Filed 9/11/20 P. v. Alford CA4/1
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COURT OF APPEAL, FOURTH APPELLATE DISTRICT
DIVISION ONE
STATE OF CALIFORNIA
THE PEOPLE, D074513
Plaintiff and Respondent,
v. (Super. Ct. No. JCF36467)
JUSTIN LOUIS DARNELL ALFORD,
Defendant and Appellant.
APPEAL from a judgment of the Superior Court of Imperial County,
Christopher J. Plourd, Judge. Remanded for resentencing, affirmed in all
other respects.
Patricia J. Ulibarri, under appointment by the Court of Appeal, for
Defendant and Appellant.
Xavier Becerra, Attorney General, Lance E. Winters, Chief Assistant
Attorney General, Julie L. Garland, Assistant Attorney General, A. Natasha
Cortina and Lynne G. McGinnis, Deputy Attorneys General, for Plaintiff and
Respondent.
Justin Alford participated in a home invasion robbery, along with
Aaron Jackson and Kevin Scott, that resulted in the death of Donald Tarker.
A jury found Alford guilty of murder (count 1; Pen. Code1 § 187, subd. (a));
first degree robbery (count 2, § 211); first degree burglary with a person
present (count 3, § 459); battery with serious bodily injury on Andrew R.
(count 4, § 243, subd. (d)) and Angela W. (count 5, § 243, subd.(d)); conspiracy
to commit a crime (count 7, § 182, subd. (a)(1)); and making criminal threats
(count 8, § 422, subd. (a).) The jury also found that the murder was
committed while Alford was engaged as a major participant in a conspiracy to
commit robbery and burglary, as alleged in special circumstances to the
murder charge. (§ 190.2, subd. (a)(17).) Thereafter, the superior court made
a true finding that Alford had a strike prior and sentenced him to a total
prison term of life without the possibility of parole plus a determinate term of
26 years four months.
Alford appeals and asserts the superior court improperly reversed its
own ruling on a Batson/Wheeler2 motion, thereby depriving him of his right
to a trial drawn from a representative cross-section of the community and
failed to properly instruct the jury that a coconspirator can commit an act
outside the scope of the conspiracy, and on the lesser included offenses of
second degree murder and involuntary manslaughter. In addition, Alford
raises a number of sentencing issues. He asserts the court erred by imposing
multiple five-year sentence enhancements pursuant to section 667,
subdivision (a)(1) based on a single serious felony prior, the matter should be
remanded to the superior court to allow the court to exercise its discretion to
strike the remaining five-year enhancement, and that the sentence imposed
1 All further statutory references are to the Penal Code.
2 People v. Wheeler (1978) 22 Cal.3d 258 (Wheeler); Batson v. Kentucky
(1986) 476 U.S. 79 (Batson).
2
on count 8 should be stayed pursuant to section 654. We remand the matter
for resentencing but affirm the judgment in all other respects.
FACTUAL AND PROCEDURAL BACKGROUND
May 25, 2016 Home Invasion
Tarker, the primary victim, operated a marijuana dispensary out of his
home in Salton City. Alford and Jackson knew about the dispensary and, in
May 2016, they decided to rob Tarker and steal the marijuana.
On May 20, Alford messaged Jackson and said, “I went to ol’ boy house
this morning. I went right past it, too. . . . And we need to go ASAP. . . . It’s
waiting for us.” They needed a ride, though, as Tarker’s house was
approximately an hour away from where they lived and worked. They asked
Scott and he agreed to drive them to Tarker’s. On May 24, Alford asked Scott
to call Tarker’s phone and Scott texted Alford to report that Tarker did not
answer. Scott added, “I’ll keep calling them. We ain’t paying for shit.”
The next day, May 25, Tarker arrived home from the hospital after
undergoing brain surgery related to head injuries he sustained in a separate
home invasion that occurred approximately 30 days earlier. That evening,
Tarker had a number of friends over, including Andrew R., Angela W., and
Angela’s 16-year-old daughter Destiny. Tarker was acting normal, talking
with his friends and walking around the house.
At approximately 7:00 p.m., Scott picked up Alford and Jackson and
drove to Tarker’s. Jackson was wearing a white T-shirt and black pants, and
Alford was wearing gray jogging pants, gray shoes, and a “whitish grayish”
shirt.3
3 Later, in the car, Scott noticed blood on Alford’s shirt and handed him a
blue sweater to put on.
3
They arrived and knocked on the front door of Tarker’s house sometime
between 8:00 p.m. and 9:00 p.m. Tarker opened the door to speak with them
but left the screen door closed and locked. He then went into the kitchen and
returned a couple of minutes later. Tarker unlocked the screen door and one
or more of the assailants charged in, causing him to yell, “no,” and fall
backwards onto the ground.
Destiny saw two young African-American men, whom she later
identified as Alford and Jackson, enter the living room. They were both
wearing blue latex “doctor gloves.” Alford hit Angela and Jackson hit
Destiny, knocking her out.
Andrew was hit on the left side of his eye but was not sure what hit
him. He had been drinking and smoking marijuana and did not recall much
from the evening. Angela heard Andrew get hit but did not see who hit him.
She heard Alford yelling and assumed it was him who hit Andrew, but she
was not sure.
Alford asked Angela where the “stuff” was and threatened her, asking
“Was this worth dying over?” Alford continued to hit Angela, approximately
50 to 75 times, and she eventually pretended to be unconscious so he would
stop. She felt one of the men feel around her pants pockets for her phone and
heard them find her and Destiny’s purses.
Destiny eventually regained partial consciousness; she could hear the
men yelling but she could not move or see. She heard the front door shut and
then came back into full consciousness. Angela was bleeding, Andrew was
unconscious, and her and Angela’s phones and purses were missing.
After leaving the house, Jackson and Scott went to put the bags of
marijuana in the trunk of Scott’s car. In their rush to open the trunk,
4
Jackson ripped the license plate holder off. According to Scott, Alford was the
last to leave the house.
Angela waited a few minutes to ensure the men were gone and then
crawled to the kitchen, found the house phone, and called 911. She told the
operator that two people had come into the house and attacked them and that
the individual who hit her was wearing a white T-shirt and black pants.
Around the same time, Imperial County Sheriff’s Deputy E. Ramirez
was driving down Highway 86 towards Salton City. He noticed a white car
traveling northbound on the service road. The car drew his attention because
the license plate cover was missing, causing the license plate lamps to be
unusually bright.
Approximately nine minutes later, at 9:09 p.m., Ramirez received a
dispatch call regarding the incident. Ramirez was near Tarker’s house at
that point and arrived on the scene just a few minutes later. He could see
Angela in the kitchen, through a window, and noted that her face and hair
were covered in blood. He entered through the front door and found a tall
White adult male, later identified as Tarker, lying on the ground with his feet
toward the door, unresponsive. Tarker was not breathing and Ramirez was
not able to get a pulse. Another officer cleared the residence while Ramirez
began CPR.
Emergency Medical Technicians (EMT’s) arrived approximately 10
minutes later and took over treatment of Tarker. The medics were unable to
revive Tarker and he was pronounced dead at the scene just before 10:00 p.m.
A deputy coroner examined the body at approximately 11:30 p.m. Tarker had
small lacerations and blunt force trauma injuries in several places on his
body, including his head and back. In particular, there were “fresh” injuries
to Tarker’s right eye, right temple, left temple, and back consistent with
5
blunt force trauma. A forensic pathologist later confirmed that Tarker died
from blunt force trauma inflicted within one hour of his death but could not
determine whether there was one definitive injury, or blow, that caused his
death.
Angela and Andrew were transported to the hospital via ambulance.
Andrew had a one-inch long gash near his left eye and received eight to 10
stitches. Angela’s nose was crushed, and her jaw was broken in three places.
She was transported to a larger hospital for surgery and remained
hospitalized for about a week. Destiny did not go to the hospital that
evening, but she did experience chronic headaches for approximately two
months after the assault.
The Arrest and Investigation
After the EMT’s arrived, Ramirez put out a BOLO (be on the lookout)
for the white car with the missing license plate cover that he had seen in the
area just before receiving the dispatch call. The BOLO also identified three
Black males as potential occupants, based on the descriptions given by the
victims at the scene.
Meanwhile, Alford, Jackson, and Scott stopped at Brian’s house to drop
something off. While they were parked outside, Alford went through the
purses and then threw them in a trashcan across the street. After leaving
Brian’s, they proceeded back toward Highway 86.
