Supreme Court
No. 2013-221-C.A.
(W1/10-413A)
State :
v. :
Kimberly Fry. :
NOTICE: This opinion is subject to formal revision before
publication in the Rhode Island Reporter. Readers are requested to
notify the Opinion Analyst, Supreme Court of Rhode Island,
250 Benefit Street, Providence, Rhode Island 02903, at Telephone
222-3258 of any typographical or other formal errors in order that
corrections may be made before the opinion is published.
Supreme Court
No. 2013-221-C.A.
(W1/10-413A)
(Dissent begins on page 29)
State :
v. :
Kimberly Fry. :
Present: Suttell, C.J., Goldberg, Flaherty, Robinson, and Indeglia, JJ.
OPINION
Justice Indeglia, for the Court. On October 6, 2011, a Washington County Superior
Court jury found the defendant, Kimberly Fry (defendant or Kimberly), guilty of second degree
murder of her eight-year-old daughter in violation of G.L. 1956 § 11-23-1. On May 22, 2012,
the trial justice sentenced the defendant to a term of forty years’ imprisonment, with twenty years
to serve and the remaining twenty years suspended, with probation.
On appeal, the defendant contends that the trial justice erred in: (1) declining to instruct
the jury on voluntary manslaughter due to diminished capacity and inadequately instructing the
jury on accident; (2) permitting the state to elicit testimony from a witness through improper
impeachment and leading questions; (3) failing to declare a mistrial following the state’s
violation of the court’s sequestration order; and (4) allowing admission of a video depicting the
scene of the murder, including the victim’s body. For the reasons set forth in this opinion, we
affirm the judgment of the Superior Court.
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I
Facts and Travel
On October 8, 2010, Kimberly was charged by indictment with the murder of her
daughter, Camden. The case was tried before a jury over the course of three weeks in September
and October 2011. Throughout the course of this trial, the following facts were revealed through
the testimony of the various witnesses.
Camden Alexis Fry was born on May 6, 2001 to Kimberly and Timothy (Tim) Fry 1 in
New Hampshire, where the family lived at the time. While Tim went to work during the day,
Kimberly stayed home and took care of Camden. During Camden’s early-childhood years, Tim
and Kimberly began to notice that she had difficulty with transitioning from one activity to
another, often protesting when she was forced to end an activity.
In August 2007, the Fry family moved to North Kingstown and Camden started first
grade at Fishing Cove Elementary School. After the move, Camden began to struggle
academically and continued to have difficulty with transitioning between activities. For instance,
Camden would cry and scream when taken to the store if she did not get what she wanted,
forcing Kimberly to drag her out of the store. On one occasion, when Tim was away on
business, Kimberly reported to him that Camden had a “really bad crying episode” and that
Camden had “been punching her and hitting her and that [Kimberly] had to sit on her.”
In the belief that Camden might have attention deficit disorder (ADD) or attention deficit
hyperactivity disorder (ADHD), the Frys sought to have her evaluated through the school but,
according to Tim, the school did not want to spend the funds to get her tested. Eventually, while
Camden was in second grade, the Frys took matters into their own hands. Kimberly began
1
We use the first names of Kimberly Fry, Tim Fry, and Camden Fry to avoid confusion.
-2-
researching private schools that might provide a better academic environment for Camden, and,
in April 2009, the family began seeing a family therapist, Wendy Phillips (Phillips), to aid them
in developing strategies to help Camden cope with the symptoms that she was exhibiting. In
addition, the Frys scheduled a neuropsychological evaluation for Camden with Christine Trask,
Ph.D. (Dr. Trask). As a result of this evaluation, Dr. Trask issued a report diagnosing Camden
with ADHD and mild anxiety.
On July 1, 2009, based upon the diagnosis from Dr. Trask, Camden was prescribed
medication used to treat ADHD. Tim and Kimberly noticed that the medication helped keep
Camden calm and helped with her ability to transition. Nevertheless, Tim and Kimberly
observed that she sometimes became more irritable in the evening as the medication wore off.
Throughout this period of time, Kimberly was also suffering from various mental health
issues, including depression, insomnia, anxiety, and panic attacks. During a counseling session
on May 4, 2009, Kimberly explained to Phillips that she felt as though Camden’s crying and
screaming episodes lasted longer for her than for Tim. Kimberly further reported to Phillips that
Camden’s tantrums caused her stress and, after about twenty minutes, she would put her hands
over her ears to block out the sound of Camden’s crying and screaming.
Phillips testified at trial that the last two therapy sessions before Camden’s death, on July
28 and August 4, 2009, were particularly difficult for Kimberly. Throughout these two sessions,
Phillips observed that Kimberly seemed overwhelmed by the process of buying a new car,
necessitated by her involvement in a car accident several days prior to the July 28 session. In
addition, Phillips reported that Kimberly was upset and angry with Tim; in fact, at the July 28
session, Phillips asked Camden to leave the room because Tim and Kimberly were arguing.
Phillips’s notes from that session indicated that, during their arguments, “Kim[berly] began to
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triangle Camden with her father” by asking Camden to take sides between her and Tim “[i]n an
inappropriate manner.” Phillips further reported that, after Camden had left the room, Kimberly
told her that “she blamed Camden for her depression” and that “she was an incompetent mother
and she felt hopeless.” By the end of the session, Phillips instructed Tim that “if he was
concerned about [Kimberly’s] behavior, that if she appeared to not be safe or he was concerned
about her, to take her to the emergency room immediately.” Phillips also recommended that
Kimberly make an appointment with an individual therapist. At the session on August 4,
Kimberly “seemed better than the prior session.” Nevertheless, Phillips again recommended that
she make an appointment with an individual therapist.
Tim testified that, on August 10, 2009, Kimberly told him that she “wished that Camden
wasn’t around because it was so much easier when it was just the two of us.” Tim replied that he
didn’t think that this was an appropriate thing for her to say. After this discussion ended, Tim
and Kimberly spent the day signing the paperwork for Kimberly’s new car and returned home at
around 3:30 that afternoon. Camden, who had spent the day at the beach with friends, returned
home sometime between 4 and 4:30. At approximately 5:50 that evening, Tim left the house to
play hockey. When he left, Kimberly and Camden were sitting next to each other in the living
room watching television.
Tim received a phone call from Kimberly just after 9:00 that night. He asked her how the
night was going, to which she responded that “after a two-hour crying fit Camden had finally
settled down and gone to bed.” Tim testified during trial that Kimberly “sounded a little groggy”
during this conversation, but that she was nevertheless clear in speaking to him. He further
testified that it was not out of the ordinary for Kimberly to be groggy, as “[s]he normally had
taken [C]lonazepam or Benadryl at night * * * so she could get to sleep.”
-4-
Tim arrived home at approximately 9:40 that night and, upon entering the living room,
noticed that Kimberly was “kind of falling asleep, leaning over against the side of the couch.”
He testified that she seemed “more groggy than she was on the phone” and suggested that she
should go to bed. He then removed his hockey equipment from his car and again told Kimberly
that she should go to bed. Tim went to shower, passing Camden’s bedroom on the way. When
he passed Camden’s bedroom, he looked in and noticed that she was in bed under the covers.
After showering, Tim realized that Kimberly was still sitting on the couch, so he helped her up
and walked her into the bedroom. Tim testified that he didn’t recall Kimberly ever previously
needing assistance to get into bed.
