. However, none of this amounts to evidence
demonstrating a misunderstanding or ignorance of Idaho law, nor does it demonstrate any other shortcomings in the
Toryanskis’ performance. At best, it demonstrates the Toryanskis recognized this was an unsettled and questionable
area of expertise and strategically decided to focus their efforts elsewhere.
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Moreover, Abdullah has failed to demonstrate that the decision not to call an expert was
based on inadequate preparation, ignorance of relevant law, or other shortcomings capable of
objective evaluation. On the contrary, Kim testified that the decision was strategic and that she
and Mitch were focused on other aspects of the trial. Abdullah’s argument is similar to an
argument this Court addressed in Payne. In Payne, the defendant was convicted of first-degree
murder based in part on eyewitness testimony placing the defendant at a location from which the
victim was abducted. Id. at 561–62, 199 P.3d at 136–37. The defendant asserted ineffective
assistance of counsel based on the failure to present an expert “on the fallibility of eyewitness
identifications.” Id. at 563, 199 P.3d at 138. Rejecting this claim, this Court held:
Here, Payne has provided no evidence which suggests that this decision resulted
from inadequate preparation, ignorance or other shortcomings. Therefore, the
presumption that counsel’s performance fell within the acceptable range of
professional assistance leads the Court to conclude that failing to introduce expert
legal testimony did not fall below an objective standard of reasonableness.
Id. (footnote omitted). The situation here is analogous to Payne as Abdullah has not provided
any evidence to indicate that the decision to not call an expert on eyewitness identifications
resulted from “inadequate preparation, ignorance, or other shortcomings.” Id. Accordingly, the
Toryanskis did not render deficient performance.
Finally, even if Abdullah established deficient performance in failing to call an expert at
trial, he cannot establish prejudice. At trial, Detective Heatherley testified that Wood
immediately identified Abdullah from the photograph and stated that Abdullah had been in the
store a week prior around midnight. Wood testified that she was one hundred percent sure she
had seen Abdullah at the time detectives showed her the photo of him. Other evidence
established Abdullah’s presence in Boise, such as the cape, gas can, the fuel contaminant and
additive in the gas from that can, the DNA evidence, the removal of N.A. from the fire, and the
lack of forced entry into the Siesta residence. Based on the evidence in the record, Abdullah has
failed to establish a reasonable probability the result would have been different but for any
deficiency. This Court affirms the district court’s dismissal of this claim.
30. The district court did not err by dismissing Abdullah’s claim of ineffective
assistance of counsel for failing to present testimony from a forensic pathologist.
Abdullah argues that the Toryanskis provided ineffective assistance in failing to call a
forensic pathologist to testify that Angie’s cause of death was undetermined.
a. Facts
142
Before the grand jury, Dr. Glen Groben, a forensic pathologist with the Ada County
coroner’s office, testified that he determined Angie’s cause of death to be “homicide.” Dr.
Groben explained that he considered the possibility that Angie may have committed suicide, but
rejected that theory, in part, because the first toxicology exam revealed no alcohol or drugs in her
system. At trial, Dr. Groben reiterated this testimony before the jury. Dr. Groben also testified
that he amended his autopsy report because subsequent toxicology testing revealed Angie had a
potentially lethal concentration of fluoxetine in her blood when she died. Due to this additional
information, Dr. Groben changed the cause of death to “acute fluoxetine poisoning associated
with asphyxiation due to a bag over the head.” Dr. Groben did not amend the manner of death
from homicide.
Before trial, the Toryanskis retained forensic pathologist Dr. Paul Hermann to assist in
Abdullah’s defense. Dr. Hermann opined the manner of death was undetermined because
circumstances existed which weighed in favor of homicide as well as suicide. Specifically, Dr.
Hermann pointed to Angie’s psychiatric history, the absence of trauma on Angie’s body, and the
high level of fluoxetine in her system as supporting a finding of suicide. The Toryanskis did not
call Dr. Hermann to testify at trial.
Abdullah retained Dr. Clifford Nelson during the post-conviction proceedings to proffer
additional information, namely, that an overdose of medication and the placement of a plastic
bag over one’s head is the recommended method of suicide in the book Final Exit and that many
circumstances supported a finding of suicide. Dr. Nelson also opined that the manner of death
was undetermined.
b. Standard of Review
“In our view, counsel’s choice of witnesses, manner of cross-examination, and lack of
objection to testimony fall within the area of tactical, or strategic, decisions, as does counsel’s
presentation of medical evidence.” Giles v. State, 125 Idaho 921, 924, 877 P.2d 365, 368 (1994).
“[S]trategic and tactical decisions will not be second guessed or serve as a basis for post-
conviction relief under a claim of ineffective assistance of counsel unless the decision is shown
to have resulted from inadequate preparation, ignorance of the relevant law or other
shortcomings capable of objective review.” Pratt v. State, 134 Idaho 581, 584, 6 P.3d 831, 834
(2000).
c. Analysis
143
Abdullah argues that the failure to call Dr. Hermann resulted from the Toryanskis’ legal
misunderstanding of Idaho Rule of Evidence 410. Specifically, based on Kim’s deposition
testimony, Abdullah contends that she erroneously believed Dr. Hermann could be impeached
with statements from plea negotiations with the State about the circumstances surrounding
Angie’s death.
Our consideration of Abdullah’s argument is unnecessary because the district court
properly determined Abdullah could not establish prejudice. Abdullah has not established a
reasonable probability of a different result but for any deficient performance in the Toryanskis’
failure to call Dr. Hermann to testify at trial. As explained by the United States Supreme Court:
“In many instances cross-examination will be sufficient to expose defects in an expert’s
presentation. When defense counsel does not have a solid case, the best strategy can be to say
that there is too much doubt about the State’s theory for a jury to convict.” Harrington v. Richter,
131 S. Ct. 770, 791 (2011). Here, the Toryanskis inquired into their perceived issues with Dr.
Groben’s autopsy and testing, highlighting the initially undiscovered fluoxetine and the amended
cause of death. Additionally, Dr. Hermann would not have directly contradicted the manner of
death, as he would have opined that the manner of death was undetermined, which offers
significantly less support to a suicide defense. Finally, the factors Dr. Hermann believed to
indicate suicide were addressed by other witnesses—Dr. Clay Ward addressed Angie’s
psychiatric history and Dr. Groben addressed the absence of trauma and high concentration of
fluoxetine. Thus, Dr. Hermann’s testimony would have been cumulative and its addition does not
establish a reasonable probability of a different result based on our review of the record. This
Court affirms the district court’s dismissal of this claim of ineffective assistance of counsel.
31. The district court did not err by dismissing Abdullah’s claim of ineffective
assistance of counsel for failing to consult and present a gasoline expert.
Abdullah argues that the Toryanskis provided ineffective assistance by failing to present
expert testimony that the additive HiTEC 6423 found in the gasoline from the gas can at the
Siesta residence could be purchased in Boise.
a. Facts
The Toryanskis conferred with a forensic science consultant, Dr. John Thornton, early on
in their case. The Toryanskis utilized Dr. Thornton as an arson expert. Dr. Thornton informed the
Toryanskis that an arson accelerant, likely gasoline, was applied inside the Siesta residence and
garage. Dr. Thornton was not able to determine whether the gasoline contained the marker in
144
question because he had not received the relevant discovery materials. Dr. Thornton explained to
Kim that he needed “Chevron laboratory’s discovery material concerning the identification of
geographic markers introduced into the gasoline,” the underlying database of proprietary
information, and “[b]ench notes pertaining to the Idaho State Crime Lab’s analysis of the
gasoline.” Kim eventually responded, informing Dr. Thornton that no report was required and he
would not be called to testify at trial.
b. Standard of Review
“[C]ounsel’s choice of witnesses, manner of cross-examination, and lack of objection to
testimony fall within the area of tactical, or strategic, decisions, as does counsel’s presentation of
medical evidence.” Giles, 125 Idaho at 924, 877 P.2d at 368. “[S]trategic and tactical decisions
will not be second guessed or serve as a basis for post-conviction relief under a claim of
ineffective assistance of counsel unless the decision is shown to have resulted from inadequate
preparation, ignorance of the relevant law or other shortcomings capable of objective review.”
Pratt, 134 Idaho at 584, 6 P.3d at 834.
c. Analysis
At the post-conviction evidentiary hearing, Kim testified that Dr. Thornton’s testimony
would not aid their case because he agreed with the State’s theory that the fire was a result of
arson. Kim also testified that calling Dr. Thornton as a witness was not “particularly helpful to
us.” Additionally, Kim recognized the discovery problems associated with the requested
underlying data from Ethyl being proprietary information neither the Toryanskis nor the State
had in its possession. Thus, the decision not to call Dr. Thornton was strategic to avoid
presenting a weakness in Abdullah’s case.
Additionally, the essence of the information that Abdullah contends should have been
presented to the jury by an expert was covered by Mitch’s cross-examination of Dr. Colucci.
Specifically, Dr. Colucci testified that the Ethyl additives are present in other areas of the
country, Ethyl supplies forty percent of the fuel additives used in America, and the probability of
purchasing gas with one of the Ethyl additives ranges from ten percent to eighty percent,
depending on the location. While Dr. Colucci did not expressly testify that his additives are
available in Boise, the jury could have reasonably inferred that from his testimony.
“Strickland does not enact Newton’s third law for the presentation of evidence, requiring for
every prosecution expert an equal and opposite expert from the defense. . . . In many instances
145
cross-examination will be sufficient to expose defects in an expert’s presentation.” See
Harrington v. Richter, 131 S. Ct. 770, 791 (2011). The decision to elicit this information on
cross-examination as opposed to calling an additional expert did not constitute deficient
performance.
Abdullah also failed to demonstrate prejudice. As noted above, the jury could reasonably
infer that HiTEC 6423 was available in Boise. Furthermore, the State did not exclusively focus
on the additive to link the gas recovered at the Siesta residence to the 7-Eleven in Salt Lake City.
Rather, the State also focused on an overlap the testing revealed with an unknown fuel
component. This component was located in the sample from the 7-Eleven in Salt Lake City as
well as in the sample from the Siesta residence when determining the lowest additive
concentration. 45 The State also emphasized that Abdullah had purchased more fuel at the 7-
Eleven than was able to fit inside his vehicle’s gas tank. Given the totality of this evidence,
Abdullah failed to establish a reasonable probability of a different result. Thus, this Court affirms
the district court’s dismissal of this claim of ineffective assistance of counsel.
32. The district court did not err by dismissing Abdullah’s claim of ineffective
assistance of counsel for failing to object to the admission of the defense’s letter to
the prosecutors requesting additional testing of Angie’s blood.
Abdullah argues that the Toryanskis provided ineffective assistance by failing to object to
the admission of Mitch’s letter to the State requesting additional testing of Angie’s blood for
certain prescription drugs. Abdullah contends that the jury could infer that the request was made
because the defense team knew substances should have been in Angie’s blood at the time of her
death.
a. Facts
In December of 2003, Mitch sent the State a letter requesting further testing on Angie’s
blood. As a result of this letter, Dr. Groben requested additional testing, which revealed a
potentially lethal concentration of fluoxetine in Angie’s blood. During Dr. Groben’s testimony at
trial, the State asked about the letter before asking about the additional testing. The Toryanskis
did not object to the admission of the letter or the testimony about it.
During closing argument, the State argued:
45
Dr. Colucci explained this is the lowest concentration of an additive that the law requires be present in gasoline at
“[forty] pounds per thousand barrels of fuel.”
146
I want to talk to you about fluoxetine and Prozac. A lot of things have been said
by the defendant’s attorneys about that. You will recall that we learned about that
when the defendant’s lawyers wrote us and asked us to check for that. Dr. Groben
thought it had been determined [sic] he was wrong. The check had been for
tricyclic antidepressants, not for SSRIs. We did it and I will tell you that everyone
connected with the prosecution of the defendant from myself, Dr. Groben, the
police agency were just shocked to find out about the extreme level of Prozac in
the blood of Angie Abdullah.
The district court then requested a side bar with the State and subsequently struck the
prosecutor’s last statement.
b. Standard of Review
“A trial court has ‘broad discretion’ in determining whether to admit or exclude evidence,
‘and its judgment in the fact finding role will only be disturbed on appeal when there has been a
clear abuse of discretion.’” State v. Joy, 155 Idaho 1, 6, 304 P.3d 276, 281 (2013) (quoting State
v. Watkins, 148 Idaho 418, 421, 224 P.3d 485, 488 (2009)). “[T]he trial court’s conclusion that
the probative value of the evidence is not outweighed by its unfair prejudice is reviewed under an
abuse of discretion standard.” State v. Tapia, 127 Idaho 249, 254, 899 P.2d 959, 964 (1995).
c. Analysis
Abdullah’s argument hinges on Idaho Rules of Evidence (I.R.E.) 401, 402, and 403.46
I.R.E. 401 defines relevant evidence as “evidence having any tendency to make the existence of
any fact that is of consequence to the determination of the action more probable or less probable
than it would be without the evidence.” I.R.E. 402 states the general rule: “All relevant evidence
is admissible.” I.R.E. 403 requires the exclusion of relevant evidence “if its probative value is
substantially outweighed by the danger of unfair prejudice, confusion of the issues, or misleading
the jury.”
Assuming deficient performance, Abdullah cannot establish a reasonable probability of a
different result absent the admission of the letter. The letter simply explained why Dr. Groben
performed additional testing after he completed the autopsy and accompanying report.
Abdullah’s speculations about what the jury may have inferred are unwarranted and, even if
46
Abdullah also contends the Toryanskis were ineffective “for failing to move to have an independent lab conduct
the testing.” Abdullah fails to support this contention with any argument or authority, and thus it is waived. State v.
Zichko, 129 Idaho 259, 263, 923 P.2d 966, 970 (1996) (issues on appeal not supported by argument or authority will
not be considered).
