Stephenson v. State



Attorneys for Appellant

Brent Westerfield
Indianapolis, IN

Janet S. Dowling
Albuquerque, NM



Attorneys for Appellee

Jeffrey A. Modisett
Attorney General of Indiana

Michael A. Hurst
Deputy Attorney General
Indianapolis, IN



      IN THE
      INDIANA SUPREME COURT


JOHN M. STEPHENSON,
      Appellant (Defendant below),

      v.

STATE OF INDIANA,
      Appellee (Plaintiff below).



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)     Supreme Court No.
)     87S00-9605-DP-398
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      APPEAL FROM THE WARRICK SUPERIOR COURT
      The Honorable Edward A. Campbell, Judge
      Cause No.  87D01-9604-CF-23



                              ON DIRECT APPEAL




                              January 25, 2001


SULLIVAN, Justice.

      After an eight-month jury trial with a record of proceedings  covering
33,000 pages, Defendant John  Matthew  Stephenson  was  convicted  of  three
murders and  sentenced  to  death.   He  now  appeals  his  convictions  and
sentences,  arguing  the  evidence   was   insufficient   to   support   the
convictions,  the  trial  court  committed  reversible  error   in   several
respects, and the death sentence was not appropriate. We find the  testimony
of the State’s two key  witnesses  and  additional  circumstantial  evidence
sufficient to support the convictions.  For the reasons set  forth  in  this
opinion, we reject Defendant’s claims that the trial court  both  improperly
allowed  certain  hearsay,   opinion,   prior   misconduct   evidence,   and
photographic  evidence  and  improperly  refused  evidence  of   a   State’s
witness’s criminal history.  We also analyze and reject  Defendant’s  claims
that his convictions and sentence should  be  reversed  because  of  alleged
juror misconduct in  compiling  notes  on  a  home  computer,  prosecutorial
misconduct in several respects, violations of his right to a  speedy  trial,
and three violations of his right to be present at all  critical  stages  of
the proceedings.  Lastly, we review his challenge to the  propriety  of  the
death sentence and find the sentence to be appropriate.



                                 Background



      In large part because Defendant  challenges  the  sufficiency  of  the
evidence supporting his convictions, we  will  present  the  facts  in  some
detail.  In the early evening on March  28,  1996,  Defendant  John  Matthew
Stephenson and his friend, Dale Funk, drove around Warrick County.  The  two
ended up at the residence of Brian Mossberger, a  friend  of  the  Defendant
and an acquaintance of Funk.  While  there,  Defendant  and  Funk  shot  off
rounds of firearms with  Defendant  shooting  his  own  SKS  assault  rifle.
Defendant and Funk left to go target shooting at a railroad crossing on  Red
Brush Road located near Mossberger’s home.  Afterwards, Defendant,  who  was
still accompanied by Funk, drove to the mobile home of Brandy Southward  and
her fiancé, Troy Napier.  According to Funk’s testimony, they both  got  out
of the car and walked around the mobile home.  Defendant yelled for  someone
but after no one answered, Funk returned to the car and Defendant  proceeded
toward the mobile home.  A few moments later, Funk observed  Defendant  walk
out the front door carrying a splitting maul.


      Defendant  and  Funk  returned  to   Mossberger’s   house.     Shortly
thereafter, a pick-up  truck  briefly  pulled  into  Mossberger’s  driveway.
John “Jay” Tyler was the driver of the truck and his wife, Kathy Tyler,  and
friend Brandy Southard  were  the  passengers.   Mossberger  testified  that
Defendant said, “There goes  Jay  and  I’ve  got  to  catch  him.”   (R.  at
24,669.)  Funk testified that Defendant said, “If you’re coming,  come  on.”
(R. at 23,969.)


      The evidence as  to  what  happened  next  comes  solely  from  Funk’s
testimony at trial.  Funk testified that Defendant began chasing  the  Tyler
truck through Warrick County rural roads.  The Tyler truck  stopped  at  the
intersection of Eble and Youngblood roads and  Defendant  also  stopped  his
car.  The driver-side door of the truck opened slightly, and Jay leaned  out
of the truck to look at Defendant.  At that  point,  Defendant  grabbed  his
SKS assault rifle, exited the car, and began firing  several  shots  at  the
Tyler truck.  Defendant got back  into  the  car,  drove  around  a  corner,
stopped his car and got out.  Defendant walked towards the Tyler  truck  and
returned a few minutes  later.   Defendant  threatened  Funk  stating,  “You
breathe a word of this and I’ll kill you.”  (R. at 23,980-80.)


      Defendant and Funk then drove directly  back  to  Mossberger’s  house.
Mossberger testified that Defendant held a knife with “red  smears”  on  the
blade, by his (Defendant’s) face and said, “Jay, Kathy, and  Brandy  are  no
more.”  (R. at 24,674-75.)  Mossberger also testified that Defendant  washed
his knife in the kitchen sink and that Defendant  instructed  him  to  “[d]o
something with the SKS; get rid of it;  make  it  gone.”   (R.  at  24,678.)
Funk offered similar testimony, stating that he observed  Defendant  “hand[]
the gun to [Mossberger]; told him to get rid of it.”  (R. at  23,982.)   The
next day, Mossberger buried the SKS assault  rifle  and  ammunition  in  the
woods.


      Early Friday morning, March 29, police officers discovered  the  Tyler
truck.  Inside the truck, the  police  officers  found  victims  John  “Jay”
Tyler, Kathy Tyler, and Brandy Southard dead from gunshot and  stab  wounds.
The police officers also discovered bullet holes  in  the  truck  and  found
spent  shell  casings  scattered  across  the  width  of  Youngblood   Road.
Forensic testing revealed that the fatal bullets matched  those  fired  from
the SKS assault rifle belonging  to  Defendant.   The  spent  shell  casings
matched the ammunition discovered in  Southard  and  Napier’s  mobile  home.
Other testing revealed Funk’s shoe prints were at the mobile home,  directly
below the broken window.  Although the knife used in the  killings  was  not
recovered, Defendant owned a  similar  knife  that  could  have  caused  the
victims’ injuries.  On that Friday night, Defendant contacted  police  about
the murders and gave a written statement  indicating  that  Brandy  Southard
had received a threat from one Jimmy Knight.


      On Saturday, March 30, while at home,  Defendant  voluntarily  gave  a
taped  statement  to  Officers  Michael  Hildebrand  and  Gary  Gilbert  and
consented to a police search.  In his taped  statement,  Defendant  admitted
to having seen and talked to the victims on March 28th  at  around  9:30  or
10:00  p.m.  at  a  local  Circle  S  store.   Defendant  also  stated  that
afterwards, he went to Mossberger’s house and then went straight home.


      On Sunday, March 31, Mossberger retrieved the SKS  assault  rifle  and
ammunition, placing the SKS in the house and the ammunition in  his  garage.
Police officers arrived at  Mossberger’s  house  to  question  him,  and  he
explained the events that occurred on the day of the  killings.   Mossberger
also showed the officers the SKS assault  rifle,  but  not  the  ammunition.
The same day, Mossberger  directed  the  officers  to  Funk’s  apartment  in
Hatfield.  Police officers questioned both  Mossberger  and  Funk  and  took
Funk into custody for further questioning at  the  Warrick  County  Security
Center.  Funk was  released  on  or  about  April  1.   On  April  3,  1996,
Defendant surrendered himself to the Owensboro Police Department.


      The State charged Defendant  with  Burglary,[1]  Theft,[2]  and  three
counts of Murder[3] of each of Jay Tyler, Kathy Tyler, and Brandy  Southard.
  The  State  also  sought  the  death  penalty,  alleging  as   aggravating
circumstances that Defendant  intentionally  discharged  a  firearm  from  a
vehicle,[4] committed at least one of the murders by lying in  wait,[5]  and
committed multiple murders.[6]


      The trial commenced on September 23, 1996.   On  May  8,  1997,  after
deliberating for approximately three hours, the jury found Defendant  guilty
of Burglary, Theft, and all three counts of Murder.  On May  19,  1997,  the
trial court conducted the penalty phase and the jury  recommended  that  the
death penalty be imposed based upon the multiple murder aggravator.[7]   The
trial court held a sentencing hearing on June 16,  1997.   The  trial  court
followed the jury’s recommendation and sentenced Defendant to death.


      We will recite additional facts as necessary.