The following morning, Tim had planned to work from home; but, by 9:30 he realized
that it was unusual that Camden was still sleeping. He went into her bedroom to check on her
and realized that she was in the same position that she had been in the night before. When he
walked over to the side of the bed, he noticed that her eyes were opened and her pupils were
completely dilated. He started screaming, pulled the covers back, and removed a stuffed animal
that she had under her arm. Tim turned her onto her back and, at that point, determined that she
was not alive because she was “ice cold and stiff.” He called 911 and screamed for Kimberly to
come into the room, who—still groggy—crawled into the room on her hands and knees.
When police and rescue personnel arrived, they found Tim and Kimberly in Camden’s
bedroom crying and hysterical. Once Camden had been pronounced dead, the police asked Tim
and Kimberly to leave the room to allow them to secure the scene. Officer John MacCoy
(Officer MacCoy), a responding officer, asked Kimberly about the prior evening with Camden,
to which she replied that Camden had been giving her a hard time in taking a bath. She
recounted to Officer MacCoy that Camden fell on the bathroom floor and that she ultimately had
-5-
to pull Camden into the bedroom. She further reported to the police that she then watched
television and read books with Camden until about 9:10 when she put her to bed.
Officer MacCoy testified that, after being present while a pastor read Camden her last
rites, the Frys went to the back porch, and Kimberly’s condition began to deteriorate. Tim
testified that Kimberly looked up at him, and it occurred to him that she must have taken some
kind of medication. He then told Officer MacCoy to call an ambulance and went to the kitchen
to discover that several bottles of prescription medication were empty.
Kimberly was transported to South County Hospital by rescue, and she was placed in the
intensive care unit (ICU). Tim testified that he visited Kimberly the following day in the
hospital, and she told him that “she had a battle with Camden, [and] that Camden had been
kicking and punching her and biting her.” She further relayed that, at one point during the
“battle,” she went to take Clonazepam to calm down and, when she returned, they started
fighting again. Tim testified that Kimberly told him that “Camden was punching and kicking
and biting her and that she sat on top of her” and that Kimberly had “put her hand over
Camden’s nose and mouth to make her stop screaming.” He testified that Kimberly then said,
“I’m so sorry, I’m so sorry.”
Kimberly also made several statements to medical personnel. Courtney Briar Pichardo,
Kimberly’s nurse in the ICU, testified that on the night that Kimberly was admitted she was not
oriented as to whether it was daytime or nighttime, but she was able to identify who the president
was and she knew that she was in the hospital. Pichardo further testified that Kimberly stated,
“I’m her mother. I was supposed to protect her but I couldn’t protect her from me.” Barbara
Kettle, a patient care technician who was also in the room with Kimberly on the night that she
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was admitted, testified that Kimberly stated that she had taken Benadryl, muscle relaxers, and
some other medication, because “[s]he wanted the crying and screaming to stop.”
During the trial, on October 4, 2011, the defense submitted proposed jury instructions,
including a request for an instruction on accident and on voluntary manslaughter due to
diminished capacity. That same day, the trial justice held a charging conference in chambers,
during which he indicated that he was going to deny defendant’s request for a diminished
capacity instruction. The conference was not recorded, and there is nothing to indicate whether
defendant objected to the denial of the diminished capacity instruction or merely argued for such
an instruction prior to the trial justice’s decision. The trial justice charged the jury on October 5,
2011, omitting an instruction for voluntary manslaughter due to diminished capacity. Following
the charge, defense counsel objected at sidebar to the fact that the instruction “just briefly”
discussed accident, 2 but failed to object to the lack of an instruction on voluntary manslaughter
due to diminished capacity.
On October 6, 2011, during their deliberations, the jury submitted a question to the trial
court: “Does there have to be mental competency for there to be intent?” After meeting with the
prosecutor and defense counsel to develop an answer to this inquiry, the trial court sent the jury
the following answer:
“A defendant’s competency to stand trial is a legal determination made before
trial and is not an issue before you.
“Do not confuse ‘mental competency’ with the defendant’s state of mind or
intent.
“Please refer to the jury instruction on DEFENDANT’S INTENT.”
2
Defense counsel also objected to the judge’s instruction regarding expert testimony. However,
this objection is not pertinent to the issues on appeal.
-7-
After this answer was submitted to the jury, the parties met in chambers to discuss these
supplemental instructions and note any potential objections on the record. At that point, defense
counsel conceded that he had failed to object to the lack of a diminished capacity instruction at
the time the jury was charged, but he nevertheless requested that one be given at that time.
However, the conference was interrupted because the jury had reached a verdict.
The jury found Kimberly guilty of second degree murder of Camden. The defendant
moved for a new trial, which the trial justice denied. The defendant timely appealed.
II
Issues on Appeal
The defendant raises four issues on appeal. First, she submits that the trial justice erred in
declining to present the jury with an instruction on voluntary manslaughter due to diminished
capacity 3 and that the trial justice’s instruction on accident was inadequate. Second, she claims
that the trial justice improperly allowed the state to employ leading questions on direct
examination and improperly allowed the state to impeach a witness by use of prior inconsistent
statements. Third, she asserts that the trial justice erred by declining to pass the case when the
prosecutor conferred with his witness during breaks in testimony, which she contends was in
violation of a sequestration order. Finally, she claims that the trial justice erred by admitting into
evidence a seven-minute video of the crime scene, which included three and one-half minutes
showing Camden’s body in her bed.
3
We note that the trial justice did instruct the jury on involuntary manslaughter, stating, in
pertinent part: “[M]anslaughter is the unlawful but unintentional killing of a human being
without malice or premeditation. A person who recklessly does an act that results in the death of
another human being is guilty of manslaughter, even though she did not intend or did not
contemplate such a result.”
-8-
III
Discussion
A
Jury Instructions
“Our standard of review concerning jury instructions is well settled; we review such
instructions in a de novo manner.” State v. Adefusika, 989 A.2d 467, 475 (R.I. 2010) (citing
State v. Palmer, 962 A.2d 758, 764 (R.I. 2009)). This standard of review is applicable whether
our review is focused on the content of jury instructions or on a trial justice’s refusal to instruct
the jury on a lesser-included offense. See State v. Ricci, 54 A.3d 965, 971 (R.I. 2012); State v.
Motyka, 893 A.2d 267, 281 (R.I. 2006).
When determining whether a trial justice’s refusal to give an instruction was warranted,
“this Court will examine the record in the case and determine whether the evidence justifies such
an instruction.” Motyka, 893 A.2d at 281. In making this determination, our review is limited to
“ascertaining whether ‘an actual and adequate dispute exists as to the distinguishing element
between the lesser and greater offenses in question.’” Id. (quoting State v. Garcia, 883 A.2d
1131, 1137 (R.I. 2005)). On the one hand, the trial court should instruct the jury on a lesser-
included offense when “some minimal evidence exists that, if credited by the jury, could support
a conviction for the lesser-included offense.” Id. at 284 (quoting State v. McGuy, 841 A.2d
1109, 1112 (R.I. 2003)). On the other hand, however, this Court has repeatedly recognized that
“a trial justice is not required to instruct the jury on a lesser-included offense when the evidence
presented at trial completely fails to support such a charge[.]” Id. at 285 (citing McGuy, 841
A.2d at 1112).
-9-
The focus of our review is different, however, when reviewing the content of jury
instructions. In such circumstances, “it is our role to examine the instructions in their entirety to
ascertain the manner in which a jury of ordinary intelligent lay people would have understood
them, * * * and we review challenged portions of jury instructions in the context in which they
were rendered.” Adefusika, 989 A.2d at 475 (quoting State v. John, 881 A.2d 920, 929 (R.I.