147
accepted, do not undermine confidence in the outcome. 47 Assuming but for the Toryanskis’
failure to object to the admission of the letter, and further assuming the district court would have
excluded any reference to the letter, there is not a reasonable probability of a different result.
Thus, Abdullah failed to establish prejudice.
This Court affirms the district court’s dismissal of this claim of ineffective assistance of
counsel.
33. The district court did not err by dismissing Abdullah’s claim of ineffective
assistance of counsel by delaying opening statement.
Abdullah argues that the Toryanskis provided ineffective assistance by delaying opening
statement until after the State’s case-in-chief.
a. Facts
The Toryanskis decided to delay opening statement until the close of the State’s case.
During the delayed opening statement, Mitch highlighted Angie’s emotional, mental, and
physical struggles. The theme of the defense opening statement centered on Angie’s depression
and laid a further foundation for the suicide defense.
b. Standard of Review
The decision on when, and if, to present an opening statement is a matter of trial strategy
that will not be second-guessed absent evidence of inadequate preparation, ignorance of relevant
law, or other shortcomings capable of objective evaluation. State v. Kraft, 96 Idaho 901, 905,
539 P.2d 254, 258 (1975). See also United States v. Nersesian, 824 F.2d 1294, 1321 (2d Cir.
1987) (“[T]he decision whether to make an opening statement and when to make it is ordinarily a
matter of trial tactics and strategy which will not constitute the incompetence basis for a claim of
ineffective assistance of counsel.”); Jones v. Smith, 772 F.2d 668, 674 (11th Cir. 1985) (“The
attorneys’ decision to waive opening argument at the guilty phase was one of reasonable trial
strategy.”); United States v. Rodriguez-Ramirez, 777 F.2d 454, 458 (9th Cir. 1985) (“The timing
of an opening statement, and even the decision on whether to make one at all, is ordinarily a
mere matter of trial tactics and in such cases will not constitute the incompetence basis for a
claim of ineffective assistance of counsel.”).
c. Analysis
47
While Abdullah contends the State used this letter to create an improper inference during closing argument,
Abdullah does not attribute error to that portion of the closing argument. The State’s closing argument has no
bearing on whether the Toryanskis provided ineffective assistance in failing to object when the letter was admitted
during trial.
148
Abdullah first contends that the district court erred by finding some of his statements
credible, but finding other statements incredible. Abdullah asserts that if he is not to be believed,
“he is not to be believed with respect to anything he told the Toryanskis and anything he said in
his affidavit.” This argument is contrary to our long-standing and well-settled law: “The
credibility of the witnesses, the weight to be given to their testimony, and the inferences to be
drawn from the evidence are all matters solely within the province of the district court.” State v.
Dunlap, 141 Idaho 50, 56, 106 P.3d 376, 382 (2004). We conclude this argument is meritless.
Next, Abdullah argues that the decision to defer opening statement until after the State’s
case-in-chief was not strategic, but based on a desire to not make a decision. At the evidentiary
hearing, however, Kim testified that she weighed the advantages and disadvantages of delaying
their opening statement and concluded the delay would allow them to retain flexibility in terms
of the theory of the defense’s case. Likewise, Mitch testified that they thought it would be to
Abdullah’s advantage because they would be able to listen to the State’s evidence and would
gain a better perspective on the State’s presentation of evidence. Mitch further indicated that he
did not want to make promises to the jury they would not be able to keep. Although Abdullah
suggests that there was no reason the opening statement given could not have been presented
prior to the State’s case without compromising any possible defenses, this is not the correct
context in which courts assess an ineffective assistance of counsel claim. The inquiry is whether,
at the time of the decision, counsel’s actions were objectively reasonable. Strickland, 466 U.S. at
688–89. Given the tactical and strategic reasons provided by both Mitch and Kim, and the failure
of Abdullah to provide any evidence of ignorance of relevant law, inadequate preparation, or
other evidence of shortcomings capable of objective evaluation, Abdullah has failed to
demonstrate deficient performance. Further, this Court concludes that there was no prejudice
because there is not a reasonable probability of a different result but for any error in the delayed
opening statement based on the overwhelming evidence at trial establishing guilt. Id. at 694.
Accordingly, this Court affirms the district court’s dismissal of this claim of ineffective
assistance of counsel.
34. The district court did not err by dismissing Abdullah’s claim of ineffective
assistance of counsel for failing to present an alibi defense.
Abdullah contends that the Toryanskis provided ineffective assistance by failing to
pursue a defense that he was not in Boise at the time of Angie’s death.
a. Facts
149
Abdullah identifies the following witnesses as supporting a potential alibi defense. None
were called to testify at trial.
i. Michael Quintana
Before trial, law enforcement interviewed Michael Quintana 48 and a defense investigator
interviewed Quintana’s girlfriend, Molly Thompson. Quintana and Thompson indicated that they
stayed in the motel room adjacent to Abdullah’s in Salt Lake City on October 4–5, 2002.
Quintana stated that he heard voices intermittently and the television all night in the room next to
his. Quintana later clarified that he was sure he heard the TV and may have heard voices coming
from the room next to his. Quintana also stated that he saw a short, dark-skinned man with curly
hair smoking a cigarette outside the motel, but was unsure of where this man went.
ii. Lance Donnelson
Lance Donnelson was a gas station attendant working in Farr West, Utah, the night of
Angie’s death. Donnelson estimated that around 2:30 a.m. to 3:30 a.m. two men of Middle
Eastern descent entered his store. Donnelson, who had a law enforcement background, paid close
attention to the men because he suspected they may attempt to shoplift or rob the store.
Donnelson indicated that he heard one man speak English with a foreign accent and that they
spent approximately fifteen to twenty minutes in the store. A week after this encounter, two
detectives interviewed Donnelson. The detectives showed Donnelson a picture of Abdullah, and
Donnelson positively identified Abdullah as one of the men who had been in his store the prior
week. Donnelson also told detectives that the store’s security cameras would have footage from
the incident, but he personally did not have access to it. Donnelson informed the detectives that
the store’s manager could access it for them and that the video footage would be retained only
for a limited period of time, approximately two weeks. 49 Donnelson also provided the detectives
with a written statement.
iii. Shad Mohammad
Shad Mohammad was in attendance at the mosque in Salt Lake City on the morning of
October 5, 2002. According to Mohammad, Abdullah arrived at the mosque around 6:55 a.m. to
7:00 a.m., was late for the morning prayer, and did not smell of gasoline, fire or smoke.
Mohammad also noted that Abdullah did not look tired, but rather looked “fresh.”
48
Quintana was scheduled to be deported before trial, but his testimony was preserved by deposition.
49
The video footage had been erased by the time the police requested it.
150
iv. Abdul Afridi
Abdul Afridi owns a car dealership in Salt Lake City. Afridi saw Abdullah and R.A. at
his car lot on October 5, 2002, around 12:30 p.m. to 1:00 p.m. Afridi did not smell gasoline or
smoke coming from Abdullah. Nor did Afridi see any singed or burned hair on Abdullah’s body.
Afridi also indicated that Abdullah did not look sleepy, but rather looked “fresh.”
b. Standard of Review
“[T]he accused has the ultimate authority to make certain fundamental decisions
regarding” his case, including the decision on “whether to plead guilty, waive a jury, testify in
his or her own behalf, or take an appeal.” Jones v. Barnes, 463 U.S. 745, 751 (1983). However,
“when a defendant chooses to have a lawyer manage and present his case, law and tradition may
allocate to the counsel the power to make binding decisions of trial strategy in many areas.”
Faretta v. California, 422 U.S. 806, 820 (1975). Tactical decisions made by counsel will not be
second-guessed on post-conviction relief, unless made upon the basis of inadequate preparation,
ignorance of relevant law, or other shortcomings capable of objective evaluation. State v. Payne,
146 Idaho 548, 561, 199 P.3d 123, 136 (2008).
The choice of defenses to pursue is a strategic decision left to the judgment of counsel.
State v. Osborne, 130 Idaho 365, 344–45, 941 P.2d 337, 372–73 (Ct. App. 1997). Likewise, the
decision to present an alibi defense is also a strategic choice left to the judgment of counsel. See,
e.g., People v. Tackett, 742 P.2d 957, 961 (Colo. App. 1987) (“[W]here, as here, defendant’s
alibi is to be established by testimony of witnesses other than defendant, the decision whether to
present such defense is a strategic and tactical decision within the exclusive province of defense
counsel.”); Bradley v. State, 33 So. 3d 664, 675 (Fla. 2010) (“[T]rial counsel made a reasonable
strategic decision to utilize an alibi defense as the main defense . . . .”); Reeves v. State, 705
S.E.2d 159, 162 (Ga. 2011) (“[W]hether to present an alibi defense is a strategic and tactical
decision that, after thorough investigation and client consultation, is virtually unchallengeable
and does not require a finding of ineffective assistance of counsel.” (alteration in original)
(citation omitted)).
c. Analysis
151
Abdullah contends that he received ineffective assistance of counsel because the
Toryanskis failed to pursue an alibi defense. 50 Contrary to Abdullah’s argument, a review of the
record demonstrates that the Toryanskis carefully considered an alibi defense, weighed the
benefits and risks of presenting such a defense, and made the strategic decision to forego such a
defense. Each relevant witness will be addressed in turn.
i. Michael Quintana
Quintana’s deposition testimony demonstrates his memory to be unclear, unsure, and of
little value in support of an alibi defense. As noted above, Quintana stated he heard voices
intermittently and the television all night in the room next to his. Quintana later clarified,
however, that he was sure he heard a TV and may have heard voices coming from the room. This
generalized, non-committal description of his observations provided little, if any, support for an
alibi defense. Further, Quintana’s girlfriend, Molly Thompson, was interviewed by defense
investigator Ted Cilwick, and she indicated that she never saw anyone near the room next to
theirs and she did not hear any voices other than the TV. Thompson further stated that Quintana
consumed a few beers that night and she was prescribed and taking methadone at that time as
well. Thompson also stated that Quintana was not impaired and the methadone did not affect her
memory, hearing, or general cognitive abilities. Given Quintana’s nondescript, vague, and
ambiguous deposition testimony, coupled with Thompson’s statements that she did not hear any
voices other than the TV, the Toryanskis’ decision not to introduce such testimony was
objectively reasonable.
ii. Lance Donnelson
Abdullah contends that the Toryanskis should have called Lance Donnelson as a witness
or, at the very least, should have brought him to Boise to assess whether he could identify
Abdullah. We disagree. Donnelson had previously provided two descriptions of Abdullah,
neither of which correlated with Abdullah’s actual appearance. First, when interviewed October
11, 2002, Donnelson described the man in his store as “being heavy set, with a mustache,
speaking broken English.” Second, when interviewed by defense investigator Steve Clark in
October 2003, Donnelson described the man as being in his late thirties, having a large belly, a
50
Abdullah also contends the district court erroneously concluded the testimony of Donnelson and Quintana was
perjured or counsel believed it was. This conclusion appears to be an alternate basis for the district court’s decision.
Given our conclusion that Abdullah failed to demonstrate deficient performance or prejudice, this claim need not be
addressed further.
152
beard, and between 5’8” and 5’9”. On this occasion, Donnelson also indicated that the man in his
store spoke broken English with a foreign accent. In contrast to these descriptions, the jail
booking sheet for Abdullah indicates that he was twenty-five years of age, 5’7”, and 155 pounds
at the time of his arrest. Further, Clark testified at the evidentiary hearing that Abdullah was not
heavy set, had a beard rather than mustache, and spoke fluent English, albeit with an accent.
Therefore, as recognized by the district court, Donnelson’s possible identification in court was
problematic.
Further, Donnelson’s timeline could have played to the State’s advantage. At the
evidentiary hearing, Murphy explained that the State could have attacked the timing of
Donnelson’s identification. Murphy recognized that if the State revealed Donnelson identified
Abdullah in the gas station somewhere around 4:30 a.m. to 5:00 a.m., Donnelson would have
become a very favorable State’s witness. Kim recognized this risk as well because “the timelines
[sic] were not nailed down.” Kim also testified that it seemed to her Abdullah agreed the
prospect of presenting an alibi defense was ill-advised.
Combined with other substantial evidence that Abdullah was in Boise, including the cape,
the gas can, the DNA evidence, and Wood’s testimony, the presentation of Donnelson’s
testimony plainly was a strategic decision. Besides the problematic identification and the time
line issue, the defense team also recognized that it could lose credibility with the jury. Defense
investigator Terry Murphy noted the risk associated with Donnelson’s testimony in an email to
Mitch on October 15, 2004. In this email, Murphy states:
The only problem I see is, now we have to maintain that [Abdullah] wasn’t up
here and that hurts our credibility. It’s a catch 22. I think [Donnelson’s] testimony
has to be very tight but he may not be willing or may be unable to say, “That was
him, and I’m positive.” I think we have to know exactly what he is going to say.
Moreover, Donnelson’s potential testimony was inconsistent with the version of events Abdullah
told law enforcement—that he remained in the Dream Inn sleeping the entire night of the crime.
His testimony was also inconsistent with the version of events Abdullah told his counsel. Based
on the evidence in the record regarding the Toryanskis’ assessment of value and risk of
Donnelson’s testimony at trial, the Toryanskis carefully considered presenting an alibi defense
via Donnelson’s testimony and rejected this defense for sound strategic and tactical reasons.
iii. Shad Mohammad & Abdul Afridi
153
Abdullah argues that Shad Mohammad and Abdul Afridi would have supported an alibi
defense because they met with Abdullah in Salt Lake City on October 5, 2002, and did not smell
any gasoline or smoke coming from his person. Testimony from Mohammad and Afridi would
have been cumulative because Imam Din from the mosque in Salt Lake City testified to similar
facts. Imam Din indicated that he saw Abdullah at around 7:00 a.m. on the morning of October
5, 2002, that he was only four feet away from Abdullah, and that he did not smell gasoline on
Abdullah. Mohammad’s and Afridi’s testimony would have been of little evidentiary value.