At 9:30 p.m., approximately 15 minutes after the BOLO went out,
Agent Ascencio with the U.S. Border Patrol identified a white vehicle
matching the description traveling down Highway 86, in the opposite
direction as Tarker’s residence. Ascencio notified dispatch and stopped the
vehicle. As he approached, he noticed a strong odor of marijuana emanating
6
from the vehicle. Ascencio confirmed that there were three Black males in
the vehicle and then returned to his vehicle to request backup.
When additional officers arrived, they secured the area and placed
Alford, Jackson, and Scott in separate police vehicles. Ascencio then
conducted a search of the vehicle and located several bags containing what
appeared to be marijuana plants, a bag full of clothing with bloodstains, and
a number of other items. In addition, officers discovered a camcorder and
tripod that belonged to Tarker in the trunk and a baseball bat in the backseat
of the car.
After learning the border patrol had stopped a vehicle matching the
description he gave, Ramirez drove to the location of the stop and confirmed
that the car was the same car he had seen earlier that evening. Scott was
subsequently identified as the driver, and Alford and Jackson were identified
as the two passengers.
Sergeant Masad, the lead investigator on the matter, was at Tarker’s
residence when he learned the car had been located. Shortly after receiving
the call, he left the residence and took Destiny to the location of the traffic
stop to see if she could identify the suspects. It was nearly 11:00 p.m. by the
time they arrived and there was minimal lighting available. Destiny
remained in the back of Masad’s vehicle, and a deputy walked each of the
suspects to the front the vehicle, one at a time. Destiny could not identify
any of the suspects. She was certain that she had not seen Scott at Tarker’s
but was not certain as to Alford or Jackson.
Alford, Jackson, and Scott were processed for evidence and interviewed.
There was blood on a dark-blue long-sleeved shirt worn by Alford, on Alford’s
socks and shoes, and on Jackson’s white T-shirt. The clothing was collected,
7
and subsequent DNA testing indicated that Andrew was a primary
contributor to the DNA in the blood.
Alford had a number of small cuts on his knuckles, consistent with the
type of injuries typically sustained during an assault or fistfight, and his
knuckles were swollen. They were no longer bleeding but appeared to be
“fresh” as they were still reddish and not dark. Alford had two stacks of five-
dollar bills and a bag of marijuana in his pockets. When asked if the money
and marijuana belonged to him, he said that one stack of money was his, but
admitted he took the other stack and the marijuana from Tarker’s
residence.4
Alford initially said that he was not at Tarker’s and did not know
anything about the home invasion. He said he got into a fight at his friend
Brian’s house, which was nearby in Salton City, and the blood on his clothing
was his own. He said Scott picked him up after the fight and the police
pulled them over shortly thereafter.
He then changed his story and admitted he had gone to Tarker’s. He
said his friend Brian told him there was marijuana in the bedrooms and
assured him that no one would be home. He met Brian, Scott, and Jackson at
a convenience store earlier that evening, discussed the plans, and then he,
Scott, and Jackson went to Tarker. He said they had not actually gone to
Brian’s house and the blood on his pants was from a fight with a “cholo”
before they left Indio. Alford claimed he was the last one to enter Tarker’s
house, went straight to the bedroom to put the marijuana in the bags, and
did not touch any of the victims.
4 The court instructed the jury to consider Alford’s statements only in
deciding Alford’s case, and not to consider them as to Jackson.
8
Jackson initially said that he was not involved in the plan, did not
enter the house, and was just a lookout. He later admitted they had planned
to steal the marijuana and said Tarker fell when they rushed through the
door. He said Tarker was conscious after the fall and was trying to poke him
with a metal object, but that he saw Tarker on the ground when they were
leaving and thought he looked dead. Jackson also admitted that he went into
the house and helped fill a duffle bag with marijuana.
Scott admitted that he was the driver and that he stole marijuana from
Tarker’s home but claimed that his involvement was “minor.”
Masad interviewed Angela five days later, on May 31. He showed her
three sets of six photographs (six-packs), each of which included a photograph
of Alford, Jackson, and Scott. Angela did not identify Scott, but she did
identify Alford and Jackson as the two men that she saw during the home
invasion and further identified Alford as the individual who assaulted her.
A deputy sheriff went to look for Angela and Destiny’s purses in the
trashcan near Brian’s house but all of the trashcans in the area were empty
when he arrived. A neighbor told him the trash had been picked up earlier
that morning, so he went to the city landfill and eventually located one of the
purses in the trash that had been dropped off that day.
Scott Agrees to Testify Against Jackson and Alford
In January 2018, Scott entered a plea agreement and agreed to testify
against Alford and Jackson.
In a follow-up interview with Masad, Scott said that Alford texted him
and asked him to call Tarker to see if he was home. He drove Jackson and
Alford to Tarker’s house and, when they got there, Alford told him to knock
on the door and ask for some “weed.” Tarker said, “let me check” and went
into the house, closing the screen door but leaving the main door open.
9
Tarker returned with a green bottle. He opened the door and Alford and
Jackson rushed in. Alford told Tarker to lay down on the floor and asked him
“where’s the weed?”
Scott heard Alford and Jackson “tussling” with Tarker and Alford later
told him that Tarker was trying to hit him with some sort of metal object.
Scott indicated that both Alford and Jackson were fighting with Tarker, and
that he saw Jackson punch Tarker and take the metal object away from him.
It then became quiet and Alford ran toward him and handed him some
gloves. He then helped pack a number of marijuana plants into bags. Scott
and Jackson took the bags to the car and Alford stayed behind. Scott heard
yelling and screaming and then Alford emerged with a bag and two purses.
Scott testified consistently with this account at trial. Specifically, Scott
testified that Jackson wrestled the metal object away from Tarker and hit
Tarker with his fist at least a couple of times. He said Alford then hit Tarker
several times after Jackson removed the metal object and Tarker stopped
moving shortly thereafter.
Defense Case
Dr. Mitchell Eisen, an expert in eyewitness identification, testified
regarding eyewitness identifications. He opined a witness who recalled
seeing two assailants and did not identify one of the assailants in the first of
three photo arrays would be more likely to “pick” someone in the second and
third arrays. He further explained that sometimes an identification is made
based on suggestive elements in the photograph, as opposed to actual
recognition.
Jackson testified on his own behalf at trial. Jackson testified that he
was 20 years old at the time of the murder, that this was his first arrest, and
that he had had not previously been convicted of any crimes. He met Scott
10
approximately six months before Tarker’s murder and they both worked as
security guards at a local grocery store.
He said that he went to Tarker’s with Scott and Alford on May 25 but
thought they were going to buy marijuana, not to commit any crimes. He
said it was Scott who initially charged into the house when Tarker brought
the marijuana out and opened the door. The door hit Tarker in the head,
causing him to fall straight back and hit the back of his head on the ground.
Alford handed Jackson a black bag and either he or Scott directed Jackson to
go to the bedroom and fill the bag with marijuana. Jackson testified that he
never entered the living room and did not assault anyone. When they had all
gotten into the car to leave, Scott said he forgot his phone and went back into
the house alone.
Jackson’s hands were photographed on the evening of the murder and
he did not have any injuries, cuts, or abrasions on his knuckles or anywhere
else. He asserted that was because he did not touch anyone that evening.
A.G. testified that he previously shared a cell with G.V. and that Scott
bragged to him and G.V. about killing Tarker. He said Scott told them he
went back to the house a second time and “went too far.” Specifically, A.G.
testified that Scott said, “I feel sorry about what I did. And I went over [sic]
my hands, and I killed the guy. And I should have never went there the
second time. I put him away.” In addition, Scott told A.G. and G.V. that he
was going to point to someone else to “get out of it.”
At the time of trial, A.G. was housed in the same module as Jackson.
A.G. talked and played cards with Jackson but said that he was testifying
voluntarily and not to benefit Jackson.
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Sentencing
The jury found Alford guilty on all counts and found the special
allegations to be true. The superior court sentenced Alford to a total prison
term of life without the possibility of parole plus a determinate term of 26
years four months.
DISCUSSION
I.
Batson/Wheeler Challenge
Alford and Jackson are both African-American and were tried by a jury
with no African-American jurors. The original jury pool included three
potential African-Americans jurors, but one was dismissed for hardship and
the prosecutor used peremptory strikes to remove the other two.
Defense counsel brought Batson/Wheeler motions after each
peremptory strike and the superior court ultimately denied both motions.
