Tyler v. State

MOYLAN, Judge.

The critical issue on this appeal involves us in what Nance v. State, 331 Md. 549, 552, 629 A.2d 633 (1993), referred to as *499“the classic evidentiary problem of the turncoat witness.” The appellant is Jerry S. Tyler, who was convicted by a Prince George’s County jury, presided over by Judge Arthur M. Ahalt, of murder in the first degree and other related offenses. The turncoat witness was Gerald Eiland, the erstwhile codefendant with Tyler for the same murder.

On this appeal, Tyler has raised eight contentions:

1) that Judge Ahalt erroneously admitted the prior testimony of Eiland given at Eiland’s earlier trial;
2) that Judge Ahalt erroneously granted an eighteen-day continuance in an effort to compel Eiland to testify;
3) that the evidence was not legally sufficient to sustain the convictions;
4) that Judge Ahalt erroneously instructed the jury that the appellant could be convicted as an aider and abetter;
5) that Judge Ahalt committed plain error in instructing the jury on first-degree murder;
6) that Judge Ahalt committed plain error in not instructing the jury that its verdict must be unanimous;
7) that Judge Ahalt erroneously admitted irrelevant and prejudicial testimony from the witness Michael McCutchen; and
8) that Judge Ahalt erroneously excluded testimony from the appellant’s mother.

The Factual Background

On the afternoon of December 4,1990, in what turned out to be a highly publicized murder case, James “Jay” S. Bias, III, the younger brother of former University of Maryland basketball star Len Bias, was senselessly gunned down in cold blood as he was leaving the Prince George’s Plaza Mall. In Eiland and Tyler v. State, 92 Md.App. 56, 64-66, 607 A.2d 42 (1992), rev’d on other grounds, Tyler and Eiland v. State, 330 Md. 261, 623 A.2d 648 (1993), this Court recited fully the evidence leading up to the shooting of Jay Bias:

*500Jay Bias worked at the Hyattsville Branch of the Sovran Bank. On the afternoon of December 4, 1990, two of his coworkers, Andre Campbell and Tydus Mathis, decided to drive to the nearby Prince George’s Plaza Mall during their lunch hour. Hearing their plans, Bias asked to accompany them. He had recently purchased from Kay Jewelers, located in the mall, a ring, which was being sized for him and which he wanted to show to his coworkers. The three drove to the mall in Mathis’s car. While Mathis went off to browse in another part of the mall, Bias and Campbell went to Kay Jewelers, where they were waited on by Shaunelle Tyler, an employee of the store and the wife of the appellant Jerry Tyler. Bias spoke to Shaunelle Tyler about the ring and showed it to Campbell.
At approximately the same time ... Jerry Tyler and Gerald Eiland, arrived at the mall in a green Mercedes Benz, owned by Tyler’s father but driven by Eiland. The two of them headed directly for Kay Jewelers. As Bias and Campbell were leaving the jewelers, Jerry Tyler entered. He apparently believed that his wife had been flirting with Jay Bias. A turbulent argument ensued between Tyler and his wife, culminating in Tyler’s hurling a stapler at her. The manager of Kay Jewelers thought it prudent to end the dispute by escorting Tyler out of the store.
Bias and Campbell, now rejoined by Tydus Mathis, were standing just outside when Tyler was escorted to the exit. Visibly agitated, Tyler turned to Bias and said, “You can have her.” Bias replied “that he didn’t want [Tyler’s] girl” and that “he was just buying a ring.” Tyler, his agitation persisting, challenged Bias to “[c]ome on outside, we can take care of this outside.” Bias initially started toward Tyler but was stopped by Mathis. During the entire verbal encounter ... Eiland was standing just two to three steps away from Tyler.
Heeding Mathis’s advice of restraint, Bias, with Campbell and Mathis, walked toward the mall exit leading to the rear parking lot. [Eiland and Tyler] were making their way toward another exit, leading to the front parking lot, when *501[one of the two] again yelled to Bias to “step outside,” adding, “I’ve got something for you outside; I’ll cap you.” At that time, Eiland was still standing within two to three feet of Tyler.
As they prepared to leave the parking lot, Mathis was in the driver’s seat of his car, Campbell was in the rear passenger compartment, and Bias sat in the front passenger seat. As they approached the exit leading onto Toledo Terrace, they came to a stop in a left-turn lane as they waited for two cars in front of them to make a left turn. At that point, Mathis noticed a green Mercedes “speed” toward them from the opposite side of the parking lot. As the Mercedes pulled abreast of them in the lane to their immediate right, Mathis noticed that Eiland was driving the car and that Tyler was sitting in the front passenger seat. Because the flow of traffic on Toledo terrace was heavy, Mathis was not able to proceed immediately to exit the parking lot. Indeed, when the Mercedes first pulled abreast of Mathis’s Toyota, the Toyota was “stacked up” behind two other cars waiting to make a left-hand turn. The right-hand lane was free, however, and there was nothing to impede the Mercedes, driven by Eiland and occupied by Tyler, from going forward. Eiland, nonetheless, brought the Mercedes to a stop parallel with Mathis’ Toyota. When, a few seconds later, the Toyota was able to “inch” forward one automobile length before stopping again, Eiland moved the Mercedes proportionately forward to maintain the parallel relationship between the two cars.
Mathis noticed that the left front window of the Mercedes was open. He saw Eiland press backward against the driver’s seat as Tyler stretched across in front of him and yelled out the window. As Eiland pressed his body back against his seat, allowing Tyler to lean across in front of him, his hands were on the low arc of the steering wheel. The testimony was clear that they were not high on the steering wheel or even at midpoint but were as low as they could be without actually releasing the wheel. Campbell, who also observed this, noticed that Tyler had his right *502hand placed below his knee. Tyler initially appeared “scared” but then became very angry. Because the windows of the Mathis vehicle were closed, neither Mathis nor Campbell could hear the words being yelled by Tyler. As the Mathis vehicle moved slightly forward toward the intersection, Eiland kept the Mercedes parallel with it. As Campbell was briefly turning his head away from the direction of the Mercedes, between seven and ten bullets were fired into the right side of the Mathis vehicle. Two of those bullets struck and mortally wounded Jay Bias.
The Mathis vehicle made an immediate left-hand turn onto Toledo Terrace and drove toward the Leland Memorial Hospital, where Bias was rushed to the emergency room. Shortly thereafter, Bias was pronounced dead by the hospital’s attending physicians. Immediately after the shooting, Eiland drove the Mercedes away in an opposite direction from that taken by the Toyota. (Footnote omitted.)

In several regards, Andre Campbell’s testimony at the trial now under review was slightly stronger than it had been in the original version. The last remark shouted at Jay Bias as the first confrontation broke up and all parties began to leave the inside of the mall for the parking lot was, “I’ll cap you,” meaning “I’ll shoot you.” Although not looking in the direction from which the shout came, Campbell testified that the voice resembled the voice of Tyler.

Campbell was also slightly more precise about Tyler’s actions immediately prior to the shooting:

A Okay. At that point, you can see Tyler reaching down towards his leg on the right side, and—
Q Were you looking down into the car?
A Yes.
Q Okay?
A And, as I saw him reaching, I told him I think he had a gun.
*503THE WITNESS: Before I could get the word gun out, that’s when the shooting began.

The Procedural History

A. The First Trial and Its Aftermath

Notwithstanding their motions to have their trials severed, Eiland and Tyler were tried together and were both convicted by a Prince George’s County jury of murder. Tyler was convicted of murder in the first degree and of the use of a handgun in the commission of a felony. He was sentenced to life imprisonment for the murder and to a consecutive term of twenty years for the handgun violation. Eiland was convicted of murder in the second degree and of the use of a handgun in the commission of a felony. He was sentenced to a term of thirty years for the murder, ten of which were suspended, and to a consecutive term of twenty years for the handgun violation, ten of which were also suspended, for a total of thirty years to be served.

At that first trial, neither Eiland nor Tyler took the stand in his own defense. Their separate attorneys, however, effectively asserted their respective defenses. Tyler’s attorney argued forcefully that their positions in the Mercedes, from which the shots were fired, and the position of the Mercedes vis-a-vis the Toyota, in which the victims were riding, made it highly probable, based on the law of physics, that Eiland, the driver closest to the Toyota, had to be the gunman and that Tyler, therefore, was a mere passive passenger.

Eiland’s lawyer, on the other hand, argued equally forcefully that it was Tyler who had the motive, Tyler who was exploding with anger, Tyler who had leaned across Eiland’s body to shout something out of the driver’s side window, and Tyler who had been seen to reach down to retrieve something, from approximately waist or upper-leg level, just before the shooting. Every circumstance, therefore, pointed to Tyler as the inevitable gunman. Each defendant, through his legal surrogate, pointed his finger unequivocally at the other.

*504On May 26, 1992, this Court, in a published opinion, affirmed the convictions of both Eiland and Tyler. Eiland and Tyler v. State, 92 Md.App. 56, 607 A.2d 42 (1992). Following a grant of certiorari on October 8,1992, the Court of Appeals, in a split, 4-3 decision, reversed the decision of this Court and directed that the cases against both Eiland and Tyler be remanded to Prince George’s County for a new trial. Tyler and Eiland v. State, 330 Md. 261, 623 A.2d 648 (1993). The Court of Appeals opinion did not deal with the merits of the case but only with the issue of whether the Maryland Constitution forbade the use of peremptory challenges based on gender.

B. The Trial Severance

Before proceeding to retrial, both Eiland and Tyler moved again to have their trials severed. Tyler moved for a.trial severance on July 19, 1993. He filed on September 20 a 14-page memorandum in support of the motion for severance. Ironically, he assigned as his reasons the very reasons both defendants had assigned in their first such motion before their joint trial. That first motion for severance had been denied and both defendants strenuously argued the impropriety of that denial in the course of the first appeal to this Court.

At 92 Md.App. 72-79, 607 A.2d 42, we held expressly that the denial of the severance had not been improper. The Court of Appeals opinion did not disturb our holding with respect to the severance issue. We held that neither defendant would suffer “prejudice” as that term of art is used in severance law. The evidence admissible against one would have been equally admissible against the other. Neither defendant, moreover, would suffer the exclusion of helpful evidence by virtue of being tried with his codefendant. In looking at this primary thrust of the severance argument, we concluded, 92 Md.App. at 74, 607 A.2d 42, “[T]he appellants did not remotely qualify for a trial severance.”

The appellants then attempted to establish, as an alternative rationale for severance, a “hostility between the defenses.” *505We observed that the law of Maryland had never recognized this notion as an independent basis for granting a trial severance. Lipscomb v. State, 5 Md.App. 500, 248 A.2d 491 (1968) cert. denied, 253 Md. 734 (1969); Sye v. State, 55 Md.App. 356, 468 A.2d 641 (1983) cert. denied, 299 Md. 427, 474 A.2d 219 (1984); Moore v. State, 84 Md.App. 165, 578 A.2d 304, cert. denied, 321 Md. 385, 582 A.2d 1256 (1990).

Finally, Tyler argued on that first appeal, as he did subsequently in his second and more successful motion for a severance, that “the jury was so confused that it returned a verdict which was inconsistent ... as between the defendants.” We pointed out, 92 Md.App. at 78, 607 A.2d 42, that the allegedly inconsistent verdicts on which he premised his notion of jury confusion were, indeed, not inconsistent at all. See Oates v. State, 97 Md.App. 180, 627 A.2d 555 (1993).

Notwithstanding the seal of approval that we had placed on the denial of severance, Eiland and Tyler, on their second try, succeeded on October 18 in having their trials severed. The ground was thereby laid for each to point the finger at the other, not simply through the mouths of counsel but from the witness stand without fear of contradiction by the other.

No single jury, of course, would ever have permitted both defendants, one of whom at least was indisputably a murderer, to point fingers reciprocally at each other and then to walk out of the courtroom with mutual acquittals. With separate juries, however, that possibility became very real.

C. The Retrial of Eiland

At the separate retrial of Eiland in December 1993, the possibility was realized. Eiland, without fear of contradiction by Tyler, took the stand and, under oath, laid the entire blame on Tyler. Eiland was merely the innocent companion of Tyler on the trip to the Prince George’s Plaza Mall. Eiland was the passive observer of Tyler’s jealous rage over the flirtatious behavior, real or imagined, of his wife, Shaunelle, with Jay Bias. Eiland was only an observer of Tyler’s mounting rage as first they exited the mall and then as they prepared to *506drive away from the parking lot. Eiland was shocked by Tyler’s totally unanticipated behavior as Tyler pulled a gun and let loose with a fusillade of bullets.

Eiland was secure in the knowledge that Tyler would not contradict him, for Tyler, still untried, would remain mute behind his privilege against compelled self-incrimination and was not a compellable witness. Eiland’s jury gave him the benefit of a complete acquittal.

D. The Retrial of Tyler

At the separate retrial of Tyler, the possibility at least loomed that uncontradicted finger-pointing at an absent former codefendant might again succeed in creating, at least, a reasonable doubt as to the defendant’s guilt.

Tyler took the stand. He described his trip, to the jewelry store where he encountered Jay Bias, whom he had not known before. Bias gave Tyler “a hard stare,” which Tyler promptly mirrored. Tyler remembered being “highly upset” with his wife and exchanging “a few words” with Bias, but he could not remember the exact words spoken. Tyler further testified that when the Mercedes, in which he was the passenger, came to a stop next to the Toyota, carrying Bias, Mathis, and Campbell, “hard looks” were again exchanged and that he, Tyler, indeed, said something to the occupants of the other car. He testified that during this exchange of “hard looks” and while making a comment or two to the occupants of the Toyota, he was not paying attention to Eiland.

The critical testimony was that he was then totally surprised when he heard shots being fired and realized that Eiland had fired at the occupants of the other vehicle.

That testimonial gambit by Tyler was not a precise replicate of the one earlier performed by Eiland. Eiland had been relatively secure from contradiction by Tyler, for Tyler would have been recklessly imprudent to have jeopardized his privilege against compelled self-incrimination by testifying against Eiland. By virtue of Eiland’s trial having gone first, however, *507and having resulted, moreover, in an acquittal, Tyler had no apparent shield against contradiction by Eiland.