Furthermore, given the previously mentioned challenges with an alibi defense, the Toryanskis
made an objectively reasonable decision to forego such a defense. There was no deficient
performance.
iv. State’s Evidence
Lastly, Abdullah argues that the State’s evidence weighed heavily in favor of presenting
an alibi defense. The State’s evidence demonstrated that Angie had an acute overdose of
fluoxetine in her blood that contributed to her death. At the time of her death, Angie had a full
stomach with a partially digested meal, but her gastric contents contained very little fluoxetine.
According to the State’s experts Dr. Barbieri and Dr. Backer, Angie would have ingested the
fluoxetine before her last meal sometime between 10:00 p.m. and midnight. Marjorie Wood
placed Abdullah in Mountain Home a little after midnight, however. This evidence indicates
Abdullah did not administer the fluoxetine to Angie in person.
Although the State’s evidence did present a question as to how, and if, Abdullah
personally administered the fluoxetine to Angie, this question did not mandate an alibi defense.
Instead, the Toryanskis made the strategic decision to utilize this evidence to pursue a suicide
defense. Focusing on this point in closing argument, Mitch stated, “So whatever reason that
toxicology reads like it does, there’s one overriding fact, and that is that there is no fact in
evidence connecting Azad to Prozac. None.” The choice to pursue a suicide defense comported
with the State’s evidence and Abdullah’s concession that he was in Boise the night of the crime.
This was an objectively reasonable decision at the time of trial.
v. Summary
The proposed alibi testimony lacked coherence and presented an implausible story. When
considered in light of Abdullah’s concession that he was in Boise in the early morning hours of
October 5, 2002, the Toryanskis’ decision to pursue a suicide defense instead of an alibi defense
154
was objectively reasonable. See Wright v. United States, 979 A.2d 26, 30 (D.C. 2009) (where
potential alibi witnesses would present conflicting versions of events, an attorney’s decision not
to call them is reasonable); Gilmore v. State, 712 S.W.2d 438, 441 (Mo. Ct. App. 1986) (where
potential alibi witnesses’ testimony is inconsistent and contradicts defendant’s testimony,
counsel does not provide ineffective assistance in failing to call such witnesses). Abdullah failed
to present evidence of inadequate preparation, ignorance of relevant law, or other shortcomings
capable of objective review and thus failed to establish deficient performance. Likewise,
Abdullah has failed to demonstrate a reasonable likelihood of a different result based the
overwhelming evidence of guilt and the attenuated, improbable facts that allegedly would
support the alibi defense. Thus, he has failed to demonstrate prejudice. Accordingly, this Court
affirms the district court’s dismissal of this claim of ineffective assistance of counsel.
35. The district court did not err by dismissing Abdullah’s claim of ineffective
assistance of counsel due to counsel conceding Abdullah’s presence in Boise the
night of the murder.
Abdullah argues that the Toryanskis provided ineffective assistance of counsel by
conceding his presence in Boise in the early morning hours of October 5, 2002.
a. Facts
In closing argument, Mitch conceded Abdullah’s presence in Boise. Specifically, Mitch
stated as follows:
Now, let me tell you right up front we are not going to be arguing that
Azad did not drive to Boise on the morning of 5 October, 2002. We’re not going
to do that. Obviously there’s evidence he did. But the essential thing you’ve got to
know when deciding if the government’s [sic] proved their charge here in this
case is what happened inside that house because it is inside that house that Angela
Abdullah died before the fire and it is in the garage of that house where the
accidental ignition occurred. What happened inside that house and who beyond
any reasonable doubt is responsible, that is the fundamental question that you’ll
have to decide.
The remainder of the Toryanskis’ argument focused on a suicide defense, disputed the State’s
theories of motive, and generally called into question the State’s evidence.
b. Standard of Review
The right to effective assistance extends to closing arguments. See Bell v.
Cone, 535 U.S. 685, 701–02 (2002); Herring v. New York, 422 U.S. 853, 865
(1975). Nonetheless, counsel has wide latitude in deciding how best to represent a
client, and deference to counsel’s tactical decisions in his closing presentation is
particularly important because of the broad range of legitimate defense strategy at
155
that stage. Closing arguments should “sharpen and clarify the issues for resolution
by the trier of fact,” Herring, 422 U.S. at 862, but which issues to sharpen and
how best to clarify them are questions with many reasonable answers. Indeed, it
might sometimes make sense to forgo closing argument altogether. See Bell, 535
U.S. at 701–02. Judicial review of a defense attorney’s summation is therefore
highly deferential . . . .
Yarborough v. Gentry, 540 U.S. 1, 5–6 (2003).
c. Analysis
Abdullah first argues that the concession that he was in Boise reduced the State’s burden
of proof and was tantamount to a confession. This is a mischaracterization of Mitch’s argument.
Mitch’s concession that Abdullah was in Boise did not amount to a concession of guilt for the
crimes charged. 51 Mitch maintained that there was no evidence connecting Abdullah to the
fluoxetine found in Angie’s blood. Mitch also attempted to focus the jury on the lack of evidence
regarding what occurred inside the Siesta residence the night of the crime. At this point in the
case, the State had presented the following evidence to establish Abdullah’s presence in Boise: a
cape at the scene was identical in appearance to the one purchased by Abdullah in Salt Lake
City; a gas can at the scene was identical in appearance to the one purchased by Abdullah in Salt
Lake City; DNA evidence on the cape from which Abdullah could not be excluded as a minor
contributor; Wood placed Abdullah in Mountain Home at approximately midnight on the night
of the crime; only Abdullah’s favorite child N.A. was removed from the burning home; there
was no forced entry into the Siesta residence; no one saw Abdullah in Salt Lake City from
approximately 8:00 p.m. on October 4, 2002, to 7:00 a.m. on October 5, 2002; Abdullah
purchased more gasoline than could fit into the tank of his vehicle; and the expert testing of the
51
We recognize that such concessions (or partial concessions) of guilt in opening statement or closing argument
have been upheld by federal appellate courts. See Haynes v. Cain, 272 F.3d 757, 762 (5th Cir. 2001) (“Where
counsel acknowledges, in closing argument, the overwhelming weight of evidence that has been admitted against his
client, even conceding his client’s guilt, we have found that such an acknowledgment of the obvious may be a trial
tactic that does not reach the level of ineffective assistance.”); Trice v. Ward, 196 F.3d 1151, 1161–62 (10th Cir.
1999) (court held counsel pursued a reasonable strategy in conceding guilt to a rape charge defendant had confessed
to in an attempt to persuade the jury defendant was not guilty of first-degree murder charge or to spare defendant’s
life); United States v. Short, 181 F.3d 620, 624–25 (5th Cir. 1999) (where defense counsel implicated his client in
the drug trade during closing argument, court held such action was a “reasonable strategic approach of trying to
establish his credibility with the jury and enhance his chances that the jury would accept his arguments on the more
serious counts,” in light of overwhelming evidence of guilt adduced at trial); United States v. Tabares, 951 F.2d 405,
409 (1st Cir. 1991) (counsel’s concession to jury that defendant was guilty of one of three offenses “was a tactical
decision, designed to lead the jury towards leniency on the other charges and to provide a basis for a later argument .
. . for a lighter sentence”); Underwood v. Clark, 939 F.2d 473, 474 (7th Cir. 1991) (acknowledging guilt can be an
effectual tactic when evidence of guilt is overwhelming and there is advantage to be gained by making such
acknowledgment).
156
gasoline additives and fuel components. Further, the State presented ample evidence of motive
and intent. Based on the overwhelming nature of this evidence establishing Abdullah’s presence
in Boise, the defense investigator Terry Murphy testified that Mitch felt he would lose the jury if
he attempted to argue otherwise. The fact that this strategy proved unsuccessful is not the
standard by which an ineffective assistance claim is reviewed; rather, counsel’s performance
must be evaluated with a high degree of deference and without the distorting effects of hindsight.
Strickland, 466 U.S. at 689. Given the wide discretion afforded counsel in closing arguments, the
Toryanskis made an objectively reasonable tactical decision to concede Abdullah’s presence in
Boise.
Next, Abdullah contends that the district court’s finding that counsel pursued a strategy
of trying to avoid death was not supported by substantial and competent evidence. A review of
the record proves otherwise. First, we note that the district court did not find that Mitch conceded
guilt or abandoned the guilt phase arguments. The district court simply found due to the
overwhelming evidence that Abdullah was in Boise counsel made the strategic choice to concede
his presence, which would aid Abdullah in avoiding a potential death sentence. At the
evidentiary hearing, Murphy testified that he felt one reason for making the concession was he
did not want to lose the jury. Such a factor is important not only to the guilt phase, but also the
sentencing phase. The district court’s finding was supported by substantial and competent
evidence. 52
Abdullah also contends that the concession was against his express instructions to
counsel. In addition to the concession being a strategic decision made by counsel, the district
court found Abdullah acquiesced to this strategy and Abdullah’s assertion that he objected was
not credible. There was substantial and competent evidence to support this finding. For example,
Kim testified that Abdullah was advised they would make the concession and she and Mitch
believed doing so “would really help his case and resonate with the jury.” Mitch also testified
that he or Kim would have presented Abdullah with a document explaining the plan to concede
his presence in Boise. Thus, there was substantial and competent evidence to support the district
court’s finding that Abdullah acquiesced to the strategy of conceding his presence in Boise.
52
Even if the district court’s finding on this point was not supported by substantial and competent evidence, where
the lower court reaches the correct result by an erroneous theory, this Court will affirm the order on the correct
theory. Row v. State, 135 Idaho 573, 579, 21 P.3d 895, 901 (2001). For the reasons set forth, the district court
reached the correct result.
157
Finally, Abdullah failed to demonstrate a reasonable probability of a different result had
the Toryanskis not made the concession he was in Boise. Again, the State presented
overwhelming evidence of Abdullah’s presence in Boise. Accordingly, this Court affirms the
district court’s dismissal of this claim of ineffective assistance of counsel.
36. The district court did not err by dismissing Abdullah’s claim of ineffective
assistance of counsel regarding the right to testify in the guilt and penalty phases
and to allocute.
Abdullah asserts that the district court erred by dismissing his claims regarding
ineffective assistance of counsel on his right to testify and allocution. He argues that the
Toryanskis deficiently advised him that he would have to testify in the narrative form during the
guilt phase because his testimony would be false. Abdullah also maintains that the Toryanskis
deficiently advised him on his right to allocution, which caused him to waive his right to testify
and allocute in the penalty phase. He submits that both deficient performances prejudiced him
because there is a reasonable probability the outcome of the guilt phase and penalty phase would
have been different had he testified.
Abdullah also states in a footnote that this Court must determine whether he “was denied
his fundamental right to testify” in the guilt phase. He submits that this Court must “evaluat[e]
whether Azad proved he was deprived of his right to testify, and if so, whether the State proved
beyond a reasonable doubt that deprivation was harmless.” For this issue to differ from his
ineffective assistance of counsel claim, we assume that Abdullah is alleging he was somehow
coerced or forced to waive his right to testify. This allegation, however, is unsupported by the
record. The district court found that “trial counsel and their investigator credibly testified that
they believed testifying held potential dangers for Abdullah but that it was his decision.”
Abdullah’s defense team informed him that he was the only one who could make the decision to
testify. The district court also found that it engaged in a colloquy with Abdullah on his right to
testify. Abdullah then waived his right to testify. Thus, the district court properly found no one
intentionally deprived Abdullah of his right to testify based on the record (excluding any
deprivation of his right to testify based on ineffective assistance of counsel). Therefore, this
Court rejects Abdullah’s argument that he was deprived the fundamental right to testify through
means other than ineffective assistance of counsel.
a. Abdullah did not receive ineffective assistance of counsel regarding his right to
testify in the guilt phase.
158
Abdullah argues that the Toryanskis were deficient because they improperly advised him
on his right to testify at the guilt phase. He asserts that he would have offered exculpatory
testimony on his activities on October 4 and 5, 2002, such as an explanation of his purchase of
the gas can and cape and the phone call to Imam Din. He further suggests that he was prejudiced
because, but for the Toryanskis’ deficient performance, there is a reasonable probability his
exculpatory testimony would have changed the outcome at trial.
The district court found that the defense team knew Abdullah intended to testify falsely
based on the “firm factual basis” standard. Due to the Toryanskis’ knowledge that Abdullah
intended to testify falsely, the district court found that they advised him of the dangers of
testifying and also that he would have to testify in the narrative form. The district court
determined that this advice was proper because a criminal defendant has no constitutional right
to present false testimony. Further, the district court recognized that the Idaho Rules of
Professional Conduct barred the Toryanskis from presenting false testimony as officers of the
court. Therefore, the district court ruled that the Toryanskis were not deficient in advising
Abdullah of the scope of his right to testify. Further, the district court ruled, “Abdullah has not
shown how he was prejudiced even assuming he was prevented from testifying during the guilt
phase.” Based on Abdullah’s letter to the Toryanskis reflecting his intended testimony, the
district court found that “there is no way it would have changed the outcome of the trial.”
i. The district court adopted and applied the correct standard to determine
the Toryanskis knew Abdullah would testify falsely at his trial.
We first review the district court’s factual findings regarding this claim. The district
court explicitly found: “Abdullah is not a credible witness.” The district court explained,
“Abdullah irrefutably misled and lied to his trial counsel and investigator from the very
beginning of their representation in several material aspects.” For example, Abdullah informed
his counsel about a potential alibi witness, which he later confessed did not exist. Similarly,
Abdullah consistently informed his counsel he was present at the scene of the crime—even
stating “he actually moved the body” and describing “the body’s condition”—but later informed
his counsel he was in Salt Lake City the night of the crime. The district court stated, “Since
December 2003, Abdullah had been telling his counsel and their investigator that he had been at
the scene and had moved the body. . . . Prior to his admission in December 2003, he lied to them
about potential witnesses and evidence.” His defense team would investigate these leads, learn
that the witness or evidence did not exist, and then Abdullah would admit that he lied to them.