2005)). In so doing, we remain mindful that the trial justice need not use particular words in the
instruction, and we look only to whether the trial justice correctly stated the applicable law.
Ricci, 54 A.3d at 971. Particularly pertinent to the case at hand, “[t]his Court has consistently
held that when the ‘requested charge is fairly covered in the general charge,’ the ‘trial justice’s
refusal to grant a request for jury instruction is not reversible error.’” Id. (quoting State v. Price,
706 A.2d 929, 934 (R.I. 1998)). “[E]ven if we conclude that a jury instruction was erroneous,
reversal is warranted ‘only if a jury could have been misled to the prejudice of the complaining
party.’” Adefusika, 989 A.2d at 475 (quoting State v. Graham, 941 A.2d 848, 855 (R.I. 2008)).
1. Diminished Capacity
The defendant contends that the evidence on the record could sustain a verdict for
voluntary manslaughter due to diminished capacity and, therefore, it was error for the trial justice
to refuse to give such an instruction. The state responds that defendant waived any argument as
to this instruction because defense counsel failed to object before the jury retired to deliberate.
The state further contends that, in any event, there was no credible evidence as to defendant’s
diminished capacity at the time of the murder and, thus, such an instruction was not warranted.
Given that the state’s waiver argument, if correct, would end our inquiry, we address this
argument first.
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In accordance with our well-settled “raise-or-waive” rule, claims of error that were not
effectively raised and articulated at trial are deemed to be waived and not preserved for appellate
review, subject only to exception in some circumstances where “basic constitutional rights are
concerned.” State v. Figuereo, 31 A.3d 1283, 1289 n.7 (R.I. 2011) (quoting State v. Donato, 592
A.2d 140, 141 (R.I. 1991)); see also State v. Gomez, 848 A.2d 221, 237 (R.I. 2004) (citing
Donato, 592 A.2d at 141); State v. Markarian, 551 A.2d 1178, 1183 (R.I. 1988). Similarly, Rule
30 of the Superior Court Rules of Criminal Procedure serves to bar a party from contesting jury
instructions when that party fails to timely object. Specifically, Rule 30 provides, in pertinent
part:
“No party may assign as error any portion of the charge or omission therefrom
unless the party objects thereto before the jury retires to consider its verdict,
stating distinctly the matter to which the party objects and the grounds of the
party's objection. Objections shall be made out of the presence of the jury.”
Notably, Rule 30 requires only that objections be made before the jury retires to deliberate, but
“does not explicitly mandate that objections to instructions be made after the instructions are
given.” State v. Palmer, 962 A.2d 758, 766 n.5 (R.I. 2009). Nonetheless, such an objection must
be made on the record and in a manner that permits this Court to conduct appropriate appellate
review.
In the case at hand, defendant asserts that defense counsel objected to the omission of a
diminished capacity instruction in an off-the-record chambers conference held before the jury
was charged. The defendant points to excerpts from the record in which the parties and the trial
justice refer to a request for a diminished capacity instruction made at the off-the-record
conference as evidencing defendant’s objection. However, our reading of the record reveals that,
at best, it is ambiguous as to whether defendant objected to the trial justice’s refusal to include a
diminished capacity instruction or merely reiterated her request for such an instruction in the off-
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the-record conference. Given that an objection must be made on the record and articulated in
such a manner that permits this Court to conduct appellate review, we conclude that the
defendant’s reference to a diminished capacity instruction in the off-the-record conference was
insufficient to properly preserve the issue for our review. See State v. Anderson, 752 A.2d 946,
951 (R.I. 2000).
In a last-ditch effort to redeem her diminished capacity argument, defendant asseverates
that her opportunity to object under Rule 30 was renewed when the jury, during its deliberations,
asked the question, “Does there have to be mental competency for there to be intent?” In
support, defendant contends that this Court’s decisions in State v. Oliveira, 730 A.2d 20 (R.I.
1999) and State v. Gomes, 590 A.2d 391 (R.I. 1991) permit a defendant to have a second bite at
the apple in objecting to jury instructions if the jury requests clarification of the instructions
during its deliberations and the trial justice delivers faulty supplemental instructions in response.
The defendant’s interpretation of our case law is flawed. Never in Oliveira, 730 A.2d at
25, nor in Gomes, 590 A.2d at 394, did we hold that juror confusion would somehow render
Rule 30 nugatory. In those cases, we were faced with a challenge to the supplemental
instructions provided by the trial justice after the jury had asked a question. 4 While we did hold
that a trial justice, after the jury indicates that it does not understand an element of the offense
charged, is “obligated to clarify the matter for the jury in a concrete and unambiguous manner,”
we did not go so far as to suggest that juror confusion presented the parties with an opportunity
to suggest the addition of another instruction entirely. See Gomes, 590 A.2d at 394. In the case
4
In State v. Gomes, 590 A.2d 391, 394 (R.I. 1991), we considered a defendant’s objection to the
lack of responsiveness to the jury’s question and the confusing nature of the supplemental
charge. Similarly, in State v. Oliveira, 730 A.2d 20, 25 (R.I. 1999), we were faced with an
objection to a trial justice’s supplemental instructions in which the trial justice erroneously
instructed the jury with regard to a crime of which the defendant had not been charged.
- 12 -
at hand, we are not faced with a situation where the trial justice provided the jury with an
erroneous answer to the question presented or a faulty supplemental instruction. Indeed, the
answer provided to the jury both directly addressed the question presented and accurately
explained the law. Moreover, in Oliveira and Gomes we were faced with a direct challenge to a
supplemental instruction provided by the trial justice. As such, we considered only the faultiness
of the supplemental instruction; we did not suggest that a juror question would allow a party
another opportunity to object to the original instructions. Thus, our decisions in Oliveira and
Gomes are inapposite to the case at hand.
We pause to note that defendant’s suggestion that a juror question presents another
opportunity to add a certain instruction to the trial justice’s original charge is impractical. Not
only would it be entirely unfair to the opposing party, but it would be exceedingly suggestive to
the jury by placing this new instruction in a special light. We decline to interpret our case law to
reach such an unpalatable result.
Given our conclusion that defense counsel failed to preserve the issue for our review, we
need not determine whether there was sufficient evidence presented at trial to warrant an
instruction on voluntary manslaughter due to diminished capacity.
2. Accident
We proceed next to defendant’s contention that the trial justice erred by delivering an
inadequate instruction on accident in light of the evidence introduced at trial. At trial, defendant
presented expert testimony from Dr. Elizabeth Laposata (Dr. Laposata) regarding the cause of
Camden’s death. Doctor Laposata testified that Camden’s injuries were consistent with an
attempted restraint procedure and explained that “sometimes * * * the person who is trying to
restrain the other person will keep the restraint maneuvers on after the person is calm just
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because they are not sure that they have actually gotten that person under restraint.” Doctor
Laposata also testified that, once Camden had passed out, chest compressions alone could have
been sufficient to deprive her of oxygen. On the basis of this testimony, defendant requested the
following instruction:
“If you find that the [s]tate has not proven to you beyond a reasonable
doubt that Kimberly Fry acted with ‘malice,’ or with the momentary intent to kill,
or with criminal negligence, but that the death of Camden Fry instead was
accidental, then such a killing is neither murder nor manslaughter.”
The trial justice charged the jury and did not include the specific instruction requested by
defendant. Instead, the trial justice provided an alternative instruction on accident in two
separate contexts. The trial justice first instructed the jury on accident in his discussion of the
willful and malicious nature of second degree murder. Specifically, he stated:
“Second-degree murder * * * is a murder that is willful and malicious.