The two surviving occupants of the Toyota had been unable to say with certainty whether it was Eiland or Tyler who actually pulled the trigger. Their testimony, however, was absolutely certain that it had been one of the two. There was, of course, circumstantial evidence as to which of the two had the motive, displayed the anger, and was actively involved in the confrontation just seconds before the shooting. As to which of the two actually pulled the trigger, however, only Eiland and Tyler could say with certainty.

The question became whether Eiland would say with certainty at Tyler’s trial what Eiland had earlier said with certainty at his own trial. There was no reason for the State to fear that he would not. His trial testimony had been under oath. Nothing in that testimony, moreover, was in any way inconsistent with anything he ever said about the crime before his retrial or with anything he ever said about it after his retrial. The only apparent obstacle to be overcome was the privilege against compelled self-incrimination.

Eiland’s Testimonial Performance

To say the least, Eiland’s testimonial performance was a “bust.” Eiland is a resident of the District of Columbia. Accordingly, a subpoena to appear in Prince George’s County as a witness was obtained and served on him pursuant to the provisions of the Uniform Act to Secure the Attendance of Witnesses from Without a State in Criminal Proceedings. Md.Code Ann., Cts. & Jud.Proc. § 9-303; State v. Breeden, 333 Md. 212, 222-28, 634 A.2d 464 (1993).

Following service of that subpoena, Eiland’s lawyers filed on February 22, 1994, a written motion to have the subpoena quashed on the ground that Eiland’s compelled testimony would violate his Fifth Amendment privilege against compelled self-incrimination. After argumént from Eiland’s lawyers and the State, Judge Ahalt ruled that there was no *508residual danger of further incrimination and that Eiland was a compellable witness.

After that ruling, Eiland’s lawyers indicated for the first time that, notwithstanding the order of the court, Eiland might still refuse to testify because of some intimidating conduct that had been directed toward him as he drove to court the day before. One of his attorneys narrated for the court what he had learned first from Eiland’s sister and later from Eiland himself. Eiland had been subpoenaed to be present in court on the preceding day. He was to meet with his attorney at the attorney’s office at 9:15 A.M. At 8:45 A.M., the attorney’s office received a telephone call from Eiland’s sister, Cynthia. The attorney described the substance of that call:

Ms. Pearson indicated that she had received a telephone call from Gerald Eiland, that on his way to our office, after leaving his mother’s home, where he spent the night, he saw a brown automobile with tinted windows that he had seen before. The car followed him, caught up with him. He tried to pull away from the car. He saw the car with tinted windows come down. He immediately had a great fear as to the fact that this might be—that some violence might be done to him.
He tried to get away. The car struck the back of his vehicle, in what he perceived was an effort to cut him off and bring him to the side of the road. He did get away. We have learned that from Mr. Eiland, who we did not speak to in person until this morning.
Mr. Eiland has indicated, and I expect that based upon what has occurred in this situation, that he feels that his safety cannot be guaranteed and that he is in great danger if he testifies in this case, and that it is his decision, I believe he will take the position, that the Court, having denied our motion to quash, he will take the position that he is unable to answer questions put to him by either side.

In an effort by all parties to confirm whether Eiland’s refusal to testify would truly come to pass, Eiland was called *509to the stand. He was sworn in as a witness and willingly answered preliminary questions that did not concern the shooting of Jay Bias. He refused to answer, however, any question touching on the crime or on the reason he felt he could not answer such questions:

Gerald Eiland, a witness on call of the State, after having been duly sworn was examined and testified as follows:
Direct Examination
By Mr. Jackson:
Q: Mr. Eiland, would you please state your name for the record, and spell your last name for the Court Reporter?
A: Gerald Eiland.
Q: Please state your full name and address.
A: Gerald Eiland, 4317 29th Street, Southeast.
By Mr. Jackson:
Q: Mr. Eiland, did you shoot Jay Bias?
A: I can’t answer that question.
By Mr. Jackson:
Q: Mr. Eiland, are you the same Mr. Eiland that testified in a previous proceeding?
A: I can’t answer that question.
Mr. Jackson: Your Honor, I would ask the Court to direct the witness to answer the question.
The Court: Mr. Eiland, Pm going to order you to answer the questions that have been directed to you by Mr. Jackson.
The Witness: I can’t answer that question.
By Mr. Jackson:
Q: Mr. Eiland, did you shoot Jay Bias?
A: I can’t answer that question.
Q: Why can’t you answer that question?
*510A: I can’t.
Q: Were you in the car when Jay Bias was shot?
A: I can’t answer that question.
Q: Why can’t you answer that question?
A: I can’t answer that question.
The Court: I think you need to continue further.
By Mr. Jackson:
Q: Were you in the Prince George’s Mall on December 4, 1990?
A: I can’t answer that question.
Q: And why can’t you answer that question?
A: Because, I can’t. .
Q: Were you driving a green Mercedes that was occupied with Jerry Tyler at the Prince George’s Mall on December 4, 1990?
A: I can’t answer that question.
Q: And why can’t you answer that question?
A: Because, I can’t answer the question.

At that point, Judge Ahalt took over the questioning of Eiland. In the course thereof, he sternly advised Eiland that Eiland risked jail for contempt of court if he continued in his obstinacy:

The Court: Mr. Eiland, you understood the questions?
The Witness: Yes.
The Court: You understood that you have previously testified under oath in this courthouse concerning the issues and the facts to which the questions the State has asked are directed. Do you understand that?
The Witness: Yes.
The Court: Is there some reason that you want to articulate or express as to why you do not want to answer those questions?
The Witness: I can’t answer that question.
*511The Court: All right. I am going to again order you to answer those questions. That is an order, that is a direct order. That is something that a judge of the judicial system has a right and authority to require individuals to answer questions directed to them.
The consequence of a witness failing or any individual failing to follow an order of court is potential contempt of court, which could involve potential loss of freedom through incarceration.
Do you understand what I have just said?
The Witness: Yes.
The Court: How old are you?
The Witness: Twenty-three.
The Court: How far have you been through school?
The Witness: Twelfth grade.
The Court: Do you read and write and understand the English language?
The Witness: Yes.
The Court: Are you in good health today mentally and physically?
The Witness: Yes.
The Court: Are you under any medication, alcohol or drugs today?
The Witness: No.
The Court: Are you the subject matter of any upsetness, accident or illness today?
The Witness: Excuse me?
The Court: Are you the subject of any upsetness, accident or illness today?
The Witness: Yes.
The Court: What is the nature of that?
The Witness: I mean, no.
The Court: What is the nature of that upsetness, accident or illness today?
The Witness: I can’t answer that question.

*512That ended the examination of Eiland on March 3. The State moved to have Judge Ahalt find Eiland in contempt of court. In the course of the ensuing discussion between Judge Ahalt and counsel, the question arose as to whether Eiland’s counsel deemed it beneficial to talk further with his client before the ultimate ruling was made. Counsel indicated that there was no purpose to be served:

Your Honor, I don’t believe that any further opportunity for us to consult with the client will provide any benefit. I have made the proffer earlier that is under seal as to the client’s reasons for saying what he has and for taking the position that he is taking.
He understands that the court does have the power, based upon the prosecutor’s request to incarcerate him. Based upon the events of the past 24 hours and his continuous concerns about the situation, it’s his election to respond to the questions as he did.

Before making his finding of contempt, Judge Ahalt asked if counsel could provide him with any additional details with respect to the automotive attack made on Eiland two days before. Counsel indicated that it occurred on Wheeler Road in- the District as Eiland was driving toward Alabama Avenue in the general direction of the Bolling Air Force Base and his lawyer’s office. He indicated further that there was a discernible dent on the ear and that the car would be produced by a friend if anyone wanted to examine the dent.

Eiland’s lawyers did reveal one other fact that may be of significance to us. When one of them had spoken to Eiland on the immediately preceding Tuesday afternoon about his scheduled court appearance on Wednesday morning, every indication was that he was ready to comply with whatever his testimonial obligation might be:

So as to Tuesday evening, he was ready to come to court, and [we] had every indication that he would, and [he] had told us that he would.

Judge Ahalt found Eiland to be in contempt of court. He ordered Eiland to be detained until he purged himself of the *513contempt by being willing to testify. The State, at that juncture, offered as an exception to the Rule Against Hearsay the Prior Recorded Testimony of Eiland given under oath at his December 1993 trial. Tyler objected.

In an effort to obtain Eiland’s live testimony, if at all possible, Judge Ahalt considered examining the jurors as to their availability and then continuing the trial for eighteen days to see if the pressure on Eiland would persuade him to comply with the court’s order to testify. The State readily agreed to Judge Ahalt’s suggestion. Tyler, however, despite having formally summoned Eiland as a defense witness, lost all apparent interest in encouraging him to testify at all. He strenuously opposed the continuance. Tyler’s complaint that, with the lapse of two weeks, there would be “some fading of the testimony” seems contrived in that all of the testimony had been from the State’s witnesses and the fading of memory, therefore, would almost certainly have been to the benefit of Tyler.

Tyler seemed certain, moreover, that no amount of jail time would succeed in persuading Eiland to change his mind. Tyler continued, despite the clear ruling of Judge Ahalt to the contrary, to characterize Eiland’s reason for refusing to testify as one based on the Fifth Amendment privilege and not on the fear and intimidation proffered by Eiland’s counsel. The trial was then recessed from March 3 until March 21.

On March 21, Eiland was again put on the stand and placed under oath. He gave his name for the record and then responded to ten questions from the prosecutor with five replies of “I can’t answer that question” interspersed with five alternating replies of “Because I can’t.” Judge Ahalt sought to be of help and received three replies of “No.” Tyler’s counsel then received two replies of “I can’t answer that.”

The Evidentiary Ruling

Based on the necessity occasioned by Eiland’s contemptuous refusal to answer questions, Judge Ahalt ruled that the State could introduce the transcript of Eiland’s testimony from *514Eiland’s own trial in December 1993. The State then read that testimony to the jury. The propriety of that evidentiary ruling is now the key issue on this appeal.

Coincidentally, Judge Ahalt determined that the transcript qualified as the “firmly rooted exception” to the Rule Against Hearsay generally known as Former Testimony, sometimes referred to as Prior Recorded Testimony. Judge Ahalt determined, in the alternative, that even if the transcript should not automatically qualify under the aforesaid “firmly rooted exception,” it would nonetheless qualify even as generic hearsay because it bore “particularized guarantees of trustworthiness,” Lee v. Illinois, 476 U.S. 530, 543, 106 S.Ct. 2056, 2063, 90 L.Ed.2d 514, 528 (1986), and was, therefore, “at least as reliable as evidence admitted under a firmly rooted hearsay exception,” Idaho v. Wright, 497 U.S. 805, 821, 110 S.Ct. 3139, 3149, 111 L.Ed.2d 638, 656 (1990). See Chapman v. State, 331 Md. 448, 456-58, 628 A.2d 676 (1993); Simmons v. State, 333 Md. 547, 558-59, 636 A.2d 463 (1994).

As we undertake our analysis, let it be clear what we are reviewing. We are reviewing the ruling that the evidence was admitted—and nothing more. If the ruling was correct for the reasons advanced by the trial judge, it will be affirmed. If it turns out to have been correct for any other reason, it will also be affirmed. We are not scrutinizing the trial court’s reasoning in arriving at his decision. We are scrutinizing the naked decision itself. State v. Breeden, 333 Md. 212, 227 n. 5, 634 A.2d 464 (1993); Robeson v. State, 285 Md. 498, 502, 403 A.2d 1221 (1979); Aubinoe v. Lewis, 250 Md. 645, 649, 244 A.2d 879 (1968).

Former Testimony

We agree with Tyler that the transcript did not qualify as the “firmly rooted exception” of Former Testimony. Although Maryland Rule of Evidence 5-804(b)(l), effective on July 1, 1994, was not in effect, as such, at the time of Tyler’s trial, it accurately reflects the pre-existing Maryland case law *515on the classic Hearsay Exception known as Former Testimony:

(b) Hearsay Exceptions
The following are not excluded by the hearsay rule if the declarant is unavailable as a witness:
(1) Former Testimony
Testimony given as a witness in any action or proceeding or in a deposition taken in compliance with law in the course of any action or proceeding, if the party against whom the testimony is now offered, or, in a civil action or proceeding, a predecessor in interest, had an opportunity and similar motive to develop the testimony by direct, cross, or redirect examination. (Emphasis supplied.)

Although every other criterion for admissibility as Former Testimony was indisputably satisfied, Tyler, as a non-party, had no opportunity to examine Eiland at Eiland’s separate trial in December 1993. The State’s interest in cross-examining Eiland at that trial was not remotely in pari materia with what Tyler’s interest would have been. Eiland was in the act of laying off all of the blame on Tyler. Tyler’s interest would have been to forfend that transference of blame in toto and to pile all of it on Eiland alone. The State was content to have Eiland unload the lion’s share of the blame onto Tyler, just so long as it could keep some subsidiary or accomplice-level blame on Eiland. The State was not positioned to serve as a surrogate cross-examiner for Tyler. The transcript, therefore, did not qualify as Former Testimony.

The Larger Issue

We share the outlook on this trial, indeed on this whole series of three trials over a four-year period, expressed by Judge Ahalt as he first encountered the contemptuous recalcitrance of Eiland in his refusal to abide by the judge’s order and to answer the questions put to him:

*516I further conclude that he has been asked relevant questions of inquiry in the trial that we are presently in the process of conducting; that he has no justified reason for not testifying. He has testified fully and openly and completely in a prior proceeding concerning these same events.
I further conclude that his failure to testify could result in a substantial interference with the right of the public to proceed in a public adjudication and a full revelation of all facts, and the truth of the matter that is in question before this Court, and. because of his unfounded, unjustified refusal and unarticulated refusal, there is a substantial public safety concern with respect to the abilities of our community to bring justice in an orderly open fashion.