159
The district court recognized, “While it is true that as they approached trial, Abdullah told [his
defense team] he wanted to testify that he was in Salt Lake City and gave various versions of
what that testimony might look like, there is no credible evidence that he ever indicated that he
wanted to testify that way because it was the truth.” The district court found, “Abdullah
constantly modified his story that he told his trial counsel and his investigator in an effort to fit
the evidence and to put himself in a more favorable light.” The district court also found, “It is
clear from all of the evidence that Abdullah did not want to testify unless trial counsel
affirmatively elicited testimony from him that they understood was false. It is clear from the
evidence, Abdullah wanted them to lead him through stories that were constantly evolving.”
On the day before Abdullah waived his right to testify, November 15, 2004, “he wrote
down a new story that involved him being in Salt Lake City . . . . [that] contained elements that
his trial counsel had actually investigated and knew were demonstrably false.” In this letter, he
informed his counsel:
This is why I want to testify. After we came back from Tennesse [sic]
someone told my wife that Azad and another girl went to a trip in Las Vagas [sic]
while you were in the Hospital/Nashville. This is when my wife asked did you go
to S. Africa and if you did tell me about it what was it like. I did not tell her
directly No I didn’t go Nor did I say yes I did go. I did not need to go to S. Africa
period because of what I found about it. It was a place of crime & dangerous for
family and kids and my wife went it [sic] to go there over Saudi Arabia. I didn’t
give her any straight answer so she automaticaly [sic] thought I realy [sic] did go
to Las Vagas [sic] with a girl. After she checked my worked [sic] & it showed
that I was in town [and] working but it was to [sic] late and her trust & feelings
were unstable. So when I was going to Salt Lack [sic] City she wanted me to take
[A.H.] & I refused to take [A.H.] & [R.A.] both so she became suspicious again.
So she had her Plann [sic] to have someone follow me or spy on me. I
notice at the time of this when I was in hotel. After I went to hotel from 7 eleven
about 10–11 p.m. I have forgotten the side rice that I bought in the car/van so I
went to get it between the commercial. As I opened the van I found the middle
door open. It was not big deal at first. So I went and closed it & went back to the
room. Ate rice watch t.v. and started thinking about the door for long time
because I know me or [R.A.] were not exited it from that door so I did start to be
syspicious [sic]. [R.A.] was a sleep [sic] I put him in the van and went down to
the gas station next to the 6 motel and called with cash because the phone card
was not working at that time as you know. I did called [sic] I know it was after
11:30 and may be before 12:30 or after little bit not 100% sure. When she
answered the phone [N.A.] & [M.A.] were both crying and I said “was someone
following me?” she said “yes, I know don’t tell me I’m crazy”. And she begin
crying on the phone “I said when will you trust me Honey”? she said “Please be
160
patient with me for little while” Also she said “Please don’t ever take any trip
without us”.
I said “I have to go [R.A.] is sleeping see you tomorrow” That is when I
hanged up. I did not check any of the items I bought weather [sic] they were in the
van or not in fact I did not know what has happened to them or where they went
till I came to Boise few days after that and the media. I did had [sic] one can of
gas in the van I thought that was the only thing missing I didn’t know the cape &
mask were missing also.
My wife has done this in the past after [N.A.] was Born in the help of
Wally’s [sic] her stepfather and I know of one time at work Also she has done
this. Can you ask me questions if I do testify please?
As recognized by the district court, “Not only was this an entirely new and very elaborate story
diametrically opposed to the story he had been telling them consistently for over nine months, at
least some of the story trial counsel knew was false.” 53
Based on the evidence in the record, the district court concluded the Toryanskis had a
“firm factual basis” that Abdullah would testify falsely. Abdullah argues that the district court
applied the incorrect standard. He asserts that the ethical rules require “actual knowledge of a
client’s perjury before an attorney’s ethical obligation to take remedial action is triggered.”
Applying this standard, Abdullah alleges that there is no evidence to indicate that his counsel
actually knew he would commit perjury.
“It is well established that a criminal defendant’s right to testify does not include the right
to commit perjury.” LaChance v. Erickson, 522 U.S. 262, 266 (1998). “Whatever the scope of a
constitutional right to testify, it is elementary that such a right does not extend to testifying
falsely.” Nix v. Whiteside, 475 U.S. 157, 173 (1986). In Whiteside, the defendant informed his
counsel he would testify falsely at his trial. Id. at 166. In response, counsel warned the defendant
that it was his duty to inform the court if the defendant committed perjury, he “probably would
be allowed to attempt to impeach that particular testimony,” and he would seek to withdraw if
the defendant “insisted on committing perjury.” Id. at 161. The defendant did not commit perjury
on the stand, but subsequently claimed ineffective assistance of counsel for his counsel’s refusal
to cooperate with the defendant’s intention of presenting perjured testimony as a defense at trial.
Id. at 159, 162–63, 166. The United States Supreme Court rejected the defendant’s assertion of
error. The United States Supreme Court explained:
53
Even Abdullah’s affidavit in the post-conviction record is inconsistent with the November 15, 2004, letter. In this
affidavit, Abdullah alleges that he decided to return to Boise the night of October 4, 2002, because Angie was upset
on the phone, but he changed his mind after making it as far as Ogden, Utah, and returned to the Dream Inn.
161
In Strickland, we recognized counsel’s duty of loyalty and his overarching
duty to advocate the defendant’s cause. Plainly, that duty is limited to legitimate,
lawful conduct compatible with the very nature of a trial as a search for truth.
Although counsel must take all reasonable lawful means to attain the objectives of
the client, counsel is precluded from taking steps or in any way assisting the client
in presenting false evidence or otherwise violating the law. . . . [T]he legal
profession has accepted that an attorney’s ethical duty to advance the interests of
his client is limited by an equally solemn duty to comply with the law and
standards of professional conduct; it specifically ensures that the client may not
use false evidence.
Whiteside, 475 U.S. at 166–68 (citation omitted) (internal quotation marks omitted). Therefore,
the United States Supreme Court held that the defendant’s counsel’s actions fell “well within
accepted standards of professional conduct and the range of reasonable professional conduct
acceptable under Strickland.” Whiteside, 465 U.S. at 171.
As explored in Whiteside, counsel does not engage in deficient performance by advising
against or preventing the defendant from committing perjury. Yet Whiteside provides little
guidance on the standard to determine whether counsel “knows” his client will commit perjury.
The Idaho Rules of Professional Conduct (I.R.P.C.) fail to offer a definite standard as well.
I.R.P.C. 3.3(a)(3) prohibits a lawyer from “knowingly” offering evidence that “the lawyer knows
to be false,” including the testimony of his client. I.R.P.C. 3.3(a)(3). The commentary to I.R.P.C.
3.3 elaborates that the rule “requires that the lawyer refuse to offer evidence that the lawyer
knows to be false, regardless of the client’s wishes. This duty is premised on the lawyer’s
obligation as an officer of the court to prevent the trier of fact from being misled by false
evidence.” I.R.P.C. 3.3 cmt. [5]. This prohibition on the presentation of false evidence applies
“to all lawyers, including defense counsel in criminal cases.” I.R.P.C. 3.3 cmt. [7]. Comment 8
discusses the standard for “knowingly”:
The prohibition against offering false evidence only applies if the lawyer knows
that the evidence is false. A lawyer’s reasonable belief that evidence is false does
not preclude its presentation to the trier of fact. A lawyer’s knowledge that
evidence is false, however, can be inferred from the circumstances. Thus,
although a lawyer should resolve doubts about the veracity of testimony or other
evidence in favor of the client, the lawyer cannot ignore an obvious falsehood.
I.R.P.C. 3.3 cmt. [8]. I.R.P.C. 3.3 and the commentary provided above are identical to the
American Bar Association’s model rule and comments. See MODEL RULES OF PROF’L CONDUCT
R. 3.3(a)(3) & cmts. [5], [7], [8] (1983).
162
The appropriate standard to determine a lawyer’s “knowledge” that his client’s testimony
will be false is a matter of first impression for this Court. Other jurisdictions have addressed the
issue, however, and come to various conclusions on the appropriate standard. As noted by the
district court in this case, “Not unexpectedly, courts have adopted differing standards to
determine what an attorney must ‘know’ before concluding that his client’s testimony will be
perjurious.” The Honorable Raymond J. McKoski explained:
[M]ost courts either refine or ignore the ABA’s actual knowledge standard and
establish their own test to determine the sufficiency of the factual information
supporting counsel’s belief that a defendant is about to lie on the stand.
. . . Some courts interpret the ABA’s standard to require a “firm factual basis that
the testimony will be false.” Other courts equate the firm factual basis test with
“good cause to believe the defendant’s proposed testimony would be deliberately
untruthful” or a good faith determination of untruthfulness “based on objective
circumstances firmly rooted in fact.” Yet other courts describe the firm factual
basis standard as no standard at all. Declining to adopt the firm factual basis test,
Illinois established its own unique standard which affords defense counsel “great
discretion” in making a good faith determination that the defendant will commit
perjury. A few jurisdictions require that counsel possess proof beyond a
reasonable doubt that a client will testify falsely. 54 Another test requires
“compelling support” for a conclusion that perjury is about to be committed.
Raymond J. McKoski, Prospective Perjury by a Criminal Defendant: It’s All About the Lawyer,
44 ARIZ. ST. L.J. 1575, 1615–16 (2012) (footnotes omitted); see also Edward L. Wilkinson,
“That’s a Damn Lie!”: Ethical Obligations of Counsel When a Witness Offers False Testimony
in a Criminal Trial, 31 ST. MARY’S L.J. 407, 412–13 (2000) (reciting various standards for
“knowledge”).
Although some standards are more stringent than others, the courts generally agree on
what will not suffice as “knowledge”:
All tests require a belief based on articulable facts and not upon mere
conjecture, speculation, or a “gut-level belief” that the defendant will lie. The fact
that the accused’s version of events has internal inconsistencies or discrepancies
has varied from time to time, or conflicts with other more convincing evidence is
54
For example, Wisconsin has adopted the one of the strictest standards:
[W]e determine that an attorney may not substitute narrative questioning for the traditional
question and answer format unless counsel knows that the client intends to testify falsely. Absent
the most extraordinary circumstances, such knowledge must be based on the client’s expressed
admission of intent to testify untruthfully. While we recognize that the defendant’s admission need
not be phrased in “magic words,” it must be unambiguous and directly made to the attorney.
State v. McDowell, 681 N.W.2d 500, 514 (Wis. 2004).
163
insufficient. Indeed, even a “manifestly incredible” or “absurd” story does not
mean that the defendant may not present it.
McKoski, supra, at 1616 (footnotes omitted).
In this case, the district court adopted the “firm factual basis” standard. This test has been
used by the Third, Eighth, and Ninth Circuit Courts of Appeals. See, e.g., Lord v. Wood, 184
F.3d 1083, 1095 n.9 (9th Cir. 1999), cert. denied, 528 U.S. 1198 (2000); United States v. Omene,
143 F.3d 1167, 1171 (9th Cir. 1998); United States v. Long, 857 F.2d 436, 445–46 (8th Cir.
1988); United States ex rel. Wilcox v. Johnson, 555 F.2d 115, 122 (3d Cir. 1977). The
Restatement of the Law Governing Lawyers also recommends the firm factual basis standard:
A lawyer’s knowledge may be inferred from the circumstances. Actual
knowledge does not include unknown information, even if a reasonable lawyer
would have discovered it through inquiry. However, a lawyer may not ignore
what is plainly apparent, for example, by refusing to read a document. A lawyer
should not conclude that testimony is or will be false unless there is a firm factual
basis for doing so. Such a basis exists when facts known to the lawyer or the
client’s own statements indicate to the lawyer that the testimony or other evidence
is false.
RESTATEMENT (THIRD) OF THE LAW GOVERNING LAWYERS § 120 cmt. c (2000) (citation
omitted). In addition, the firm factual basis standard has been adopted in California, People v.
Riel, 998 P.2d 969, 1013 (Cal. 2000), Washington, State v. James, 739 P.2d 1161, 1169 (Wash.
Ct. App. 1987), and Massachusetts, Commonwealth v. Mitchell, 781 N.E.2d 1237, 1247 (Mass.
2003).
We hold that the firm factual basis standard is appropriate to determine whether counsel
knows his client will testify falsely. The firm factual basis standard “satisfies constitutional
concerns because it requires more than mere suspicion or conjecture on the part of counsel, more
than a belief and more information than inconsistencies in statements by the defendant or in the
evidence.” Mitchell, 781 N.E.2d at 1247 (footnote omitted). This standard also permits counsel
to “act on the information he or she possesses” and does not “impose an independent duty on the
part of counsel to investigate,” which would be “incompatible” with the fiduciary nature of the
attorney-client relationship and “is unnecessary when an attorney relies, in significant part, on
incriminating admissions made by the client.” Id. In contrast to the firm factual basis standard,
we are persuaded that a standard of “actual knowledge” or knowledge beyond a reasonable doubt
is “unworkable, as it will be all but impossible, particularly in the crucible of a trial where the
evidence is often conflicting and counsel is under enormous stress, for counsel to ever know
164
beyond a reasonable doubt that a defendant’s proposed testimony is false.” Commonwealth v.
Mitchell, No. CRIM. A. 9673CR0312, 2000 WL 33119695, at *20 (Mass. Dist. Ct., Super. Ct.