                                 Discussion
                                      I

      Defendant contends that the trial  court  committed  reversible  error
when it  allowed  State  witness  Alan  Utzman  to  testify  concerning  the
contents of Dale Funk’s out-of-court statements.  The  State  responds  that
Utzman’s testimony was not  hearsay  because  it  met  the  requirements  of
Indiana Evidence Rule 801(d)(1)(B).[8]


      In a July 16, 1996, deposition, defense counsel asked Funk  if,  while
traveling from Evansville on March 29 (the day after the murders), he  spoke
to his friend Utzman regarding the events  surrounding  the  triple  murder.
Funk denied ever having had such  a  conversation  with  Utzman.   And  when
first asked by  police  officers  about  any  such  conversation,  Funk  had
similarly denied it.  At trial, Funk,  as  an  eyewitness  to  the  multiple
murders, was one of the State’s key witnesses.  The  State  called  Funk  to
the stand to testify about the circumstances surrounding  the  murders,  but
never questioned Funk about such a  conversation  with  Utzman.   On  cross-
examination, defense counsel attempted to impeach Funk with  inconsistencies
between his cross-examination trial  testimony,  his  deposition  testimony,
and his initial statements to  police.   In  this  regard,  defense  counsel
succeeded in getting Funk to admit that he had indeed discussed the  murders
with Utzman, and thus he had lied in his deposition  and  to  the  officers.
Defense counsel did not question Funk about the contents of  his  discussion
with Utzman; the defense’s goal here apparently was only to  make  out  Funk
as a liar for having denied any such discussion took place.


      In response, the State sought  to  rehabilitate  Funk’s  testimony  by
demonstrating that what Funk had told Utzman  on  March  29  was  consistent
with Funk’s trial testimony.   It did so by calling  Utzman  as  a  witness.
Utzman testified that he had a conversation with Funk on March 29  and  that
in the course of this conversation, Funk said,  “I took the wrong  ride.   I
was there  when  it  happened.”[9]   (R.  at  25,636-37)  (emphasis  added).
Defense counsel immediately objected on  grounds  that  Funk’s  out-of-court
statements made to Utzman were  inadmissible  hearsay.   The  State  replied
that  Utzman’s  testimony  was  admissible  under  Indiana   Evidence   Rule
801(d)(1)(B), and because the statements  were  not  offered  to  prove  the
truth of the matter asserted, but  rather  offered  to  rehabilitate  Funk’s
testimony.  The trial court overruled defense  counsel’s  objection  without
explanation.


      Over defense  counsel’s  continuing  objection,  the  State  was  then
allowed  to  elicit  more  testimony  from  Utzman  about  the  March   29th
conversation.  Utzman  further  testified  that  Funk  told  him  that  when
Defendant returned to the car after  the  shooting,  Defendant  asked  Funk,
“‘Did you see how  many  people  was  in  [the  truck]?,’”  (R.  at  25,646)
(emphasis added).   Utzman testified that Funk replied, “No.”  (Id.)   After
defense counsel’s immediate objection to this  testimony,  the  trial  court
sustained the objection  “to that specific question.”   (R.  at  25,646-47.)
Utzman testified further that Funk said to him, “after  it  was  over,  they
got back in the car and they took the  gun  to  someone’s  house.”   (R.  at
25,647) (emphasis added).   Defense  counsel  objected  on  the  grounds  of
hearsay but the trial court allowed the testimony.

      Defendant makes several challenges with respect to certain  statements
made by Utzman regarding Funk’s out-of-court  statements.   He  specifically
argues that Utzman’s testimony constituted inadmissible hearsay and did  not
fall under the non-hearsay evidentiary rules.  Hearsay  is  an  out-of-court
statement offered to prove the truth  of  the  matter  asserted.   See  Ind.
Evidence  Rule  801(c).   Generally,  hearsay  is  inadmissible.   See  Ind.
Evidence Rule 802.  However, a statement is not  hearsay  if  it  meets  the
requirements of Indiana Evidence Rule 801(d).  Under Indiana  Evidence  Rule
801(d)(1)(B), a statement is not hearsay if the declarant testifies  at  the
trial  or  hearing  and  is  subject  to  cross-examination  concerning  the
statement,  and  the  statement  is  (1)  consistent  with  the  declarant’s
testimony, (2) offered to rebut an express or  implied  charge  against  the
declarant or recent fabrication or improper influence  or  motive,  and  (3)
made before the motive to  fabricate  arose.   See  Evid.  R.  801(d)(1)(B).
Trial court rulings on the admissibility of arguable hearsay statements  are
reviewed for abuse of discretion.  See Wright v.  State,  690  N.E.2d  1098,
1106 (Ind. 1997), reh’g denied.


      Defendant first contends that Funk’s statement regarding  the  content
of Defendant’s purported question, “‘Did you see  how  many  people  was  in
[the truck]?,’”  was  inadmissible  double  hearsay.   However,  the  record
clearly indicates that the trial  court  immediately  sustained  Defendant’s
objection as to this particular question.  As  such,  Defendant  cannot  now
claim error on appeal.


      Defendant also contends that other  testimony  from  Utzman  regarding
Funk’s out-of-court statements, “I took the wrong ride.  I  was  there  when
it happened,” and “after it was over, they got back  in  the  car  and  they
took  the  gun  to  someone’s  house”  constituted   inadmissible   hearsay.
Appellant’s Br. at 38-40  (emphases  in  original).   He  argues  that  this
testimony was not saved by Evidence Rule 801(d)(1)(B) because (1) there  was
no charge of recent fabrication; and (2) Funk was an  “admitted  accomplice”
at the time the murders occurred and so he had a motive to fabricate  before
he  made  statements  to  Utzman.   Defendant  also  claims  that   Utzman’s
testimony as a whole  improperly  bolstered  the  credibility  of  Funk  who
“would otherwise have been [the State’s] weakest witness.”  Appellant’s  Br.
at 40; Reply Br. at 15.


      Defendant concedes that Funk testified at trial  and  was  subject  to
cross-examination regarding the  statements.   See  Appellant’s  Br.  at  39
(citing R. at 24,171, 24,320-31, 24,459, 24,488-89).  He also  acknowledges,
“Although there were inconsistencies between Funk’s  testimony  and  [Funk’s
prior out-of-court] statements to Utzman, this  fact  does  not  render  the
prior statements inadmissible for purposes of Evid. R.  801(d)(1)(B).”   Id.
(citing Willoughby v. State, 660 N.E.2d 570 (Ind. 1996)).   Most  of  Funk’s
prior out-of-court statements made to Utzman  were  consistent  with  Funk’s
trial testimony in that they place blame on  Defendant  as  the  perpetrator
while they portray Funk as a person having a much less significant role.


      Defendant contends that the second criterion of the  prior  consistent
statement rule was not met because the State did not offer Funk’s  statement
to rebut a charge of recent fabrication.  At trial, defense counsel  argued,
“We  have  not  said,  nor  have  we  ever  said  that  there  is  a  recent
fabrication.  We . . . argue that any fabrication here  has  been  from  the
outset, not one that has been ‘recent.’”  Appellant’s Br. at 39;  Reply  Br.
at 14; R at 25,641.  However, the prior consistent  statement  rule  is  not
limited to  rebutting  a  charge  of  recent  fabrication.   The  rule  also
encompasses efforts to rebut  an  express  or  implied  charge  of  improper
motive.  In this appeal, Defendant expressly argues that Funk had a  “motive
to fabricate” to provide “substantive  evidence  of   [Defendant’s]  guilt.”
Appellant’s Br. at 40 (emphasis  added).   And  at  trial,  defense  counsel
initiated questions regarding the March 29th conversation between  Funk  and
Utzman in  an  effort  to  impeach  Funk.  It  appears  that  this  line  of
questioning sought to establish  not  only  fabrication  but  also  improper
motive, i.e., a motive to shift blame  on  Defendant.   The  State  properly
offered to rebut this charge by utilizing  Utzman’s  testimony.  The  second
requirement of the prior consistent statement rule has been met.


      The central issue is the third criterion of the rule — the  timing  of
the claimed motive to fabricate.  We agree with the  United  States  Supreme
Court in Tome v. United States which held that under Federal  Evidence  Rule
801(d)(1)(B),  a  declarant’s  consistent  out-of-court  statements  may  be
admitted “to rebut a charge of recent fabrication or  improper  motive  only
when those statements were made before the  charged  recent  fabrication  or
improper  influence  or  motive.”   513  U.S.  150,  167  (1995).[10]    The
rationale behind the pre-motive rule is that if the consistent  out-of-court
statements were made before the motive to fabricate arose,  we  are  assured
that the statements were not “contrived as a consequence  of  that  motive.”
Id. at 158.   Here, Defendant argues that  because  Funk  was  an  “admitted
accomplice,” Funk’s improper motive to fabricate arose  at  the  moment  the
triple murder occurred  on  March  28.    Defendant  further  contends  that
because Funk uttered the statements to Utzman the next day, March  29,  Funk
made  the  statements  after  his  motive  to  fabricate  arose.   As  such,
Defendant  argues,  the  statements  failed  to  meet  the   Tome   temporal
requirement and thus, were improperly admitted as hearsay.