Judge Ahalt then repeatedly stated that his primary interest was in discovering a way “where substantial justice [could] be done for the community” (Emphasis supplied.) Whatever may be the ability of lawyers to appreciate the procedural niceties that can produce aberrational results, the commonsense-oriented perception of the public contains a hard kernel of countervailing validity. A senseless killing shocked a community. It is undisputed that the lethal bullets were fired by Tyler or Eiland. Largely through the procedural device of obtaining a trial severance to which they were not necessarily entitled, each might point an uncontradicted finger of blame at the other and thereby walk out of the courtroom.

In the public eye, two clever and manipulative defendants, one of whom at the very least was necessarily guilty, would thereby make a laughingstock out of the criminal justice system. Judge Ahalt was loathe to let that happen. Under these circumstances, we are loathe to hold that he abused his discretion in a heroic effort “to keep the balance true.” Whatever the formal issues on this appeal may be, there looms the larger and transcendent question, “Can the law allow Tyler and Eiland, individually or collectively, to get away with this?” The answer may turn out to be “Yes,” but only after we have exhausted every effort to see if Judge Ahalt’s evidentiary ruling can reasonably be sustained, either on the basis advanced by him or on some other basis.

*517 Nance v. State

The promise of a redeeming affirmance may lie in Nance v. State, 331 Md. 549, 629 A.2d 633 (1993), with a plausible “pushing out of the envelope” at one of Nance’s edges. In Nance, the Court of Appeals wrought a dramatic change in the Maryland law of evidence. If one sought to capture the central meaning or core significance of that change in an identifying label or incisive title, that label or title would inevitably be something closely resembling “Counteracting the Turncoat Witness.” Indeed, in the opening bar of the Nance opinion, Judge McAuliffe sounded its leitmotif: “This case presents the classic evidentiary problem of the turncoat witness.” 331 Md. at 552, 629 A.2d 633. The threshold question becomes, “Does Gerald Eiland qualify for the category ‘Turncoat Witness’?”

A. Was Eiland a Turncoat Witness?

Gerald Eiland was a quintessential turncoat witness. At his separate trial in December, 1993, he took the stand and, under oath, narrated in exquisite detail the events of December 4, 1990, at the Prince George’s Plaza Mall immediately before the fatal shooting. He then expressly and articulately described how Tyler reached across his body and fired a number of shots into the Toyota in which Jay Bias was riding.

Eiland never at any time, before or after that testimony, took a different position or espoused a different version of the events. At the initial joint trial of himself and Tyler, to be sure, he did not take the stand, but the legal theory forcefully championed by his defense team was punctiliously consistent with his 1993 trial testimony. At no time did he ever give a different version to the police; to the prosecution; or, for all we know, to Tyler. Saving only the hurdle of whether he was legally entitled to invoke a testimonial privilege, there was every reason to believe that at Tyler’s trial Eiland would testify (if not privileged) exactly as he had testified at his own separate trial. His own lawyers indicated, in a colloquy with Judge Ahalt, that as of Tuesday evening, the night before he *518was scheduled to appear in court, they had “every indication” that “he was ready to come to court.” No one, with the possible exception of Tyler, had any reason to anticipate his defiant silence.

Indeed, under circumstances far less compelling than those presented by Eiland’s sworn testimony, we found in Devan v. State, 17 Md.App. 182, 190-91, 300 A.2d 705 (1973), that the State had every reason to anticipate favorable testimony against the defendant in that case from a former codefendant who had earlier entered a plea of guilty. Although the would-be witness there had not, at his own appearance before the court, taken the stand or given sworn testimony, he had stood acquiescently by when a statement of facts was recited. That acquiescence was deemed by us to be circumstantial evidence that the witness would subsequently testify in a manner consistent with that statement of facts:

Hargrove stood mute. His plea of guilty before Judge Liss; the statement of facts recited in his and his counsel’s presence; the trial judge’s comments about Devan’s connection with the robbery and expressed belief that Hargrove would so testify, constituted, by circumstantial evidence, acknowledgment by Hargrove that the statements were true and that he would testify in accordance with their tenor. Thus, by standing mute, his conduct naturally would be interpreted by the State as his statement that Devan participated in the robbery and that Hargrove would so testify.

17 Md.App. at 190-91, 300 A.2d 705.

Labelling the disappointing witness as a turncoat, however, requires, in addition to the element of testimonial disappointment, some consideration of the modality by which the witness turned his coat. The common denominator predicate would be that the initially promising, witness, by virtue of 1) some earlier statement to the police or the prosecutor or others or 2) some earlier testimony before a grand jury or in the course of a trial, had given some indication that his trial testimony would be helpful to the party calling him. Eiland’s earlier *519trial testimony gave just such promise. The modalities for becoming a “turncoat” might then include:

1) Assuming the stand, taking the oath, and then repudiating the earlier statements1 and also, perhaps, testifying to the contrary2;
2) Assuming the stand, taking the oath, and then, without repudiating the earlier statements per se, casting those earlier statements in a far different interpretative light3, effectively repudiating them without formally doing so;
3) Assuming the stand, taking the oath, and then professing selectively a convenient lapse of memory as to certain critical events4 and also, perhaps, a convenient lapse of memory as to ever having made the earlier statements5;
*5204) Assuming the stand, taking the oath, and then professing a total lapse of memory as to the entire criminal episode and also, perhaps, a total lapse of memory about making any earlier statements6; and
5) Assuming the stand, taking the oath, and then refusing to answer any critical questions even when ordered to do so by the trial judge7 and also, perhaps, refusing to give a reason for refusing to answer the questions.

We see no principled distinction between modalities No. 3 and No. 4, selective or total lapse of memory, on the one hand, and modality No. 5, refusing to answer questions, on the other hand. Edward W. Cleary, McCormick on Evidence 755 (3rd ed. 1984), considered the case of the witness who “seeks refuge in forgetfulness” and noted “the parallel to the witness who simply refuses to testify”:

The witness who falsely asserts loss of memory is simply refusing to testify in a way that he hopes will avoid a collision with the judge. He is present in court, by definition, and subject to cross-examination. If his claim is false, *521he is in principle at least liable to contempt proceedings, though perhaps less effectively than in cases of simple refusal.

There is no functional difference between the witness on the stand who responds with the litany “I can’t remember,” “I can’t remember,” “I can’t remember” and another witness on the stand who responds with the essentially indistinguishable litany “I can’t answer that question,” “I can’t answer that question,” “I can’t answer that question.” To permit a turncoat witness to gain some tactical advantage by employing one modality of resistance rather than another strikes us as imprudent policy. We choose, to borrow a phrase from Kipling, “to treat those two impostors both the same.”

B. The Turncoat Witness vs. the Turncoat Non-Witness

In Maryland, at least, the entire evidentiary phenomenon epitomized by Nance is so new that inevitably we are operating, in instance after instance of considering Nance’s possible applicability, in still unmapped borderlands of the law. See, however, Stewart v. State, 104 Md.App. 273, 655 A.2d 1345 (1995) and Makell v. State, 104 Md.App. 334, 656 A.2d 348 (1995). The whole Nance arsenal, of course, is aimed at the turncoat witness, not at the turncoat non-witness. The immediate threshold problem is presented, therefore, of whether Eiland’s testimonial defiance of Judge Ahalt’s order qualified him, within the contemplation of Nance, as a turncoat witness rather than as a turncoat non-witness. It is a close question and although the equities are by no means unmixed, we conclude that Eiland was a “witness,” as Nance uses that term of art.

At the outset, we would distinguish the situation in this case from that in Simmons v. State, 333 Md. 547, 636 A.2d 463 (1994). The difference is critical, even though slight. In Simmons, the recalcitrant witness “refused even to take the stand much less testify.” 333 Md. at 554, 636 A.2d 463. He publicly declaimed, “I’m not taking an oath. I’m not going to testify.” Id. In the present case, by contrast, Eiland took *522the witness stand and took the oath. In response to question1 ing, he not only gave his name and address but showed a willingness to respond to various questions that he deemed to be innocuous. He only responded with “I can’t answer that question” on an ad hoc, question-by-question basis. It seemed that his refusals to answer may have been triggered by his own assessment of what might be self-incriminating and that he was invoking, albeit contemptuously, his own privilege against compelled self-incrimination notwithstanding the judge’s ruling that he was not entitled to do so. In the case of Eiland, there was nothing to prevent the fact finders from looking upon him, listening to him, observing his demeanor as he answered or refused to answer, and assessing him in some meaningful fashion. None of this occurred in Simmons v. State.

Another critical difference between this case and Simmons v. State should also be carefully noted. Simmons was dealing, 333 Md. at 559, 636 A.2d 463, with an individual’s status of “unavailability” as a witness. It was dealing with that status, however, in the liberalized context of facilitating the admissibility of hearsay evidence. One’s “unavailability” as a witness in the Nance context, by way of dispositive contrast, would serve as a bar to the admissibility of evidence. As will be discussed far more fully later in this opinion and has been firmly established by the Supreme Court, “unavailability” for one evidentiary purpose is by no means “unavailability” for all evidentiary purposes. In terms of facilitating the admission of evidence, the finding of “unavailability” in Simmons and a finding of “unavailability” in this case would point in diametrically opposite directions. Of this, however, more anon.

Before alluding again to the functional similarity between the respective responses, “I can’t answer the question” and “I can’t remember,” we would note that even a refusal to answer a question, in the view and hearing of the jury, can have communicative content and substance. On this question, we find at least oblique support from the excellent and thought-provoking analysis of Judge Bloom in Kulbicki v. State, 102 Md.App. 376, 649 A.2d 1173 (1994). Although the procedural *523postures of that case and of this differ significantly, there is a small but hard kernel of similarity that we find especially helpful.

In Kulbicki, the resolution of a key issue before this Court depended on the assessment and characterization of the testimony of a defense witness, Darryl Marciszewski. The precise issue was whether that witness’s testimony was inconsistent with the testimony of two State’s rebuttal witnesses so as to trigger the State’s entitlement even to offer those witnesses in rebuttal. If the defense witness had truly communicated the message, as he did in so many words, that he did not kill the victim, there was nothing for the State’s rebuttal witnesses to rebut and the decision to permit them to testify would have been error. 102 Md.App. at 383-84, 649 A.2d 1173.

The State, however, argued that although the witness’s spoken words had conveyed one message, the combination of his demeanor and his initial refusal to answer the critical question conveyed a diametrically different “unspoken message.” Judge Bloom summed up the thrust of the State’s argument that the witness had managed to convey, though not in so many words, a message that was inconsistent with the testimony offered by the rebuttal witnesses:

[The State] argued that, although the testimony of Ms. Czajkowski and Ms. Dean did not rebut Marciszewski’s spoken testimony, it did rebut the unspoken message that he was conveying. In other words, the State asserts that Marciszewski’s testimony consisted not only of what he said but also the manner in which he said it. The State contends that the unspoken message conveyed by Marciszewski was that he, not the appellant, committed the murder, so the testimony of Ms. Dean and Ms. Czajkowski concerning Marciszewski’s plan to exonerate appellant was proper rebuttal evidence.

102 Md.App. at 384, 649 A.2d 1173.

At the outset, this Court, through Judge Bloom, confirmed the validity of the State’s position that testimonial or commu*524nicative content is not to be derived solely from the- words a witness speaks:

We recognize that, although a person’s spoken words may technically convey one message, the implied message that is actually conveyed can contradict the spoken words.

102 Md.App. at 385, 649 A.2d 1173.

In support of its position that the alternative and. unspoken message had actually been the one delivered, the State offered four items. Two were peripheral bits of circumstantial evidence, one acknowledging anger toward the murder victim and the second linking the' witness as well as the defendant with an arguably incriminating jacket. The third item was the witness’s inability to remember his whereabouts on the day of the crime. The fourth item, of particular significance for us, was the initial refusal to answer a critical question:

The State also relies on the fact that Marciszewski, during cross-examination, twice refused to answer when the State asked him whether he killed Ms. Neuslein, and answered only after the trial judge threatened to hold him in contempt of court.

102 Md.App. at 384-85, 649 A.2d 1173.

We held that the unspoken message had been the one actually delivered and that the rebuttal witnesses, who contradicted and impeached that message, had been properly permitted to testify. The communicative content of that unspoken message, moreover, was derived, at least in part, from the refusal of the witness on two occasions to answer the critical question. Judge Bloom explained the reasons for our conclusion in that regard:

His prior direct testimony, coupled with the fact that he twice refused to answer when asked on cross-examination whether he murdered Ms. Nueslein, could have led, and was perceived by the court as designed to lead, the jury to infer that he was guilty of murdering her ... (Emphasis supplied.)

102 Md.App. at 385, 649 A.2d 1173.

It is true, to be sure, that the refusal of the witness to answer a question in the Kulbicki case did not occur in a *525vacuum but in conjunction, rather, with other testimonial behavior, whereas in the case before us Eiland’s refusal stands essentially alone. The common denominator, however, is that a refusal to answer is nonetheless testimonial behavior that possesses, in and of itself, possible communicative content. If, qualitatively speaking, a refusal to answer is, as Kulbicki has established, a legitimate factor in a larger communicative equation, it is not utterly bereft of communicative significance even when standing alone. What was sufficiently inconsistent in Kulbicki to permit rebuttal testimony was sufficiently inconsistent in this case to permit the introduction of the prior inconsistent statement. The refusal to testify that contributed to the triggering inconsistency in Kulbicki constituted the triggering inconsistency in this case.

The bottom line is that a hearsay declarant who is present in the courtroom, who takes the witness stand, who is administered the oath, who answers some innocuous questions, but who then refuses to answer more critical questions is not in the same category as other hearsay declarants who are dead or missing beyond the seas.