Dec. 18, 2000), aff’d, Mitchell, 781 N.E.2d 1237. Such a stringent standard “would be virtually
impossible to satisfy unless the lawyer had a direct confession from his or her client or
personally witnessed the event in question. Consequently, the standard of actual knowledge
would eviscerate the rules of professional responsibility forbidding a lawyer from presenting
perjured testimony.” State v. Hischke, 639 N.W.2d 6, 10 (Iowa 2002). The firm factual basis
standard strikes a balance between the competing interests of the defendant’s constitutional right
to testify and the attorney’s ethical obligation as an officer of the court.
As explored above, the district court applied the firm factual basis standard to find that
the Toryanskis knew Abdullah would testify falsely. The district court found:
In this case, Abdullah’s trial counsel were not faced with mere
discrepancies in details told to them by Abdullah at various times. Trial counsel
were faced with direct and repeated admissions from Abdullah’s own lips that he
had been present at the scene and even moved the body. Those admissions,
combined with the substantial evidence produced by the State, corroborated his
presence, producing a firm factual basis for their belief. The Court finds the
record amply supports a finding that trial counsel had a firm basis in objective fact
for their good faith determination that Abdullah intended to commit perjury.
In light of the fact that Abdullah merely challenges the district court’s use of the firm factual
basis standard, this assignment of error is rejected. The district court’s factual findings were not
clearly erroneous. Murray v. State, 156 Idaho 159, 164, 321 P.3d 709, 714 (2014). In fact, the
district court’s findings were supported by substantial and competent evidence in the record.
Therefore, the district court adopted and applied the correct standard to determine the Toryanskis
knew Abdullah would testify falsely at his trial.
ii. Abdullah’s ineffective assistance of counsel claim fails on the prejudice
prong.
We resolve Abdullah’s ineffective assistance of counsel claim based on his right to testify
in the guilt phase on the prejudice prong from Strickland.
In Whiteside, the majority opinion examined both the deficiency and prejudice prongs of
Strickland to hold that the defendant did not receive ineffective assistance of counsel based on
his counsel’s refusal to assist his client with a defense based on false testimony. Whiteside, 475
U.S. at 171, 175–76. The United States Supreme Court explained in its prejudice analysis:
165
Whether he was persuaded or compelled to desist from perjury, Whiteside
has no valid claim that confidence in the result of his trial has been diminished by
his desisting from the contemplated perjury. Even if we were to assume that the
jury might have believed his perjury, it does not follow that Whiteside was
prejudiced.
Id. at 175–76. Thus, the United States Supreme Court held that, “as a matter of law, counsel’s
conduct complained of here cannot establish the prejudice.” Id. at 175. In other words, there was
no reasonable probability the result of the proceeding would have been different based on false
testimony.
Justice Blackmun, joined by Justices Brennan, Marshall, and Stevens, concurred in the
judgment in Whiteside and stated that the defendant’s ineffective assistance of counsel claim
should be resolved on the prejudice prong only—without “attempting to resolve this thorny
problem” of “[h]ow a defense attorney ought to act when faced with a client who intends to
commit perjury at trial.” Id. at 177–78 (Blackmun, J., concurring in the judgment). Justice
Blackmun explained:
This Court long ago noted: “All perjured relevant testimony is at war with
justice, since it may produce a judgment not resting on truth. Therefore it cannot
be denied that it tends to defeat the sole ultimate objective of a trial.” When the
Court has been faced with a claim by a defendant concerning prosecutorial use of
such evidence, it has “consistently held that a conviction obtained by the knowing
use of perjured testimony is fundamentally unfair, and must be set aside if there is
any reasonable likelihood that the false testimony could have affected the
judgment of the jury.” Similarly, the Court has viewed a defendant’s use of such
testimony as so antithetical to our system of justice that it has permitted the
prosecution to introduce otherwise inadmissible evidence to combat it. The
proposition that presenting false evidence could contribute to (or that withholding
such evidence could detract from) the reliability of a criminal trial is simply
untenable.
....
. . . To the extent that Whiteside’s claim rests on the assertion that he would have
been acquitted had he been able to testify falsely, Whiteside claims a right the law
simply does not recognize. “A defendant has no entitlement to the luck of a
lawless decisionmaker, even if a lawless decision cannot be
reviewed.” Since Whiteside was deprived of neither a fair trial nor any of the
specific constitutional rights designed to guarantee a fair trial, he has suffered no
prejudice.
Id. at 185–87 (emphasis added) (citations omitted). The same reasoning expressed in the
majority opinion and Justice Blackmun’s concurrence in Whiteside applies here. Abdullah cannot
establish prejudice because as a matter of law the presentation of false testimony has no
166
reasonable probability of a different outcome at trial. Assuming the Toryanskis were deficient in
advising Abdullah to testify in the narrative form and further assuming but for their deficient
advice Abdullah would have testified in his defense, the Toryanskis nonetheless would have
elicited false testimony. A claim that Abdullah “would have been acquitted” based on false
testimony is a claim “the law simply does not recognize.” Id. at 186. For this reason, Abdullah
did not receive ineffective assistance of counsel by the Toryanskis’ advice on Abdullah’s right to
testify in the guilt phase. This Court affirms the district court’s dismissal of this claim of
ineffective assistance of counsel.
b. Abdullah did not receive ineffective assistance of counsel regarding his right to
testify and allocute in the penalty phase.
Abdullah argues that the district court did not have substantial and competent evidence to
find that the Toryanskis properly advised Abdullah of the scope of allocution during the penalty
phase. Abdullah relies on the defense investigator’s testimony to demonstrate that the Toryanskis
“told Azad if he waived his right to testify, he would be able to address the jury on a broad range
of topics through allocution.” Based on this testimony, Abdullah asserts that the Toryanskis
misinformed Abdullah about the scope of allocution, which caused him to waive his right to
testify and allocute in the penalty phase. Abdullah further argues that he was prejudiced by the
Toryanskis’ deficient performance because Abdullah would have testified during the penalty
phase or made a statement of allocution but for the Toryanskis’ “interference.” 55 According to
Abdullah, there is a reasonable probability the outcome of the penalty phase would have been
different had he testified or offered a statement of allocution.
The district court determined that the Toryanskis were not deficient. Based on the
evidence in the record, the district court found:
[Abdullah’s] trial counsel properly advised him and encouraged him to allocute;
they did not tell him he could dispute guilt phase evidence during allocution.
Indeed, trial counsel, Mitch Toryanski, credibly testified that they did not advise
Abdullah to waive his right to testify during the guilt phase because he would be
able to challenge guilt phase evidence during allocution and not be subject to
cross examination. In fact, trial counsel credibly testified he would not have told
him anything like that. The Court finds that his testimony is credible.
55
Abdullah again states in his brief that the parties and the district court discussed outside Abdullah’s presence that
the district court would allow the defense to reopen the mitigation phase so Abdullah could testify. Abdullah
contends the record “fails to reflect the court or counsel told Azad of the court’s decision” to allow for the defense to
reopen its case. This statement is untrue. The record plainly shows that Abdullah was present and discussed with the
district court that he could reopen the mitigation phase if he wished to testify.
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The Court further finds that Abdullah’s trial counsel were prepared to help
Abdullah present proper mitigation during allocution including helping him
display photographs and going over material. Trial counsel credibly recalled
explaining to Abdullah the allocution rules described by the Court.
Turning to prejudice, the district court determined that “there is no evidence that [Abdullah’s]
failure to allocute affected the jury’s decision in the penalty phase.”
The district court also noted that Abdullah primarily sought to raise issues pertaining to
the guilt phase of trial, rather than address the issues relevant to sentencing and mitigation. The
district court explained:
Abdullah was well aware that he had the right to allocute to present any
information in mitigation of punishment and that it was his decision to decide
whether to allocute. His trial counsel did not misinform him.
Abdullah, however, indicated to the Court that he wanted to make
statements directly challenging his guilt and to introduce evidence to be
considered by the jury. Moreover, he wanted to do it without being under oath or
subject to cross-examination. As the Court informed him, he could no longer
challenge his guilt once the jury had found him guilty and his unsworn statements
regarding evidence introduced in the guilt phase was simply not allowed; they
were irrelevant and did not constitute mitigation.
....
. . . Moreover, at the end of the penalty phase after the defense had rested, the
Court unmistakably offered Abdullah the opportunity to re-open the sentencing
phase and take the stand and testify, but he refused.
i. The Toryanskis were not deficient in their advice on the scope of
allocution.
Abdullah argues that the district court erroneously discounted the credible testimony of
defense investigator Murphy in order to find that the Toryanskis did not deficiently advise
Abdullah of the scope of allocution. Abdullah contends that the district court should have given
weight to Murphy’s testimony over the vague testimony of Mitch Toryanski. He submits that the
evidence shows he was misinformed that he could “tell his story.”
The district court’s factual findings will not be disturbed unless clearly erroneous.
Dunlap v. State, 141 Idaho 50, 56, 106 P.3d 376, 382 (2004). “A factual finding is clearly
erroneous only if it is not supported by ‘substantial and competent evidence in the record.’”
Stuart v. State, 127 Idaho 806, 813, 907 P.2d 783, 790 (1995) (quoting Pace v. Hymas, 111
Idaho 581, 589, 726 P.2d 693, 701 (1986)). “The credibility of the witnesses, the weight to be
given to their testimony, and the inferences to be drawn from the evidence are all matters solely
within the province of the district court.” Dunlap, 141 Idaho at 56, 106 P.3d at 382. “There is a
168
‘strong presumption that counsel’s performance fell within the wide range of professional
assistance.’” State v. Hairston, 133 Idaho 496, 511, 988 P.2d 1170, 1185 (1999) (quoting Aragon
v. State, 114 Idaho 758, 760, 760 P.2d 1174, 1176 (1988)).
Abdullah’s argument is meritless because this Court will not disturb the district court’s
well-supported factual findings. Further, Abdullah misconstrues investigator Murphy’s testimony
on appeal. Based on the evidence in the record, the district court had substantial and competent
evidence to find that the Toryanskis did not advise Abdullah he could “tell his story” in
allocution without any limitations on the scope.
Abdullah misrepresents Murphy’s testimony on appeal. At the evidentiary hearing,
Murphy first testified that he did not “recall specifically” any discussions with the Toryanskis
and Abdullah concerning allocution. Murphy subsequently recalled that he had received a letter
from Abdullah and had met with Mitch to discuss the letter. In this letter, Abdullah wrote to
Murphy:
There is something that I need to talk to you about. Something very
important. I don’t want to talk to Kim & Mitch because we are starting the trail
[sic] & I don’t want them to be mad or get their mind off of the trial or for picking
the Jorrs [sic].
So I know that you also will be angry & mad but I feel strongly about this
and must know and you decide if I should tell Kim & Mitch.
I decited [sic] to tell you this after hearing the Jorrs [sic] and the
seriousness of this case. Also I want to testify in trial and want Kim & Mitch to
help me for that so I feel they should know and also I don’t want to hide any
things from Kim and Mitch.
They are for me and my kids for that reson [sic] I don’t want to keep any
secrets from them. It’s not easy for me to be fully opened [sic] person that easy
but I must be so that Kim & Mitch can get me fair trial. It’s going to harm my
case and may be help me I don’t know. I have being [sic] unfair to you & Kim &
Mitch wich [sic] I don’t want to have any of that from now on.
To give you a heads up It’s about me coming to Boise from Salt Lack [sic]
City that night.
. . . Also I hope that this will not create any more troubles. My intentions are only
to do what is right. I know It’s little bit too late sorry for that.
In the margin near the italicized language, Murphy had written during his meeting with Mitch,
“Mitch will have himself removed. No way. Do it at sentencing. No Cross.”
During Murphy and Mitch’s discussion of this letter from Abdullah, Murphy testified that
Mitch brought up allocution, which was the first time Murphy had heard the term. Murphy
testified that Mitch “was explaining to me that at that time that it had to do with the defendant
169
getting up prior to sentencing and saying whatever he wanted to to the Court.” Murphy
explained, “And we were talking about Mr. Abdullah wanting to tell his story, he wanted to say
something to the Court. And Mr. Toryanski said that if Mr. Abdullah chooses not to testify at the
trial, that he could still tell his story at allocution.” Murphy later met with Abdullah and he
testified that he did not think that he talked about allocution, but also that he did not recall the
allocution issue. Upon questioning by the district court, Murphy clarified, “[A]ll I understood
was that if Mr. Abdullah had been found guilty, there would be some time prior to his sentencing
that he would be able to stand before the Court. And that was reference to his allocution.”
Murphy testified that he did not know whether Mitch “was talking about the traditional
allocution” before the Court or “about something that occurred during the sentencing phase”
with the jury. He also explained that he was “just the investigator and this was in passing as a
brief explanation to me as an investigator, not being an attorney, to explain allocution to me.”
Abdullah argues that this testimony supports a finding that his counsel told him he could
tell his story during allocution. Abdullah’s argument is misplaced for more than one reason.
First, the evidence he relies on reflects a conversation between Mitch and Murphy wherein Mitch
briefly explained in passing the term allocution. Murphy’s testimony shed no light on the
Toryanskis’ understanding of what Abdullah’s “story” at sentencing would entail. Along the
same lines, this conversation has little to no influence on the determination of the legal advice
given to Abdullah by the Toryanskis. Hence, it was reasonable for the district court to base its
factual finding on the testimony of Mitch, rather than Murphy. Mitch’s testimony provides:
Q. [by the State] Now, with regard to allocution, did you inform Mr. Abdullah
that it was his decision whether or not he would make an allocution to the jury?
A. [by Mitch Toryanski] Yes.
Q. And did you inform him that he had that right?
A. Yes.
Q. Did you make the decision for him about allocution?
A. No.
Q. And then -- and I think you said earlier, did you, in fact, encourage him that he
should allocute?
A. I did. I remember offering to display pictures on an overhead for him which he
could then discuss to talk about his family and -- and other various things that he
wanted to talk about.
....
170
THE COURT: Let me ask you two questions. What did you tell him he could say
during allocution? And what’s the time frame that you would have had this
discussion?