And in order to convict the defendant of second-degree murder under this theory,
the [s]tate must prove beyond a reasonable doubt, one, that the defendant acted
willfully, intended to kill, and in fact, did cause the death of Camden Fry, and,
two, the defendant acted with malice.
“An act is done willfully if it is done intentionally and voluntarily and not
by mistake or accident or some other reason.” (Emphases added.)
The trial justice again discussed accident later in his instructions, this time referring to it as it
may negate defendant’s intent:
“Intent ordinarily may not be proved directly because there is no way of
fathoming or scrutinizing the operations of the human mind. You may, however,
infer a defendant’s intent from all the surrounding circumstances. You may
consider any statement or act done by the defendant, and all other facts and
circumstances that are in evidence which may indicate the state of her mind.
“An act is done intentionally and deliberately and purposefully and not
because of mistake or accident or any other innocent reason.” (Emphasis added.)
In responding to defendant’s objection that the instructions “just briefly” discussed accident, the
trial justice noted that “there are at least two places” where the jury was told that a finding of
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mistake or accident precluded them from concluding that an essential element of second degree
murder was established and, therefore, he denied defendant’s request. 5
Despite the two instructions on accident, defendant asserts that the evidence warranted a
more specific one. She contends that, without a more specific instruction like the one she
requested, “[i]t is very likely that most jurors failed to even notice that accident was mentioned at
all, much less comprehend the necessity and critical implications of their findings on accident.”
However, in our opinion, the trial justice’s instructions adequately convey that the jury could not
find defendant guilty of second degree murder if Camden’s death occurred by accident.
Specifically, the instructions indicate that second degree murder must be committed willfully and
that, if the death were accidental, then it could not be willful. The instructions further describe
that, if defendant’s actions were accidental, then they cannot be considered intentional acts of
defendant for purposes of the jury’s determination of second degree murder. It is well settled in
this jurisdiction that “[t]he trial justice need not use particular words in the instruction, but must
‘correctly state[] the applicable law.’” State v. Cipriano, 21 A.3d 408, 423 (R.I. 2011) (quoting
State v. Imbruglia, 913 A.2d 1022, 1030 (R.I. 2007)). We are satisfied that the instructions
provided to the jury in this case meet this criterion.
In addition, contrary to defendant’s suggestion, there was minimal evidence presented at
trial from which the jury could conclude that Camden’s death was accidental. Instead, any hope
of the jury finding accident would have to be predicated on defendant’s statements to others that
she was attempting to get Camden to stop crying by putting her hands on Camden’s mouth and
sitting on her, or derived from Dr. Laposata’s testimony that Camden’s injuries were consistent
with an attempted restraint procedure. Given the dearth of evidence upon which a jury could
5
The trial justice also doubted that there was sufficient evidence to support an accident
instruction.
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conclude that the killing occurred by accident and in light of the instructions given by the trial
justice—which twice mentioned accident as a bar to a finding of culpability—we cannot
conclude that a more elaborate instruction was necessary. Accordingly, we are satisfied based on
an examination of the record that the trial justice instructed the jury adequately concerning
defendant's claim of accidental homicide. 6
B
Complaints Directed at the State’s Examination of Phillips
1. Improper Impeachment
Next, defendant argues that the trial justice erred in allowing the prosecutor to ask
Phillips to read from her therapy notes during her direct examination. Specifically, defendant
points to nine instances in which she asserts that the prosecutor was improperly allowed to
“dictate” the testimony of Phillips, which she claims served to improperly impeach Phillips’s
credibility. The defendant asserts that Phillips’s credibility was instrumental to her defense
because she had observed defendant’s behavior and mental health close in time to Camden’s
death. In our opinion, however, defendant failed to preserve this issue for appellate review.
“This Court staunchly adheres to the ‘raise or waive’ rule, which requires parties to raise
an issue first in the trial court before raising it on appeal.” Figuereo, 31 A.3d at 1289. This rule
6
The dissent juxtaposes the accident instruction given by the trial justice in this case with the
one given by the trial justice in State v. Drew, 919 A.2d 397 (R.I. 2007), suggesting that this
Court referred to the trial justice’s mention of accident in Drew as an “anemic reference.” On
that basis, the dissent claims that the “almost identical instruction” in this case could not have
adequately apprised the jury of the defendant’s accident defense. However, in Drew, the premise
of our opinion was that the scant evidence of accident proffered at trial did not warrant a more
comprehensive accident instruction. Id. at 404. In the case at hand, not only was there minimal
evidence to support an accident defense, but the trial justice also gave a more detailed instruction
than the one given in Drew—here, twice mentioning accident. As in Drew, “any further mention
of accident in the charge probably would have served only to confuse or mislead the jury.” See
id. at 405.
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serves as an “important guarantor of fairness and efficiency in the judicial process” by requiring
issues to be presented to a trial justice “in such a posture as to alert the trial justice to the
question being raised.” State v. Moten, 64 A.3d 1232, 1238 (R.I. 2013) (quoting DeMarco v.
Travelers Insurance Co., 26 A.3d 585, 628 n.55 (R.I. 2011) and Figuereo, 31 A.3d at 1289). For
this reason, “[a] party who fails to record his specific objections is deemed to have waived his
rights on appeal.” State v. Estrada, 537 A.2d 983, 987 (R.I. 1988) (emphasis added). “[W]e
have repeatedly cautioned that ‘a general objection is not sufficient to preserve an issue for
appellate review; rather, assignments of error must be set forth with sufficient particularity to call
the trial justice's attention to the basis of the objection.’” Moten, 64 A.3d at 1238 (quoting
Union Station Associates v. Rossi, 862 A.2d 185, 192 (R.I. 2004)).
As an initial matter, defendant failed to object at all to seven out of the nine instances to
which she now assigns error. Without any objection on the record, the trial justice did not have
an opportunity to consider the issue and, therefore, any argument regarding these seven instances
is deemed waived. See Figuereo, 31 A.3d at 1289. As to the other two instances, the only
adequate basis that defendant articulated below suggests that her objection was to improperly
refreshing the witness’s recollection or on the basis of the rule of completeness. Specifically,
defendant’s first objection—posed when the prosecutor asked Phillips to read from her notes—
stated: “I already offered this into evidence. I understand the [s]tate is not submitting it into
evidence, therefore, I think it is inappropriate that the witness read from the transcript. I think
she should be allowed to simply testify to her memory.” This objection can, at best, be
interpreted as taking issue with the state improperly refreshing the witness’s recollection by
asking her to read from her notes. Her second objection—set forth when the prosecutor directed
Phillips to review her notes—stated: “Judge, again, I’m simply going to have to object. I have
- 17 -
no objection to this going in full.” This statement appears to suggest the rule of completeness as
grounds for her objection. Importantly, neither of these objections can be construed as
suggesting that the state was improperly impeaching the witness based on a prior inconsistent
statement, which defendant now argues on appeal. Accordingly, because defendant’s
“assignment[] of error [was not] set forth with sufficient particularity to call the trial justice's
attention to the basis of the objection” that defendant now argues on appeal, the issue is deemed
waived and not preserved for our review. See Moten, 64 A.3d at 1238 (quoting Union Station
Associates, 862 A.2d at 192).