The appellant argues that even if Eiland was present in the courtroom and on the witness stand and under oath and vulnerable to have questions put to him, there could be no meaningful cross-examination or confrontation if the answer to every non-innocuous question was probably going to be, “I can’t answer the question.” The complaint in this regard is essentially indistinguishable from what it would be if the probable answers were consistently going to be, “I can’t remember.” It is, therefore, to the cases, both from the Supreme Court and from this Court, dealing with the effect of loss of memory on the availability for cross-examination that we must look for guidance.

In Delaware v. Fensterer, 474 U.S. 15, 106 S.Ct. 292, 88 L.Ed.2d 15 (1985), the loss of memory by a critical expert witness was significant, albeit not total. The Supreme Court held that that did not deny the defendant the opportunity to cross-examine:

*526[I]t does not follow that the right to cross-examine is denied by the State whenever the witness’ lapse of memory impedes one method of discrediting him ... Generally speaking, the Confrontation Clause guarantees an opportunity for effective cross-examination, not cross-examination that is effective in whatever way, and to whatever extent, the defense might wish. (Emphasis in original.)

474 U.S. at 19-20, 106 S.Ct. at 294. See also Kentucky v. Stincer, 482 U.S. 730, 739, 107 S.Ct. 2658, 2664, 96 L.Ed.2d 631, 643 (1987).

In California v. Green, 399 U.S. 149, 90 S.Ct. 1930, 26 L.Ed.2d 489 (1970), the Supreme Court affirmed the conviction, against a Confrontation Clause challenge, on other grounds and, therefore, did not find it necessary to decide the admissibility of a key witness’s out-of-court statement to a police officer concerning events that at trial he was unable to recall. The scholarly concurring opinion of Justice Harlan, however, would have addressed that issue and would have concluded:

The fact that the witness, though physically available, cannot recall either the underlying events that are the subject of an extra-judicial statement or previous testimony or recollect the circumstances under which the statement was given, does not have Sixth Amendment consequence.

399 U.S. at 188, 90 S.Ct. at 1951. (Concurring opinion by Harlan, J.). That concurring opinion by Justice Harlan became the law of the land eighteen years later in United States v. Owens, 484 U.S. 554, 559, 108 S.Ct. 838, 842, 98 L.Ed.2d 951, 957 (1988):

Here that question is squarely presented, and we agree with the answer suggested 18 years ago by Justice Harlan. “[T]he Confrontation Clause guarantees only ‘an opportuni-. ty for effective cross-examination, not cross-examination that is effective in whatever way, and to whatever extent, the defense might wish.’ ” (Emphasis in original.)

United States v. Owens is a strong case in point. The victim of a brutal assault was unable to recall the identity of *527his assailant and was largely unable to recall the circumstances of a hospital room interview in which he identified the defendant as his assailant. At issue was the admissibility of a third party’s testimony to the effect that the victim had, from the hospital room, made such an identification. Justice Brennan, in dissent, described the inability of the defendant to conduct a meaningful cross-examination because of the memory loss as being virtually as abject as would have been the case if the declarant had been dead or had asserted a testimonial privilege:

The principal witness against respondent was not the John Foster who took the stand in December 1983—that witness could recall virtually nothing of the events of April 12, 1982, and candidly admitted that he had no idea whether respondent had assaulted him. Instead, respondent’s sole accuser was the John Foster who, on May 5, 1982, identified respondent as his attacker. This John Foster, however, did not testify at respondent’s trial; the profound memory loss he suffered during the approximately 18 months following his identification prevented him from affirming, explaining, or elaborating upon his out-of-court statement just as surely and completely as his assertion of a testimonial privilege, or his death, would have.

484 U.S. at 566, 108 S.Ct. at 846. (Dissenting opinion by Brennan, J.). Notwithstanding the argument that the memory loss was an effective bar to any meaningful status as a witness subject to cross-examination, the Supreme Court approved the reception of the out-of-court identification:

The weapons available to impugn the witness’s statement when memory loss is asserted will of course not always achieve success, but successful cross-examination is not the constitutional guarantee.

484 U.S. at 560, 108 S.Ct. at 843.

In Bullock v. State, 76 Md.App. 85, 543 A.2d 858 (1988), cert. denied, 313 Md. 688, 548 A.2d 128 (1988), this Court dealt with a memory loss more severe than that suffered by the victim in United States v. Owens. On the critical question of the *528identity of the defendant as the assailant, the victim’s memory loss was total. The robbery victim had suffered a serious beating. He could not identify the defendant at trial. Although he had identified the defendant to a police officer in a street show-up shortly after the crime, the victim suffered a total memory blackout as to even have participated in that extrajudicial identification procedure. In his analysis, Judge Alpert pointed out that the memory loss in the Bullock case was total:

This case is one step removed from Owens, however. In the case sub judice, the identifying witness could no longer remember having identified the appellant as his assailant and, consequently, the State did not attempt to identify appellant through the victim’s testimony. Instead, the State had Deputy Chambers testify that Mr. Reinert had identified the appellant as his assailant at the show-up at the shopping center.

76 Md.App. at 92, 543 A.2d 858.

In Bullock, the victim’s total lack of memory as to the identity of his assailant was such that the State did not even question him as to the defendant’s criminal agency. Even under those circumstances, we held that the defendant’s entitlement to call the victim as his own witness was fully as effective as would have been his opportunity to cross-examine him had the State used him as a witness on the issue of criminal agency:

Mr. Reinert was available in the courtroom to be examined concerning his identification of appellant at the shopping center. We understand appellant’s concern that he was not in a position where he could cross-examine Reinert about the show-up ... Under Maryland law, however, the opportunity to call Reinert as a witness and question him about the identification is sufficient to satisfy appellant’s right to confront the witnesses against him.

76 Md.App. at 93, 543 A.2d 858.

Relying primarily on United States v. Owens, we held that the police officer’s testimony as to the victim’s identification of *529the defendant was admissible as substantive evidence. The victim was present in court and subject to being called as a witness, notwithstanding the essential futility of trying to get anything out of him by way of meaningful cross-examination. Judge Alpert expressed the holding of the Court:

[Ijnsofar as Reinert’s lack of memory is concerned, as we noted supra, the Supreme Court held in Owens that a witness’s testimony that he had previously identified the defendant as the perpetrator of a crime was admissible even though he could not then identify the defendant as his attacker. We recognize that in this case, unlike in Owens, Reinert could no longer remember identifying the defendant. We believe, however, that this also bears only on the weight to be given the identification by the trier of fact.

76 Md.App. at 94, 543 A.2d 858.

Eiland was present in the courtroom, just as was the robbery victim in Bullock. Eiland took the oath and was subject to being questioned, just as did the robbery victim in Bullock. In neither case was there any realistic likelihood of getting anything out of the witness, either on direct or cross-examination. We see no distinction between Eiland’s status as a witness and that of the robbery victim in Bullock.

In terms of satisfying one of the threshold requirements of Nance and of Md.Rule 5-802.1, our narrow focus for the moment is on the isolated question of whether Jerry Eiland was a “witness” or a “non-witness.” There is a subtle but critically dispositive difference between the recalcitrant non-witness and the recalcitrant witness. Neither, to be sure, is willing to answer a question, but they manifest their noncooperation in different ways and in different places. It is the recalcitrant non-witness who refuses even to take the stand, Simmons v. State, 333 Md. 547, 636 A.2d 463 (1994), or, perhaps, even to come to the courthouse. It is, by way of contrast, the recalcitrant witness who, on the stand and under oath, refuses to answer certain questions even when directed to do so by. the trial judge.

*530Eiland in this case was present in the courtroom, voluntarily took the witness stand when called, voluntarily took the oath, voluntarily answered certain questions, and then contemptuously declined to answer other questions. His recalcitrance and his contempt, therefore, was that of a witness, not that of a non-witness.

His unprivileged refusal to answer certain questions did not, ipso facto, transform him from a witness into a non-witness. The case law holds that even a refusal by a witness to answer questions may still have evidentiary significance. Kulbicki v. State, 102 Md.App. 376, 649 A.2d 1173 (1994); United States v. Hearst, 563 F.2d 1331, 1341-42 (9th Cir.1977) (“Therefore, it was permissible for the Government to ask questions about this period, even though they led to 42 assertions of the Fifth Amendment.”); United States v. Beechum, 582 F.2d 898, 909 (5th Cir.1978) (“Moreover, in that instance the Government would have been entitled to comment on Beechum’s refusal to answer, notwithstanding the prohibition on such comment where the privilege is properly invoked.”) Whatever other threshold requirements must be satisfied, Eiland was a “witness.”

C. The Threshold of “Availability” and Its Shifting Meaning

Nance’s threshold requirement that the hearsay declarant be a “witness” and its threshold requirement that the hearsay declarant be “available for cross-examination” may be completely co-terminous. Each may, on the other hand, largely overlap the other but still retain some subtle and unique quality of its own. In either event, we shall utilize the rubric of “availability for cross-examination” to analyze one important aspect of the threshold requirement not yet discussed. Nance provides, 331 Md. at 560, 629 A.2d 633:

It is well settled in Maryland that a court may admit, as substantive proof, evidence of a third party testifying as to an extrajudicial identification by an eyewitness.... where the out-of-court declarant is present at trial and subject to cross-examination. (Emphasis supplied.)

*531As to the use of prior inconsistent statements as substantive evidence, Nance, 331 Md. at 565, 629 A.2d 633, characterized the “modern rule” as sanctioning the substantive use of the statements “provided the declarant is present at trial and subject to cross-examination.” The intermediate position championed by five states and adopted by Nance requires that the

statement was reduced to a writing signed or adopted by the declarant, and the declarant is a witness at trial and subject to cross-examination.

331 Md. at 567-68, 629 A.2d 633. Its final holding in this regard, 331 Md. at 569, 629 A.2d 633, is that the prior inconsistent statement is substantive evidence if the declarant

is subject to cross-examination at the trial where the prior statement is introduced.

With respect to the admissibility of prior grand jury testimony, Nance, 331 Md. at 571, 629 A.2d 633, held:

The declarant must also, of course, be present as a witness at trial to be tested by cross-examination in regard to the former grand jury appearance and its contents.

The crucial question becomes that of defining the notion of “unavailable for cross-examination” or “unavailable as a witness.” The law dealing with the admissibility of evidence pursuant to those hearsay exceptions that require the unavailability of the declarant, on the one hand, defines “unavailability” liberally. Both Federal Rule of Evidence 804(a) and Maryland Rule of Evidence 5-804(a) treat, in verbatim language, as “unavailable” declarants not only those who are dead, insane, absent beyond the seas, of whereabouts unknown, or shielded by a testimonial privilege, but also a declarant who

(2) persists in refusing to testify concerning the subject matter of the declarant’s statement despite an order of the court to do so8; or
*532(3) testifies to a lack of memory of the subject matter of the declarant’s statement;

The law of evidence, however, has made a subtle but critical distinction between the meaning of “unavailability” in that context and the meaning of “unavailability” in the very different context presented by this case. Both new Maryland Rule of Evidence 5-804(a)(3) .and Federal Rule of Evidence 804(a)(3), for instance, treat the forgetful witness as sufficiently “unavailable” for the purpose of promoting the freer admissibility of certain hearsay exceptions. Nance, on the other hand, does not treat the forgetful witness as “unavailable” for the diametric purpose of barring the admissibility of evidence. “Unavailability” as a key and “unavailability” as a bar are not treated the same way.

As the Nance case illustrates, there is a decided liberalizing trend in the law of evidence favoring the freer admissibility of evidence. One manifestation of that trend is the facilitating of the admissibility of evidence under those hearsay exceptions that are contingent on the unavailability of the hearsay declarant, or more precisely the unavailability of the testimony of the hearsay declarant. Involved here, of course, is the small cluster of exceptions collected under Federal Rule of Evidence 804 and under Maryland Rule of Evidence 5-804, featuring such prominent members as Dying Declarations, Former Testimony, and Declarations Against Interest.

With the Dying Declaration, of course, the requisite showing of unavailability remains as' morbid as it always has been. With regard to the other exceptions in this group, however, the law of evidence is quick to find “unavailability,” as a key to admissibility, in a number of circumstances. Let it be carefully noted, however, that that is a context in which a finding of unavailability is the necessary avenue for admissibility. Everything that suffices to get evidence in does not necessarily suffice to keep evidence out. That is a far cry from a situation, such as in Nance, where a finding of unavailability for cross-examination triggers not a liberalizing admissibility *533but a foreclosing inadmissibility. Whereas admissibility is favored, inadmissibility is disfavored.

Nance is a good illustration of how attitude may shift with changing context and changing purpose. The lapse of memory by a witness, which would easily have constituted the necessary unavailability to permit the introduction of Former Testimony or a Declaration Against Interest, was held not to constitute unavailability so as to bar the introduction of the prior inconsistent statements.

The Supreme Court, moreover, has never found a witness’s loss of memory to represent the unavailability for cross-examination that will bar the introduction of evidence. Cf. Delaware v. Fensterer, 474 U.S. 15, 19-22, 106 S.Ct. 292, 294-96, 88 L.Ed.2d 15, 19-21 (1985); California v. Green, 399 U.S. 149, 90 S.Ct. 1930, 26 L.Ed.2d 489 (1970).

The apparent anomaly that a witness might be deemed “unavailable for cross-examination” so as to facilitate admissibility under Federal Rule of Evidence 804(a)(3) or Maryland Rule of Evidence 5-804 under circumstances that would not be deemed “unavailable for cross-examination” so as to bar admissibility under Federal Rule of Evidence 801(d)(1)(C) or Maryland Rule of Evidence 5-802.1(a) was dealt with squarely in United States v. Owens, 484 U.S. 554, 108 S.Ct. 838, 98 L.Ed.2d 951 (1988). A federal prison counselor suffered a brutal beating to the head with a metal pipe. His skull was fractured and he was hospitalized for almost a month. His memory was severely impaired. While in the hospital the victim was interviewed by an FBI agent and identified Owens as his assailant. He selected a picture of Owens from a photographic array. At trial, however, the victim had almost a total lapse of memory as to both the initial attack and as to the hospital visits and interviews.