With respect to the second motion, the superior court initially found defense
counsel had made a prima facie showing of discrimination, but then reversed
itself the following morning after clarifying the record.
Alford contends the court’s reversal of its original ruling on the second
Batson/Wheeler motion constituted reversible error.
A. Relevant Legal Principles and Standard of Review
Both the state and federal Constitutions prohibit the use of peremptory
strikes to remove prospective jurors based on race or group bias. (People v.
Scott (2015) 61 Cal.4th 363, 383 (Scott); People v. Lenix (2008) 44 Cal.4th 602,
612.) “The now familiar Batson/Wheeler inquiry consists of three distinct
steps. First, the opponent of the strike must make out a prima face case by
showing that the totality of the relevant facts gives rise to an inference of
discriminatory purpose in the exercise of peremptory challenges. Second, if
12
the prima facie case has been made, the burden shifts to the proponent of the
strike to explain adequately the basis for excusing the juror by offering
permissible, nondiscriminatory justifications. Third, if the party has offered
a nondiscriminatory reason, the trial court must decide whether the opponent
of the strike has proved the ultimate question of purposeful discrimination.”
(Scott, at p. 383.)
With respect to the first step, a defendant establishes a prima facie
case if there is evidence that allows “ ‘the trial judge to draw an inference
that discrimination has occurred.’ ” (People v. Clark (2011) 52 Cal.4th 856,
904, quoting Johnson v. California (2005) 545 U.S. 162, 170.) The court
should consider the entire record up to the time of the motion, but certain
types of evidence are particularly relevant. (Scott, supra, 61 Cal.4th at
p. 384.) “Among these are that a party has struck most or all of the members
of the identified group from the venire, that a party has used a
disproportionate number of strikes against the group, that the party has
failed to engage these jurors in more than desultory voir dire, that the
defendant is a member of the identified group, and that the victim is a
member of the group to which the majority of the remaining jurors belong.
[Citation.] A court may also consider nondiscriminatory reasons for a
peremptory challenge that are apparent from and ‘clearly established’ in the
record . . . .” (Ibid.)
On appeal, we give deference to the superior court’s ruling on Batson/
Wheeler motions and consider only whether substantial evidence supports the
court’s conclusions. (Lenix, supra, 44 Cal.4th at p. 613.) We presume the
prosecutor used the peremptory challenges in a constitutional manner and, so
long as the superior court makes a sincere and reasoned effort to evaluate the
13
reasons offered, we defer to the court’s ability to distinguish bona fide reasons
from sham excuses. (Id. at pp. 613-614.)
As the court in Scott explained, “a reviewing court may not rely on a
prosecutor’s statement of reasons to support a trial court’s finding that the
defendant failed to make out a prima facie case of discrimination. Although a
court reviewing a first-stage ruling that no inference of discrimination exists
‘may consider apparent reasons for the challenges discernable on the record’
as part of its ‘consideration of “all relevant circumstances” ’ [citation], the fact
that the prosecutor volunteered one or more nondiscriminatory reasons for
excusing the juror is of no relevance at the first stage.” (Scott, supra, 61
Cal.4th at p. 390.)
However, when the reason offered by the prosecutor is used to bolster
the existence of prima facie case, reviewing courts “should not blind
themselves to the record in the ‘rare’ circumstance that a prosecutor
volunteers a justification that is discriminatory on its face.” (Scott, supra, 61
Cal.4th at pp. 390-391.) “A proffered justification that is facially
discriminatory must be weighed with the totality of the relevant facts to
determine whether they give rise to an inference of discriminatory purpose
and thus compel analysis of the subsequent steps in the Batson/Wheeler
framework.” (Id. at p. 391.)
Of particular relevance here, the court further explained, “[i]n the
circumstance where (1) the trial court has determined that no prima facie
case of discrimination exists, (2) the trial court allows or invites the
prosecutor to state his or her reasons for excusing the juror on the record, (3)
the prosecutor provides a reason that is discriminatory on its face, and (4) the
trial court nonetheless finds no purposeful discrimination, the appellate court
should likewise begin its analysis of the trial court’s denial of the Batson/
14
Wheeler motion with a review of the first-stage ruling. In that (likely rare)
situation, though, the relevant circumstances, including the facially
discriminatory justification advanced by the prosecutor, would almost
certainly raise an inference of discrimination and therefore trigger review of
the next step of the Batson/Wheeler analysis.” (Scott, supra, 61 Cal.4th at
pp. 391-392.)5
B. Overview of the Strikes
The superior court conducted voir dire in this case by seating 24 jurors
at a time and allowing counsel to question all 24 potential jurors. The court
then allowed the prosecutor and the defense attorneys to make alternating
peremptory strikes on the first 12 jurors, filling the open seat after each
strike with the remaining jurors in seats 13-24. When there were no more
jurors in the pool of 24 to fill the first 12 seats, the court called additional
jurors from the pool to fill the open seats and repeated the process.
Defense counsel for Jackson routinely asked jurors their thoughts on
NFL players kneeling during the national anthem. For example, he asked
one of the first prospective jurors: “[T]his past year, you know, in the
National Football League, we had some players, during the playing of the
national anthem, would take a knee as a form of protest. And you know, our
5 The Batson framework has become the subject of increased scrutiny in
recent years. The California Supreme Court recently announced the
formation of a workgroup to address, in part, “perceived shortcomings in the
practical application of the [Batson] framework.” (California Supreme Court
News Release, “Supreme Court Announces Jury Selection Work Group,” (Jan.
29, 2020) p. 1.) In addition, earlier this year, the legislature introduced
Assembly Bill No. 3070, to address “both conscious and unconscious bias in
the use of peremptory challenges.” (Assem. Bill No. 3070 (2019-2020 Reg.
Sess.).) This case is one in which the framework poses some particular
challenges. Nevertheless, it remains the framework that we must follow.
15
illustrious President condemned that and referred to many of those people as
‘those SOBs’ and that the owners should fire them. What’s your feelings on
that?” Thereafter, he routinely asked the new jurors something like, “how do
you feel about the NFL players kneeling during the national anthem?”
“Prospective Juror No. 12”6 was the first African-American juror to be
seated and questioned. Regarding the NFL question, he stated, “[t]o each his
own. Do what you want to do.” The prosecutor passed on “Prospective Juror
No. 12” several times.
While “Prospective Juror No. 12” was still in the box, “Prospective
Juror No. 7,” the second African-American juror on the panel, was seated. He
said he had a military background and answered the NFL question with “I
don’t have a problem with it at all. . . . That’s what I fought for.” As soon as
“Prospective Juror No. 7” moved into the top 12 seats, the prosecutor used a
peremptory strike to remove him. Defense counsel requested a side bar and,
thereafter, the court excused “Prospective Juror No. 7.” At the conclusion of
that same round of strikes, the final potential African-American juror,
“Prospective Juror No. 10,” was placed in seat 24.
At the end of that day, the court invited counsel to put the sidebar
discussion on the record. Defense counsel explained that he had raised a
Batson/Wheeler challenge because “Prospective Juror No. 7” was one of only
three prospective jurors who was African-American, and he did not believe
there was anything in the juror’s answers to justify the peremptory strike.
The court then explained that it denied the challenge after finding defense
counsel had not established a prima facie case. The court then noted, there
6 As noted, the prospective jurors moved seats throughout the process.
For consistency and to avoid confusion, we refer to the prospective African-
American jurors by the seat they were in when removed from the jury pool.
16
was another African-American prospective juror in seat 12 that the
prosecutor had passed on, which indicated the prosecutor was not using race
as a basis for the strikes.
The court then asked the prosecutor if she wanted to make a record of
her reasons for striking “Prospective Juror No. 7” and the prosecutor raised
two issues: 1) “he thinks it was weird or strange that the prosecution would
call a witness who had been given a deal to testify and that he thought that
only happened on TV, not in real life”; and 2) “he had no problem with the
knee, so he said, which would indicate to me that he’s anti-law
enforcement.” The court did not comment on the reasons at that time.
However, the court noted there were only two potential African-American
jurors remaining and asked the prosecutor to alert the court before using a
peremptory challenge against either.
When questioning of the potential jurors resumed, “Prospective Juror
No. 10” answered the NFL question by stating, “I’m ex-military. I have no
problem with them demonstrating the way they did, where they did it. I
served in the 1963 Olympic protest.”