      This Court visited this issue in Sturgeon v. State,  719  N.E.2d  1173
(Ind. 1999).  In Sturgeon, a unanimous opinion  authored  by  Chief  Justice
Shepard, we  evaluated  prior  Indiana  case  law  concerning  the  temporal
requirement  contained  in  the  prior   consistent   statement   rule   and
categorized  the  cases  under  two  separate  scenarios:   (1)  where   the
declarant was the defendant or equally culpable  to  the  defendant  in  the
crime, such as a co-defendant, and (2)  where  the  declarant  was  involved
before and after but not during the crime.   See  Sturgeon,  719  N.E.2d  at
1179.    Under  the  first  category,  we  acknowledged  that  “[w]here  the
declarant was the  defendant  or  co-defendant,  we  have  been  willing  to
conclude that a motive to  fabricate  likely  arises  immediately  upon  the
commission of the crime.”  Id. (emphasis added) (citing Bouye v. State,  699
N.E.2d 620, 624-25 (Ind. 1998); Thompson v. State, 690 N.E.2d 224,  232  n.8
(Ind. 1997)).[11]   In identifying  the  second  category  in  Sturgeon,  we
said, “Where the declarant  became  involved  in  the  crime  after  it  was
committed . . . the role  of  timing  is  not  as  clear.”   Id.   (emphasis
added).


      In short, there is no bright-line rule for determining whether or when
a motive to fabricate has arisen even  if  the  declarant  was  (1)  equally
culpable as the defendant, such as a co-defendant; (2)  involved  after  the
crime (as was the case in  Sturgeon);  or   (3)  arguably  involved  before,
during, and after the crime like the declarant in  this  case.   Determining
the existence of a motive or when it  arose  is  a  fact-sensitive  inquiry.
Id. at 1178.   In Cline v. State, 726 N.E.2d 1249 (Ind.  2000),  this  Court
also addressed the timing  issue,  and  noted  a  significant  passage  from
Sturgeon:


           “We acknowledge the possibility of a motive to fabricate on [the
      declarant’s] part since he knew he could be charged in connection with
      the  murder  and  since  he  participated  in  certain  criminal  acts
      surrounding the murder.  However, there  is  no  evidence  tending  to
      implicate [the declarant] in [the] murder and  therefore  no  evidence
      that he had a motive to lie about [the defendant’s]  involvement  when
      questioned.  Without concrete  evidence  to  that  effect,  we  cannot
      conclude the trial court  abused  its  discretion  in  admitting  [the
      declarant’s] prior consistent statement.”


Id. at 1253 (quoting Sturgeon, 719 N.E.2d at 1180) (emphasis added).  As  we
determined in Sturgeon and reaffirmed in  Cline,  we  will  not  override  a
trial court’s decision to admit a prior consistent statement where there  is
no evidence “tending to implicate” the declarant in the crime.


      In this case, although Funk was involved before, during, and after the
murders occurred, the question of whether  or  not  a  motive  to  fabricate
arose still remains a  fact-sensitive  inquiry.    We  find  no  substantial
evidence here “tending to implicate” Funk in the triple murder  which  would
lead to a  conclusion  that  he  had  a  motive  to  lie.   Police  officers
testified that they did consider Funk a suspect at the time they  questioned
him on March 31.  Funk testified  that  he  feared  prosecution  because  he
accompanied Defendant throughout the crime spree of the burglary  of  Napier
and Southard’s mobile home and the pursuit of the victims  in  a  car-chase,
which ultimately led to the killings.  However, Brian Mossberger,  a  friend
of both Defendant and Funk,  offered  testimony  which  strongly  implicated
Defendant rather than Funk as the  perpetrator.   Further,  Defendant  owned
the SKS assault rifle  used  to  commit  the  killings.   Forensic  evidence
revealed that the bullets used to kill the victims matched those  shot  from
the murder weapon belonging to Defendant.  We also find it significant  that
(1) the State never charged Funk of murder, (2) Funk  did  not  receive  any
prosecutorial benefit in exchange for his testimony; and  (3) Funk made  the
statements to Utzman the day immediately following the killings,  which  was
two days before he was questioned by police.


      Our extensive review of the evidence indicates that Funk had a limited
role in the circumstances surrounding the murders.  Therefore, we find  that
Funk had no  motive  to  fabricate  within  the  meaning  of  Evidence  Rule
801(d)(1)(B) when he uttered the  statements  to  Utzman  about  the  events
surrounding the crime.  We hold that the  trial  court  did  not  abuse  its
discretion in overruling Defendant’s hearsay objections.


                                     II


      Defendant contends that the trial  court  committed  reversible  error
when it denied his post-trial motion alleging newly discovered  evidence  of
jury misconduct.  He specifically claims that he was  denied  the  right  to
confront witnesses and that he was denied a fair trial by an impartial  jury
because, unbeknownst to him, the jury foreman had  prepared  a  notebook  on
his home computer and then used this notebook during jury deliberations.


      At trial, the court instructed the jurors that they  were  allowed  to
take notes of the testimony, but admonished  that  note  taking  should  not
distract them from observing the credibility of the witnesses and  listening
to the evidence presented.  Like other members of  the  jury,  jury  foreman
Michael Fox took notes in open court of his daily observations of the  trial
without objection from defense counsel.  Then in the evenings, Fox took  his
courtroom notes home with him and typed a narrative version of the trial  on
his personal computer.  By the end of the trial, Juror Fox  had  prepared  a
430-page typed notebook[12] supplemented with  a  50-page  timeline  marking
the sequence of events.  When it came time for jury deliberation,  Fox  took
the notebook into the jury room and relied on it  a  few  times.   Fox  also
discussed some of the notebook’s contents with other jurors but none of  the
jurors actually read the notebook themselves.


      Neither the trial court nor the parties had knowledge of  Juror  Fox’s
typed notes during the guilt-determination phase or penalty phase,  or  that
Juror Fox had transcribed the notes at home.  It was not until a  September,
1997, post-trial investigation that defense counsel discovered  Juror  Fox’s
notebook.  Defense counsel then filed  a  “supplemental  motion  to  correct
error,” alleging that these events constituted newly discovered evidence  of
juror misconduct.  Counsel argued that Defendant’s “constitutional right  to
a fair trial and impartial jury were violated when [the  jury]  was  exposed
to  extraneous  and  prejudicial  materials  during   guilt-innocent   phase
deliberations.”   Deft’s Suppl. Mot. To Correct Errors, at 2.   In  October,
1997, the trial court held a hearing  on  the  matter  and  denied,  without
explanation, an original and the supplemental motion to correct error.


      A party may file a  motion  to  correct  error  when  there  is  newly
discovered evidence such as alleged juror misconduct.  See Ind.  Trial  Rule
59(A); Mitchell v. State, 726 N.E.2d 1228, 1238 (Ind. 2000),  reh’g  denied.
When reviewing a trial court’s denial of a motion to correct error on  newly
discovered evidence, our review is deferential  and  we  will  reverse  only
upon a showing of an abuse of discretion.  See Slaton v. State,  510  N.E.2d
1343, 1347 (Ind. 1987).  The Defendant bears the burden of proving that  the
newly discovered evidence warrants a new trial.  See  Mitchell,  726  N.E.2d
at 1238.


      Defendant  makes  several  challenges  with  respect  to  Juror  Fox’s
notebook.  He first  contends  that  the  notebook  constituted  “extraneous
information” that unduly influenced other jurors.  Appellant’s  Br.  at  90,
92.  In a related argument, Defendant claims that when  Juror  Fox  typed  a
narrative version of the trial and time-line  at  home,  he  had  improperly
“deliberated,  re-evaluated,  and  analyzed”  the  evidence.   Id.  at   83.
Defendant maintains that such conduct violated the court’s instructions  for
jurors not to reach conclusions “until [they] have heard all  the  evidence,
the argument of counsel, and final instructions.”  Id. at 87-90.   Defendant
argues that these events constituted juror misconduct that deprived  him  of
his  fundamental  right  to  a  fair  trial  under  the  state  and  federal
constitutions.  Id. at 93; Reply Br. at 36.


      Generally, a verdict may not be impeached by evidence from jurors  who
returned it.   See  Fox  v.  State,  457  N.E.2d  1088,  1092  (Ind.  1984).
However, extrinsic or extraneous material brought into deliberation  may  be
grounds for impeaching a verdict where there is  a  substantial  possibility
that such extrinsic material prejudiced  the  verdict.   See  Ind.  Evidence
Rule 606(b); Mitchell, 726 N.E.2d at 1238; Bockting  v.  State,  591  N.E.2d
576, 579 (Ind. Ct. App. 1992),  transfer  denied.   The  burden  is  on  the
defendant to prove that material brought into the jury room  was  extrinsic.
The burden then shifts to the State to prove it  harmless.   See  Taylor  v.
State, 681 N.E.2d 1105, 1110 (Ind. 1997).