2. Leading Questions
The defendant next takes issue with the prosecutor’s use of leading questions during the
direct examination of Phillips. Specifically, defendant lists forty-five questions posed by the
prosecutor that she labels as leading and argues that such use was excessive, unnecessary, and
prejudicial. However, defendant failed to object to forty-four out of the forty-five instances
which she now attacks on appeal. In fact, she later characterized her refusal to object as a
strategic decision, stating that defendant “didn’t object to [the state’s] leading questions all the
time because, frankly, we would have been on our feet 90 percent of the time objecting, and we
don’t want to give that impression to the jury.” Nevertheless, whether strategic or not,
defendant’s failure to object places her plaint toward the forty-four questions squarely within our
“raise-or-waive” rule and, thus, her contention with regard to these forty-four questions is not
preserved for our review. Thus, for purposes of this appeal, we consider only the sole question
to which defendant objected. 7
7
Notably, the thrust of defendant’s argument on appeal appears to attack the cumulative effect of
the leading questions posed by the state, contending that the overwhelming quantity of leading
questions rendered them prejudicial. However, given that she failed to object to these leading
- 18 -
“A leading question is most generally defined as a question that suggests the desired
answer.” State v. Whitaker, 79 A.3d 795, 813 (R.I. 2013) (quoting State v. Gomes, 764 A.2d
125, 137 (R.I. 2001)). “The danger of a leading question is that it may suggest to the witness the
specific tenor of the reply desired by counsel and such a reply may be given irrespective of
actual memory.” Id. (quoting State v. Girouard, 561 A.2d 882, 888 (R.I. 1989)). “Although
leading questions generally are prohibited on direct examination, they may be allowed for a
limited purpose such as to guide the testimony of a hostile or a purportedly forgetful witness.”
State v. McManus, 990 A.2d 1229, 1236 (R.I. 2010). “A party is entitled to treat a forgetful
witness as adverse; and, in an effort to elicit truthful testimony from the witness, the examiner
may resort to leading questions.” Id. Further, “[w]hile it is true that as a general rule leading
questions are prohibited on direct examination, a trial justice has considerable latitude in
sustaining or overruling objections to leading questions.” Whitaker, 79 A.3d at 813 (quoting
Gomes, 764 A.2d at 137). Thus, “a trial justice's decision regarding the use of leading questions
‘will be overturned only upon an abuse of discretion or where there is substantial injury to the
defendant.’” Id. (quoting Gomes, 764 A.2d at 137).
When the forty-four waived claims of error are stripped away and the dust has settled,
defendant’s lone preserved contention regarding leading questions lacks force. The defendant
questions, thus implicating our “raise-or-waive” rule, her argument in this regard is undermined
substantially. While this result may seem harsh, we have recognized that “[n]ot only does the
rule serve judicial economy by encouraging resolution of issues at the trial level, it also promotes
fairer and more efficient trial proceedings by providing opposing counsel with an opportunity to
respond appropriately to claims raised.” State v. Carpio, 43 A.3d 1, 8 (R.I. 2012) (quoting State
v. Burke, 522 A.2d 725, 731 (R.I. 1987)). Here, the state was unable to correct its questioning
because defendant did not present it as an issue to the trial court. Without objection from
defendant, the cumulative effect of the state’s questioning does not transform the questioning
into reversible error.
- 19 -
takes issue with the state’s question presented to Phillips where—referencing Phillips’s therapy
notes—the state asked, “Why don’t you continue with the next seven typed lines. Do you ever
reference Tim and a difficulty with Tim; yes or no?” The defendant objected on the grounds that
this was a leading question, to which the state responded that “[the state] move[s] hostile
witness, * * * inability to cross-examine.” The trial justice overruled defendant’s objection,
stating, “I’m going to give [the state] some leeway just to phrase some yes-or-no questions. I’m
not even sure they are leading if there is a choice between yes or no.” While the trial justice did
not explicitly state that he found the witness to be hostile, he was not required to do so in giving
the state some flexibility in examining the witness. Our review of the record suggests that there
were some instances in which Phillips was corrected by the prosecutor after testifying to details
that varied from her therapy notes and other instances in which Phillips testified to a lack of
memory. Given these difficulties, we cannot conclude that the trial justice abused his discretion
in allowing the state some flexibility to pose questions in yes-or-no form.
C
Violation of the Sequestration Order
The defendant also claims that the trial justice erred in refusing to pass the case after the
prosecutor discussed testimony with the state’s witness, Dr. William Cox (Dr. Cox), a medical
examiner, during breaks in Dr. Cox’s testimony. The defendant claims that this discussion
violated the trial justice’s sequestration order and that the measures taken by the trial justice to
temper the potential prejudice to defendant were insufficient.
Following opening statements, the trial justice granted the parties’ joint request for a
general sequestration order prohibiting any trial witness from listening to the testimony of any
other witness. Thereafter, on September 26, 2011, Dr. Cox took the stand as a witness for the
- 20 -
state and testified over the course of three days. At the conclusion of his testimony on
September 26, the trial justice stated to Dr. Cox: “Please don’t discuss the case with anyone else.
All witnesses for this trial are sequestered.” The following day, during his continued direct
examination, Dr. Cox testified that he had not reviewed photographs taken by law enforcement at
the murder scene and that he did not know whether such photographs were ever sent to the
medical examiner’s office. However, during a lunch break shortly thereafter, the prosecutor
conferred with Dr. Cox about his prior testimony and, as a result of this discussion, Dr. Cox
realized that he had made a mistake in his testimony. After looking through his file, Dr. Cox
concluded that he had in fact received the photographs the prosecutor asked about. The
prosecutor also discussed potential cross-examination with Dr. Cox. Specifically, the prosecutor
discussed Dr. Cox’s failure to dissect the hyoid bone, which defendant claims is pertinent to the
potential of chest compression as a cause of death. The defendant contends that the cause of
death was relevant to her accident defense and was a major point of contention between Dr. Cox
and her expert witness, Dr. Laposata.
When Dr. Cox returned to the stand after the lunch break, the prosecutor again asked Dr.
Cox whether he had seen photographs from law enforcement taken at the scene. This time, Dr.
Cox testified that he had “misspoke” and that he had been shown a compact disc (CD) of
photographs from the North Kingstown Police Department.
On September 28, 2011, outside the presence of the jury, defense counsel informed the
trial justice that she saw the prosecutor talking with Dr. Cox and Det. Jeffrey St. Onge of the
North Kingstown Police Department, and did not think anything of the discussion until Dr. Cox
corrected his prior testimony. Defense counsel then moved for a mistrial on the grounds that the
- 21 -
prosecutor improperly conferred with Dr. Cox during the break in testimony. In the alternative,
she also moved to strike the problematic testimony from the record.
The prosecutor admitted that he spoke to Dr. Cox during breaks in the testimony
regarding the photographs and chest compression as a potential cause of death, including
mention of the hyoid bone. The trial justice stated that he told each witness “not [to] discuss
your testimony with anyone,” and specifically “recall[ed] telling Doctor Cox, do not discuss your
testimony[.]” However, the trial justice determined that the “precise parameters” of his order
were an issue because he did not specifically tell Dr. Cox “not [to] consult with anybody,
including the [s]tate’s attorney.” On that basis, he determined that the prosecutor had not “done
anything improperly in this case” and denied defendant’s motion for a mistrial. Nevertheless, the
trial justice fashioned a remedy allowing defendant to “inquire of [Dr. Cox] and suggest that he
may have violated the [c]ourt’s order,” and said that defendant was “also free to fashion an
appropriate question that suggests perhaps a recall of certain testimony was, in fact, prompted by
that consultation during the middle of [Dr. Cox’s] testimony.”