The prosecutor then discussed the “tennis player example” with the
jurors. She said a person is wearing a tennis outfit, carrying a tennis racquet
and a cannister of balls, and walking toward the park where the tennis courts
are. Even though she doesn’t tell you she’s going to play tennis, you can infer
her intent. She asked, “who here feels that is not enough to infer somebody’s
intent?” A juror, likely “Prospective Juror No. 10,” responded that the person
might be going to shoot a tennis commercial and that he would like to see her
17
actually playing tennis.7 However, he then clarified, “I didn’t say I would
have to. I would think looking at her walk to the tennis court, I’m not sure
she’s going to play tennis, going to watch tennis.” When asked what would
make you think she is going to play tennis, he said “maybe she has a
partner—tennis racquet and her opponent walking together, maybe going to
play a game.”
After “Prospective Juror No. 10” moved into seat 10 but before the
prosecutor had a chance to exercise a peremptory strike against him, the
court excused “Prospective Juror No. 12” for hardship, leaving “Prospective
Juror No. 10” as the only potential African-American juror. After further
questioning, the court held a conference with counsel, outside the presence of
the jury, and the prosecutor indicated she intended to use her next
peremptory strike against “Prospective Juror No. 10.”
The court stated, “[i]f you were going to use that peremptory challenge,
I would have to find a prima facie case has been made . . . because you’ve
passed on him a number of times.” The prosecutor responded that she had
not passed on “Prospective Juror No. 10” as he was just recently moved from
seat 24 to seat 10, but that she had passed on “Prospective Juror No. 12” a
number of times before he was excused for hardship. The court noted the
7 The record is not clear as to which juror responded. However, the
prosecutor later offered this response as her reason for using a peremptory
strike against “Prospective Juror No. 10.” Defense counsel did not object or
assert it was not “Prospective Juror No. 10” who gave these responses at that
time, and although Alford attempts to reserve the issue, he also does not
explicitly assert or argue that it was not “Prospective Juror No. 10” on
appeal. We therefore presume it was “Prospective Juror No. 10” who gave
these responses.
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court reporter was not available and asked the prosecutor to state her
reasons for striking “Prospective Juror No. 10.”
The prosecutor raised the tennis player example, and the court stated,
“that question is problematic and to allow it to be used to exercise a
peremptory challenge . . . would not be appropriate.” Accordingly, the court
stated if the prosecutor were to use the peremptory challenge, the court
would have to grant a motion to strike the entire panel and start over again,
so the court would not allow the prosecutor to use a peremptory challenge
against “Prospective Juror No. 10.”
The court addressed the issue again at the end of the day. It noted the
prosecutor had used one other peremptory strike against an African-
American juror, “Prospective Juror No. 7,” but that it had not made a prima
facie showing. The court further added that the prosecutor had relied on the
NFL question in striking “Prospective Juror No. 7” and noted, “[h]e was very
enthusiastic, he was very emotionally—you know, his answer was a little bit
farther than most on that particular issue.” Accordingly, the court stated it
did not have a problem finding the prosecutor’s reasons with respect to
“Prospective Juror No. 7” were not pretextual.
The prosecutor asked if the court had also considered the response of
“Prospective Juror No. 10” to the NFL question. The court indicated the
prosecutor had not raised it before but nevertheless said it did consider his
answer and explained “he didn’t have a problem with it because, you know,
he believed in the First Amendment, in the freedoms that come with that[,]
that he fought for in the military. My sense was that he wasn’t all in favor of
that, but they have a right to do what they do. A lot of people look at that
differently. They say, well, they don’t agree with it, but people have a First
Amendment right and so forth, and that’s sort of where I saw based upon his
19
body language, how he was answering it.” Finally, the prosecutor had passed
on “Prospective Juror No. 12” a number of times and the court agreed.
The next morning, the court raised the issue once again. The court
explained it had reviewed the record and discovered the prosecutor was
correct when she stated she had not previously passed on “Prospective Juror
No. 10.” The court indicated it was going to reconsider its ruling as a result
and asked defense counsel to formally make the Batson/Wheeler motion.
After further argument, the court noted the prosecutor had passed on
“Prospective Juror No. 12” (Riven) but had not passed on “Prospective Juror
No. 10” and found defense counsel had not made a prima facie showing that
the strike was discriminatory. The court invited the prosecutor to put her
reasons for the strike on the record and she raised both the tennis player
example and the NFL players kneeling issue. The court did not comment on
the reasons but reiterated its ruling that the defense had not made a prima
facie showing of discriminatory purpose.
C. Analysis
1. “Prospective Juror No. 7”
Alford relies on People v. Gutierrez (2017) 2 Cal.5th 1150 (Gutierrez) to
assert the superior court did not make a “sincere and reasoned attempt” to
evaluate the prosecutor’s justification for using a peremptory strike against
“Prospective Juror No. 7.” (See id. at p. 1159.) Alford’s reliance on Gutierrez
is misplaced.
In Gutierrez, the People did not dispute that the defendants had made
a prima facie case and, thus, on appeal, the court was focused on the second
and third steps of the Batson/Wheeler framework. (Gutierrez, supra, 2
Cal.5th at pp. 1156-1157.) To the contrary, here, the court denied the initial
Batson/Wheeler motion as to “Prospective Juror No. 7” based on its finding
20
that defense counsel had not established a prima facie showing. Although
the court invited the prosecutor to put her reasons for striking “Prospective
Juror No. 7” on the record, it did so only after making its ruling that the
defense had not established a prima facie case for discrimination.
Accordingly, the superior court was not required to make a “sincere and
reasoned attempt” to evaluate the prosecutor’s reasons for the strike. (See
Scott, supra, 61 Cal.4th at pp. 383, 390.)
Focusing on the first step in the Batson/Wheeler analysis, we agree
with the superior court’s finding that no prima facie case had been
established by the prosecutor’s use of a peremptory strike against
“Prospective Juror No. 7.” As the superior court noted, the prosecutor had
not struck any other African-American jurors at that point, but had passed
on another, “Prospective Juror No. 12,” a number of times. The single
peremptory strike of an African-American juror, while another remained on
the panel, did not give rise to an inference of discriminatory purpose. (See
Scott, supra, 61 Cal.4th at p. 383; People v. Christopher (1991) 1 Cal.App.4th
666, 673 (Christopher) [“prosecutor’s challenge of one or two prospective
jurors of the same racial or ethnic background as the defendant will not
establish a prima facie case of impermissible group-based bias in the absence
of other significant supporting evidence”]; People v. Box (2000) 23 Cal.4th
1153, 1188-1189 (Box), disapproved on another ground in People v. Martinez
(2010) 47 Cal.4th 911, 948, fn. 10 [no prima facie case where “only basis for
establishing a prima facie case cited by defense counsel was that the
prospective jurors—like defendant—were Black”].)
Alford provides no authority to the contrary, but asserts the cases cited
by the People are distinguishable because, here, defense counsel also argued
there was nothing in the juror’s answers that indicated he could not be fair
21
and impartial. We disagree. The assertion there was not a valid,
nondiscriminatory reason for the peremptory strike is inherent in any
Batson/Wheeler challenge. (See Scott, supra, 61 Cal.4th at p. 383.)
Accordingly, this general statement by defense counsel is not sufficient to
distinguish this case from others in which courts found no prima facie
showing based on peremptory strikes against one or two prospective jurors of
a certain race. (See Christopher, supra, 1 Cal.App.4th at p. 673.)
In any event, even if we were to consider the superior court’s evaluation
of the prosecutor’s stated reasons for striking “Prospective Juror No. 7,” we
would not find evidence of purposeful discrimination. As Alford concedes,
Scott was a key witness for the prosecution and “Prospective Juror No. 7” had
indicated at least some reservations about witnesses being given a “deal” in
exchange for their testimony. Alford points out that “Prospective Juror No.
7” later indicated he would still be able to listen to the witness but, even with
that qualification, the prosecutor could have had legitimate concerns given
how significant Scott’s testimony was to the overall case. (See People v. Jones
(2011) 51 Cal.4th 346, 368 [concerns a potential juror may look down on
certain witnesses was a sufficient basis for a peremptory strike].)
Moreover, the prosecutor also raised the response of “Prospective Juror
No. 7” to the NFL players kneeling question and the superior court later
noted the juror’s response was very emotional and “a bit farther than most on
that particular issue.” Alford argues other jurors gave similar responses, but
the superior court’s discussion suggests otherwise. We give deference to the
superior court’s ruling and, in particular, to the court’s ability to make
judgments based on subtle nuances in the juror’s response based on, for
example, the juror’s attitude, body language, and facial expressions. (See
Lenix, supra, 44 Cal.4th at pp. 613, 623.)