      It is now well-settled Indiana law that jurors are permitted  to  take
notes during the course of a trial subject to the discretion  of  the  trial
court and its duty to ensure that jurors pay attention to all  the  evidence
in the case.  See Chambers v. State, 422  N.E.2d  1198,  1204  (Ind.  1981);
Smith v. State, 272 Ind. 34, 36, 395  N.E.2d  789,  790  (1979);  Dudley  v.
State, 255 Ind. 176, 182, 263  N.E.2d  161,  164  (1970).   This  Court  has
further determined that a juror who records notes  at  home  is  a  “closely
related matter” to a juror who takes notes in the courtroom so  long  as  no
“communication to or from another person” has occurred.  Gann v. State,  263
Ind. 297, 300-1, 330 N.E.2d 88, 91 (1975).  Thus, we  have  determined  that
both circumstances — taking notes during trial  and  transcribing  notes  at
home — are appropriate  provided  that  the  juror  pays  attention  to  the
evidence presented during trial  and  does  not  seek  out  any  outside  or
extrinsic influences aimed to taint the notes.


      The trial court properly  instructed  the  jurors  not  to  reach  any
conclusion before all the evidence had been presented and final  instruction
given.   But  as  a  practical  matter,  jurors  cannot  be  prevented  from
reflecting upon witness testimony and other evidence after  they  leave  the
courtroom each day.  In this case, it is undisputed that Juror Fox used  his
courtroom notes to compile and organize a narrative  version  of  the  trial
and a corresponding time line on his home computer.  However,  there  is  no
evidence demonstrating that Fox himself was exposed to extrinsic or  outside
influences, such  as  reading  newspaper  articles,  watching  a  television
program, researching on the Internet, or “communicating to or  from  another
person” while compiling the notebook at home.  At a  post-trial  hearing  on
the matter, Juror Fox testified that because he was “under Court  order  not
to watch T.V.— local T.V., radio, or read the  newspaper”  he  “sat  at  the
computer” all evening typing his notes.  (R. at  32,530).   Fox’s  testimony
indicated that he did seek out extrinsic material but only after  the  trial
had ended for purposes of editing, updating and revising his notebook.  [13]
 In order for jury misconduct to warrant a new  trial,  the  defendant  must
show that  the  misconduct  was  gross  and  that  it  probably  harmed  the
defendant.  See Carr v. State, 728 N.E.2d 125, 131  (Ind.  2000).   We  find
that Defendant has not made a showing of gross misconduct.  See,  e.g.,  id.
at 131 (holding no jury misconduct where, during the  defendant’s  trial,  a
juror accumulated newspapers but  refrained  from  reading  them  until  the
trial had ended at which time the juror compared the news stories  with  her
own trial notes.)


      Without any evidence of extrinsic influence on Juror  Fox  during  the
course of the trial, we think that when he brought the  notebook  into  jury
deliberations, the contents of it were like those of  any  other  juror-made
notebook in this case — a reflection of a juror’s personal  observations  of
the trial, thoughts, and mental processes.  In this case, the compiling  and
organizing of a notebook on a personal  computer  at  home  was  a  “closely
related matter” to taking notes  during  the  trial  because  the  notebook,
while  elaborate  in  length  and  detail,  was  not  tainted  by  extrinsic
influences.  Thus, the notebook itself when brought into the jury  room  did
not  amount  to  extraneous  material.   The  fact  that  these  perceptions
regarding the trial were recorded at home and on a computer does not  change
our view because no outside information was sought or employed.


      We  find  that  Juror  Fox  did  not  disregard  the   trial   court’s
instructions.  The trial court instructed the jurors that they were  allowed
to take notes during  the  trial  but  gave  no  directive  prohibiting  re-
writing, compiling, or organizing  the  notes  at  home.   The  trial  court
repeatedly instructed the jurors that they should listen to the evidence  as
it came from the witnesses, keep an open mind at  all  times,  not  form  an
opinion during the trial, and not reach a conclusion before hearing all  the
evidence, arguments of counsel, and  the  court’s  final  instructions.   We
find no evidence  in  the  record  that  Juror  Fox  did  not  follow  these
instructions.


      Defendant argues further that the trial court  improperly  disregarded
Indiana precedent which  permitted  only  “limited  or  minor”  note  taking
during a trial.  Appellant’s Br. at 82-84;  Reply  Br.  at  34,  36  (citing
Miresso v. State, 163 Ind. App. 231, 323  N.E.2d  249  (1975);  Dudley,  255
Ind. at 182, 263 N.E.2d at 164;  Smith,  272  Ind.  at  36,  395  N.E.2d  at
790).[14]  With our  increasing  familiarity  with  juror  note  taking,  we
believe the necessity of restricting jurors to limited or minor note  taking
has diminished.  In  any  event,  the  cases  cited  by  Defendant  did  not
encompass the complexities of this  case:   the  trial  spanned  over  eight
months during which the jury  heard  the  testimony  of  158  witnesses  and
observed 966  exhibits.   This  evidence  presented  at  trial,  along  with
numerous motions filed with the  court,  created  a  record  of  proceedings
consisting of over 33,000 pages.   It is likely that even very limited  note
taking  would  produce  a   substantial   volume   of   material   in   such
circumstances.  Indeed, at least three other jurors in  this  case  composed
ten to twelve handwritten notebooks  and  used  them  during  deliberations.
The making of a lengthy notebook,  especially  where  Defendant  claimed  no
error to  with  respect  to  the  note  taking  of  other  jurors,  did  not
constitute gross misconduct or irregularity on the part of Juror Fox.


      Defendant also contends that  Fox’s  notebook  was  tantamount  to  an
“unofficial transcript[]” wrongfully brought into the jury  room,  and  that
the notebook resembled  a  “pseudo  exhibit,”  which  like  other  exhibits,
should have been withheld  from  the  jurors.   Appellant’s  Br.  at  84-85.
Defendant  also  argues  that  the  notebook  amounted  to  “evidence”   not
supported by the record and that he did not have  the  opportunity  to  test
the reliability and accuracy of the notebook’s  content.   Id.  at  88.   We
reject this argument for the  same  reasons  set  forth  supra.   A  juror’s
notes, typed or handwritten, organized  or  not,  reflect  the  juror’s  own
mental  process  and  personal  observations  of  the  testimony  and  other
evidence presented at trial.  A juror’s view of a case  is  not  “evidence,”
does not function as an exhibit, and is  not  comparable  to  an  unofficial
transcript.


      Finally, we find there is no evidence in the  record  that  Juror  Fox
used the notebook inappropriately during deliberation.  While  in  the  jury
room,  Fox  referred  to  his  notebook  only  a  few  times  for  his   own
recollection.  Although  Fox  discussed  some  of  the  information  in  the
notebook with other jurors, no other members of the jury read  the  notebook
themselves.  Furthermore, Defendant did not seek and  the  trial  court  did
not give any instruction prohibiting jurors from sharing or  reviewing  each
other’s notes.  Accordingly, we have no  basis  for  concluding  that  Juror
Fox’s use of the notebook during deliberations unduly influenced  the  other
jurors.


      The trial court did not abuse its discretion  in  denying  Defendant’s
supplemental motion to correct error.   See,  e.g.,  Hailey  v.  State,  521
N.E.2d 1318, 1321 (Ind. 1988) (holding that the trial court  did  not  abuse
its discretion in refusing to grant a new trial where a juror  reviewed  his
notes during deliberation and discussed  them  with  other  members  of  the
jury).

                                     III


      Defendant contends that the trial  court  committed  reversible  error
when it allowed opinion testimony from a  crime  scene  technician  and  the
coroner.


                                      A


      During direct examination, the prosecuting attorney asked crime  scene
technician and Sergeant David Lee Anderson the reason why, in  his  opinion,
he could  find  no  hair,  blood,  or  fiber  in  Defendant’s  vehicle  when
conducting  his  investigation.   Sergeant  Anderson  replied,   “The   only
plausible explanation I can come up with, sir, is someone would have had  to
have cleaned that vehicle in order that I wouldn’t be able to  find  what  I
was looking for.”  (R. at 27,744.)  Defendant objected.


      Under Indiana  Evidence  Rule  701,  when  a  non-expert  provides  an
opinion, “the witness’s testimony in the form of opinions or  inferences  is
limited to those opinions or inferences which are (a)  rationally  based  on
the perception of the witness and (b) helpful to a  clear  understanding  of
the witness’s testimony or the determination of a fact  in  issue.”   It  is
within the trial court’s  discretion  to  determine  whether  a  witness  is
qualified to give an opinion.  See Angleton v. State, 686  N.E.2d  803,  812
(Ind. 1997) (citing Kent v. State, 675 N.E.2d 332, 338 (Ind.  1996)),  reh’g
denied.