During cross-examination of Dr. Cox, defense counsel took advantage of the opportunity
offered by the trial justice and inquired into whether he had been ordered not to discuss his
testimony. However, the trial justice did not permit defense counsel to ask whether his
discussion with the prosecutor was in violation of the trial court’s order. 8 The trial justice
reasoned that he did not want the question to insinuate that there had been a violation of the
sequestration order when he did not determine that there had been one in the first instance,
stating that he would “[l]et the jurors determine that.” Following this ruling, defense counsel
questioned Dr. Cox in regard to whether he had spoken with the prosecutor about his testimony.
8
Importantly, this was the only limitation imposed on defense counsel in his cross-examination
of Dr. Cox based on the allegedly improper discussion.
- 22 -
In particular, defense counsel made apparent to the jury that Dr. Cox originally testified that he
did not review any crime scene photographs, but that after his discussion with the prosecutor he
testified that he did remember reviewing the photographs.
“The decision to pass a case and declare a mistrial belongs to the trial justice, and this
Court gives great weight to his or her sound discretion.” State v. Tucker, 111 A.3d 376, 388 (R.I.
2015) (quoting State v. LaPlante, 962 A.2d 63, 70 (R.I. 2009)). “As such, ‘this Court will reverse
a trial justice's ruling on appeal only if it was clearly wrong.’” Id. (quoting LaPlante, 962 A.2d at
70). “We give great deference to the trial justice in this regard because he or she ‘has a front-row
seat at the trial and is in the best position to determine whether a defendant has been unfairly
prejudiced.’” State v. Tully, 110 A.3d 1181, 1191 (R.I. 2015) (quoting State v. Oliveira, 882
A.2d 1097, 1127 (R.I. 2005)).
In the case at hand, the trial justice’s order was not violated by the prosecutor discussing
testimony with Dr. Cox during a break in his testimony. The trial justice’s instructions to Dr.
Cox prior to recessing for the day on September 26 indicated that the witness was not to discuss
the case “with anybody,” 9 but did not preclude the witness from discussing his testimony with
the prosecutor. 10 We note that, in cases where a witness’s testimony is protracted over the
course of multiple days, it is commonplace for the party calling that witness to discuss the
9
The only instruction that Dr. Cox received prior to the allegedly improper discussion with the
prosecutor occurred on September 26. At that point, Dr. Cox was instructed at the close of his
testimony: “Please don’t discuss the case with anyone else. All witnesses for this trial are
sequestered.” Doctor Cox was also instructed on September 27, “I ask you, Doctor, not to
discuss your testimony as all of the witnesses have been sequestered.” However, this instruction
occurred after the witness’s discussion with the prosecutor.
10
Indeed, even the trial justice refused to conclude that his sequestration order was violated.
Instead, he stated that the “precise parameters” of his order were an issue because he did not tell
Dr. Cox, “do not consult with anybody, including the [s]tate’s attorney.” We note that a trial
court's interpretation of its own order should be accorded great weight. See United States v.
Sepulveda, 15 F.3d 1161, 1177 (1st Cir. 1993). With that principle in mind, we decline to attach
a more sweeping interpretation to the trial justice’s order than did the trial justice himself.
- 23 -
witness’s testimony during breaks. Without a request from counsel for a specific instruction or
an instruction that specifically proscribes discussion with the prosecutor, which would only be
granted in extraordinary circumstances, we cannot interpret the trial justice’s order to have such
breadth as to alter typical trial practices.
Further, even if the court’s order had been violated, the trial justice’s imposed remedial
measure—allowing the defense attorney to question Dr. Cox regarding his allegedly improper
discussion with the prosecutor—effectively negated any potential prejudice from this discussion.
See State v. Staffier, 21 A.3d 287, 293 (R.I. 2011) (concluding that any potential harm to the
defendant was addressed by the trial justice allowing the defendant to elicit testimony from a
witness regarding the witness’s questionable violation of the court’s sequestration order). Where
a defendant’s contention is grounded in her fair-trial rights, such as is the case here, “we shall
reverse only for an abuse of discretion that results in actual prejudice to him.” State v. Gomes,
690 A.2d 310, 318 (R.I. 1997). In the case at hand, the record makes clear that there was no
actual prejudice to defendant. The discussion between the prosecutor and Dr. Cox involved only
two topics: (i) Dr. Cox’s review of photographs of the crime scene taken by the North
Kingstown Police Department; and (ii) the hyoid bone as it related to chest compression as a
potential cause of death, which the prosecutor regarded as a probable topic to come up on cross-
examination.
First, with regard to the prosecutor consulting with Dr. Cox about the crime scene
photographs, the only effect that such consultation with the prosecutor could have had was to
allow Dr. Cox to correct his prior testimony without impeaching him in the presence of the jury.
Thus, the only potential prejudice flowing from the discussion would be the withholding of some
information from the jury that would be pertinent to evaluating the witness’s credibility. See
- 24 -
Gomes, 690 A.2d at 318. However, by permitting defense counsel to inquire on cross-
examination into the trial justice’s order and the prosecutor’s discussion with Dr. Cox, the jury
was allowed to use this information to evaluate the credibility of the witness. See id.
Second, the trial justice’s remedial measure would also have allowed defense counsel to
negate any prejudice with regard to the prosecutor’s discussion of the potential cross-
examination on cause of death. Defense counsel was not prohibited from asking questions about
the content of the prosecutor’s discussion with the witness, including whether the prosecutor had
prepared the witness for cross-examination. While such questioning would have served to
temper any prejudice, defense counsel failed to ask any questions in that regard. Defense
counsel’s failure to take full advantage of the remedial measure offered by the trial justice cannot
somehow be transformed into reversible error.
When the potential violation of a sequestration order is at issue, the court’s response
should focus on what needs to be done to prevent any prejudice to the defendant. See Gomes,
690 A.2d at 318; see also United States v. Magana, 127 F.3d 1, 6 (1st Cir. 1997). We conclude
that the trial justice’s crafted remedial measure was sufficient to temper any potential prejudice
to defendant. Accordingly, we hold that the trial justice did not err in refusing to implement
defendant’s additional suggested remedial measures.
D
Admission of the “Seven Minute-Plus” Video
The defendant’s final assignment of error is that the trial justice erred in admitting a
“seven minute-plus” video showing the police walking through the Fry home and depicting
Camden’s body. The defendant argues that the video’s focus on Camden’s body in her bed
unfairly prejudiced the jury and inflamed their passions against her. The defendant further
- 25 -
asserts that the video was minimally probative because the layout of the Fry home was not
contested by the defense and because the scenes depicted in the video were cumulative of other
photographic and video exhibits offered by the state.
Rule 403 of the Rhode Island Rules of Evidence provides that relevant evidence may be
excluded if its probative value is substantially outweighed by the danger of unfair prejudice to
the defendant. “The admission or exclusion of evidence ‘under Rule 403 is within the sound
discretion of the trial justice.’” State v. Shelton, 990 A.2d 191, 202 (R.I. 2010) (quoting Blue
Coast, Inc. v. Suarez Corp. Industries, 870 A.2d 997, 1007 (R.I. 2005)). However, this Court has
repeatedly warned that “the discretion to exclude evidence under Rule 403 must be exercised
sparingly.” Shelton, 990 A.2d at 202 (quoting State v. Hak, 963 A.2d 921, 928 (R.I. 2009)).
Accordingly, “[i]t is only evidence that is marginally relevant and enormously prejudicial that
must be excluded.” Hak, 963 A.2d at 928 (quoting State v. Patel, 949 A.2d 401, 412-13 (R.I.