22
2. “Prospective Juror No. 10”
The analysis with respect to the peremptory strike of “Prospective
Juror No. 10” is more complex. Here, we have a rare circumstance in which
the superior court initially rejected the prosecutor’s explanation of the
peremptory strike. (Scott, supra, 61 Cal.4th at pp. 391-392.) However, it is
important to note that the superior court did not find the prosecutor’s reasons
to be facially discriminatory and, instead, found the tennis player example
was “problematic” and, thus, not sufficient to overcome the prima facie
showing. (See ibid.) Moreover, the ruling was based, at least in part, on the
superior court’s inaccurate recollection of the prosecutor’s use of peremptory
strikes. Thus, the superior court’s comments regarding the prosecutor’s
explanation cannot be ignored, but we must also consider them in context
and along with the totality of relevant facts. (See ibid.)
Having done so, we conclude substantial evidence supports the superior
court’s conclusion defense counsel did not make out a prima face case. (See
Scott, supra, 61 Cal.4th at p. 383.) Ultimately, the prosecutor exercised
peremptory strikes against two out of the three African-American jurors in
the pool. However, the prosecutor passed several times on the third African-
American prospective juror and, presumably, would have accepted a panel
with an African-American juror had the third not been excused for hardship.
(See Scott, at p. 383; Christopher, supra, 1 Cal.App.4th at p. 673; Box, supra,
23 Cal.4th at pp. 1188-1189.) Alford asserts passing on another juror of the
same race is not dispositive. (See Gutierrez, supra, 2 Cal.5th at pp. 1170-
1171.) Nevertheless, it is a significant factor, particularly where, as here, the
prosecutor struck only two other jurors of the same race.
When the superior court made its original ruling that a prima facie
case had been shown, it was under the mistaken impression the prosecutor
23
had previously passed on “Prospective Juror No. 10” and had used a
peremptory strike against him only after “Prospective Juror No. 12” was
released for hardship. Instead, though, the prosecutor used a peremptory
strike against “Prospective Juror No. 10” at her first available opportunity.
Thus, the true circumstances indicate the prosecutor was planning to strike
“Prospective Juror No. 10” based on his answers and was willing to leave
another juror of the same race on the panel.
Moreover, even if defense counsel had made a prima facie showing, the
prosecution’s explanation was not facially discriminatory and did not suggest
purposeful discrimination when considered along with the totality of facts.
(Scott, supra, 61 Cal.4th at p. 383.) The prosecutor’s primary reason for
striking “Prospective Juror No. 10” was his response to the tennis player
example. Specifically, the prosecutor asserted “Prosecutive Juror No. 10’s”
response was different from all the other jurors and was not the logical
response one would expect given the set of facts presented.
The superior court determined that was not sufficient to overcome the
prima facie showing because the hypothetical itself was problematic, and
Alford argues we should defer to the superior court’s original analysis.
However, the superior court did not find the prosecutor’s explanation to be
facially discriminatory and did not rely on his impressions of the juror in
reaching that conclusion. Instead, in the context of the court’s mistaken
understanding of the timing of the peremptory strike, the court considered
the hypothetical the prosecutor offered to be “pretty weak” and therefore
concluded it was not sufficient to overcome the prima facia showing of
discriminatory intent.
While we consider the superior court’s comments regarding the
prosecutor’s explanation, we do so along with the totality of relevant facts.
24
(Scott, supra, 61 Cal.4th at pp. 391-392.) In that context, we conclude the
prosecutor’s explanation, while perhaps weak, was nevertheless sufficient to
overcome any minimal inference of discriminatory purpose arising out of the
prosecutor’s use of peremptory strikes against two of the three African-
Americans in the jury pool. (See id. at p. 383.) The juror’s willingness to
accept circumstantial evidence was a valid concern for the prosecutor, given
the nature of the evidence in the case, and the response of “Prospective Juror
No. 10” was sufficiently different from the other jurors to raise at least an
inference that he was less likely to convict the defendants in the absence of
more direct evidence. (See People v. Miles (2020) 9 Cal.5th 513, 546
[indication juror might question DNA evidence central to prosecutor’s case
formed a sufficient basis for a peremptory strike]; see also id. at pp. 616-617
(dis. opn. of Liu, J. [discussing the need to rethink the Batson framework].)
In an attempted comparative analysis, Alford argues another juror,
“Juror No. 6” responded similarly to a different hypothetical about a clerk at
a supermarket closing down a checkout lane. However, Alford concedes
“Juror No. 6” was initially confused by the example and, moreover, when the
prosecutor followed up with the tennis player example, “Juror No. 6” agreed
the woman was going to play tennis. Thus, it is reasonable to infer the
prosecutor determined “Juror No. 6” would be more likely to accept
circumstantial evidence. (Cf. Miller-El v. Dretke (2005) 545 U.S. 231, 232
[comparative analysis suggests discriminatory purpose where White jurors
gave similar responses but were not struck].) Alford also argues the
prosecutor did not offer “Prospective Juror No. 10” another example, but
there was no indication “Prospective Juror No. 10” was confused by the
tennis player example like “Juror No. 6” initially was with the checkout
example.
25
Alford also asserts this case is similar to People v. Silva (2001) 25
Cal.4th 345, but it is not. There, the prosecutor asserted the juror was struck
based on answers suggesting an unwillingness to impose the death penalty,
but the California Supreme Court concluded the juror’s answers did not
support the prosecutor’s stated reason since the juror did also indicate he
would impose the death penalty if warranted. (Id. at pp. 376-377.) By
contrast, here, the prosecutor was not concerned with the juror’s willingness
to impose a specific punishment, but rather with the way in which
“Prospective Juror No. 10” would evaluate the evidence throughout the trial.
Moreover, “Prospective Juror No. 10” did not indicate he would convict the
defendants based on circumstantial evidence if warranted and, instead,
stated he would want more.
Finally, Alford argues at length that the response of “Prospective Juror
No. 10” to the NFL question was not markedly different from other juror’s
responses, and thus was not a valid nondiscriminatory basis for the
peremptory strike. The superior court seemed to agree, stating that the
juror’s response appeared to be based primarily in his belief in the First
Amendment. As the court also noted, the prosecutor did not raise this in her
initial response; she simply questioned whether the court had considered it
after the court commented on the more emotional response of “Prospective
Juror No. 7.” We defer to the superior court’s analysis of the tone of the
juror’s responses and do not find any additional support for the peremptory
strike in the response of “Prospective Juror No. 10” to the NFL question.
Regardless, though, for the reasons already discussed, we find no error in the
superior court’s denial of Alford’s Batson/Wheeler motion.
26
II.
The Superior Court Did Not Commit Prejudicial Error by Failing to
Instruct the Jury That a Coconspirator Can Commit an Act Outside the
Scope of the Conspiracy or on the Lesser Included Offenses of
Second Degree Murder or Involuntary Manslaughter
Alford raises several instructional errors. He asserts the superior court
erred by refusing to instruct the jury that a coconspirator can commit an act
outside the scope of the conspiracy or, in the alternative, that there must be a
“logical nexus” between the murder and the underlying felony, and by
refusing to instruct the jury on the lesser included offenses of second degree
murder and involuntary manslaughter. In addition, Alford argues the
cumulative effect of the instructional errors was prejudicial and requires
reversal. We address each of the asserted errors, independently and
collectively, and conclude there was no prejudicial error requiring reversal.
A. Additional Background
Defense counsel asked the superior court to instruct the jury with
CALCRIM No. 417, but the court refused. The court explained that the
instruction was not appropriate because the defendants were not charged
with any nontarget crimes under a conspiracy theory. In other words, as the
prosecutor explained, although they were all charged with conspiracy to
commit robbery, neither defendant was charged with another person’s crime.
Defense counsel persisted in requesting the instruction but also
suggested, as an alternative, that the court add language instructing the
jury, “a conspiracy member is not responsible for the acts of other conspiracy
members that are done after the goal of the conspiracy has been
accomplished” based on the evidence suggesting Scott went back into the
house alone “to finish off Mr. Tarker.” The court once again denied the
request.