      On  appeal,  Defendant  argues  that  this  testimony  was  improperly
admitted as speculation because the Sergeant had no personal knowledge  that
Defendant  cleaned  his  car  after  the  commission  of  the  crimes.   See
Appellant’s Br. at 43.  In  support  of  his  argument,  he  points  to  the
testimony  of  one  witness,  Serologist  Susan  Laine,  who   stated   that
Defendant’s car was “‘not clean,’” see id. at 43 (quoting R. at  28,791-93),
and that other crime technicians testified that  “photographs  taken  before
the vehicle was processed show “‘dirt, debris,  and  other  material,’”  see
id. (quoting R. at 27,662-63). Defendant  claims  that  “in  light  of  this
physical evidence, Anderson’s opinion [was] not  ‘rationally  based  on  his
perceptions,’” as required by Indiana Evidence Rule 701(a), and  he  further
maintains that Sergeant Anderson’s opinion was conjecture  and  not  helpful
to the  jury.   Id.  at  43.   The  State  responds  arguing  that  Sergeant
Anderson’s testimony was based on  his  “experience  searching  hundreds  of
cars,” as well as “evidence that the interior of the car was damp  or  wet,”
and was therefore, properly admitted.  Appellee’s Br. at 19.  We agree  with
the State.


      Sergeant Anderson’s  testimony  regarding  the  state  of  Defendant’s
vehicle was rationally based on his  perceptions.    Sergeant  Anderson  had
been a member of the Indiana State Police for  thirteen  years  and  in  law
enforcement for 20 years;  had  been  trained  and  continued  to  train  in
“photography,  fingerprint  techniques,  firearms  evidence  .  .  .   trace
evidence,  serology,  drugs,  physical  matches,   .  .   .   and   forensic
entomology”; and he had worked as a crime scene technician  for  over  eight
years.  (R. at. 27,735-36.)   Sergeant  Anderson  testified  that  over  the
course of eight years, he  had  “investigated  hundreds  of  crime  scenes,”
covering “well over a 100 every year.”  (R. at 27,743.)   Sergeant  Anderson
provided  further  testimony  regarding  his  investigation  of  Defendant’s
vehicle:


      It’s extremely unusual not to find  something  indicative  of  someone
      having been [in a car].  Hair is the best example  as  any.   Everyone
      loses hair . . . But not finding hair in the vehicle was very  unusual
      to me; not finding fiber was unusual . . .  .  I  remember  taking  my
      hands across the floorboard—in the front of the vehicle,  specifically
      I remember, and it felt damp.  And  I  thought  that  to  be  sort  of
      unusual as well.  But at any rate, I suppose anything is possible, but
      it was very unusual to me that we found nothing in that vehicle.

(R. at 27,743-44.)

      We find that Sergeant Anderson’s conclusion that Defendant’s  car  had
been cleaned was “rationally based on his perceptions”  of  finding  a  damp
floorboard  and  discovering  no  hair  evidence  in  Defendant’s  car,  and
rationally based on his observations of  numerous  investigations  of  other
vehicles.   Furthermore, Evidence Rule 701 speaks to only those opinions  or
inferences “rationally based” on the witness’s own  perceptions,  not  those
of others.  Thus,  the  claimed  contradictions  between  the  testimony  of
Anderson and the serologist and other technicians are immaterial  under  the
structure of this rule.  Weighing the credibility of witnesses  and  drawing
inferences and conclusions there from is within the  jury’s  province.   See
Taylor v. State, 681 N.E.2d 1105, 1111 (Ind.1997).

      We also find that Sergeant Anderson’s testimony  was  helpful  to  the
determination of a fact in issue.  The reason Defendant’s car was free  from
serological evidence such as hair and blood was an important  factual  issue
for the jury to decide.  Even though Sergeant Anderson’s  testimony  was  in
conflict with photographs of dirt and debris found in the car, this did  not
render his opinion conjecture.  The opinion was based  upon  his  experience
with many crime scene investigations and  offered  a  plausible  explanation
for the condition of the car.


      Defendant  also  argues   that   Sergeant   Anderson’s   opinion   was
inadmissible under  Indiana  Evidence  Rule  704(b)  because  the  testimony
indicated he had cleaned his  car  with  the  intent  of  deceiving  police.
Indiana Evidence Rule 704(b) provides in relevant part, “Witnesses  may  not
testify to opinions concerning intent . . . in a criminal  case.”   However,
Defendant did not object  to  this  testimony  as  constituting  an  opinion
concerning intent.  As such, this claim is not available here.


                                      B


      Defendant argues that the trial court committed reversible  error  “by
permitting the coroner to offer [his] expert opinion on the time of  death.”
 Appellant’s Br. at 44.  He specifically argues  that  because  the  coroner
testified that he was not qualified to  give  an  “expert”  opinion  on  the
timing of death,  his  opinion  was  improperly  admitted  in  violation  of
Indiana Evidence Rule 702.[15]  See id. at 43-44.


      During the trial, the coroner testified that his duties  consisted  of
“investigat[ing] all deaths  and  determin[ing]  the  manner  and  cause  of
death,” (R. at 20,204); however he was not qualified  to  render  an  expert
opinion concerning the time of the victims’ death.  He also  testified  that
when he arrived at  the  crime  scene,  he  observed  the  bodies’  physical
condition, noting the “degree of rigor mortis” [16] in the  victims’  joints
and the body temperatures.   The  coroner  testified  further  that  shortly
after  he  examined  the  bodies,  Dr.  John  Heidingsfelder,   a   forensic
pathologist, arrived on the scene and they discussed the coroner’s  personal
observations regarding  the  condition  of  the  bodies.   Over  Defendant’s
continuing objection, the coroner was allowed  to  offer  his  opinion  that
“the time of death could not have occurred before 9 p.m., nor could it  have
occurred  after  2  a.m.”   (R.  at  20,337A.)   The  basis  of  Defendant’s
objection was that the coroner lacked the qualification of an expert on  the
timing of death.


      Any error in allowing the testimony of the coroner was  harmless.   We
will  reverse  only  if  the  improper  opinion  testimony  prejudiced   the
defendant.  See Taylor v. State, 689  N.E.2d  699,  706  (Ind.  1997).   The
coroner’s  opinion  was  merely  cumulative  of  other   properly   admitted
testimony concerning the timing of the victims’ death.   Dr.  Heidingsfelder
was  the  physician  who  performed  the  autopsy  on  all  three   victims.
Defendant agreed that Dr. Heidingsfelder  was  a  qualified  expert  in  the
field of forensic pathology and the trial court ruled  as  such.   When  the
prosecuting attorney asked Dr. Heidingsfelder his expert opinion as  to  the
time  of  death,  Dr.  Heidingsfelder  testified,  without  objection   from
Defendant, that the victims died “sometime after they were last  seen  alive
that night . . . 9:00 or 10:00 p.m.,” (R. at 22,522), and “prior to 2:00  in
the morning,” (R. at 22,521).  Accordingly, we find that Defendant  suffered
no prejudice.  See, e.g., Hughes v. State, 508 N.E.2d 1289,  1296-97   (Ind.
Ct. App. 1987) (ruling that in light of  properly  admitted  expert  opinion
testimony by a certified physician concerning  the  cause  of  the  victim’s
death, any error in the admission of an opinion by  a  second-year  resident
regarding the cause of death was harmless), transfer  denied.   Accord  Tope
v. State, 477 N.E.2d 873, 876 (Ind. 1985) (recognizing in a  post-conviction
proceeding  that  contradictory  testimony  of  a  non-expert  coroner   and
forensic pathologist on  the  issue  of  timing  of  death  would  not  have
resulted in a  different  trial  outcome  warranting  a  new  trial),  reh’g
denied.


                                     IV


      Defendant contends that the trial  court  committed  reversible  error
when it  allowed  evidence  of  Defendant’s  uncharged  prior  bad  acts  in
violation of the court’s order.


      During the trial, State witness Troy Napier testified that he rented a
garage repair shop where he and Defendant worked on  cars  together.   While
he was incarcerated in a Gibson County  jail  between  February,  1996,  and
April, 1996, Napier thought there was no telephone service  at  the  garage.
However, a few months after his release in April, 1996,  Napier  received  a
bill for telephone and calling card  service  at  the  garage.   Napier  had
neither requested telephone service at the garage nor asked  for  a  calling
card  to  be  issued.   Napier  identified  the  telephone  bill  which  was
introduced as a State’s exhibit.


      Defendant objected to the admission of the telephone bill  on  grounds
that the State was attempting to show that he had  installed  the  phone  in
Napier’s name and without Napier’s permission.  Defendant  argued  that  the
State was alleging that he had committed forgery in  violation  of  a  court
order in limine excluding evidence of prior bad acts or wrongs unrelated  to
the March 28, 1996, murders.  Defendant also objected  because  the  billing
statement contained no name or address, it was  incomplete.   Based  on  the
latter grounds, the trial court sustained the Defendant’s objection  to  the
admission of the exhibit.  The next  day,  the  prosecuting  attorney  again
questioned Napier about the billing statement.   Defendant  again  objected,
arguing that the court had already ruled on the matter.    The  trial  court
sustained the objection as to the admission  of  the  exhibit,  but  allowed
Napier to testify regarding his payment of the bill and request for  service
cancellation.