2008)).
In determining that the video should not be excluded under Rule 403, the trial justice
noted that there had been testimony that “something happened in the bathroom” and his colloquy
suggests that the probative value of the video lies with the fact that this videotape included both
visuals of the bathroom and the bedroom, where Camden’s body was ultimately found. In
addition, the trial justice stated that the videotape showed a different perspective from other
photographs, thus providing additional probative value.
While we do not ignore the fact that a three-and-a-half-minute focus on a deceased eight-
year-old girl in her bed is a disturbing sight, we cannot conclude that the video was offered
“solely to inflame the passions of the jury[,]” as would be required to prevent its admission. See
State v. O'Brien, 774 A.2d 89, 107 (R.I. 2001) (quoting State v. Carter, 744 A.2d 839, 847 (R.I.
- 26 -
2000)). The thrust of defendant’s argument that this video was unfairly prejudicial is directed at
the video’s focus on Camden’s body in her bed, stating that “[o]ne cannot look at this [video] of
this little girl, obviously dead, without having their heart broken.” However, this Court has
recognized that “[b]y their very nature, crime-scene [portrayals] of murder victims may unsettle
or even horrify the viewer, yet * * * because it is the state’s burden to prove each element of a
crime beyond a reasonable doubt, such photographs are unquestionably relevant to its need to do
so.” Id. (quoting Carter, 744 A.2d at 847). Thus, because of the inherently prejudicial nature of
a murder, “[t]he test for determining the admissibility of photographs does not gauge their
ghastliness, but instead asks whether they will ‘inflame the jurors and therefore prejudice them
beyond the ordinary prejudice that is always sustained by the introduction of relevant evidence
intended to prove guilt.’” Carter, 744 A.2d at 847 (quoting State v. Ellis, 619 A.2d 418, 424
(R.I. 1993)). “‘Indeed, only when such evidence is offered solely to inflame the passions of the
jury should a photograph’ or other visual images of a crime victim be excluded.” O'Brien, 774
A.2d at 107 (quoting Carter, 744 A.2d at 847). For that reason, “[t]his Court has consistently
held that ‘when such evidence * * * is probative, the trial court's admission of explicit
photographs is not an abuse of discretion and will not be disturbed on appeal.’” Carter, 744 A.2d
at 847 (quoting Hughes v. State, 656 A.2d 971, 972 (R.I. 1995)).
In the case at bar, the video presented was probative, as it displayed the pathway of the
struggle which presumably ensued between defendant and Camden. Specifically, the video
illustrated the course from the bathroom, where the fighting allegedly started, to Camden’s
bedroom, where it ended. Additionally, the video allowed the jury to see imagery of the floor
next to the bed where the final struggle allegedly occurred and the bed in which defendant
ultimately placed Camden’s body. Further, the video showed the placement of a stuffed elephant
- 27 -
close to Camden’s body, presumably where Tim moved it when he found her the morning after
her death. Thus, the video served to corroborate Tim’s account that when he found Camden, she
was tucked into her bed with her stuffed animal under her arm.
Nevertheless, defendant claims that there was other cumulative, less prejudicial evidence
showing the layout of the Fry house, including a sixteen-minute video. However, at the time that
the seven-minute video was admitted, this longer sixteen-minute video had not yet been shown
to the jury. Thus, the cumulative effect of the other video could not have been taken into the trial
justice’s calculus in making his Rule 403 determination. 11 Further, this longer video focuses
largely on other areas of the home and was recorded after the medical examiner removed
Camden’s body, evidence placards were placed around the bedroom, and police had seized other
evidence from the bedroom. This Court has never required the state to prove its case in the least
prejudicial way possible; to the contrary, we have steadfastly held that, because the state bears
the burden to prove its case beyond a reasonable doubt, “the state has the right to establish the
existence of those elements as it deems just.” State v. Spratt, 742 A.2d 1194, 1198 (R.I. 1999)
(quoting State v. Mora, 618 A.2d 1275, 1280 (R.I. 1993)). Accordingly, the subsequent
admission of this longer—yet arguably less probative—video did not render the video at issue
cumulative.
We perceive no abuse of discretion in the trial justice's decision to admit the video over
the defendant's objection on Rule 403 grounds.
11
The sixteen-minute video was subsequently admitted without objection.
- 28 -
IV
Conclusion
For the reasons set forth in this opinion, we affirm the judgment of the Superior Court.
The materials associated with this case may be remanded to that court.
Justice Flaherty, dissenting. I most respectfully dissent from the majority’s opinion in
this case. I do so because I believe that (1) it was error to admit the seven and a half minute
video into evidence; and (2) the trial justice erred when he did not provide the jury with an
accident instruction.
1
The Video
It was error to admit the seven and a half minute video prominently displaying the child
victim’s body because whatever probative value the video may have had, it was grossly
disproportionate to its prejudicial impact and, therefore, it should have been excluded pursuant to
Rule 403 of the Rhode Island Rules of Evidence. It is well settled that “Rule 403 cuts across the
rules of evidence.” State v. Gaspar, 982 A.2d 140, 148 (R.I. 2009). When deciding whether or
not to admit evidence, a trial justice “must carefully weigh the possibility that this evidence will
unfairly prejudice the accused.” State v. Brown, 626 A.2d 228, 233 (R.I. 1993) (citing State v.
Chartier, 619 A.2d 1119, 1123 (R.I. 1993)). It does not appear from the record that the trial
justice articulated, either expressly or impliedly, the balancing test required by Rule 403. This is,
in my opinion, in and of itself, error. And, in the context of this case, that error cannot be said to
be harmless. See State v. Pona, 948 A.2d 941, 953 (R.I. 2008) (Superior Court erred when it did
- 29 -
not attempt to strike a balance between the necessity of admission and the danger of unfair
prejudice).
It goes without saying that the mere fact that the video contains images that are difficult
for any reasonable person to see is not a sufficient reason to exclude it from consideration by the
factfinder. To be sure, disturbing, and even shocking visual or audio images are nothing new to
our jurisprudence. After all, we have said on many occasions that a criminal defendant “is not
entitled to a sanitized version of the * * * evidence.” State v. Pona, 66 A.3d 454, 468 (R.I.
2013). Indeed, the impact that such disturbing or gruesome images may have on the finder of
fact has been addressed on many occasions by this Court.
For example, in State v. Ellis, 619 A.2d 418, 424 (R.I. 1993), we upheld the admission of
photographs of a victim’s head that was “blown apart by a shotgun blast.” Likewise, in State v.
Brown, 88 A.3d 1101, 1118-21 (R.I. 2013), we upheld the admission of autopsy photographs
where the murder victim’s dissected brain was shown with hair protruding from the folded skin
of his scalp. And, in State v. Patel, 949 A.2d 401, 412-14 (R.I. 2008), we upheld the trial
justice’s admission of a 9-1-1 recording that contained a young child’s distraught voice as he
sobbed after his father was murdered before his eyes. In the recording, the rest of the family’s
agonized cries could clearly be heard in the background. Id. at 413.
The state argued, and the majority apparently agrees, that the video was necessary to
demonstrate the interior of the Fry home and the path that defendant and Camden took as they
struggled between the bathroom and the victim’s bedroom.