27
Defense counsel then pointed out that CALCRIM No. 417 indicated the
instruction should be given “when there’s an issue whether the defendant is
liable for the acts of a co-conspirator.” The court responded by asking, “what
acts of the co-conspirator are being alleged?” Defense counsel replied, “the
crime of a murder in Count 1 committed by Kevin Scott” and, at that point,
the court shifted the conversation to the instruction on count 1 for felony
murder.
Based on the evidence suggesting Scott returned to the house alone to
kill Tarker, as well as evidence indicating Tarker may have fallen and hit his
head when the defendants charged in, defense counsel requested an
instruction on second degree murder and involuntary manslaughter. Counsel
acknowledged the prosecutor was proceeding on a felony murder theory, and
not an aider and abettor theory, but argued it was error not to give a malice
murder instruction because the defendants were charged under section 187,
murder with malice aforethought. In response, the prosecutor pointed out
that the defendants were charged specifically with “felony murder” in
violation of section 187, subdivision (a), the general murder statute, and
section 190.2, subdivision (a)(17), which relates specifically to special
circumstance robbery or burglary felony murder. Accordingly, the prosecutor
asserted the jury should be instructed only on felony murder.
The court agreed that it was clear from the start of the case that the
prosecution intended to proceed only on a felony murder theory, and further
pointed out that voir dire was conducted by all parties based on that
understanding. The court then asked if either defendant was requesting an
instruction on first degree premeditated, nonfelony murder and both
confirmed they were not. After further discussion, the court concluded the
28
evidence did not support any theory other than felony murder and declined to
give an additional instruction on second degree murder or manslaughter.
The court later returned to defense counsel’s request to include
language from CALCRIM No. 417 and concluded the instruction did not
apply to the facts at issue. The court did, however, invite defense counsel to
draft some additional language for the court to consider. The court
ultimately did not instruct the jury with CALCRIM No. 417 or any similar
language.
The superior court instructed the jury that Alford and Jackson were
charged, in count 1, with murder, under a theory of felony murder. As part of
the instruction on felony murder, the court explained:
“To prove that the defendant is guilty of first degree
murder under this theory, the People must prove that:
“1. The defendant committed or was a member of a
conspiracy to commit Robbery or Residential Burglary;
“2. The defendant intended to commit or intended that one
or more of the members of the conspiracy commit Robbery or
Residential Burglary;
“3. If the defendant did not personally commit Robbery or
Residential Burglary, then a perpetrator with whom the
defendant conspired, committed or attempted to commit Robbery
or Residential Burglary;
“AND
“4. While committing Robbery or Residential Burglary the
defendant or perpetrator caused the death of another person.
“A person may be guilty of felony murder even if the killing
was unintentional, accidental, or negligent.
“To decide whether the defendant and the perpetrator
committed or attempted to commit Robbery or Residential
Burglary, please refer to the separate instructions that I will give
29
you on those crimes. To decide whether the defendant was a
member of a conspiracy to commit a crime, please refer to the
separate instructions that I will be given to you on conspiracy.
You must apply those instructions when you decide whether the
People have proved first degree murder under a theory of felony
murder.
“The defendant must have intended to commit or been a
member of a conspiracy to commit the felonies of Robbery or
Burglary before or at the time that he caused the death.
“It is not required that the person die immediately, as long
as the act causing death occurred while the defendant was
committing the felony.”
The jury was further instructed that Alford and Jackson were charged,
in count 7, with conspiracy to commit residential burglary and robbery. As
part of the instruction on that count, the court further explained:
“To prove that a defendant is guilty of this crime, the
People must prove that:
“1. The defendant intended to agree and did agree with the
other defendant or Kevin Scott to commit Residential Burglary or
Robbery;
“2. At the time of the agreement, the defendant and one or
more of the other alleged members of the conspiracy intended
that one or more of them would commit Residential Burglary or
Robbery;
“3. One of the defendants or Kevin Scott or all of them
committed at least one of the following alleged overt acts to
accomplish Residential Burglary or Robbery.”
The enumerated overt acts included, among others, communicating via text
message regarding the plan to steal marijuana, driving to the house, putting
on gloves, forcibly entering the house, and stealing the marijuana.
Finally, the court instructed the jury with special instruction 8.21.1
which states, in part, “[f]or the purpose of determining whether a killing has
30
occurred during the commission of a Robbery . . . [a] Robbery is complete
when the perpetrator has eluded any pursuers, has reached a place of
temporary safety, and is in unchallenged possession of the stolen property
after having effected an escape with the property.”
B. Standard of Review and Applicable Legal Principles
“When a defendant bases his contention of innocence on particular
facts, he is entitled to have the jury instructed on the general law as it relates
to those facts, if he submits proper instructions thereon.” (People v. Terry
(1970) 2 Cal.3d 362, 402.) However, “the court need not give a pinpoint
instruction if it is argumentative, merely duplicates other instructions, or is
not supported by substantial evidence.” (People v. Hartsch (2010) 49 Cal.4th
472, 500.)
The superior court has a sua sponte duty to instruct on lesser included
offenses that are supported by substantial evidence. (People v. Breverman
(1998) 19 Cal.4th 142, 162 (Breverman).) As with pinpoint instructions,
though, the court “is not obligated to instruct on theories that have no
evidentiary support.” (Ibid.) “ ‘Substantial evidence’ in this context is
‘ “evidence from which a jury composed of reasonable [persons]
could . . . conclude[]” ’ that the lesser offense, but not the greater, was
committed.” (Ibid.) We do not weigh the evidence or evaluate the credibility
of witnesses, as that is the purview of the jury. (Ibid.; People v. Elize (1999)
71 Cal.App.4th 605, 615; People v. Manriquez (2005) 37 Cal.4th 547, 584.)
We simply determine whether there was evidence “ ‘substantial enough to
merit consideration’ by the jury” that the defendant is guilty only of the
lesser offense. (Breverman, at p. 162.)
We review both types of allegations regarding instructional errors de
novo. (People v. Alvarez (1996) 14 Cal.4th 155, 217.)
31
C. Analysis
1. The Superior Court Did not Err by Failing to Instruct the
Jury Regarding Acts of a Coconspirator
Alford argues the superior court should have instructed the jurors with
CALCRIM No. 417 or at least the portion thereof that “a conspiracy member
is not responsible for the acts of other conspiracy members that are done
after the goal of the conspiracy has been accomplished.” He contends this
instruction was supported by Jackson and A.G.’s testimony suggesting Scott
went back into the house alone and killed Tarker, and by the medical
examiner’s testimony that he could not be certain which blow actually
resulted in Tarker’s death. We disagree.
As the superior court explained, there was no need for the additional
instruction because Alford was not charged with a crime committed by a
coconspirator based on a conspiracy theory. Alford argues he was charged
with the killing of Tarker based, in part, on a felony murder theory in which
he was not the actual killer. However, an individual is guilty of first degree
felony murder if the murder is committed during the perpetration of robbery
or burglary. (§ 189, subd. (a).)
Under the law at the time of trial, the only intent required for felony
murder was the intent to commit the underlying felony. (People v. Stamp
(1969) 2 Cal.App.3d 203, 210.) A nonkiller was liable for the act of another
resulting in death, even if the nonkiller was not physically present, so long as
the act was part of one continuous transaction and was not completely
unrelated to the underlying felony. (See People v. Cavitt (2004) 33 Cal.4th
187, 196-197 (Cavitt).) When the act resulting in death occurs during flight,
the outer limits of the continuous transaction are established by the “escape
rule,” under which the continuous transaction of the underlying felony
32
continues until the felons have reached a temporary place of safety. (People
v. Wilkins (2013) 56 Cal.4th 333, 345.)
Here, the act that resulted in death occurred during the continuous
transaction of the felony, and there was not sufficient evidence to support an
instruction on acts outside the scope of the conspiracy. There was evidence
that Alford exchanged text messages with Jackson regarding the robbery as
early as May 20, 2016, that Alford entered the house after discovering it was
occupied, that Alford was directly involved in carrying out the robbery, and
that Alford personally assaulted at least Angela and Tarker during the
course of the robbery. In addition, Alford was arrested shortly after the
robbery, along with Jackson and Scott, in the getaway vehicle, and while still
in possession of the stolen goods.