THE WITNESS: Judge, it would have been -- I remember many -- many
conversations and -- and I think some were held in the -- in chambers. I seem to
remember Mr. Abdullah being -- being brought back. There were conversations in
the courtroom. And there was discussions [sic] between counsel and the Court.
And I -- I remember encouraging him to -- to allocute. As far as we told him what
he could and could not say, I recall making notes when the Court set out the -- the
rules and -- and explaining as best as I could what those rules were to him.
Similar to Mitch’s testimony, Kim explained, “I -- I think that Mitch and I together with Azad
were trying to convey that this was an important opportunity for him and that it was different.
And -- and we -- I remember Mitch very much wanting to help to elicit that -- that allocution
testimony.” Kim testified, “I think there may have been a conversation in court on that, too,
about the differences” between allocution and testimony. Kim did not remember the differences,
but she testified, “I believe, it went beyond just the conversations that Mitch and I would have
had directly with Mr. Abdullah, the scope of an allocution and -- that’s parameter -- the
parameters of that, I think, was something that was considered in court.” Kim testified that she
“[p]robably” discussed with Abdullah the subject matters of allocution, but she did not “really
remember.” She did remember some photographs, however. Kim also testified, “I think we were
interpreting [the areas Abdullah could cover in allocution] very broadly, that he would be able to
-- he would be able to say what he wanted to say. But I also remember that we had a hearing in
court and -- on the -- on the scope.”
Based on this evidence in the record, the district court had substantial and competent
evidence in the record to find: “Abdullah’s trial counsel were prepared to help Abdullah present
proper mitigation during allocution including helping him display photographs and going over
material. Trial counsel credibly recalled explaining to Abdullah the allocution rules described by
the Court.” It was “solely within the province of the district court” to give weight to Kim’s,
Mitch’s, and Murphy’s testimony on the scope of allocution and to draw inferences from their
testimony. Dunlap, 141 Idaho at 56, 106 P.3d at 382. Abdullah has identified no evidence to
overcome the presumption of competent counsel and disturb the district court’s findings.
Strickland, 466 U.S. at 690 (“counsel is strongly presumed to have rendered adequate
assistance”). Therefore, this Court rejects Abdullah’s assertion that this Court should reweigh the
evidence and infer from Murphy’s testimony that the Toryanskis misinformed Abdullah on the
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scope of allocution. Based on the evidence in the record, this Court affirms the district court’s
determination that the Toryanskis were not deficient.
ii. Even assuming the Toryanskis deficiently advised Abdullah on the scope
of allocution, Abdullah was not prejudiced by their deficient performance.
Abdullah argues that there a reasonable probability the outcome at sentencing would have
been different had he presented mitigating evidence through testimony or allocution. This Court
concludes that Abdullah has failed to demonstrate prejudice.
Any error in Abdullah’s counsel’s deficient performance on the scope of allocution was
cured by the district court’s multiple colloquies with Abdullah on his right to testify and allocute
in the penalty phase and the scope of such testimony and allocution. Murray v. State, 156 Idaho
159, 167–68, 321 P.3d 709, 717–18 (2014). In Murray, the Court stated that “the district court’s
efforts” to inform the defendant of his Estrada rights, which counsel had deficiently failed to
advise on, “bear on the prejudice prong of Strickland.” Murray, 156 Idaho at 167, 321 P.3d at
717. The Court explained that the record conclusively established that the defendant fully
understood his Estrada rights and voluntarily waived them after the district court informed the
defendant of his Estrada rights. Murray, 156 Idaho at 167–68, 321 P.3d at 717–18. The Court
held that the defendant failed to show prejudice because there was not a substantial likelihood or
reasonable probability of a different result had the defendant’s counsel not been deficient. Id. at
168, 321 P.3d at 718. In this case, the district court advised Abdullah multiple times of his right
to testify and allocute. The district court described to Abdullah the differences between
testimony and allocution numerous times. The district court explained to Abdullah that he could
reopen mitigation and testify and that he could allocute. The district court also explained in great
detail the permissible scope of allocution. At one point, the district court went through
Abdullah’s written allocution statement subject by subject and examined which subjects were
admissible. Even with counsel’s assumed deficient performance, Abdullah still chose not to
testify or allocute after receiving the proper advisements from the district court many times.
Therefore, there is not a reasonable probability the result would have been any different but for
his counsel’s deficient performance.
Our conclusion on the prejudice prong is further bolstered by Abdullah’s proposed
testimony and allocution in the penalty phase. Abdullah submits that he
wanted to testify at the penalty phase about a number of issues, including his
relationship with Angie and their children, Angie’s conversion to Islam, the affair,
172
his discussions with Angie about moving out of the country and selling the home,
the vending machine business, the financial situation of their house, and the fact
he never asked Steven Bankhead to kill Angie.
He also asserts:
Mitigating evidence has the ability to tip the scales in favor of life. Azad’s
testimony was mitigating evidence that would have demonstrated to the jury he
loved Angie, he loved his children, he regretted having the affair but believed
Angie forgave him, his feelings about divorce, his Kurdish cultural beliefs, his
experiences in Kurdistan, and his family’s journey to Turkey and the United
States.
We recognize that simply because Abdullah wanted to testify about a certain subject does
not mean that he would have been permitted to do so. The district court repeatedly explained to
Abdullah that he could not use his penalty phase testimony to address issues pertaining to the
guilt phase, including his overseas trips and the family’s plan to move overseas. The district
court also explained that Abdullah could not use allocution to raise factual issues or address non-
mitigation subjects, including his contact with Bankhead, Angie’s wish for her family to accept
her as Muslim, his frustrations about his lack of participation in his case, and extensive
discussion on his denial of guilt. In addition, the defense presented mitigating evidence on
Abdullah’s experiences in Kurdistan and his family’s journey to Turkey and the United States
through an expert of the Kurdish situation and Abdullah’s family. Thus, much of Abdullah’s
proposed testimony or allocution would have been cumulative or irrelevant. 56 Based on the
evidence presented at trial, there is not a reasonable probability the jury would not have
sentenced Abdullah to death but for his counsel’s deficient performance regarding his right to
testify or allocute in the penalty phase. Strickland, 466 U.S. at 700 (“Given the overwhelming
aggravating factors, there is no reasonable probability the omitted evidence would have changed
the conclusion that the aggravating circumstances outweighed the mitigating circumstances and,
hence, the sentence imposed.”) This Court affirms the district court’s dismissal of this claim of
ineffective assistance of counsel.
56
At sentencing for the remaining charges, the district court also recognized Abdullah’s lack of remorse:
Mr. Abdullah in his writing appears to suggest that somehow his life is justified. He did not appear
to recognize or acknowledge the impact his actions have had on others and instead wrapped
himself in his beliefs not acknowledging the pain the victims feel until today in court. In his
writing he talks about his piety and own loss. But until today in court throughout his more than 40-
page [sentencing] statement, he did not express any empathy for the victims, his own children or
family, including his own immediate family. Finally today he acknowledged for the first time that
the children may have been hurt by this.
173
37. The district court did not err by dismissing Abdullah’s claim of ineffective
assistance of counsel during jury selection.
Abdullah argues that the Toryanskis provided ineffective assistance in conducting voir
dire and selecting a jury, which led to the empaneling of a biased jury.
a. Facts
Prospective jurors were each provided a forty-five page questionnaire that included
inquiries about general background, knowledge of the law, facts of the case, and views of the
death penalty. The portion addressing views about the death penalty was extensive. After
reviewing the completed questionnaires from jurors, the parties stipulated to the dismissal of a
number of jurors for cause. The remaining jurors were brought in for voir dire and a petit jury
was selected.
b. Standard of Review
The right to due process encompasses the opportunity to question jurors in order to
disclose grounds for removal for cause during voir dire. The United States Supreme Court has
said:
The Constitution, after all, does not dictate a catechism for voir dire, but only that
the defendant be afforded an impartial jury. Even so, part of the guarantee of a
defendant’s right to an impartial jury is an adequate voir dire to identify
unqualified jurors. Dennis v. United States, 339 U.S. 162, 171–72 (1950);
Morford v. United States, 339 U.S. 258, 259 (1950). “Voir dire plays a critical
function in assuring the criminal defendant that his [constitutional] right to an
impartial jury will be honored. Without an adequate voir dire the trial judge’s
responsibility to remove prospective jurors who will not be able impartially to
follow the court’s instructions and evaluate the evidence cannot be fulfilled.”
Rosales-Lopez v. United States, 451 U.S. 182, 188 (1981) (plurality opinion).
Hence, “[t]he exercise of [the trial court’s] discretion, and the restriction upon
inquiries at the request of counsel, [are] subject to the essential demands of
fairness.” Aldridge v. United States, 283 U.S. 308, 310 (1931).
Morgan v. Illinois, 504 U.S. 719, 729–30 (1992) (alterations in original).
In a capital case, a prospective juror may be excluded for cause when “the juror’s views
would ‘prevent or substantially impair the performance of his duties as a juror in accordance
with his instructions and his oath.’” Wainwright v. Witt, 469 U.S. 412, 424 (1985) (quoting
Adams v. Texas, 448 U.S. 38, 45 (1980)). “[A] juror who in no case would vote for capital
punishment, regardless of his or her instructions, is not an impartial juror and must be removed
for cause.” Morgan, 504 U.S. at 728. Conversely, “[a] juror who will automatically vote for the
death penalty in every case will fail in good faith to consider the evidence of aggravating and
174
mitigating circumstances as the instructions require him to do” and must also be removed for
cause. Id. at 729.
“The choice of questions to ask prospective jurors during voir dire is largely a matter of
trial tactics.” Milton v. State, 126 Idaho 638, 641, 888 P.2d 812, 815 (Ct. App. 1995). These
tactical decisions made by counsel will not be second-guessed on post-conviction relief, unless
made upon the basis of inadequate preparation, ignorance of relevant law, or other shortcomings
capable of objective evaluation. State v. Payne, 146 Idaho 548, 561, 199 P.3d 123, 136 (2008);
Milton, 126 Idaho at 641, 888 P.2d at 815. See also State v. Porter, 130 Idaho 772, 793, 948 P.2d
127, 148 (1997) (tactical decisions not to remove jurors will not be questioned by the Court on
appeal).
Other jurisdictions employ an equally deferential approach. See, e.g., Echols v. State, 127
S.W.3d 486, 502 (Ark. 2003) (“This court will not label counsel ineffective merely because of
possible bad tactics or strategy in selecting a jury.”); People v. Reese, 460 N.E.2d 446, 451 (Ill.
App. Ct. 1984) (the review of counsel’s performance in an ineffective assistance claim does not
extend to areas involving trial tactics or strategy, such as jury selection); State v. Adams, 576
S.E.2d 377, 382 (N.C. Ct. App. 2003) (“[T]rial counsel are necessarily given wide latitude in
matters involving strategic and tactical decisions such as which jurors to accept or strike.”); State
v. Lindsey, 721 N.E.2d 995, 1007 (Ohio 2000) (“[C]ounsel’s failure to rehabilitate jurors does
not render trial counsel ineffective, as counsel is in a better position to determine whether the
jurors merited in-depth examination.”).
c. Analysis
Abdullah’s argument consists of three parts: (1) the stipulation to excuse jurors for cause;
(2) inadequate voir dire of the venire; and (3) inadequate voir dire of the panel.
i. The decision to stipulate to excuse certain jurors for cause before voir dire
did not constitute ineffective assistance of counsel.
Prior to voir dire, the district court requested that the parties review the completed juror
questionnaires to determine whether individual jurors should be excused for cause without
requiring those jurors to come to court. The district court explained that these jurors would be
excused for cause only by stipulation and it would not grant any for cause challenges without
voir dire. The Toryanskis emailed the State a list of thirteen jurors which they believed should be
struck for cause. The Toryanskis contended that these jurors had already judged Abdullah’s guilt,
could not consider mitigating evidence, or would hold it against Abdullah if he did not testify.
175
The State refused to stipulate to strike any of the jurors requested. 57 The State also emailed the
Toryanskis a list of seventeen jurors which they proposed be struck by stipulation. The
Toryanskis stipulated to twelve of these jurors being struck for cause, including the following
jurors: 12, 15, 64, 75, 82, 117, and 154.
Abdullah contends that the Toryanskis’ stipulation was attributable to fatigue and a desire
to appear reasonable to the State in order to procure a favorable plea deal. 58 A review of the
questionnaires, however, reveals that sound strategic and tactical reasons support the Toryanskis’
decision to stipulate.
Initially, we note that every juror challenged by Abdullah in this section chose the
following statement as most accurately representing their view on the death penalty: “I am
personally, morally, or religiously opposed to the death penalty, and would never vote to impose
it, regardless of the facts and the law in the case.” Harboring this view of the death penalty is
sufficient reason in and of itself to stipulate to the removal of such jurors. See Morgan, 504 U.S.
at 728 (“[A] juror who in no case would vote for capital punishment, regardless of his or her
instructions, is not an impartial juror and must be removed for cause.”). In the discussion below,
we review additional information in each juror’s questionnaire that demonstrates further tactical
and strategic reasons for the Toryanskis’ stipulation.
(1) Jurors 12, 15, 82, and 154 59
Abdullah submits the same argument with respect to Jurors 12, 15, 82 and 154. He argues
that these jurors were not per se excludable for cause. He explains that these jurors provided a
potential inconsistency in their responses in that the jurors indicated their views would not
prevent or impair their impartiality, but the jurors also stated that they could not impose the death
penalty regardless of the facts and law. Abdullah also argues that these jurors’ position on the
death penalty was unclear because they may have opposed the death penalty based only on the
belief that innocent people have been wrongly executed.
57
While Kim could not recall the outcome of this email at deposition, both parties agree the State refused to
stipulate.