      Defendant contends on appeal that although the trial  court  sustained
the objection as to the admission of the telephone bill, the State’s follow-
up questioning the next day “was [an] attempt[]  to  show  that  [Defendant]
had a phone  installed  in  Napier’s  name  through  misrepresentation,  and
without any means or intention of paying the bill,” Appellant’s  Br.  at  47
(citing R. at 22,850-59).  “Because this case involved the murder  of  three
of [Defendant’s]  friends,  evidence  of  how  [Defendant]  treated  another
friend was harmful and served to advance the impermissible inference.”   Id.
at 50.  Therefore, Defendant argues, the admission of the billing  statement
was in violation of a court order in limine to  exclude  character  evidence
under Indiana Evidence Rule 404(b).


      Defendant’s objections to the billing statement were  sustained.   The
limited questioning that followed related  only  to  Napier’s  own  acts  in
canceling the service and seeking to have the charges cancelled.  There  was
no evidence admitted as to Defendant’s prior acts in this regard.


                                      V


      Defendant contends that the trial  court  committed  reversible  error
when it denied his motions for a mistrial.  He claims  that  the  prosecutor
engaged in repeated acts of misconduct throughout the  trial,  which  placed
him in grave peril and thereby deprived him of his constitutional  right  to
a fair trial.
      In reviewing a claim of prosecutorial misconduct, we  first  determine
whether the prosecutor engaged in misconduct,  and  then  determine  whether
that misconduct, under all of the circumstances, placed the defendant  in  a
position of grave  peril  to  which  the  defendant  should  not  have  been
subjected.   See Wisehart v. State, 693 N.E.2d 23,  57  (Ind.  1998),  cert.
denied, 526 U.S. 1040 (Ind. 1999); Cox v. State, 696 N.E.2d 853,  859  (Ind.
1998), reh’g denied; Wright v. .State, 690 N.E.2d 1098,  1110  (Ind.  1997),
reh’g denied.   The  “gravity  of  peril”  is  measured  by  the  “‘probable
persuasive effect of the misconduct on  the  jury’s  decision,  not  on  the
degree of  impropriety  of  the  conduct.’”   Wisehart,  693  N.E.2d  at  57
(quoting Kent v. State, 675 N.E.2d  at  335)  (citing  in  turn  Bradley  v.
State, 649 N.E.2d 100, 107-8 (Ind. 1995), reh’g denied)).  The  trial  judge
is in the best position to  gauge  the  surrounding  circumstances  and  the
potential  impact  on  the  jury  when  deciding  whether  a   mistrial   is
appropriate.  See Thomkins v. State, 669 N.E.2d 394, 398 (Ind. 1996);  Roche
v. State, 596 N.E.2d 896, 902 (Ind. 1992).  Thus, the denial of  a  mistrial
lies within the sound discretion of the trial court, and  will  be  reversed
only upon a finding of an abuse of discretion.  See  Canaan  v.  State,  541
N.E.2d 894, 908 (Ind. 1989), cert. denied, 498 U.S. 882 (1990).


      Defendant’s first  claim  of  prosecutorial  misconduct  is  that  the
prosecutor improperly suggested that he had a duty  to  call  witnesses  and
present evidence.  During Defendant’s cross-examination of a State  witness,
the prosecutor objected on grounds  that  the  questions  were  outside  the
scope of direct examination, and then stated, “This is  a  witness  that  is
available to be called later by the State  and  by  the  defense.”   (R.  at
21,166-67.)  Defendant objected to the prosecutor’s  comments,  and  out  of
the presence of the jury, argued that such  “comments  suggested  [that]  he
had a duty to call witnesses and present evidence.”  Appellant’s Br.  at  62
(citing R. at 21,167).  Defendant then moved  for  a  mistrial.   The  trial
court denied the motion, but gave the jury  an  admonishment  advising  them
that Defendant had no burden to  prove  his  innocence  or  to  present  any
evidence.


      It is improper for a prosecutor to suggest that a defendant  shoulders
the burden of proof in a criminal case.  See Dobbins v.  State,  721  N.E.2d
867,  874  (Ind.  1999).   However,  a  prosecutor’s   improper   statements
suggesting a defendant’s failure to present witnesses may be  cured  by  the
trial court advising the jury that the defendant was not required  to  prove
his innocence or to present any evidence.  See Chubb v.  State,  640  N.E.2d
44, 49 (Ind. 1994) (Preliminary instruction given to the  jury  just  a  few
hours   before   prosecutorial   impropriety   occurred   adequately   cured
prosecutor’s  comments   regarding   the   defendant’s   failure   to   call
witnesses.), reh’g denied; Pettiford v. State, 506 N.E.2d 1088,  1090  (Ind.
1987) (Both preliminary and final instructions given to  the  jury  overcame
prosecutor’s statements on the defendant’s failure to present witnesses.).


      In the instant case, the trial court  admonished  the  jurors  shortly
after Defendant’s objection, advising them that Defendant had no  burden  to
prove his innocence or to  present  any  evidence.   Defendant  attempts  to
distinguish  his  case  from  Chubb  and  Pettiford  by  arguing  that   the
admonishment failed to cure the impropriety because the trial  court  stated
the prosecutor “‘may be correct.’”  See Appellant’s Br. at  63  (quoting  R.
at 21,186).  We find the admonishment to  be  adequate.   In  addition,  the
trial court properly read preliminary instructions  and  final  instructions
advising the jury that Defendant was to be presumed innocent of  the  crimes
charged and that the State bore the burden  to  prove  Defendant  guilty  of
each essential element of the crimes  charged  beyond  a  reasonable  doubt.
Both instructions also informed the jury that Defendant was not required  to
prove his innocence or to present any evidence.  We presume  that  the  jury
followed these instructions.  The State made  only  one  comment  suggesting
that Defendant had an opportunity to call a witness and made  no  additional
statements  on  the  matter  after  Defendant’s  objection  and   the   jury
admonishment.  Like our rulings in Chubb and Pettiford,  we  find  that  any
misconduct here was de minimus  and  overcome  by  the  court’s  preliminary
instructions and final instructions,  if  not  the  court’s  immediate  jury
admonishment.   The  prosecutor’s  statement  did  not   have   a   probable
persuasive effect on the jury.

      Defendant’s second claim  of  prosecutorial  misconduct  is  that  the
prosecutor improperly “allude[d] to inadmissible prior bad acts in front  of
[the] jury” in violation of  the  trial  court’s  “‘Order  on  Comprehensive
Motion in Limine.’” Appellant’s Br. at 63 (quotations in original).   During
Defendant’s cross-examination of a State witness,  the  prosecutor  objected
to Defendant’s questioning pertaining to the witness’s use of  “crank.”  (R.
at 23,212.)  To support his objection, the prosecutor argued, “Unless I  get
to ask these kind of questions concerning the Defendant . . . I do not  know
that  this  line  of  questioning  has  any  relevance.”   (R.  at  23,213.)
Defendant objected to the  prosecutor’s  comment,  and  out  of  the  jury’s
presence, moved for a mistrial on grounds that the statement suggested  that
Defendant was involved in drugs.

      The court ruled that although the prosecutor’s comment was serious, it
did “not rise to the level of placing the Defendant in grave peril in  light
of an appropriate admonishment.”  (R. at 23,232.) The  court  then  gave  an
admonishment instructing the jury to  disregard  the  comment  made  by  the
prosecutor and that comments  of  counsel  were  not  to  be  considered  as
evidence.    The court further granted Defendant’s  request  for  individual
voire dire on the matter, asking each juror, “Do you believe  that  you  can
make  your  decision  in  this  case  free  from  any  influence  from  [the
prosecutor’s] comment.”  (R. at 23,237.)  Each juror  replied,  “Yes.”   (R.
at 23,237-43.)

      We are satisfied that the trial court’s admonishment cured any harm to
Defendant as to this particular comment.  However, Defendant argues  further
that the prosecutor’s questioning of  another  State  witness  implied  that
Defendant  was  involved  in  drug  trafficking,  and  that  these  repeated
“suggestions” of drug use and selling  drugs  harmed  Defendant.   We  treat
this argument as Defendant’s third claim of prosecutorial misconduct.

      During cross-examination,  Defendant  asked  State  witness  Detective
Marvin Heilman whether in his investigation he discovered any visible  means
of income  or  support  for  various  State  witnesses.  Then  on  re-direct
examination, the prosecution posed the same question and also  asked  if  he
had uncovered any visible means of income  or  support  for  Defendant.   At
that  point,  Defendant  objected,  arguing  that  the  implication  of  the
prosecutor’s  question  was  “because  [the  Defendant]  had  no  documented
visible source of income, [he] must be making  his  living  or  income  from
some unlawful or illegal source.”  (R. at 28,568-69.)  Therefore,  Defendant
argued, the prosecutor’s question was in violation of the court’s  order  in
limine excluding bad character evidence.  The Defendant  then  moved  for  a
mistrial.   The  trial  court  denied  Defendant’s  motion,  but   sustained
Defendant’s objection without admonishing the jury.