A prerequisite to the admissibility of the photographic identification, under Federal Rule of Evidence 801(d)(1)(C), is that the victim be available for cross-examination. The Supreme Court, through Justice Scalia, held that the memory loss did not render the victim “unavailable for cross-examina*534tion” and that the evidence of identification was, therefore, admissible.

Justice Scalia freely acknowledged, however, that the memory loss that did not represent “unavailability” under Rule 801(d)(1)(C) would nonetheless represent “unavailability” under Rule 804(a)(3). He explained that the more liberal' attitude taken under Rule 801(d)(1)(C) was because the admissibility of the evidence is favored:

The premise for Rule 801(d)(1)(C) was that, given adequate safeguards against suggestiveness, out-of-court identifications were generally preferable to courtroom identifications .... [DJespite the traditional view that such statements were hearsay, the Advisory Committee believed that their use was to he fostered rather than discouraged. (Emphasis supplied.)

484 U.S. at 562, 108 S.Ct. at 844. Owens leaped on the inconsistency:

Respondent argues that this reading is impermissible because it creates an internal inconsistency in the Rules, since the forgetful witness who is deemed “subject to cross-examination” under 801(d)(1)(C) is simultaneously deemed “unavailable” under 804(a)(3).

484 U.S. at 563, 108 S.Ct. at 844. In dismissing the significance of the apparent inconsistency, Justice Scalia explained that the two rules serve two very different policies:

It seems to us, however, that this is not a substantive inconsistency, but only a semantic oddity resulting from the fact that Rule 804(a) has for convenience of reference in Rule 804(b) chosen to describe the circumstances necessary in order to admit certain categories of hearsay testimony under the rubric “unavailability as a witness.” These circumstances include not only absence from the hearing, but also claims of privilege, refusals to obey a court’s order to testify, and inability to testify based on physical or mental illness or memory loss.

Id. The very different treatment of the concept of unavailability for cross-examination simply

*535presents the verbal curiosity that the witness is “subject to cross-examination” under Rule 801 while at the same time “unavailable” under Rule 804(a)(3). Quite obviously, the two characterizations are made for two entirely different purposes and there is no requirement or expectation that they should coincide. (Emphasis supplied.)

484 U.S. at 563-64, 108 S.Ct. at 845.

California v. Green, 399 U.S. 149, 90 S.Ct. 1930, 26 L.Ed.2d 489 (1970), also demonstrates that “unavailability” for one purpose is not necessarily “unavailability” for all purposes. A 16-year-old accomplice testified against the defendant at a preliminary hearing. At the trial, two months later, the witness was sworn but then proved to be “markedly evasive and uncooperative on the stand.” 399 U.S. at 151, 90 S.Ct. at 1931. He claimed that he was on “acid” (LSD) at the time of the crime and “was unable to remember the events.” Id. He asserted that “the drugs he had taken prevented his distinguishing fact from fantasy.” Id.

The Supreme Court held that the Former Testimony from the preliminary hearing was admissible. It pointed out that “the State here has made every effort to introduce its evidence through the live testimony of the witness; it produced Porter at trial, swore him as a witness, and tendered him for cross-examination.” 399 U.S. at 167, 90 S.Ct. at 1940. It then essentially equated inconsistent testimony, a claimed loss of memory, the invoking of a testimonial privilege, and the refusal to answer questions:

Whether Porter then testified in a manner consistent or inconsistent with his preliminary hearing testimony, claimed a loss of memory, claimed his privilege against compulsory self-incrimination, or simply refused to answer, nothing in the Confrontation Clause prohibited the State from also relying on his prior testimony to prove its case against Green.

399 U.S. at 167-68, 90 S.Ct. at 1940. The Court further observed that a loss of memory is classically a sufficient *536showing of “unavailability” to open the gate for the Former Testimony hearsay exception:

The hearsay exception itself has generally recognized that a witness is “unavailable” for purposes of the exception where through lapse of memory or a plea of the Fifth Amendment privilege, the State cannot secure his live testimony.

399 U.S. at 168 n. 17, 90 S.Ct. at 1940 n. 17.

In addition to the Former Testimony from the preliminary hearing, the State also introduced as substantive evidence prior inconsistent statements given to a police officer under the “modern rule” which goes even further than Nance. The California Supreme Court had not found it necessary to consider whether the witness’s memory loss rendered him “unavailable for cross-examination” or not for purposes of that evidentiary ruling. The United States Supreme Court remanded so that California might consider that question.

For our present purposes, the significance of the Supreme Court remand is that its holding that the witness was “unavailable” so as to legitimate the admission of the transcript from the preliminary hearing under the Former Testimony hearsay exception by no means automatically or ipso facto settled the different “unavailability” question for prior inconsistent statements. The separate contexts required separate resolutions of that issue.

Similarly, case law as to what constitutes unavailability under Maryland Rule of Evidence 5-804 and its predecessor law, see, e.g., Gaskins v. State, 10 Md.App. 666, 677-78, 272 A.2d 413, cert. denied, 261 Md. 724 (1971), has little bearing on the very different question of unavailability for cross-examination under Maryland Rule of Evidence 5-802.1(a) and Nance v. State. A trial judge is vested with wide discretion when it comes to a ruling to admit evidence. A reviewing court is enjoined to reverse only in cases of clear abuse.

D. Nance’s Response to Turncoat Witnesses

Once the threshold requirement (or requirements) has been satisfied that the hearsay declarant is both 1) a witness and 2) *537available for cross-examination, Nance’s restorative antidotes are available for use. Nance’s response to the turncoat witnesses in that case was three-fold. The first third of the response was unremarkable. Two of the witnesses had been eyewitnesses to the fatal shooting. Within twenty-four hours of the commission of the crime, both witnesses had identified, from photographic arrays, the defendant Nance as one of the perpetrators. One of those witnesses identified the codefendant Hardy as well. At trial, both witnesses repudiated, in effect, their pretrial identifications by claiming that they had only identified the photographs as being photographs of persons they knew and recognized.

With respect to the admissibility as substantive evidence of those extrajudicial identifications, the Court of Appeals reaffirmed preexisting Maryland law that such evidence was both admissible and legally sufficient to support a conviction:

It is well settled in Maryland that a court may admit, as substantive proof, evidence of a third party testifying as to an extrajudicial identification by an eyewitness when made under circumstances precluding the suspicion of unfairness or unreliability, where the out-of-court declarant is present at trial and subject to cross-examination. An extrajudicial identification is sufficient evidence of criminal agency to sustain a conviction, even though the declarant is unable to identify the accused at trial. (Citations omitted.)

331 Md. at 560-61, 629 A.2d 633. Indeed, Bullock v. State was a classic application of this aspect of the Nance Rule five years before the Nance opinion was handed down.

It was in the second of its three responses to the problem of the turncoat witness that the Nance opinion broke dramatic new ground. All three of the ultimate turncoat witnesses in that case had been interviewed by the police about events which they had observed first-hand. They had all provided full and descriptive answers. All of their prior statements had been reduced to writing, were read and vouched for by the witnesses, and were then signed by the witnesses. When the witnesses recanted at trial, either by direct repudiation or by *538claimed lapse of memory, the trial judge admitted the prior ■written statements.

Judge McAuliffe began his analysis by pointing out, 331 Md. at 564, 629 A.2d 633, that Maryland traditionally permitted the use of a prior inconsistent statement only in its non-hearsay capacity for the limited purpose of impeaching the testimonial credibility of the witness on the stand. He further observed that “Maryland is one of only a handful of states to adhere to the orthodox rule barring use of prior inconsistent statements as probative evidence.” 331 Md. at 565, 629 A.2d 633.

After a thorough analysis of the merits and demerits of the so-called “modern rule,” already adopted by sixteen states, whereby prior inconsistent statements are broadly admissible as substantive evidence, the Nance Court took the more cautious approach, adopted by five other states, of moving part-way toward the “modern rule.” It held:

We hold that the factual portion of an inconsistent out-of-court statement is sufficiently trustworthy to be offered as substantive evidence of guilt when the statement is based on the declarant’s own knowledge of the facts, is reduced to writing and signed or otherwise adopted by him, and he is subject to cross-examination at the trial where the prior statement is introduced. (Footnote omitted.)

331 Md. at 569, 629 A.2d 633. See also Sheppard v. State, 102 Md.App. 571, 650 A.2d 1362 (1994).

The third prong of Nance’s tridentate response to the turncoat witness also has major new significance. It deals with a prior inconsistent statement given by a witness in some formal setting and under oath. It followed the lead of Fed. R.Evid. 801(d)(1)(A) in deeming statements given under such circumstances to be sufficiently reliable to be received as substantive evidence. Judge McAuliffe explained the reliability rationale:

The requirement of a formal context such as a judicial hearing or grand jury proceeding assures that the declarant did indeed make the prior statement. There will be no doubt that it was accurately recorded and transcribed. The *539requirements of an oath and testimony given under penalty of perjury discourage lying, reminding the declarant of punishment by both supernatural and temporal powers. The formal setting, oath, and the reminder of perjury all convey to the declarant the dignity and seriousness of the proceeding, and the need to tell the truth. (Citation omitted.)

331 Md. at 571, 629 A.2d 633.

In the Nance case itself, the three turncoat witnesses had all recanted, by direct repudiation or by lapse of memory, their earlier grand jury testimony. Transcripts of their grand jury testimony were admitted. In affirming that ruling by the trial judge, the Nance opinion noted:

[A] statement given before a grand jury is made in an atmosphere of formality impressing upon the declarant the need for accuracy; and it will be memorialized in a manner that eliminates concerns about whether the statement was actually made.

Id.

The second and third of Nance’s responses to the turncoat witness have since been brought together under the umbrella of the new Md. Rule of Evidence 5-802.1(a). Although the new Rule of Evidence did not take effect until July 1, 1994, after Tyler’s trial in this case had been completed, the new Rule simply reflects the changes made in Maryland law by the Nance opinion. Rule 5-802.1(a) provides:

The following statements previously made by a witness who testifies at the trial or hearing and who is subject to cross-examination concerning the statement are not excluded by the hearsay rule:
(a) A statement that is inconsistent with the declarant’s testimony, if the statement was (1) given under oath subject to the penalty of perjury at trial, hearing, or other proceeding or in a deposition; (2) reduced to writing and signed by the declarant; or (3) recorded in substantially verbatim fashion by stenographic or electronic means contemporaneously with the making of the statement.

*540The three qualifying conditions spelled out by subsection (a) are in the disjunctive. It is clear that Eiland’s sworn testimony at his December, 1993 trial would redundantly qualify under either (1) or (3). It was testimony given under oath subject to the penalty of perjury at a trial. It was also recorded in verbatim fashion by stenographic means at the very time it was given.

Subsection (a) begins with the more general condition that the trial testimony being offered be “inconsistent with the declarant’s testimony.” At Tyler’s trial, Eiland was in court in answer to a subpoena. He took the stand and was administered the oath. He answered certain innocuous questions. His earlier testimony, of course, had been that he was in the Mercedes with Tyler when Tyler fired the lethal shots. For purposes of establishing inconsistency, we focus in on two sets of questions and answers:

Q: Mr. Eiland, did you shoot Jay Bias?
A: I can’t answer that question.
Q: Were you in the car when Jay Bias was shot?
A: I can’t answer that question.

We hold that those responses were just as inconsistent with Eiland’s earlier trial testimony as those responses would have been had they taken the following form:

Q: Mr. Eiland, did you shoot Jay Bias?
A: I can’t remember.
Q: Were you in the car when Jay Bias was shot?
A: I can’t remember.

In Nance, the argument was made by the defendants that the claimed loss of memory on the part of the witnesses denied the defendants any chance of cross-examining the witnesses. The Court of Appeals rejected the defense argument. Inferring that the claimed lapses of memory were not genuine, the Court of Appeals treated the selective and conve*541nient gaps in memory as if they were nothing less than devious ways of refusing to answer:

All of the variations upon the rule permitting probative use of out-of-court identifications and statements require that the defendant be present at trial for cross-examination. Petitioners argue that the witnesses’ claimed loss of memory at trial about past events effectively denied the defense any real chance to cross-examine them about their out-of-court identifications and statements. Both the facts and the law refute that argument.
Harris, McCormick, and Brown did not uniformly testify that they had no memory of their sessions with police or the grand jury in which they made the identifications or statements. Instead, they remembered some parts of these earlier events, did not remember others, and outright denied or repudiated other parts. Their lapses of memory conspicuously occurred whenever the questions at trial approached matters potentially implicating Nance and Hardy in the murder. The tendency of unwilling or untruthful witnesses to seek refuge in forgetfulness is well recognized.

331 Md. at 571-72, 629 A.2d 633.

The Court would not permit such responses to be treated as the denial of an opportunity for cross-examination which would thereby compel the rejection of the evidence:

When witnesses display such a selective loss of memory, a court may appropriately admit their prior statements.

331 Md. at 572, 629 A.2d 633. There is no principled difference between what the witnesses did there and what Eiland did here.

In California v. Green, 399 U.S. 149, 153-64, 90 S.Ct. 1930, 1932-38, 26 L.Ed.2d 489, 494-501 (1970), the Supreme Court placed its constitutional imprimatur, as non-violative of the Confrontation Clause, not only on the more cautious approach to greater substantive admissibility represented by Nance and adopted by five other states, but also on the even broader “modern rule” generally.

*542 E. Cross-Examination “Concerning the Statement”

In yet another regard, the appellant is procedurally handicapped in contending that Eiland was not available for cross-examination. The contention is pure speculation, for the appellant never made the slightest effort to cross-examine Eiland.

Let it be noted initially that Md. Rule 5-802.1, which essentially codifies the holding in Nance v. State, does not condition the admissibility, for substantive purposes, of the prior inconsistent statement on the fact that the out-of-court declarant is available or subject to cross-examination generally. The literal threshold requirement is that the out-of-court declarant be one “who is subject to cross-examination concerning the statement.” (Emphasis supplied.)