Thus, even if the jury believed Scott went back into the house and
delivered the final blow causing Tarker’s death after Alford and Jackson left,
the act was part of the continuous transaction of the felony, and there was no
evidence to suggest Scott was acting outside the scope of, or in a manner
completely unrelated to, the underlying felony. (See Cavitt, supra, 33 Cal.4th
at pp. 196-197.) Moreover, the superior court did appropriately instruct the
jury regarding the escape rule, which was consistent with the law of felony
murder and allowed the jury to decide whether the robbery had concluded
when Scott went back into the house, if they believed that he did.
Accordingly, the superior court did not err by declining to provide the
additional instruction regarding acts outside the conspiracy.
In a related argument, relying primarily on Cavitt, Alford asserts the
superior court had a sua sponte duty to at least clarify that there must be a
“logical nexus” between the underlying felony and the homicidal act at issue.
(Cavitt, supra, 33 Cal.4th at pp. 203-204.) Alford did not request such an
33
instruction in the superior court and, thus, has likely forfeited this claim.
(People v. Valdez (2004) 32 Cal.4th 73, 113 (Valdez).) Regardless, though,
even if we were to consider the merits, we would not find the argument
persuasive.
In Cavitt, the California Supreme Court held there must be some
logical connection between the murder and the underlying felony, but also
clarified there is no requirement to prove that the killing was done to
advance or facilitate the felony. (Cavitt, supra, 33 Cal.4th at p. 201.) As the
court explained, “California law thus has long required some logical
connection between the felony and the act resulting in death, and rightly so.
Yet the requisite connection has not depended on proof that the homicidal act
furthered or facilitated the underlying felony. Instead, for a nonkiller to be
responsible for a homicide committed by a cofelon under the felony-murder
rule, there must be a logical nexus, beyond mere coincidence of time and
place, between the felony the parties were committing or attempting to
commit and the act resulting in death.” (Ibid.)
Alford argues there was substantial evidence in this case that Scott’s
actions were outside the scope of the conspiracy and amounted to an
intervening, superseding act cutting off the logical nexus between the felony
and the murder. He relies on Jackson and G.V.’s testimony suggesting Scott
killed Tarker for personal reasons, but the only “personal reason.” Alford
offers is that Tarker could recognize Scott as a perpetrator of the robbery.
Contrary to Alford’s position, an act undertaken at the conclusion of the
underlying felony, with the express purpose of escaping liability for that
felony, is logically connected to the felony. (See People v. Armitage (1987) 194
Cal.App.3d 405, 420-421 [stating that there may be a superseding cause of
death only where the third party’s conduct was “so unusual, abnormal, or
34
extraordinary that it could have not been foreseen”].) Indeed, in Cavitt, the
court indicated a murder to aid in escape is logically connected to the
underlying felony. (See Cavitt, supra, 33 Cal.4th at pp. 200-202.) On the
other hand, the court offered an example of a coconspirator killing a long-
standing enemy that just happened to be walking by during the commission
of the felony as one in which the act was not related to the underlying felony.
(Ibid.) Here, under this same type of analysis, Scott’s alleged additional acts,
undertaken to protect himself from liability for the underlying felony, would
still be part of the continuous transaction of the robbery.
Although Alford relies on the reasoning in Cavitt, he also argues this
case is distinguishable because, here, the robbers had reached a place of
temporary safety with unchallenged possession of the stolen property before
Scott went back into the home. We disagree. As discussed ante, the potential
of felony-murder liability of robbery or burglary continues through the escape
until the perpetrators reach a place of temporary safety. (People v. Cooper
(1991) 53 Cal.3d 1158, 1169.) Again, accepting Jackson’s version of the
events as true, the assailants were still in the act of fleeing, and had not yet
reached a temporary place of safety, when Scott returned to the home. (See
People v. Ramirez (1995) 39 Cal.App.4th 1369, 1375 [scene of robbery is not a
temporary place of safety]; People v. Salas (1972) 7 Cal.3d 812, 823
[assailants “ ‘in hot flight with the stolen property’ ” had not yet reached a
temporary place of safety].)
Moreover, the superior court appropriately instructed the jury
regarding the scope and duration of the robbery, including the temporary
place of safety language, and defense counsel made this exact argument to
the jury. Thus, the point of the requested instruction was readily apparent
from the instructions given, and the evidence here did not suggest a need for
35
additional clarification. Accordingly, the superior court did not err in
refusing to give an additional pinpoint instruction on the scope of
coconspirator liability. (See People v. Bolden (2002) 29 Cal.4th 515, 559.)
2. The Superior Court Did Not Err by Failing to Instruct the
Jury on the Lesser Included Offenses of Second Degree
Murder or Involuntary Manslaughter
We turn next to Alford’s requested instructions on the lesser included
offenses of second degree murder and involuntary manslaughter.
“ ‘Second degree murder is defined as the unlawful killing of a human
being with malice aforethought, but without the additional elements—i.e.,
willfulness, premeditation, and deliberation—that would support a conviction
of first degree murder.’ ” (People v. Jimenez (2015) 242 Cal.App.4th 1337,
1358.) “Involuntary manslaughter is the unlawful killing of a human being
without malice aforethought and without an intent to kill. [Citations.]”
(People v. McGehee (2016) 246 Cal.App.4th 1190, 1208, internal quotation
marks omitted.)
As a matter of law, a conviction for felony murder committed during a
robbery or burglary can only be a conviction for first degree murder and,
thus, there are no lesser included offenses. (People v. Mendoza (2000) 23
Cal.4th 896, 908.) However, an allegation of malice murder with deliberation
and premeditation on its face gives rise to possible lesser included offenses of
second degree murder, voluntary manslaughter, and involuntary
manslaughter. (People v. Campbell (2015) 233 Cal.App.4th 148, 159-160
(Campbell).) Accordingly, when the accusatory pleading alleges malice
murder, it may require the trial court to instruct the jury on lesser offenses of
second degree murder, voluntary manslaughter, and involuntary
manslaughter, when warranted by the evidence. (Id. at pp. 159-160, 162.)
36
Here, the accusatory pleading did reference malice murder, but it did
not allege deliberation or premeditation. Instead, the pleading clearly stated
Alford was accused under a felony murder theory. Moreover, as the trial
court pointed out, the prosecutor made clear that she was proceeding solely
on a felony murder theory at the outset of the case. Accordingly, even if the
accusatory pleading is read to include malice murder with premeditation and
deliberation, the evidence presented did not warrant an instruction on the
lesser crimes of second degree murder or involuntary manslaughter.
By all accounts, Tarker was killed in the course of the robbery that
Alford and Jackson actively participated in. Although there was conflicting
evidence regarding which assailant or which blow ultimately killed Tarker,
the evidence indicated Tarker was killed in one of three ways: 1) when the
assailants charged into the house; 2) as a result of one or more of the
assailants beating him during the robbery; or, 3) as a result of the blows
inflicted by Scott at the conclusion of the robbery.
As with the coconspirator instructions, Alford argues the evidence
regarding Scott’s return to the house indicates Scott acted outside the scope
of the robbery but, for the same reasons discussed ante, we disagree. Even if
Scott returned to the house after Alford and Jackson were in the car, they
had not yet reached a temporary place of safety and there was no indication
Scott killed Tarker for any reason unrelated to the robbery. And, in any
event, the jury was instructed that the robbery ended when the assailants
reached a temporary place of safety.
Alford argues this case is like People v. Banks (2014) 59 Cal.4th 1113,
in which the California Supreme Court found an instruction on second degree
murder was appropriate. (Id. at pp. 1160-1161.) There, the court concluded
the instruction was required because there was sufficient evidence of malice
37
murder. (Ibid.) Specifically, although the murder occurred at an ATM, no
money was taken and there was evidence of an argument between the victim
and the assailant. (Ibid.) Thus, the court stated, “the evidence permitted the
inference that defendant shot Foster with malice in the course of an
argument or fight.” (Ibid.) To the contrary, here, there was no evidence of an
argument or motivation to kill Tarker that was not related to the robbery.
Finally, if we were to accept the theory that Scott went back to kill
Tarker on his own, after the felony was complete and for purposes not
connected to the felony, Alford, as a nonactor and no longer a conspirator,
would not be liable for even the lesser included offenses. As such, there was
not sufficient evidence to support the instructions on the lesser included
offenses and the court did not err by refusing to give them.
3. Alford Suffered no Prejudice as a Result of the
Alleged Instructional Errors
Even if the superior court did err in failing to provide either of the
instructions, we would conclude that any such error was harmless.