      Our reading of the record indicates that the Detective did not  answer
the prosecutor’s question in the presence of the jury and the jury heard  no
information about Defendant’s income or job.  Further,  although  the  trial
court gave no admonishment,  it  sustained  Defendant’s  objection  and  the
prosecutor complied with the court’s ruling, asking no further questions  on
the matter.  The prosecutor’s question had no probable persuasive effect  on
the jury’s decision.   And even if the jury inferred that Defendant  had  no
visible source of income, this  information  without  more  would  not  have
established that Defendant’s only alternative source of  income  arose  from
selling drugs or any other  illegal  activity.   The  prosecutor’s  question
contained no references to “selling drugs” or “drug  trafficking”  or  “drug
business.”


      Defendant’s fourth claim  of  prosecutorial  misconduct  is  that  the
prosecutor improperly “discredit[ed]  the  conduct  of  defense  counsel  in
front of the jury.”   Appellant’s  Br.  at  65.   During  cross-examination,
Defendant asked  a  State  witness  when  the  witness  first  received  any
statement that Defendant  was  directly  involved  in  the  murders  of  the
victims.  The prosecutor objected on hearsay grounds  but  the  trial  court
overruled  the  objection.   After  Defendant  repeated  the  question,  the
prosecutor interjected another objection stating, “Judge,  as  picky  as  we
got on my direct examination of this witness, I think  it’s  appropriate  to
be just as picky in the cross-examination of this witness.”  (R. at  23,653-
54.)  Defendant objected  to  the  prosecutor’s  comment  and  moved  for  a
mistrial.


      We have recognized that prosecutorial statements attacking the defense
counsel’s integrity and competence are improper and  inconsistent  with  the
Rules  of  Professional  Conduct  which  require  lawyers  to  “‘demonstrate
respect for the legal system and for those who serve it,  including  .  .  .
other lawyers.’”  Marcum v. State, 725 N.E.2d 852, 858 (Ind. 2000)  (quoting
Preamable, Ind. Professional Conduct Rules), reh’g denied.   But  given  the
brevity of the prosecutor’s comment here, we  find  that  it  did  not  have
probable persuasive effect on the jury’s decision.


      Finally,  Defendant  contends  that  “[g]iven  the  closeness  of  the
evidence, the prosecutor’s repeated misconduct placed [Defendant]  in  grave
peril.”  We disagree.   Having  found  that  any  prosecutorial  impropriety
which may have occurred was de minimus or otherwise overcome  by  the  trial
court’s admonishments and instructions,  we  are  unable  to  conclude  that
Defendant was placed in grave peril.


                                     VI

      Defendant’s next argument is two-fold.  First, Defendant contends that
the trial  court  committed  reversible  error  when  it  refused  to  allow
Defendant to impeach State witness Brian Mossberger with evidence  of  three
prior robbery convictions that  were  more  than  ten  years  old.   Second,
Defendant argues that the trial  court’s  application  of  Indiana  Evidence
Rule 609(b) and the exclusion  of  such  evidence  infringed  on  his  Sixth
Amendment right to cross-examination.


      Mossberger, one of two key State witnesses, testified  to  the  events
that occurred on the night of the murders implicating Defendant.[17]  In  an
effort to attack Mossberger’s credibility,  Defendant  sought  to  introduce
impeachment evidence of Mossberger’s three prior  robbery  convictions,  all
of which occurred in 1979.  However, the trial court excluded the  evidence,
reasoning  that  Indiana  Evidence  Rule  609(b)  prohibited   evidence   of
convictions that were more than ten years old.


      Generally, a proponent may seek to admit  evidence  of  certain  prior
convictions of a witness to attack the credibility of that witness  as  long
as the prior convictions  are  not  more  than  ten  years  old.   See  Ind.
Evidence Rule 609(a) and (b).[18]  Evidence of a prior  conviction  that  is
more than ten years  old  may  be  admissible,  however,  if  the  proponent
demonstrates that the probative  value  of  the  stale  conviction  evidence
substantially outweighs its prejudicial effect, and the proponent gives  the
adverse party sufficient advance  written  notice  of  intent  to  use  such
evidence.  Evid. R. 609(b).  We review a trial court’s  ruling  under  Evid.
R. 609(b) for abuse of discretion.  See Schwestak v. State, 674 N.E.2d  962,
964 (Ind. 1996).


      This case is comparable to Schwestak in  which  this  Court  upheld  a
trial court’s decision preventing  a  defendant  from  introducing  a  State
witness’s prior burglary conviction that was more than ten years  old.   Id.
at 963.  There, we reasoned that the defendant did not demonstrate


      why the probative value of this conviction, which [was] more than  ten
      years old, [was] so high as to overcome the general  rule  that  stale
      convictions are not admissible.  Defendant d[id] not offer any  reason
      other than that [the State witness’s] testimony was a  very  important
      part of the State’s case.  Although [the  State  witness’s]  testimony
      was indeed an important part of the State’s case, it certainly was not
      dispositive.  The State introduced ample other  evidence  establishing
      [the] defendant’s guilt.


Id. at 964.  (emphasis added).


      Defendant attempts to distinguish his case from Schwestak  by  arguing
that  Mossberger’s  testimony  “was  essential  to  the  State’s  case,  and
dispositive on many issues” because  Mossberger  was  the  only  witness  to
testify that Defendant (1) told him to get rid  of  the  murder  weapon  and
ammunition; and (2) admitted to his role in the murders by stating that  one
of the victims should not have been there.  See Appellant’s Br. at  33.   As
such, Defendant  claims  “Mossberger’s  believability  was  crucial  to  the
determination of substantive facts surrounding these crimes, and central  to
[Defendant’s] conviction.”  Id.


      Mossberger’s prior robbery convictions occurred  in  1979,  which  was
approximately seventeen years from the date the trial  began  in  September,
1996.  Therefore, to demonstrate that the trial court abused its  discretion
in excluding such evidence, Defendant has the burden  of  showing  that  the
“probative value of [the] conviction[s], which [are]  more  than  ten  years
old, is so high as to overcome the general rule that stale  convictions  are
not admissible.”  Schwestak, 674 N.E.2d at 964.  Defendant has not met  this
burden.


      While we recognize the importance of  Mossberger’s  testimony  to  the
State’s case, we disagree with Defendant that Mossberger’s  credibility  was
a  dispositive  factor.   As  to  the  facts  at  issue  here,  Mossberger’s
testimony corroborated the testimony of Dale Funk.  As discussed in part  I,
supra, Funk was the key  witness  for  the  State,  who  testified  that  he
observed Defendant “hand[] the gun to [Mossberger]; told him to get  rid  of
it.”  (R. at 23,982.)  In fact, Funk testified that he was an eyewitness  to
the murders and identified Defendant as the perpetrator who shot and  killed
the three victims with an assault rifle.  It does  not  appear  to  us  that
seventeen-year-old robbery convictions undermine in any meaningful  way  the
credibility of this corroborating testimony.  We do not find  the  probative
value of Mossberger’s seventeen-year-old robbery convictions so high  as  to
overcome the general rule that stale convictions are not admissible.

      Defendant  also  contends  that   the   “trial   court’s   mechanistic
application of the staleness provision in Rule  609  violated  [Defendant’s]
state and federal constitutional  right  to  cross-examination  and  a  fair
trial.”  Appellant’s Br. at 35 (citing U.S. Const. Amends. VI  and  XIV  and
Ind. Const. art. 1, § 13).


       “[O]ne of the fundamental  rights  of  our  criminal  justice  system
granted by the United States Constitution and the  Indiana  Constitution  is
the right of a defendant to cross-examination.”  Pigg v. State,  603  N.E.2d
154, 155 (Ind. 1992) (citing to Sears v.  State,  258  Ind.  561,  563,  282
N.E.2d 807, 808 (1972)).  While a Sixth Amendment issue  is  raised  when  a
defendant is prohibited from  cross-examining  a  crucial  witness  for  the
State on an area of his credibility, see Crull v. State,  540  N.E.2d  1195,
1198-1200 (Ind. 1989); Delaware v. Van Arsdall, 475 U.S.  673,  679  (1986);
Davis  v.  Alaska,  415  U.S.  308,  315-18  (1974),  the  right  to  cross-
examination is not absolute and is not without limitation, see Van  Arsdall,
475 U.S. at 679  (reaffirming  that  the  Sixth  Amendment  “‘guarantees  an
opportunity for effective cross-examination, not cross-examination  that  is
effective in whatever  way,  and  to  whatever  extent,  the  defense  might
wish’”) (quoting Delaware v. Fensterer, 474 U.S. 15, 20   (1985))  (emphasis
in original).