The seven minute video is disturbing by any measure. However, it is significant that the
video begins with a one minute and twenty second view of the exterior of the home as well as the
- 30 -
family car and its license plate. The viewer then follows the videographer as he enters the front
door of the residence, at which time a man, presumably the child’s father, can clearly be heard
sobbing. The footage consumes only ninety seconds inside the bathroom and then takes but a
few seconds travelling from the bathroom into the child’s bedroom. Almost the entirety of the
remainder of the video, consuming over half the footage, consists of the videographer panning
the body of the dead child from every conceivable vantage point, including close-ups of the
young girl’s mottled skin after the processes of rigor mortis and livor mortis have been
completed. After a four and a half minute viewing of her room—three and a half of which
intensely focuses on the dead child’s body—the remaining few seconds leave the viewer with
shots of the child’s bedroom, toys, and bookcase.
With all due respect to the majority, I see a difference, not merely in degree, but also in
kind with respect to the images allowed into evidence in this case. The nearly silent scenes of
the eight-year-old’s body as the camera moves up, down, and around her lifeless corpse are
macabre, if not grotesque. Given the extremely limited probative value of the images, there can
be no other purpose or result other than to evoke feelings of sympathy or disgust in the jury, to
the extreme prejudice of defendant. See State v. O’Brien, 774 A.2d 89, 107 (R.I. 2001); State v.
Carter, 744 A.2d 839, 847 (R.I. 2000).
In my opinion, this evidence had a feather’s weight, if that, of probative value,
considering the few seconds dedicated to the state’s purported purpose of depicting the crime
scene. It is clear to me that any minimal probative value that the video may have had was
substantially outweighed by the prejudicial impact that it carried. Patel, 949 A.2d at 412-13 (“It
is only evidence that is marginally relevant and enormously prejudicial that must be excluded.”).
Therefore, the images should not have been admitted into evidence and it was error to do so.
- 31 -
2
The Accident Instruction
It is also my view that, contrary to the majority’s opinion, defendant was entitled to a
specific instruction with respect to the defense of accident. I come to this conclusion because (1)
the entire thrust of the defense was that Camden’s death was a tragic accident and (2) that there
was more than sufficient evidence to support the defense’s theory in the record to justify such an
instruction. Indeed, we have explicitly said that
“where there is evidence in the record ‘in support of any defense offered by an
accused, which raises an issue of fact favorable’ to the accused, he or she is
entitled to an affirmative instruction which fully and fairly states the law
applicable thereto; that principle applies regardless of how ‘slight and tenuous the
evidence may be * * *.’” Larngar v. Wall, 918 A.2d 850, 857 (R.I. 2007)
(quoting State v. DiChristofaro, 848 A.2d 1127, 1129-30 (R.I. 2004)).
The trial justice declined to impart a specific accident instruction, instead relying on two
somewhat tangential references to accident that were included in his charge to the jury. The
majority embraces this conclusion, reasoning that the charge that was provided to the jury
informed the panel that it could not find defendant guilty unless it determined that her actions
were intentional and not the product of unintentional conduct.
I respectfully disagree. The word accident appears in the trial justice’s charge only twice
in an instruction that spans twenty-five minutes. In his charge, the trial justice did not discuss
accident as a theory of defense, but rather employed the word to modify and limn the definition
of intent. This passing reference was insufficient in light of defendant’s theory of the case,
which was that Camden’s death had been occasioned by unintentional conduct that occurred
- 32 -
while defendant was attempting to restrain an unruly child. The defendant’s requested
instruction, brief as it may have been, was much more clearly focused on that theory of defense.
Interestingly, the instruction that was given to the jury here is exquisitely similar to that
in State v. Drew, 919 A.2d 397 (R.I. 2007). In Drew, we upheld the trial justice’s refusal to give
a specific accident instruction because a passing reference to the word “accident” during the
testimony at trial did not “trigger a trial justice’s obligation to issue an accident instruction.” Id.
at 405. We upheld the trial justice’s refusal to give a comprehensive accident instruction because
the defendant admitted that accident was not a defense he pursued at trial and the defendant
neither presented evidence of accident at trial nor argued it in his closing. In Drew, the trial
justice instructed that
“As to the word ‘willfully,’ you are instructed that an act is done
willfully if it is done voluntarily and intentionally and not by
mistake or accident. * * * You should consider all of the facts and
circumstances in evidence that you think are relevant in
determining whether the state has proved beyond a reasonable
doubt that [defendant] acted with the required intent or state of
mind.” Id. at 404 (emphasis added.).
According to the Court in Drew, this “anemic reference” to accident was appropriate based on
the paucity of evidence of accident presented at trial. Id. Here, the trial justice instructed the
jury that
“An act is done willfully if it is done intentionally and voluntarily
and not by mistake or some other reason.
“* * *
“You may, however, infer a defendant’s intent from all the
surrounding circumstances. You may consider any statement or
act done by the defendant, and all other facts and circumstances
that are in evidence which may indicate the state of her mind. An
act is done intentionally and deliberately and purposefully and not
because of mistake or accident or any other innocent reason.”
(Emphasis added).
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If the reference to accident in Drew is indeed, “anemic,” I cannot fathom how the majority
reasons that the almost identical instruction employed here could have adequately apprised the
jury of defendant’s accident defense. The majority attempts to differentiate this case from Drew
by seeking solace in the fact that the trial justice made two passing references to the word
accident instead of one. I cannot agree that that was sufficient.
Additionally, I take issue with the majority’s conclusions that an accident instruction was
not justified because there was only “minimal evidence” that would support the jury’s conclusion
that Camden’s death was accidental and its assessment that there was a dearth of evidence of an
accidental occurrence. Under our jurisprudence, minimal evidence is all that is required. See
Larngar, 918 A.2d at 857. In my view, there was much more than minimal evidence on the
record.
The theme of both the opening and closing statements of defense counsel was that
Camden’s death was accidental and that it occurred while the mother was attempting to restrain a
resistant and flailing child. The defense offered but one witness, Dr. Elizabeth Laposata, the
state’s former medical examiner. Doctor Laposata testified that the cause of Camden’s death
was consistent with an accident because it may well have occurred while her mother was
attempting to restrain her, and that the cause of death was asphyxia as a result of a combination
of compression of the blood vessels on the side of the neck, compression of the torso, and
obstruction of the mouth. Significantly, on cross-examination, the state’s witnesses Timothy Fry
and Barbara Kettle testified that the defendant related to each of them that she tried to control the
thrashing and screaming child by sitting on her and covering her mouth, and that she had
successfully employed that procedure during past instances of difficulty with Camden. Although
it is not the defendant’s burden to prove that Camden’s death was an accident, the defendant
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more than provided minimal evidence upon which a trier of fact could conclude that the death
was not intentional beyond a reasonable doubt. For these reasons, it is my opinion that the
defendant was entitled to a specific accident instruction.
For the above reasons, I respectfully dissent from the majority’s opinion in this case, and
I would grant the defendant a new trial.
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RHODE ISLAND SUPREME COURT CLERK’S OFFICE
Clerk’s Office Order/Opinion Cover Sheet
TITLE OF CASE: State v. Kimberly Fry.
CASE NO: No. 2013-221-C.A.
(W1/10-413A)
COURT: Supreme Court
DATE OPINION FILED: February 1, 2016
JUSTICES: Suttell, C.J., Goldberg, Flaherty, Robinson, and Indeglia, JJ.
WRITTEN BY: Associate Justice Gilbert V. Indeglia
SOURCE OF APPEAL: Washington County Superior Court
JUDGE FROM LOWER COURT:
Associate Justice William E. Carnes, Jr.
ATTORNEYS ON APPEAL:
For State: Christopher R. Bush
Department of Attorney General
For Defendant: Kara J. Maguire
Office of the Public Defender