In determining whether an instructional error is prejudicial, we apply
the state law standard set forth in People v. Watson (1956) 46 Cal.2d 818, 836
(Watson), and consider whether there is a reasonable probability that the
jury would have reached a verdict more favorable to the defendant absent the
error. (People v. Falsetta (1999) 21 Cal.4th 903, 925; see also People v.
Jandres (2014) 226 Cal.App.4th 340, 359 [Watson standard applies to
erroneous propensity instruction as propensity is not an element of the
charged offense and conviction cannot be based on propensity evidence
alone].) We consider a disputed instruction in light of the entire charge to the
jury and determine whether there is a reasonable likelihood the jury
misunderstood and misapplied the instruction with the understanding that
the jurors are intelligent and capable of understanding all of the given
38
instructions. (People v. Moore (2011) 51 Cal.4th 1104, 1140; People v. Lopez
(2011) 198 Cal.App.4th 698, 708; Estelle v. McGuire (1991) 502 U.S. 62, 72.)
Here, the jury was instructed, to prove felony murder, the prosecution
had to prove the murder was committed during a robbery and was further
instructed that a robbery is over once the perpetrators reach a place of
temporary safety. Based on that instruction, defense counsel argued the
robbery was already complete when Scott went back into the house alone to
kill Tarker. Despite that argument, the jury concluded Alford was guilty of
felony murder, and found the special circumstance true.
The verdict indicates the jury either did not believe the alternate
theory that Scott went back alone to kill Tarker or, if they did, they did not
believe the robbery was over. Accordingly, there is no reasonable probability
the jury would have found any different, or would have concluded Scott was
acting independently, if they had received the additional coconspirator
instruction. Moreover, the fact that the jury found the special allegations
true indicates they believe Alford’s role in the crimes was significant and that
they would not have chosen a lesser offense if given the option.
Further, as discussed ante, even if the jury believed Scott killed Tarker
after he went back into the house alone, there would be no basis to find
Alford guilty of second degree murder or involuntary manslaughter. If the
jury wanted an alternative, the more appropriate one would have been to find
the special circumstance allegation not true, but the jury did not do that.
Finally, as we have concluded that there was no instructional error,
and that any error was not prejudicial in any event, there can be no
cumulatively prejudicial effect arising from the superior court’s instruction of
the jury. (See People v. Tully (2012) 54 Cal.4th 952, 1020; People v. Selivanov
(2016) 5 Cal.App.5th 726, 757.)
39
III.
Sentencing Issues
Alford raises several issues with respect to sentencing, many of which
the People concede.
A. The Superior Court Could Impose Only One Five-Year
Enhancement on the Aggregate Determinate Term and the Matter
Must be Remanded to Allow the Superior Court to Exercise
Its Discretion to Strike the Enhancement Altogether
First, Alford argues the superior court erred when it added several
separate five-year sentence enhancements under section 667, subdivision
(a)(1) to his sentence. The People conceded this point and we agree. Alford
was subject to only one single five-year enhancement on the aggregate term
under section 667, subdivision (a)(1). (People v. Sasser (2015) 61 Cal.4th 1,
8-17 (Sasser); People v. Minifie (2018) 22 Cal.App.5th 1256, 1260-1262.)
In addition, Alford asserts, and the People concede, the matter must be
remanded for resentencing to allow the superior court to exercise its
discretion to strike the single five-year enhancement. We agree on this point
as well.
The version of section 1385, subdivision (b) in effect when Alford was
originally sentenced in April 2018 did not authorize the superior court to
strike an enhancement under section 667. However, recent amendments,
which went into effect on January 1, 2019, eliminated the prohibition on
striking prior serious felonies pursuant to section 667. (Stats. 2018, ch. 1013
(Sen. Bill No. 1393), §§ 1, 2, eff. Jan. 1, 2019.) Accordingly, the trial court
now has discretion pursuant to sections 1385 and 667 to strike or dismiss an
enhancement for a prior serious felony conviction. (People v. Garcia (2018) 28
Cal.App.5th 961, 971 [concluding Sen. Bill No. 1393 amends sections 1385
and 667 to allow a court to exercise its discretion to strike or dismiss a prior
40
serious felony conviction for sentencing purposes].) These amendments apply
retroactively to sentences not yet final at the time the amendments went into
effect. (See id. at p. 973 [finding the amendment applies retroactively];
People v. Pride (2019) 31 Cal.App.5th 133, 142.)
Accordingly, we remand the matter to the superior court for
resentencing, with instructions for the superior court to strike all but one of
the five-year enhancements pursuant to section 667, subdivision (a)(1), and to
further consider whether to exercise its discretion to strike or dismiss the
remaining section 667, subdivision (a)(1) enhancement.
B. The Superior Court Properly Declined to Stay Alford’s
Sentence on Count 8
Finally, Alford contends the superior court erred by imposing separate
punishments for count 5—the assault with serious bodily injury against
Angela—and count 8—the criminal threats against Angela—as both were
part of a single course of conduct.
Section 654, subdivision (a) states, in part, “An act or omission that is
punishable in different ways by different provisions of law shall be punished
under the provision that provides for the longest potential term of
imprisonment, but in no case shall the act or omission be punished under
more than one provision . . . .” (§ 654, subd. (a).) It therefore precludes
multiple punishments for either a single act or an indivisible course of
conduct. (People v. Hester (2000) 22 Cal.4th 290, 294.)
“ ‘Whether a course of criminal conduct is divisible and therefore gives
rise to more than one act within the meaning of section 654 depends on the
intent and objective of the actor. If all of the offenses were incident to one
objective, the defendant may be punished for any one of such offenses but not
for more than one.’ ” (People v. Correa (2012) 54 Cal.4th 331, 336.) “On the
other hand, if the evidence discloses that a defendant entertained multiple
41
criminal objectives which were independent of and not merely incidental to
each other, he may be punished for the independent violations committed in
pursuit of each objective even though the violations were parts of an
otherwise indivisible course of conduct.” (People v. Perez (1979) 23 Cal.3d
545, 551, fn. omitted (Perez).)
On appeal, we uphold the superior court’s determination that a
defendant harbored a separate intent and objective so long as it is supported
by substantial evidence. (People v. Blake (1998) 68 Cal.App.4th 509, 512.)
Here, the superior court found the intents were different for counts 5
and 8 and sentenced Alford to consecutive terms. That finding is supported
by substantial evidence. As the superior court noted, the threats and beating
of Angela was gratuitous, and beyond what was necessary to subdue her or
get the information Alford sought. Alford hit her between 50 and 75 times.
Her nose was crushed, and her jaw was broken in three places, and she had
to be transported to a larger hospital for surgery.
Alford argues the threats were made at the same time and were, thus,
a narrative of the beating. However, the intent for assault is, by definition,
different from the intent for criminal threats. The mental state necessary for
assault is the willful commission of an act that is likely to result in injury to
another. (People v. Miller (2008) 164 Cal.App.4th 653, 662.) A criminal
threat, on the other hand, involves mentally or emotionally terrorizing the
victim. (People v. Mejia (2017) 9 Cal.App.5th 1036, 1047.) Thus, the intent
and objective are different. (See ibid. [finding intent and objectives between
torture and criminal threats sufficiently different to support the trial court’s
finding section 654 inapplicable].)
In addition, Alford points out that the prosecutor argued the jury could
look at the surrounding circumstances, including the assault, when deciding
42
the criminal threats count. However, in making that argument, the
prosecutor told the jury to look to the totality of circumstances, including the
fact that she was being hit, but also that the assailants had broken into the
home, that her daughter was unconscious, and that Andrew had also been
hit. The fact that the assault, along with all of the other circumstances,
made the threats more credible, does not negate the evidence indicating
Alford had separate intent for each act.
Finally, Alford argues this case is distinguishable from Mejia because
there was a continued series of acts there, whereas here the threats occurred
during a singular battery. (See Mejia, supra, 9 Cal.App.5th at p. 1046.) We
disagree. The intent required for the different criminal acts is not altered by
the sequence of events.
Accordingly, we conclude the superior court did not err by imposing
separate punishments for counts 5 and 8.
43
DISPOSITION
The matter is remanded for resentencing with instructions for the
superior court to strike all but one of the five-year enhancements pursuant to
section 667, subdivision (a)(1), and to further consider whether to exercise its
discretion to strike or dismiss the remaining section 667, subdivision (a)(1)
enhancement. In all other respects, the judgment is affirmed.
BENKE, Acting P. J.
WE CONCUR:
HALLER, J.
GUERRERO, J.
44