The appellant may well make the argument that, in terms of Eiland’s live testimony, the appellant had neither opportunity nor desire to cross-examine until Eiland had given testimony adverse to the appellant’s cause. That is not the type of cross-examination, however, of which the rule speaks. It speaks exclusively of cross-examination “concerning the statement.” Once the testimony from Eiland’s earlier .trial had been introduced, there was abundant subject matter for the appellant to explore on cross-examination. That, indeed, was the specific type of cross-examination contemplated by Nance v. State. After the witnesses had been subjected to direct examination in Nance, their prior statements, to police and grand jury alike, were introduced for their substantive content. It was at that juncture that the availability of those witnesses for cross-examination with specific reference to those statements became critical:

All three witnesses were extensively cross-examined by the defense at trial ... They testified that police had misinterpreted their prior remarks, falsely recorded them, or elicited them by coercion....
. In brief, the witnesses’ testimony served largely to cast doubt on the State’s evidence and thereby to exculpate the *543defendants at trial, which is the aim of effective cross-examination by the defense in criminal cases.

331 Md. at 573, 629 A.2d 633.

Once Eiland’s trial testimony had been introduced, there was much that the appellant might seek to do by way of cross-examining Eiland. Eiland had been present in the courthouse and had taken the stand twice, once before his eighteen-day travail and once afterward. On both occasions, he had been willing to assume the witness chair, take the oath, and answer certain questions. After his earlier trial testimony had been introduced, he was still available, presumably in the courthouse or, at most, in some nearby holding facility. Had the appellant requested the opportunity to put questions to Eiland, the court certainly would have accommodated him. The critical procedural factor, however, is that the appellant never made such a request.

He suggests that any effort to cross-examine would have been futile. We must point out that if for no other reason, it would not have been futile in terms of preserving the issue for appellate review. More significantly, the appellant was positioned for precisely the sort of cross-examination that was conducted in United States v. Hearst, 563 F.2d 1331 (9th Cir.1977). The cross-examination in Hearst consisted of forty-two consecutive questions followed by forty-two consecutive assertions of the Fifth Amendment privilege.

The appellant’s purpose, of course, was to lessen the impact and impeach the credibility of Eiland’s earlier trial testimony. A question to Eiland such as “Is it not true that you lied in your earlier trial testimony and placed the blame on Tyler simply to save yourself?” followed by a response of “I can’t answer that question,” would have had significant impact in casting doubt on that earlier testimony. A series of forty-two such questions and responses, as in Hearst, might have blown Eiland’s earlier trial testimony right out the window. The point is that the effort to cross-examine Eiland might have been anything but futile, but the appellant never made the effort. We can only surmise that the appellant may have been *544in some state of delicate detente with Eiland that he did not wish to jeopardize by aggressive cross-examination. The decision to forego that cross-examination, for whatever reason, was his alone, and he must live with its procedural consequences.

Responsibility for Unavailability

There is a second, and totally independent, reason why we cannot say that Judge Ahalt clearly abused his discretion. It is hornbook law that a party may not reap the benefit of a potential witness’s unavailability if that party bears any responsibility for that unavailability. Edward W. Cleary, McCormick on Evidence 754 (3rd ed.1984) observes:

[T]he witness may be physically present in court but his testimony nevertheless unavailable. Of course if the unavailability is by procurement of the party offering the hearsay statement, the requirement ought not to be regarded as satisfied.

Lynn McLain, 6 Maryland Evidence 445 describes the same principle:

The unavailability must not be due to efforts to prevent the witness from testifying.

And see Bartell v. Bartell, 278 Md. 12, 22-24, 357 A.2d 343 (1976); Bryant v. State, 207 Md. 565, 587, 115 A.2d 502 (1955); Howell v. State, 62 Md.App. 278, 289, 489 A.2d 55 (1985). In dealing with those hearsay exceptions that require a showing that the declarant be unavailable as a witness, Federal Rule of Evidence 804(a) provides:

A declarant is not unavailable as a witness if his exemption, refusal, claim or lack of memory, inability, or absence is due to the procurement or wrongdoing of the proponent of his statement for the purpose of preventing the witness from attending or testifying.

Maryland Rule of Evidence 5-804(a) similarly provides:

A statement will not qualify under section (b) of this Rule if the unavailability is due to the procurement or wrongdo*545ing of the proponent of the statement for the purpose of preventing the witness from attending or testifying.

In the Nance setting, of course, the benefit of a showing of unavailability flows in the opposite direction. In a Rule 804 setting, the beneficiary of the showing of unavailability is the proponent of the hearsay exception. In a Nance setting, by contrast, the beneficiary of such a showing is the opponent of the prior inconsistent statement. The principle, however, is the same. As either a proponent or an opponent of hearsay evidence, a party may not benefit from the declarant’s unavailability if that party bears, even inferentially, any responsibility for the unavailability.

In reviewing discretionary evidentiary rulings, we do not impose formal burdens of production or persuasion on what are, by their very nature, judgment calls. If there was in the surrounding circumstances some support for an evidentiary ruling—by reasonable inference, by logical deduction, by process of elimination, by some even non-verbal sense or “feel” of the trial mood—we would not label that ruling as a clear abuse of discretion.

In the present case, several different intimations, collectively if not individually, could have given rise to a permissible inference that Tyler, or perhaps his friends and adherents, bore some responsibility for Eiland’s unavailability for cross-examination.

Time was when Tyler and Eiland were, if not exactly Damon and Pythias, at least fast friends. When they went to the Prince George’s Plaza Mall together on December 4, 1990, Tyler and Eiland were already companions of long standing. For some time, Tyler, stripped of his driving privileges, had turned the use of his Mercedes over to Eiland. It was Tyler who wanted to go to the mall on December 4 and it was Eiland who accommodated him by serving as his chauffeur. Throughout the several confrontational episodes with Jay Bias and his friends, Tyler and Eiland presented a united front. The inference at least raises its head that Eiland might have *546resorted to any reasonable measure, short of convicting himself, to keep from damaging testimonially his erstwhile friend.

As at least a modest additional makeweight, Tyler’s strenuous insistence on a trial severance diminished the likelihood that he would ever be able to cross-examine Eiland. But for the trial severance, Tyler’s determination to take the stand would almost certainly have triggered a reciprocal decision by Eiland. In such an eventuality, Tyler cohld have cross-examined Eiland with a will.

When on March 3, 1993, a possible trial recess was in the offing with an eye to compelling Eiland’s live testimony, moreover, Tyler strenuously resisted the effort. Judge Ahalt considered and ultimately chose that course of action. The State was fully supportive of any device likely to produce Eiland’s live testimony. Tyler, of course, had protected himself by issuing his own subpoena for Eiland to appear as a witness. To what end, it is hard to figure out. When strategies were being considered, however, to coerce Eiland to be a witness, Tyler strenuously resisted those strategies. He went out of his way to point out to Judge Ahalt the likely futility of even making the effort. A longer continuance, had Tyler not opposed it, might well have turned the tide in favor of Eiland’s live testimony. The inference that Tyler thereby contributed to Eiland’s continuing, even if not initial, unavailability for cross-examination would not have been irrational.

There finally looms the specter of witness intimidation. Tyler, of course, was in jail, but his friends and adherents were not. There is no direct evidence, to be sure, linking the “Tyler camp” to the alleged intimidation. The apparent victim of the intimidation would not reveal even that much. The process of elimination, on the other hand, overwhelmingly pointed in that direction. As one party to the trial, Judge Ahalt enjoyed an infallible vantage point to eliminate himself as the possible culprit. The State, for its part, had everything to lose and nothing to gain from scaring off a key State’s witness. If it was to be believed that the intimidation actually *547occurred (and there was a reasonable basis for so believing) Eiland would have had no need to intimidate himself.

By process of elimination, whom does that leave? Tyler obviously had much to gain. If he had fended off first Eiland’s live testimony and then the transcript of Eiland’s earlier trial testimony, Tyler might have walked out of the courtroom with a not-guilty verdict. Of all the parties with a possible interest in Eiland’s testimony, only Tyler (or Tyler’s supporters) had a motive to derail it.

Nance took a particularly dim view of witness intimidation. It described how one of the turncoat witnesses, Harris, “had been approached by one Ernest Barnes, a friend of the third suspect” and “feared Barnes would retaliate if he testified.” 331 Md. at 555, 629 A.2d 633. It explained that Harris “was afraid, ‘Cause every time he [Barnes] has a problem, about two days or a day after somebody’s always getting beat up or hurt.’ ” Id. Another turncoat witness, Brown, had informed the police that a possible codefendant had warned him, “You don’t know nothing,” and had further informed the police that “he was afraid of the men he saw.” 331 Md. at 556, 629 A.2d 633.

Despite subsequent testimonial denials by the witnesses that they had been threatened or that they were “deliberately pretending to forget the prior events out of fear,” 331 Md. at 557, 629 A.2d 633, the Court of Appeals duly noted, “There was evidence that an atmosphere of fear and threats of reprisals existed in the interim between the crime and the trial.” 331 Md. at 567, 629 A.2d 633. Similarly, there was evidence of such an atmosphere here.

A permissible inference could have been drawn by Judge Ahalt that Tyler, or those supporting him, were at least partially responsible, in one or more of these various ways, for Eiland’s unavailability for cross-examination. Tyler, of course, may not benefit from that unavailability. Under the circumstances, the decision to admit the evidence was not a clear abuse of discretion.

*548 A Responsive Comment

The dissenting opinion argues that Nance v. State was not satisfied in this case in two regards: 1) that Eiland’s trial testimony was not inconsistent with the testimony he gave at his own trial in December, 1993; and 2) that Eiland was not available for cross-examination by Tyler at Tyler’s trial.

The dissent attempts to drive a wedge of distinction between the answer, “I can’t remember,” and the answer, “I won’t say.” The dissent finds the necessary inconsistency in the lapse of memory that it balks at recognizing in the refusal to testify. With respect to the inconsistency inherent in the claimed loss of memory, the dissent reasons:

At its core, nearly all testimony at any trial is memory testimony. When a witness says, “I saw [Jerry] Tyler shoot Jay Bias,” this means, “I remember that [Jerry] Tyler shot Jay Bias.” Therefore, if a witness says at a second trial, “I can’t remember who shot Jay Bias,” the two answers are inconsistent. (Footnote omitted.) (Emphasis in original.)

By parity of reasoning, we see the same inconsistency in the refusal to testify. When the witness at his own trial said, “I saw Jerry Tyler shoot Jay Bias,” that meant, “I will testify that Jerry Tyler shot Jay Bias.” Therefore, if the witness says at a second trial, “I won’t testify that Jerry Tyler shot Jay Bias,” the two answers are similarly inconsistent.

In terms of the availability of the out-of-court declarant for cross-examination, we see no difference between this case and California v. Green, 399 U.S. 149, 90 S.Ct. 1930, 26 L.Ed.2d 489 (1970). The sixteen-year-old juvenile, Melvin Porter, was neither more nor less available for cross-examination by the defendant in that case than was Gerald Eiland in this case. Although the Supreme Court majority found it unnecessary to decide the admissibility of Melvin Porter’s out-of-court declaration given to the police, Justice Harlan, in his concurring opinion, squarely addressed the issue and was of the opinion that the witness’s essentially total failure of memory did not render him unavailable for cross-examination. As discussed more fully supra, United States v. Owens, 484 U.S. 554, 108 *549S.Ct. 838, 98 L.Ed.2d 951 (1988), adopted Justice Harlan’s concurring opinion in California v. Green. The majority opinion of Justice Scalia first noted:

Justice Harlan, in a scholarly concurrence, stated that he would have reached the issue of the out-of-court statement and would have held that a witness’s inability to “recall either the underlying events that are the subject of an extrajudicial statement or previous testimony or recollect the circumstances under which the statement was given, does not have Sixth Amendment consequence.” (Emphasis supplied.)

484 U.S. at 558, 108 S.Ct. at 842. The Owens majority then placed its imprimatur on Justice Harlan’s concurring opinion:

Here that question is squarely presented, and we agree with the answer suggested 18 years ago by Justice Harlan. “[T]he Confrontation Clause guarantees only ‘an opportunity for effective cross-examination, not cross-examination that is effective in whatever way, and to whatever extent, the defense might wish.’ ” (Emphasis supplied.) (Emphasis in original.)

484 U.S. at 559, 108 S.Ct. at 842. What substantively can be extracted from a witness is the same regardless of whether the witness consistently answers, “I can’t remember,” or answers “I can’t say.”

At the most fundamental level, Nance was a policy response to the recognized and recurring problem of the “turncoat witness.” When Nance used the phrase “turncoat witness,” there is no disguising the fact that the adjective “turncoat” was used in a starkly pejorative sense. Permeating the opinion was the sense that a witness’s claimed loss of memory was frequently feigned rather than genuine. In no uncertain terms, Nance’s response was that a wilfully uncooperative witness was not going to be allowed to thwart the trial process by feigning a loss of memory.

It would undercut the strategic purpose behind the Nance opinion for us now to permit an obstructionist witness, by altering his modality of non-cooperation ever so slightly, to *550commit the very testimonial sabotage that Nance was designed to prevent.

We feel compelled to make one other response to the dissenting opinion. It properly characterizes a prior inconsistent statement of a witness offered for its substantive content as hearsay. It properly points out that a hearsay statement, to be admissible, must bear adequate indicia of reliability. It points out further that hearsay is deemed to be reliable if it is based upon a “firmly rooted” hearsay exception, but that the prior statement in issue here is not a firmly rooted exception. The dissenting opinion then concludes that if the hearsay is not a “firmly rooted” exception, it may only be deemed admissible if it has “particularized guarantees of trustworthiness,” quoting Nance v. State, 331 Md. at 560, 629 A.2d 633. It goes on to conclude that the out-of-court statement here in issue lacks such “particularized guarantees of trustworthiness.”