58
Abdullah attempts to incorporate by reference his detailed argument regarding each one of these jurors from his
final amended petition. This Court declines to address these specific challenges, as this would allow Abdullah to
subvert the page limit he has been allotted on appeal. I.A.R. 35(a)(6); see also Norfleet v. Walker, 684 F.3d 688, 690
(2012) (“The incorporation of arguments by reference in an appellate brief is forbidden.”). Accordingly, only the
arguments actually set forth in Abdullah’s appellate brief are addressed herein.
59
Again, we refer to an individual juror with the pronouns “he” or “him,” but we recognize that some of the jurors
were female.
176
We disagree with Abdullah’s argument. As discussed below, the Toryanskis had
legitimate strategic and tactical reasons to stipulate to remove these jurors for cause.
Juror 12’s questionnaire indicated that Juror 12 had been the victim of robbery three
times. The questionnaire further revealed Juror 12 had a history of depression and Juror 12 was
taking antidepressants. In describing Juror 12’s feelings towards antidepressants, Juror 12
indicated that they “can greatly improve quality of life.” This view potentially posed a threat to
the suicide defense as Juror 12 could have connected with Angie and been reluctant to believe
the story that an individual utilizing antidepressants under the care of a physician would commit
suicide. A valid strategic basis existed for stipulating to removing this juror for cause.
Juror 15’s questionnaire indicated that Juror 15 felt “a defendant should be required to
testify” and “a defendant who does not testify is probably guilty or has something to hide,” and
Juror 15 would “hold it against” Abdullah if he did not testify. Juror 15 further indicated that
Juror 15 would consider the failure to testify as an indication of guilt and that “only a guilty
person would not want to tell his side of the story.” The Toryanskis did not provide deficient
performance in stipulating to remove this juror for cause.
Juror 82’s questionnaire indicated a belief that “a defendant should be required to
testify.” Juror 82 further indicated that Juror 82 held “religious, philosophical or moral belief[s]”
that would not permit Juror 82 to sit as a juror and reach a final verdict. Juror 82 also stated,
“The life and death should be left to God.” Finally, Juror 82 indicated having trouble with the
English language. Thus, multiple reasons existed for the Toryanskis to stipulate to remove this
juror for cause.
Juror 154 provided that the best argument against the death penalty was “moral grounds.”
Juror 154 also indicated that Juror 154 strongly disagreed with imposition of the death penalty on
only the worst murderers and strongly disagreed that society would be stronger if the death
penalty were imposed more often. Juror 154 strongly agreed that, “Matters of life and death
should be left to God.” Juror 154 agreed with the statement that, “It doesn’t matter what kind of
childhood a murderer had.” Juror 154 also indicated that Juror 154 strongly disagreed with the
statement, “I could vote for the death penalty in some cases if I were on a jury” and the statement
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“I support the use of the death penalty.” These responses demonstrate sufficient strategic reasons
to stipulate to Juror 154’s removal for cause. 60
(2) Jurors 64, 75, and 117
Abdullah submits a similar argument with respect to Jurors 64, 75, and 117. He argues
that these jurors expressed strong opinions against the death penalty, but these jurors did not
indicate that their attitude would prevent or impair their impartiality.
We again disagree. The Toryanskis had legitimate strategic and tactical reasons to
stipulate to remove these jurors for cause.
Juror 64 expressed the following beliefs: “that a defendant should be required to testify,”
“that a defendant who does not testify is probably guilty or has something to hide,” and that if
Abdullah exercised the right to remain silent, that Juror 64 would “hold that against him and
consider it as an indication of guilt.” Juror 64 also indicated that Juror 64 held a “religious,
philosophical or moral belief” that would not permit him “to serve as a juror and reach a final
verdict.” This was because, “As a Jehovah’s witness, [Juror 64] could not decide if a persons
[sic] life is involved – or capitol [sic] punishment.” Further, Juror 64 provided that Juror 64
could not judge whether Abdullah was guilty because, “If it is a capital case – if the death
penalty were involved I could not in good conscience decide.” Finally, Juror 64 indicated that
Juror 64 would not “follow the instructions upon the law given by the Judge” because Juror 64
“cannot decide on a death penalty case.” Adequate strategic reasons existed for the stipulation to
remove this juror for cause.
Juror 75 indicated “a defendant who does not testify is probably guilty or has something
to hide,” and that “only a guilty person would not want to tell his side of the story.” Juror 75 also
indicated his “views on the death penalty would prevent or substantially impair [his] ability to
view the facts impartially,” and that his “views on the death penalty would prevent or
substantially impair [his] ability to return a guilty verdict of First Degree Murder against the
Defendant even if the State had proven its case beyond a reasonable doubt.” Juror 75 stated, “I
have strong emotional feelings about personally imposing the death penalty on another human.”
Moreover, Juror 75 indicated “I am familiar with this case and I am personally acquainted with
60
Furthermore, jurors in the pool for preemptory challenges only went through Juror 116. The last seated juror was
Juror 103. Thus, any juror further down the roster would not have been considered for the jury regardless of whether
the defense agreed to strike them from the panel. Accordingly, no prejudice can be established for the dismissal of
any jurors past Juror 103.
178
someone who knows the defendant and his deceased wife and kids.” Juror 75 further explained
that Juror 75 knew one of the witnesses and that Juror 75’s spouse “went to school with Angie.”
Finally, Juror 75 stated, “I have heard and currently believe that Azad Haji Abdullah committed
murder.” Again, adequate strategic reasons existed for the stipulation to remove this juror for
cause.
Juror 117 indicated “a defendant who does not testify is probably guilty or has something
to hide.” Further, Juror 117 strongly agreed that, “Matters of life and death should be left to
God” and also indicated his “views on the death penalty would prevent or substantially impair
[his] ability to view the facts impartially.” The Toryanskis had sufficient strategic reasons for
stipulating to remove this juror for cause
(3) Summary
Based on the information provided by these jurors in the questionnaires, the Toryanskis
did not provide deficient performance by stipulating to the dismissal of these jurors prior to voir
dire. There is no evidence that any of these decisions were based on inadequate preparation,
ignorance of relevant law, or other shortcomings capable of objective evaluation. See Payne, 146
Idaho at 561, 199 P.3d at 136; Milton, 126 Idaho at 641, 888 P.2d at 815. Moreover, dismissal of
these jurors did not prevent the empaneling of an impartial jury. See Hill v. Brigano, 199 F.3d
833, 844 (6th Cir. 1999) (relevant inquiry in assessing court’s dismissal of jurors for cause is
whether the trial court’s decision prevented the empaneling of an impartial jury).
Finally, with respect to Abdullah’s contention that the decision to stipulate was driven by
a desire to secure a favorable plea deal, Mitch explained that he was not very focused on
pursuing a plea deal at that time, but rather was “very focused on preparing and trying to pick the
very best jury possible.” Likewise, Mitch indicated his approach to jury selection was not
tempered in an effort to pursue a favorable plea deal. Moreover, Kim’s perception was simply:
“We were not aggressive in our response on that.” This does not evince deficient performance,
but rather demonstrates Kim utilized a tactical choice in responding to the State. Thus, this Court
affirms the district court’s dismissal of this claim of ineffective assistance of counsel.
ii. The Toryanskis’ voir dire of the venire did not constitute ineffective
assistance.
Abdullah next argues that the Toryanskis conducted inadequate voir dire of the venire
and the inadequate voir dire led to the seating of two biased jurors: Juror 59 and Juror 83.
However, as discussed in the guilt phase section, these jurors were not biased. Moreover, the
179
record provides legitimate strategic and tactical reasons for the Toryanskis’ decision not to strike
Juror 59 and Juror 83.
Abdullah’s remaining argument hinges on the Toryanskis’ failure to exclusively follow
the Colorado Method of jury selection. 61 Abdullah contends that the Colorado Method is
grounded in well-established Supreme Court jurisprudence and implicitly asserts that the failure
to adhere to this method was deficient performance. He references case law such as Morgan, in
which the United States Supreme Court held that “a capital defendant may challenge for cause
any prospective juror” who will automatically vote for the death penalty in each case and will not
consider aggravating and mitigating evidence as the instructions require. 504 U.S. at 729. Based
on this law, Abdullah contends that the failure to move to strike these jurors for cause constituted
ineffective assistance of counsel because certain jurors were “automatic killers” under the
Colorado Method.
Abdullah’s argument assumes that the Colorado Method is an infallible method for
identifying such jurors and is not over-inclusive. This Court is not persuaded that the Colorado
Method is the only mechanism for counsel to evaluate prospective jurors. For one, the Colorado
Method could incidentally or incorrectly identify jurors that would not automatically impose the
death penalty (without considering aggravating and mitigating evidence), and such jurors would
not necessarily be required to be struck for cause. Abdullah failed to present any evidence on the
efficacy of the Colorado Method in these particular respects. Second, Abdullah failed to cite to
any legal authority demonstrating that the Colorado Method is the prevailing professional norm
in capital cases. Third, as Strickland has unequivocally stated:
No particular set of detailed rules for counsel’s conduct can satisfactorily take
account of the variety of circumstances faced by defense counsel or the range of
legitimate decisions regarding how best to represent a criminal defendant. Any
such set of rules would interfere with the constitutionally protected independence
of counsel and restrict the wide latitude counsel must have in making tactical
decisions.
466 U.S. at 688–89. Accordingly, we assess the Toryanskis’ performance in voir dire by
examining the objective reasonableness of their actions at the time of voir dire. See id. See also
Phillips v. State, 587 S.E.2d 45, 47 (Ga. 2003) (in assessing ineffective assistance of counsel
61
In support of this argument, Abdullah filed an affidavit by David Lane, a criminal defense attorney with
significant capital litigation experience. Lane explained that the Colorado Method of jury selection is a strategy that
involves rating jurors on a scale of one to seven, taking into account solely the likelihood each juror would vote to
impose the death penalty.
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claim, inquiry is whether the failure to strike jurors for cause, from perspective of voir dire, was
objectively unreasonable); In re Yates, 296 P.3d 872, 896 (Wash. 2013) (“Yates’s presumption
that the Colorado method is the only approach to jury selection that is constitutionally adequate
lacks any support.”).
While the Colorado Method focuses solely on prospective jurors’ views on the death
penalty, the Toryanskis focused on both the guilt phase and the sentencing phase in accordance
with Abdullah’s desires. For example, at the evidentiary hearing, Kim testified that the Colorado
Method was not in perfect harmony with their goals because they desired success in the guilt
phase as well. Likewise, Mitch testified that the Toryanskis utilized the Colorado Method to an
extent, but it was only one part of their voir dire strategy. Mitch further stated that it is necessary
to take the totality of the circumstances into account when choosing a jury.
An examination of voir dire demonstrates that the Toryanskis spent considerable time
exploring a multitude of aspects regarding each juror. Counsel questioned prospective jurors on
their views of the death penalty, mitigation, and their disposition towards individuals from
different cultures. In addition to the forty-five page questionnaire, the Toryanskis also utilized a
“preempt matrix” to keep notes on every juror (including ratings assigned under the Colorado
Method) during voir dire.
Further, the district court found both Mitch and Kim testified credibly at the evidentiary
hearing, where Mitch explained, “it’s not only what a -- prospective juror says, but also how they
carry themselves, their attitude, the feeling that you get from them.” Likewise, Mitch testified,
“what somebody says and it’s reduced to writing can be different from the impression that they
leave when you’re watching their body language, watching the tone of their voice.” Thus, in
addition to the questions and answers revealed in the voir dire transcripts and questionnaires, the
Toryanskis based their decisions on intangibles as well—a commonly recognized approach to
jury selection. See, e.g., Miller v. Francis, 269 F.3d 609, 620 (6th Cir. 2001) (“Few decisions at
trial are as subjective or prone to individual attorney strategy as juror voir dire, where decisions
are often made on the basis of intangible factors.”); State v. Mammone, 13 N.E.3d 1051, 1085
(Ohio 2014) (“Decisions about voir dire are highly subjective and prone to individual attorney
strategy because they are often based on intangible factors.”). The techniques employed by the
Toryanskis and the decision to only utilize the Colorado Method as a part of their overall strategy
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in conducting voir dire was an objectively reasonable approach. Accordingly, this Court affirms
the district court’s dismissal of this claim of ineffective assistance of counsel.
iii. The Toryanskis’ voir dire of the panel did not constitute ineffective
assistance.
Finally, Abdullah asserts that the Toryanskis conducted inadequate voir dire with respect
to jurors that composed the panel. Each juror Abdullah challenges will be addressed in turn.
(1) Juror 28
Abdullah argues that Juror 28 may have been substantially impaired in his ability to
meaningfully consider mitigation and a sentence other than death. Abdullah also argues that
counsel should have “stripped” Juror 28 under the Colorado Method to determine if he would
automatically impose the death penalty in every case, 62 and because Juror 28 indicated that he
would believe law enforcement officers more than other witnesses, that Juror 28 was a better
juror for the State. However, Juror 28 explained that his preference for law enforcement
testimony was because law enforcement officers are trained to observe, which arguably had no
bearing on the law enforcement testimony in this case because no law enforcement officer
observed the crimes. Also, when asked about his feelings regarding the death penalty as an
appropriate punishment for first-degree murder, Juror 28 responded by stating:
That is a deep philosophical question that you are asking me, how I feel
about it. This isn’t the movies. This is a real-life situation. It’s going to be -- I
would just have to look at it at the time I was going through it after I learned
everything. . . . [T]he death penalty in some cases in society to protect society
would probably be the correct way to go.
Counsel then asked whether there are other ways of protecting society and Juror 28 responded,
“Yes, there are other alternatives.”
Juror 28 explained there are circumstances where he could consider the death penalty as
an appropriate punishment, for instance:
It depends on the case . . . if it was a mass murder or murder where it was just
violently done and destruction of another human being with forethought. . . .