What the dissent overlooks is that Md. Rule 5-802.1(a), codifying Nance v. State, spells out explicitly what those “particularized guarantees of trustworthiness” shall be in the case of a turncoat "witness. Those express guarantees are that the statement be one:

(1) given under oath subject to the penalty of perjury at a trial, hearing, or other proceeding or in a deposition; (2) reduced to writing and signed by the declarant; or (3) recorded in substantially verbatim fashion by stenographic or electronic means contemporaneously with the making of the statement.

Even if the out-of-court statement here in issue were, as the dissent characterizes it, self-serving, it nonetheless expressly passed muster in terms of its trustworthiness by satisfying both the first condition and the third condition spelled out by the Maryland Rule and by Nance v. State. Putting aside any quarrel the dissent may have with whether the threshold conditions of Nance and the Maryland Rule were satisfied, its distinct quarrel with the ultimate reliability of the prior statement is fraught with dire implications. Although it may *551continue to insist that the prior statement was unreliable, it cannot dispute the fact that the statement satisfied fully the only guidelines spelled out by both Nance and the Maryland Rule. If the dissent were correct, therefore, in its assertion that earlier trial testimony, such as that in this case, lacks particularized guarantees of trustworthiness, it would amount to a declaration that the decision of the Court of Appeals in Nance v. State and Md.Rule 5-802.1(a) are both unconstitutional under the Confrontation Clause of the Sixth Amendment. We do not agree that that is the case.

The dissenting opinion also relies heavily on the Supreme Court decision of Douglas v. Alabama, 380 U.S. 415, 85 S.Ct. 1074, 13 L.Ed.2d 934 (1965), which we find to be completely inapposite. In Douglas, a witness invoked the privilege against compelled self-incrimination. The invocation of the privilege was apparently proper although the Douglas decision does not hinge on that fact. The prosecutorial tactic which the Supreme Court condemned was the reading of an earlier statement given by the witness, sentence-by-sentence, followed intermittently by the question, “Did you make that statement?” The modality for revealing the substance of the statement to the jury consisted exclusively of the prosecutor’s questions, which modality the Supreme Court condemned as being “under the guise of cross-examination to refresh Lloyd’s recollection.” 380 U.S. at 416, 85 S.Ct. at 1075.

By contrast, there was no such subterfuge in the present case. Eiland’s earlier sworn testimony at his separate trial was formally and overtly offered and received for its substantive content. There was no subterfuge employed. In the present case, moreover, there is no hint of impropriety in asking questions of one who improperly refuses to answer. As the post-Douglas cases of United States v. Hearst, 563 F.2d 1331 (9th Cir.1977), and United States v. Beechum, 582 F.2d 898 (5th Cir.1978), make clear, there is a critical distinction between the impermissible continued questioning of one who properly invokes the privilege against compelled self-incrimination and the perfectly permissible continued ques*552tioning of one who improperly invokes the privilege or otherwise refuses to answer.

An Alternative Rationale

As we acknowledged at the very outset of this opinion, our overriding purpose is, in the spirit of Nance v. State, 331 Md. 549, 629 A.2d 633 (1993), to prevent an undisputed “turncoat” from manipulating and impeding the processes of criminal justice. As we further acknowledged, our approach would be to take the basic principles and axioms announced by Nance and then, construing Nance liberally to serve its salutary purpose, to “push out the envelope” to explore the limits of Nance’s logic. We think we have done so plausibly. For the benefit, however, of those who might be timorous at probing the outer limits of a principle’s logic, we offer an alternative and more modest rationale which does, in our judgment, also serve to sustain the conviction in this case.

The dispute over the admission of Eiland’s earlier trial testimony, when reduced to its essence, is not a dispute involving the great bulk of that testimony at all, but only one concerning a very small, albeit critically important, fragment of it. That changes the focus of our analysis as we zero in on the only part of the disputed trial transcript that really matters. The rest is dross. Eiland’s trial testimony, to be sure, consisted of a full narrative account of all of the events of the afternoon of December 4, 1990, leading up to the shooting of Jay Bias. Almost all of that testimony was, when introduced at the appellant’s trial, redundant, cumulative, and undisputed. What Eiland had to say about the preliminary confrontation at the Prince George’s Plaza Mall, about the drive that he and Tyler made across the parking lot in the Mercedes driven by Eiland, and about pulling up in the adjacent lane beside the Toyota occupied by Jay Bias, Andre Campbell, and Tydus Mathis, was indistinguishable from the sworn trial testimony given by the appellant Tyler himself. It matched, moreover, in every significant detail the testimony of Andre Campbell and Tydus Mathis. It added nothing to the State’s case.

*553The accounts of Eiland and of Tyler only diverged when they came to the last split second before the shooting. Each claimed total surprise when the other unexpectedly opened fire at the Toyota. It was only on this question of identifying ivho fired the murder weapon that Andre Campbell and Tydus Mathis were of little help, because they had both ducked down a split second before the gun was fired. Shorn, therefore, of its insignificant detail, Eiland’s testimony from his own trial, when offered at the appellant’s trial, established only one critical fact—the identification of the shooter. Campbell, Mathis, and the appellant Tyler himself had already established the fact that the universe of eligible gunmen consisted of only two candidates, the appellant Tyler himself and Eiland. The nub of the case was the identification of the criminal agent.

What the transcript from the earlier trial actually represented, as a content-neutral algebraic term, was third-party evidence of a pretrial (extrajudicial) identification. Eiland had been a witness to a shooting. He was able to identify the shooter. In a pretrial (extrajudicial) setting (meaning some forum other than and prior to the trial of this case), he identified the shooter. The modality of the identification was by naming Tyler rather than by pointing a finger at him or at his photograph, but that is a distinction without a difference. He knew Tyler by name and a selection process was unnecessary to the identification.

Eiland was, moreover, present in the courtroom at the appellant’s trial and available to be called as a witness by the appellant, had the appellant chosen to do so. The third-party witness to Eiland’s pretrial identification of the appellant was, instead of the policeman who is most often cast in the role, the court reporter from the earlier trial or the trial transcript itself. With only these inconsequential differences from the more garden-variety or paradigmatic identification scenario, the evidence in issue was, when reduced to algebraic terms, evidence of a pretrial identification. A single event may be viewed through many prisms, but however else we may char*554acterize what he did, Eiland had identified the gunman as Tyler.

For the law controlling the admissibility of evidence of a pretrial identification, offered as substantive proof of guilt, we turn to Nance v. State. Nance is not a monolithic opinion dealing with a single evidentiary phenomenon. It deals, rather, with three partially related but distinct evidentiary phenomena. It analyzes each separately: 1) extrajudicial identifications, 331 Md. at 560-64, 629 A.2d 633, 2) prior inconsistent and written statements given to the police, 331 Md. at 564-69, 629 A.2d 633, and 3) prior inconsistent statements given to a grand jury or in some other formal procedure, 331 Md. at 569-71, 629 A.2d 633. Though partially overlapping, the guidelines established by Nance for the admissibility of these respective types of evidence are distinct.

The unusual aspect about the evidence of pretrial identification now before us is that it is subject to analysis in more than one way—either as an instance of Nance’s first evidentiary phenomenon, a pretrial identification; or as an instance of Nance’s third evidentiary phenomenon, prior sworn testimony. Because the guidelines for admissibility are different for those respective evidentiary phenomena, the evidence in issue might arguably qualify under one framework of analysis even if it fails to qualify under another.

A critical difference between the two frameworks of analysis is that Eiland’s pretrial behavior, viewed as prior testimony, would require a conclusion that at the appellant’s trial Eiland have given testimony inconsistent with his earlier pretrial declaration; Eiland’s pretrial behavior, viewed as evidence of an extrajudicial identification of the shooter as Tyler, by contrast, would encounter no such requirement of inconsistency-

Nance is clear that evidence of an extrajudicial identification is admissible as long as the out-of-court declarant is present at trial and subject to cross-examination. No present testimony at all, let alone inconsistent present testimony, is required. *555Such evidence is not only admissible but is sufficient, in and of itself, to sustain a conviction:

It is well settled in Maryland that a court may admit, as substantive proof, evidence of a third party testifying as to an extrajudicial identification by an eyewitness when made under circumstances precluding the suspicion of unfairness or unreliability, where the out-of-court declarant is present at trial and subject to cross examination. An extrajudicial identification is sufficient evidence of criminal agency to sustain a conviction, even though the declarant is unable to identify the accused at trial. (Citations omitted).

331 Md. at 560-61, 629 A.2d 633.

Nance speaks of “[ajmple authority supporting] the admission of an extrajudicial identification even where the witness recants at trial.” 331 Md. at 562, 629 A.2d 633. It cites with approval United States v. Elemy, 656 F.2d 507, 508 (9th Cir.1981) (Rule enacted to remedy problem where before trial witness identifies the defendant and then, because of fear, refuses to acknowledge his previous identification) and People v. Malone, 193 Mich.App. 366, 483 N.W.2d 470, 471-72 (1992) (Extrajudicial identification admitted substantively even though witness refused to acknowledge it at trial). See also United States v. Marchand, 564 F.2d 983, 996, (2d Cir.1977); United States v. O'Malley, 796 F.2d 891, 898-99 (7th Cir.1986).

How far does the fact of identification go? An extrajudicial identification, by its very nature, inevitably has some substantive content. The witness does not identify the culprit simply as “a human being” or as “someone he had seen before.” Such evidence would be meaningless. The act of identification labels the person identified as the criminal agent in the case under investigation. In Nance, what was found to be admissible were the extrajudicial identifications by two witnesses, identifying the defendants Nance and Hardy “as those responsible for Aaron Carroll’s murder.” 331 Md. at 564, 629 A.2d 633. In Basoff v. State, 208 Md. 643, 119 A.2d 917 (1956), the admissible evidence of the extrajudicial identification was that an abortion victim identified the defendant as the abor*556tionist. In Judy v. State, 218 Md. 168, 146 A.2d 29 (1958), the admissible evidence of the extrajudicial identification was of the defendant as the criminal agent who attempted to commit an armed robbery. In Proctor v. State, 223 Md. 394, 164 A.2d 708 (1960), the admissible evidence of the pretrial identification was also of the defendant as one 'who assaulted the victim with intent to rob. In Johnson v. State, 237 Md. 283, 206 A.2d 138 (1965), the evidence of extrajudicial identifications was that by two victims who identified the three defendants as the armed robbers in that trial for armed robbery.

To counter the possible arguments that the identification of the other man in the car with Eiland was not in dispute and that the word “identification,” as a term of art, refers only to the procedural exercise of selecting one person, on the basis of physical appearance, from a group of possibilities, we refer again to Nance. In Nance, the “identification” in issue did not involve the classical weighing of reliability factors versus the risk of misidentification as in Neil v. Biggers, 409 U.S. 188, 93 S.Ct. 375, 34 L.Ed.2d 401 (1972), or Manson v. Brathwaite, 432 U.S. 98, 97 S.Ct. 2243, 53 L.Ed.2d 140 (1977). It was the simple naming, by the two witnesses to a murder, of two known persons as the murderers. That the word “identification” connotes more than a mere selection process was made clear by Nance:

Harris and McCormick twice repeated their identifications, once in signed statements and once under oath in a proceeding before the grand jury. (Emphasis supplied.)

331 Md. at 563, 629 A.2d 633. The signed statements and the grand jury testimony involved, as the modality of identification, only the naming of Nance and Hardy, and not the selecting of them or their photographs from a group. On the basis of extensive case law, in Maryland and elsewhere, these “identifications” were properly received as substantive evidence:

Viewing these facts in light of the cases from Maryland and other jurisdictions cited above, we conclude that the trial court properly admitted, as substantive evidence of guilt, the *557out-of-court identifications of Petitioners as those responsible for Aaron Carroll’s murder. (Emphasis supplied.)

331 Md. at 564, 629 A.2d 633.

An identification, moreover, may be made in a courtroom as readily as in a police station. Cited with approval by Nance, 331 Md. at 563, 629 A.2d 633, was the opinion of the Supreme Court of California in People v. Lucky, 45 Cal.3d 259, 247 Cal.Rptr. 1, 753 P.2d 1052 (1988). In that case, a critical factor was that the identifying witness, as in this case, reiterated (or iterated) the identification under oath at a judicial proceeding. As Nance summarized the California holding:

The California court held that a repudiated identification may form the basis for conviction if it was reiterated by the witness under oath at a preliminary examination or other judicial proceeding, and there was evidence from which the factfinder could credit the witness’s prior testimony over his or her failure to confirm the extrajudicial statements at trial. (Emphasis supplied.)

331 Md. at 563, 629 A.2d 633.

Much of the case law explaining why an extrajudicial identification is, subject to certain conditions, admissible as substantive evidence stresses the self-evident truism that memory is fresher at an earlier time than at the later trial, and that the earlier identification, perforce, is more likely to be reliable than the later. That rationale, of course, is inapposite to the present case. There is, however, an additional rationale for admissibility, that is here pertinent. Nance quoted with approval, 331 Md. at 562-63, 629 A.2d 633, from the opinion of the Supreme Court of Virginia in Niblett v. Commonwealth, 217 Va. 76, 225 S.E.2d 391, 394 (1976):

[T]he memory of a witness may fade.... It is also not beyond the realm of possibility that an identifying witness may be inhibited by threat or intimidation from making a positive in-court identification.

Bedford v. State, 293 Md. 172, 443 A.2d 78 (1982), one of the primary authorities on which Nance relied, also recognized *558this additional rationale. Nance fleshed out more fully what Bedford had suggested:

This Court in Bedford, supra, 293 Md. at 178, 443 A.2d 78, also implicitly recognized the possibility of witness intimidation: “The failure may be explained by loss of memory or other circumstances.” Among such other circumstances are threats and fear of retaliation. (Emphasis supplied.)

Bedford v. State established indisputably that later inconsistent trial testimony is not a prerequisite to the admissibility of a pre-trail identification. An elderly couple, aged eighty and seventy-seven, were the victims of a daytime housebreaking of their home and of armed robbery at hatchet point. Each, independently, selected a photograph of Bedford as a picture of “the individual who had robbed them,” 293 Md. at 174, 443 A.2d 78. Having earlier failed to identify Bedford at a pretrial hearing, neither victim was even asked to attempt an identification at trial. The subject of identification was not raised in the trial testimony of the victims and there was no theoretical possibility of an inconsistency between their trial performances and their pre-trial performances.

The testimony of a policeman that each victim had on an earlier occasion selected a photograph of Bedford and indicated that he was the robber was the only evidence in the case bearing on Bedford’s criminal agency. Not only was the evidence admissible; it was sufficient, standing alone, to support the verdicts of guilty for daytime housebreaking and for two armed robberies. The Court of Appeals, 293 Md. at 176-77, 443 A.2d 78, quoted with approval from Johnson v. State, 237 Md. 283, 291, 206 A.2d 138 (1965):

We hold therefore that where, as here, the identifying victims or eyewitnesses were present and subject to cross-examination, the testimony of the police officer as to the extrajudicial identifications was admissible.
Even where witnesses do not make a courtroom identification of the indictees, an extrajudicial identification is admissible as evidence over an objection that it is not the best evidence.

*559The Bedford opinion also quoted, with approval, the Supreme Judicial Court of Massachusetts in Commonwealth v. Torres, 367 Mass. 737, 739, 327 N.E.2d 871 (1975):

Even if the witness does not identify the defendant in his or her testimony at trial, any pre-trial identification of the defendant by that witness in constitutionally proper circumstances should be given probative value. See Clemons v. United States, 408 F.2d 1230, 1242-1243 (D.C.Cir.1968), cert. den. 394 U.S. 964 [89 S.Ct. 1318, 22 L.Ed.2d 567] (1969); Wigmore, Evidence (Chadbourn rev.) § 1130 (1972). Although the probative value of any evidence of such identification is for the jury, that evidence, if believed, tends to prove that the defendant was the perpetrator of the crime. The trend of decisions is to permit such evidence to be introduced.

Bedford’s holding was clear:

We hold that an extrajudicial photographic identification of an accused is sufficient evidence of his criminal agency to support a conviction, notwithstanding the fact that the victim may be unable to identify him at the time of trial.

293 Md. at 185, 443 A.2d 78.

A witness (Eiland) to the murder of Jay Bias made a pre-trial (at his own earlier trial) identification of the murderer as the appellant Tyler. As long as Eiland was available to be called as a witness by the appellant, a third-party (court reporter, trial transcript, etc.) would be permitted, under the authority of Nance and Bedford, to testify as to that earlier identification as substantive evidence of the appellant’s guilt. This would be true whether Eiland 1) took the stand and confirmed his earlier identification of Tyler, 2) took the stand and repudiated that earlier identification, 3) took the stand and denied ever having made the earlier identification, 4) took the stand and claimed a loss of memory as to the shooting, 5) took the stand and refused to discuss the identification of the gunman, or 6) was not even called to the stand.

*560 Our Holding

Under review is the discretionary evidentiary ruling that the hearsay be admitted. Utilizing, as we have done, two separate aspects of Nance v. State and two respective frameworks of analysis, we hold that there was no clear abuse of discretion.

“The Light That Failed”

The appellant complains generally, without reciting any particular doctrinal basis, about the 18-day postponement in the effort to compel Eiland to testify. Our earlier discussion subsumes this issue. Judge Ahalt used every device available to him to obtain the live testimony of Eiland. Far from doing anything to place the appellant at a disadvantage, Judge Ahalt extended himself to avoid the very hearsay problem of which the appellant now complains. It is unnecessary to add that the appellant has not even alleged any resulting prejudice.

The Legal Sufficiency of the Evidence

At the express direction of the appellant, it is urged that the evidence was not legally sufficient to have permitted Judge Ahalt to submit the case to the jury. We do not agree. Several witnesses testified to the argument that took place between Tyler and Jay Bias when Tyler believed that Bias had been flirting with Tyler’s wife, Shaunelle, as she was working at Kay Jewelers in the Prince George’s Plaza Mall. As the two argued, Tyler was heard to threaten to “cap” Jay Bias.

Two passengers in the vehicle wherein Bias was lolled testified that as they were driving from the parking lot of the mall, the Mercedes containing Tyler and Eiland came racing up beside them at a rapid speed. Although neither could say which of the two occupants of the Mercedes fired the lethal shots, they could testify that Eiland was the driver and that Tyler was in the passenger seat. They saw Tyler, moreover, “reaching down towards his leg on the right side” just before the shots were fired. The prior testimony of Eiland that was received in evidence stated unequivocally that Tyler was the *561shooter. The evidence was abundant to have permitted the jury to conclude beyond a reasonable doubt that Tyler was guilty as charged.

The Aiding and Abetting Instruction

Tyler objected to the jury’s having been instructed that Tyler could be convicted as an aider and abetter even if the jury did not believe that he was the shooter. He does not now argue that the instruction given was not an accurate statement of the law. Neither does he argue that, in the abstract, it was not supported by the evidence in the case.

He makes, rather, two bald assertions to the effect that the State was estopped from relying on a theory of guilt based on aiding and abetting. He asserts that the State, in opening statement to the jury, conceded that Tyler was not an aider and abetter. That is hardly the case. The State was recounting for the jury its expectation that the evidence would show that Tyler was the actual gunman. Even if the jury had believed Tyler’s testimony that it was Eiland, and not he, who fired the fatal shots, the jury would not have been precluded from convicting Tyler as an aider and abetter. The State’s expectation, articulated in opening statement, that it could prove a greater level of blameworthiness would not preclude the appellant’s being convicted at a lesser level of blameworthiness, should the jury find partially in his favor. In White v. State, 11 Md.App. 423, 430, 274 A.2d 671 (1971), we explained the non-binding effect of an opening statement in a criminal case:

Maryland is clearly in line with this majority position that the office of “an opening statement in a criminal prosecution is to apprise, with reasonable succinctness, the trier of facts with the questions involved and what the State or defense expects to prove, so as to prepare said trier of the facts for the evidence to be adduced ... and it generally has no binding force or effect.” Clarke v. State, 238 Md. 11, 19-20 [207 A.2d 456 (1965) ].

*562The appellant’s second estoppel theory seems to be based in collateral estoppel, though he never mentions the phrase. Defense counsel represented to Judge Ahalt that at the first trial of Tyler and Eiland together, it was Eiland who was convicted of having been the aider and abetter; The actual verdict against Eiland, however, was simply that he was guilty of murder in the second degree.

Even if it were otherwise, however, the verdicts of guilty against both defendants were reversed and hardly represented, therefore, “a valid final judgment.” Butler v. State, 335 Md. 238, 253, 643 A.2d 389 (1994). There is the further impediment that collateral estoppel requires a material finding of fact “in one’s favor.” Any decision at the first trial to the effect that Eiland was the less guilty of the two and that Tyler, therefore, by a process of elimination was the more guilty of the two, was hardly a finding in Tyler’s favor. The appellant is, in effect, arguing that, once having been found guilty of murder in the first degree, collateral estoppel would bar him, following reversal and remand, from ever being found guilty of murder only in the second degree.

Since the appellant is invoking, moreover, an allegedly preclusive effect of the verdict in his own (and Eiland’s) first trial for the very same offense, it is not, by definition, an occasion for collateral estoppel analysis. In any event, we are not going to try to construct either a collateral estoppel argument or a direct res judicata argument, even for the purpose of then refuting it, on the appellant’s behalf that he has not even partially made for himself.

The Plaintive Cry of “Plain Error”

We may consider the appellant’s fifth and sixth contentions together for the same overarching, if sometimes neglected, principle of appellate review is dispositive of both. In his fifth contention, the appellant claims that Judge Ahalt committed plain error in instructing the jury on first-degree murder. In his sixth contention, the appellant claims that Judge Ahalt committed plain error in not instructing the jury that its *563verdict must be unanimous. We have no idea whether there is substantive merit in either contention and we are not about to take the time or trouble to find out for the obvious reason that no objection was made to either instruction. There is, therefore, nothing preserved for appellate review. Md. Rule 4-325(e).

The appellant asks us to exercise our discretion by way of noticing “plain error.” We decline. The rule is that an objection, to be considered on appeal, must be preserved. We admonish the defense bar that we are not about to allow the exception to swallow the rule.

The Relevance of a Motive

Tyler objects to the fact that Michael McCutchen, the manager of Kay Jewelers, was permitted to testify that, as he was ejecting Tyler from the jewelry store following Tyler’s outburst of anger toward his wife, Shaunelle, Tyler was heard to say that “he was willing to go back to jail over the situation.” Tyler objects on the ground that this testimony was irrelevant.

Far from it. Whenever a murder occurs, the instinctive question on everyone’s lips, detective and juror alike, is, “Who had a motive?” Tyler’s outburst of jealous anger over Jay Bias’s perceived or imagined attention to Shaunelle was the clear and undisputed motive for the murder of Jay Bias a few minutes thereafter. Michael McCutchen’s testimony helped to establish the high level of that jealous anger.

The appellant seems to be operating under the assumption that the relevance must be established by McCutchen’s testimony alone. That is not the case. The establishing of the jealous anger came from the combined testimony of McCutchen, Tydus Mathis, and Andre Campbell. Jay Bias and Campbell were just leaving Kay Jewelers when Tyler walked in. Tyler apparently believed that Shaunelle had been flirting with Bias. A turbulent argument ensued between Tyler and Shaunelle, culminating in Tyler’s hurling a stapler at her. It was at that point that the manager, Michael McCutchen, *564intervened and directed Tyler to leave the store. It was as he was leaving that Tyler vented that “he was willing to go back to jail over the situation.”

Immediately outside the store, the first confrontation occurred between Tyler and Jay Bias. The subject matter of the confrontation was indisputably Shaunelle. Tyler challenged Bias to “come on outside, we can take care of this outside.” Their respective friends broke up that immediate confrontation, but Campbell remembered, as he and Bias were leaving the scene, a voice saying “I will cap you.”

The testimony in issue was an integral part of the episode that supplied the motive for the killing. The testimony was properly ruled to be admissible.

Evidentiary Irrelevance

Tyler’s final contention is that Judge Ahalt erroneously refused to permit Tyler’s mother, Yvonne Tyler, to answer the question, “During the entire time that he has been your son, have you ever known him to carry a weapon?”' Although the appellant has failed to proffer what the mother’s answer would have been, we will on this occasion give him the benefit of the doubt and assume that his mother’s answer would have been that she had not known her son to carry a gun.

Although there may be a number of reasons why the answer sought to be elicited might properly be ruled to be irrelevant, it suffices to point out that no proper foundation was laid for the mother’s testimony. Tyler had been living with his wife, Shaunelle, for at least three years. She was permitted to testify that during those three years, Tyler had not possessed a gun. There was no foundation laid as to the degree of contact between Tyler and his mother or the basis for the mother’s knowledge that he did not carry a gun, if that indeed would have been her answer.

In any event, recognizing the wide discretion vested in the trial judge to rule on such evidentiary matters as relevance, we see no abuse of discretion in this case.

*565 JUDGMENTS AFFIRMED; COSTS TO BE PAID BY APPELLANT.

. "At trial, the witnesses recanted, ... by disavowing their prior identifications and statements.” Nance, 331 Md. at 556, 629 A.2d 633. "Harris sometimes repudiated his former answers.” 331 Md. at 557, 629 A.2d 633. “[Brown] denied having identified by name any of the participants in the April 3 fight. He testified that the police forced him to make the January 22 statement to escape criminal charges himself. Brown averred that the answers recorded in the January 23 statement were false.” 331 Md. at 558, 629 A.2d 633.

. “Harris testified that he ran and hid during the shooting ... [H]e repeatedly asserted that he did not see the killing.” Nance, 331 Md. at 556, 629 A.2d 633. “[McCormick] denied that he had seen a fight involving Nance, Hardy, Matthew, and Carroll earlier on April 3.” 331 Md. at 557, 629 A.2d 633.

. "[Harris] acknowledged having viewed photo arrays and having put his signature on the pictures of Nance and Hardy, but contended that he merely indicated to police that they were persons he knew and recognized.” Nance, 331 Md. at 557, 629 A.2d 633. “[McCormick] first stated that he did not remember selecting Nance's photograph, and later that he was simply pointing out someone he knew.” 331 Md. at 557, 629 A.2d 633. “[Brown] explained that Hardy's letter to him about ‘dealing with those things left unfinished’ meant only that Brown was to find witnesses and bring them to court.” 331 Md. at 558, 629 A.2d 633.

. “At trial, the witnesses recanted ... by ... claiming no memory of ... their prior identification and statements.” Nance, 331 Md. at 556, 629 A.2d 633.

. “As for the questions and responses implicating Petitioners in Carroll’s death, Harris ... sometimes stated he did not remember giving *520them.” Nance, 331 Md. at 556-57, 629 A.2d 633. “[McCormick] said both that he did remember, and that he did not remember, giving a statement to the police. He remembered giving detectives his name, address, and date of birth; he acknowledged his signature on the statement. He stated that he did not remember the questions or his former answers concerning a drug turf war at the projects, the conversation in Bells Carry Out, or the melee in which Carroll was beaten.” 331 Md. at 557, 629 A.2d 633.

. "Harris further testified that he did not remember his grand jury testimony. He acknowledged his signature on the November 26 statement, but asserted that he had no memory of the questions and answers concerning his encounter with Ernest Barnes, and no current memory of accompanying Barnes to the office of Matthew’s lawyer.” Nance, 331 Md. at 557, 629 A.2d 633. “McCormick testified that he had no memory of his appearance before the grand jury.” Id. "[Harris] contended that he was steadily intoxicated by drugs throughout the months in question.” 331 Md. at 557, 629 A.2d 633.

. The posture here is subtly different from that dealt with in Simmons v. State, 333 Md. 547, 553-54, 636 A.2d 463 (1994), where the turncoat refused even to take the stand or to be sworn or to answer even the most innocuous of questions.

. See, e.g., Gaskins v. State, 10 Md.App. 666, 677-78, 272 A.2d 413, cert. denied, 261 Md. 724 (1971).