62
Lane’s affidavit explained stripping as follows:
The Colorado Method instructs counsel to “strip” the juror by asking a question along the lines,
“Okay, I want you to assume that we’re talking about a guy who wanted to kill, planned the
killing, deliberated on it, thought about it, wanted to do it for weeks in advance, and did it without
any self-defense, no insanity, no excuses. Now what about the death penalty for someone like
that?” It is essential that jurors be “stripped” of any reasons not to impose a death penalty to
ascertain their true feelings.
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There’s so much to go into this I really can’t speak upon it until I worked on it,
being -- the material being given to me and I have a chance to assimilate it.
Counsel then inquired as to whether in a case of premeditated first-degree murder, Juror 28 could
consider mitigating evidence, such as a lack of criminal record and being a good employee. Juror
28 responded that he could take into account such mitigating evidence. Lastly, Juror 28
appropriately committed to following the district court’s instructions to both consider imposing
and not imposing the death penalty. Thus, there was no evidence this juror was biased or subject
to be struck for cause.
(2) Juror 36
Abdullah argues that the answers provided by Juror 36 demonstrate Juror 36 decided to
vote for the death penalty before the trial. In support of this argument, Abdullah cites to a portion
of the juror’s voir dire where Juror 36 stated as follows:
Quite honestly, I was thinking about this. I would -- I would with great remorse
go for it. I would vote for the death penalty, but I would also want to be there with
the person to pray right before they died. I don’t think that’s fair. I don’t think that
would be allowed, but I would be praying for that person also if that was
something that had to be done.
Abdullah fails to mention the follow-up question by counsel: “And when you say you would go
for it, that would be after weighing the laws and the facts and all of the circumstances?” Juror 36
responded, “Yes, absolutely.” Further, in responding to the district court’s voir dire, Juror 36
agreed he would weigh aggravating and mitigating circumstances, listen to arguments by the
parties, and apply the law as instructed by the district court. Juror 36 also responded he would
consider not imposing the death penalty. Moreover, Juror 36 indicated that he could give value to
an individual’s lack of criminal record, good history of providing financial support to his family,
and community service—all mitigating circumstances in Abdullah’s case. Thus, there was no
evidence this juror was biased or subject to be struck for cause.
(3) Juror 44
Abdullah contends that, while counsel inquired whether Juror 44 could “give value” to
mitigation evidence, this question was inadequate and further inquiry was necessary. Yet Kim
also inquired whether Juror 44 could “give value to the fact that a person maybe has a long
history of good relationships with their friends or family members.” Juror 44 responded that he
could. Juror 44 also explained that he worked with individuals of Middle Eastern ancestry while
in the military, had “no problems at all,” and thought they were “good people.” Counsel did not
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perform deficiently in conducting voir dire of this juror, and there was no evidence this juror was
biased or subject to be struck for cause.
(4) Juror 45
Abdullah argues that the Toryanskis were ineffective for failing to ask Juror 45 single
question about the death penalty or about Juror 45’s willingness to listen and give meaningful
consideration to mitigation evidence. This argument ignores the forty-five page questionnaire
completed by Juror 45, which provided a plethora of information regarding his views on the
death penalty. Furthermore, Juror 45 indicated that he would consider imposing and not
imposing the death penalty, and would weigh both aggravating and mitigating circumstances in
coming to that decision. There was no evidence this juror was biased or subject to be struck for
cause.
(5) Juror 68
Abdullah argues that Juror 68 was “an example of someone who would likely be moved
by mitigation and would be inclined to vote for a life sentence,” but counsel made no effort to
educate Juror 68 about preserving “personal moral integrity through a jury verdict.” Under the
Colorado Method, this is known as “empowering” a juror. Abdullah fails to cite any authority to
support the notion that counsel can render deficient performance by failing to “empower” a juror.
This argument is waived. State v. Zichko, 129 Idaho 259, 263, 923 P.2d 966, 970 (1996) (issues
on appeal not supported by adequate authority will not be considered).
Even if the Court were to consider this argument, Juror 68 indicated that he would
consider imposing and not imposing the death penalty. There was no evidence this juror was
biased or subject to be struck for cause.
(6) Juror 81
During voir dire, Juror 81 stated:
What I feel is, like I told the Judge, I believe in the death penalty, but I also
believe that it depends on the case. I personally believe that there are two types of
murderers; one where somebody gets hot headed and loses it for a moment; they
do something stupid. And then there are people who think it through. I think
everybody feels they are going to get away with it or they wouldn’t do it in the
first place.
Based on this statement, Abdullah contends that counsel had a duty to ask follow-up questions
about the death penalty.
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However, when the State asked Juror 81 whether he could apply the law during the
penalty phase, Juror 81 responded:
I will be very deliberate now that it’s done. The way I see it is I try to put
myself in that man’s position. If that was me sitting there, I would want people to
look at everything and weigh it very carefully. I figure at the very least, the man
has the potential of the death penalty hanging over his head. And I know if that
was me, I would want everybody to look at everything very hard.
Further, Juror 81 committed to follow the district court’s instructions and indicated that he would
consider imposing and not imposing the death penalty. There was no evidence this juror was
biased or subject to be struck for cause.
(7) Juror 96
Abdullah contends that Juror 96 was amenable to considering mitigating evidence and
that the Toryanskis provided ineffective assistance in failing to “empower” the juror. Abdullah
fails to cite any authority indicating counsel can render deficient performance by failing to
“empower” a juror, and thus this argument is waived. Zichko, 129 Idaho at 263, 923 P.2d at 970.
Even if the Court were to consider this argument, Juror 96 indicated that he would
consider imposing and not imposing the death penalty. There was no evidence this juror was
biased or subject to be struck for cause.
(8) Juror 98
Abdullah contends that Juror 98 was emotionally invested in the case, believed
Abdullah’s arrest was sufficient to demonstrate some level of guilt, and should have been
challenged. Abdullah also argues that counsel provided deficient performance by failing to
reveal this juror as someone who would automatically impose the death penalty and was
substantially impaired in his ability to give meaningful consideration to mitigation.
When the district court inquired whether Juror 98 was “of the opinion that death is the
only appropriate penalty for murder in the first degree,” Juror 98 responded, “Absolutely not.”
Juror 98 also indicated that he would consider both imposing and not imposing the death penalty.
Moreover, the “emotional investment” to which Abdullah refers is based on this juror’s
statement that Juror 98 was a parent like Angie and that the death was tragic. This does not
demonstrate a unique emotional connection to cause the juror to be biased. Moreover, after Juror
98 indicated that he thought Abdullah’s arrest demonstrated some level of guilt, counsel further
inquired whether he could base his decision solely on the evidence in court and whether he could
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disregard information from the media. Juror 98 responded appropriately to both inquiries. There
was no evidence this juror was biased or subject to be struck for cause.
(9) Summary
Abdullah failed to articulate or present any evidence that any of the jurors on the panel
were biased or subject to be struck for cause. All jurors on the panel appropriately indicated that
they would consider imposing and not imposing the death penalty. Likewise, they all committed
to following the district court’s instructions. Counsel is “strongly presumed to have rendered
adequate assistance and made all significant decisions in the exercise of reasonable professional
judgment.” Strickland, 466 U.S. at 690. Here, the decisions made by the Toryanskis in
conducting voir dire were strategic, and Abdullah has failed to proffer any evidence of
inadequate preparation, ignorance of relevant law, or other shortcomings capable of objective
evaluation. Abdullah failed to demonstrate deficient performance or prejudice. Thus, this Court
affirms the district court’s dismissal of this claim of ineffective assistance of counsel.
38. The district court did not err by dismissing Abdullah’s claim of ineffective
assistance of counsel by failing to object to defective guilt and penalty phase jury
instructions.
Abdullah argues that his counsel was ineffective for failing to object to erroneous jury
instructions or to request proper jury instructions. Abdullah does not identify these flawed
instructions, however. Rather, he submits that the “pervasive problems with the jury instructions
in Azad’s case have been identified and analyzed previously and are incorporated by reference.”
Based on Abdullah’s arguments in the guilt and penalty phase sections of his brief, we must
assume Abdullah is referring to the following six jury instructions: (1) the definition of “willful”
for arson in the guilt phase; (2) the definition of “many persons” for the great risk aggravator in
the penalty phase; (3) judge sentencing in the penalty phase; (4) double-counting aggravator
evidence in the penalty phase; (5) the jury’s duty to consult and unanimity in the penalty phase;
and (6) the lack of a definition for “sufficiently compelling” in the penalty phase.
a. Abdullah cannot establish ineffective assistance of counsel in four of the six jury
instructions because the instructions were not erroneous.
The same analysis applies to four of the jury instructions challenged by Abdullah in the
post-conviction phase: (1) the definition of “willful” for arson; (2) judge sentencing; (3) double-
counting aggravator evidence; and (4) duty to consult and unanimous verdict.
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As discussed in guilt and penalty phase sections, there was no error in these four
instructions. For the willful instruction, there was no error because the district court provided the
definition of willful at the request of the jury, and it was unreasonable to assume the jury went
beyond the scope of the instruction to apply the definition of willful to offenses other than arson.
For the judge sentencing instruction, Abdullah was not entitled to an instruction detailing the
possible penalty options based on the United States Supreme Court’s holding in Simmons v.
South Carolina, 512 U.S. 154 (1994), that the jury must be informed the defendant would be
sentenced to a fixed life sentence if the jury did not recommend execution. This rule applies only
when those two sentencing options exist, which was not the case here. For the double-counting
instruction, there was no error because the instruction mirrored the exact language provided by
this Court on the issue. For the duty to consult and unanimity instructions, there was no error
because the instructions as a whole informed the jurors to reach an individual decision and that
they did not have to unanimously agree on mitigating circumstances or reach a unanimous
decision. Because these four instructions were not erroneous, Abdullah cannot establish deficient
performance. See Brown v. State, 533, 50 P.3d 1024, 1028 (Ct. App. 2002) (“Whether [the
petitioner’s] attorneys were deficient for failing to object to the instructions depends upon
whether the instructions contained errors.”). Therefore, Abdullah has not shown ineffective
assistance of counsel.
b. Abdullah cannot establish ineffective assistance of counsel in the two remaining
jury instructions.
The two remaining jury instructions at issue here are: (1) the lack of a definition for
“sufficiently compelling” and (2) the definition of “many persons” for the great risk aggravator.
As discussed in the penalty phase section, there was no error in the omission of an
instruction on the definition of “sufficiently compelling.” In that section, we concluded
Abdullah’s argument was foreclosed due to our holding in State v. Dunlap that “sufficiently
compelling” was a phrase “of ordinary words that do not require definition.” 155 Idaho 345, 365,
313 P.3d 1, 21 (2013). Abdullah now argues in the post-conviction phase that his counsel should
have objected to the lack of a definition for “sufficiently compelling.” Abdullah cannot satisfy
the first prong of Strickland of deficient performance because a definition of “sufficiently
compelling” was not necessary to properly instruct the jury.
In a related context, “[w]here the alleged deficiency is counsel’s failure to file a motion, a
conclusion that the motion, if pursued, would not have been granted by the trial court, is
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generally determinative of both prongs of the [Strickland] test.” State v. Payne, 146 Idaho 548,
562, 199 P.3d 123, 137 (2008) (second alteration in original) (quoting Sanchez v. State, 127
Idaho 709, 713, 905 P.2d 642, 646 (Ct. App. 1995)); see also State v. Youngblood, 117 Idaho
160, 165, 786 P.2d 551, 556 (1989) (no basis for claim of ineffective assistance of counsel for
failure to file motion to suppress evidence when no unlawful search occurred). Applying that
concept here, it is not deficient performance for counsel to fail to request a jury instruction if that
instruction had no legal basis and was unnecessary. Therefore, Abdullah has not established
ineffective assistance of counsel for failing to request a jury instruction on the definition of
“sufficiently compelling.”
Abdullah also contends that his counsel was ineffective for proposing an improper
instruction on the definition of “many persons” for the great risk aggravator. The district court
instructed the jury: “The phrase ‘great risk of death to many persons’ means more than a
showing of some degree of risk of bodily harm to a few persons. ‘Great risk’ means not a mere
possibility but a likelihood or high probability. ‘Many persons’ means more than four people.” In
the penalty phase section, we determined that any error in the jury instruction on the definition of
“many persons” was invited because Abdullah’s counsel submitted the instruction. In addition,
we concluded that any unconstitutional vagueness in the instruction was harmless because the
jury’s decision to impose death may be based solely on the utter disregard aggravator. Therefore,
even assuming deficient performance, any improper instruction did not prejudice Abdullah. “To
demonstrate prejudice, the appellant ‘must show a reasonable probability that, but for the
attorney’s deficient performance, the outcome of the trial would have been different.’” Dunlap,
155 Idaho at 383, 313 P.3d at 39 (quoting Dunlap v. State, 141 Idaho 50, 59, 106 P.3d 376, 385
(2004)). In this case, even if the great risk aggravator instruction was invalid, the death sentence
remains valid because the jury also determined the utter disregard factor standing alone justifies
the death penalty. See State v. Hairston, 133 Idaho 496, 509–10, 988 P.2d 1170, 1183–84 (1999);
State v. Wood, 132 Idaho 88, 105–06, 967 P.2d 702, 719–20 (1998). Therefore, Abdullah cannot
show a reasonable probability the outcome of the penalty phase would have been different but
for Abdullah’s counsel’s alleged deficient performance regarding the great risk aggravator jury
instruction.
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In summary, Abdullah received effective assistance of counsel with regard to the jury
instructions in the guilt and penalty phase. This Court affirms the district court’s dismissal of this
claim.
V. CONCLUSION
The judgments of conviction and sentences pronounced by the district court, including
the death penalty based on the utter disregard aggravating circumstance found by the jury, are
affirmed. The judgment dismissing Abdullah’s petition for post-conviction relief also is
affirmed.
Chief Justice BURDICK, Justices EISMANN, J. JONES and HORTON, CONCUR
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