      At issue in this case is whether  the  trial  court’s  application  of
Evidence Rule 609(b) denied Defendant his  constitutional  right  to  cross-
examine a witness on an area of credibility.   Defendant  argues  that  such
application “prevented [Defendant] from  cross-examining  Mossberger  about,
and presenting evidence of, impeaching  felony  convictions  which  directly
correlated with his propensity to tell the truth.”  Appellant’s Br.  at  36.
We disagree and find that the trial court’s application of Rule  609(b)  did
not prevent Defendant from  cross-examining  Mossberger  and  attacking  his
credibility.   Defendant   conducted   a   thorough   cross-examination   of
Mossberger which consisted of at  least  500  pages  of  record.   Defendant
further acknowledges in his brief that  he  “was  able  to  expose  some  of
Mossberger’s evasiveness, selective memory, and lies.”  Appellant’s  Br.  at
33.  Because  Defendant  was  permitted  to  cross-examine  on  Mossberger’s
credibility in  some  extended  detail,  we  find  that  the  exclusion  his
seventeen-year-old convictions did not amount to  a  denial  of  Defendant’s
constitutional right to cross-examination.

                                     VII

      Defendant contends that the trial court violated his  statutory  right
to a speedy trial under Indiana Criminal Rule 4(B)(1) when it failed to  try
him within 70 days of May 15,  1996,  the  date  that  Defendant  filed  his
motion for a speedy trial.  He specifically argues  that  the  State’s  late
production of discovery material forced him  to  move  for  continuances  on
three separate occasions and thus the trial court improperly attributed  the
elapsed time to him.[19]  Defendant therefore argues  that  his  convictions
should be reversed and that he is entitled to discharge.


      The chronology of trial events indicate that Defendant filed a  speedy
trial motion on May 15, 1996, and the court properly set a  trial  date  for
July 22, 1996 — a time within the 70-day period required  by  Criminal  Rule
4(B)(1).[20]  On June 17, 1996, only 34 days into the speedy  trial  period,
Defendant filed a motion to dismiss on grounds of a  Criminal  Rule  4(B)(1)
violation.  The trial court denied the motion.[21]


      Defendant filed three separate requests for continuances over a course
of fourteen days.   On July 19, 1996, a few  days  before  trial,  Defendant
moved for a continuance requesting a one-week delay and  further  sought  to
charge the delay against the State because the State had not  complied  with
his discovery requests.[22]  At a July 19th hearing, the trial  court  ruled
against charging the State with the delay, reasoning  that  both  the  State
and Defendant “made respectful attempts to comply with  the  orders  of  the
Court,” and then denied Defendant’s motion.  (R.  at  7,491.)    Immediately
after the court’s ruling, Defendant again moved for a continuance, a  motion
identical to the first except that it did not  request  that  the  delay  be
charged against the State.  The State responded that it was “ready to go  to
trial” as scheduled but had no objection to the motion.  (R.  at  7,492-93.)
The court granted Defendant’s motion to reschedule the trial  for  July  29,
1996.


      On July 26, 1996, the trial court granted Defendant’s new  request  to
reschedule the trial.  At a hearing on the matter,  the  State  stated  that
there was more to be done but that it was “ready to go to  trial.”   (R.  at
8,543.)  On August 1, 1996, Defendant again moved for a continuance.     The
trial court granted the request  and  rescheduled  the  trial  to  begin  on
September 23, 1996, which was the only available date on the  trial  court’s
calendar.   On August 22, 1996, Defendant filed another  motion  to  dismiss
because he was not brought to trial within 70 days from the  date  he  filed
his motion for a speedy trial.  At a September 17, 1996, hearing, the  trial
court denied this motion to dismiss.


      Indiana Rule of Criminal Procedure 4(B)(1)  provides  that  “[i]f  any
defendant held in jail on an indictment or an affidavit shall  move  for  an
early trial, he shall be discharged if not brought to trial  within  seventy
(70) calendar days from the date of such motion . . . .”   The  trial  court
may  set  a  trial  date  beyond  this  prescribed  time  when  there  is  a
continuance or delay by the defendant, court congestion,  or  an  emergency.
As such, when  a  defendant  requests  a  continuance,  the  elapsed  period
between his motion for a continuance and the new  trial  date  is  generally
chargeable to the defendant.  See Vermillion  v.  State,  719  N.E.2d  1201,
1204 (Ind. 1999), reh’g denied.   However,  as  Defendant  correctly  points
out, we have found that when a defendant moves for a continuance because  of
the State’s failure to respond to  discovery  requests,  the  delay  can  be
attributable to the State.  See Isaacs v. Sate, 673 N.E.2d  757,  762  (Ind.
1996) (citing Biggs v. State, 546 N.E.2d 1271, 1275 (Ind. Ct.  App.  1989)).



      At the July 19th pre-trial hearing on the first continuance, Defendant
made no objection to the trial court’s decision  not  to  charge  the  delay
against the State.  Rather than raising an objection to the court’s  ruling,
Defendant renewed the motion for continuance  without  requesting  that  the
delay be attributed to the  State.   A  defendant  who  permits  the  court,
without objection,  to  set  a  trial  date  outside  the  70-day  limit  is
considered to have waived any speedy trial request.   See  Goudy  v.  State,
689 N.E.2d 686, 691 (Ind. 1997).


       This  waiver  notwithstanding,  we  consider  Defendant’s  two  other
continuances.  At the July 26th pre-trial hearing on the second  motion  for
continuance, Defendant argued that laboratory  tests  for  hair  comparisons
were not completed by the State.  However, Defendant conceded that  the  lab
technicians were “working as fast  as  [they]  can.”   (R.  at  8,540.)   He
further acknowledged that new information had recently come to  light  which
required him to ask for additional time to re-depose two or three  different
witnesses.[23]  Because Defendant needed  additional  time  to  prepare  for
trial, the elapsed time resulting from  the  second  trial  continuance  was
rightfully charged to Defendant.  With respect to Defendant’s  third  motion
for continuance, 54 days of the  delay  (the  period  between  the  date  of
Defendant’s third continuance on August 1, 1996, and the date of  the  trial
on  September  23,  1996)  were  attributable  to  neither  the  State   nor
Defendant.  The court warned both parties that because of court  congestion,
the next available  trial  date  on  the  court’s  calendar  was  not  until
September 23, 1996, and neither party  objected  to  the  revised  schedule.
Defendant did not dispute the trial court’s finding of court  congestion  in
his motion for discharge or on appeal.  As such, we will  presume  that  the
trial  court’s  finding  of  court  congestion  is  valid,   and   that   no
contemporaneous explanation or  documentation  was  needed.   See  Clark  v.
State, 659 N.E.2d 548, 552 (Ind. 1995).

      Finally, we recognize that in a death penalty case of  this  magnitude
even the most capable attorneys  would  be  hard  pressed  to  complete  all
discovery requests before the tolling of a speedy trial period.  This  Court
recently gave particular attention to death penalty  cases  subject  to  the
time constraints of Criminal Rule 4 in Lowrimore v. State,  728  N.E.2d  860
(Ind. 2000), reh’g denied.  In that case, we said, “The values  of  Criminal
Rule 4 are important, but so long as constitutional speedy  trial  standards
are met, these values must yield to the  exigencies  created  by  the  death
penalty charge if the two cannot be reconciled.”  Id. at  866.   We  believe
that  principle  also  applies  to   the   circumstances   presented   here.
Attorneys on both sides were under considerable time pressures to prepare  a
capital case involving the murders of three  victims,  the  presentation  of
158 witnesses, and the introduction of 966 exhibits.  Not surprisingly,  the
record reveals that discovery continued long after the  trial  commenced  on
September 23.  While there may have been delays in the State’s  response  to
some discovery requests in question because of laboratory  delays,  we  find
no basis to disagree with the State’s  assertion  at  trial  that  it  “made
every effort to comply with discovery orders of the Court.”  (R. at  7,490.)
 In light of the tremendous discovery  challenges  brought  on  by  a  death
penalty case of this scale, we agree with the trial court’s initial  finding
that both parties made respectable attempts to
comply with court orders.  Defendant is not entitled to discharge.

                                    VIII

      Defendant contends that  the  following  “proceedings  were  illegally
conducted  outside  [Defendant’s]  and  his  counsel’s  presence”:   (1)   a
conference between the  judge  and  the  prosecutor  regarding  the  State’s
request to delay the trial one week  in  order  to  investigate  an  alleged
confession to the murders made  by  someone  other  than  Defendant;  (2)  a
written communication between the judge and  jury  during  deliberations  in
the guilt-determination phase; and (3) a jury viewing of  the  crime  scene.
Appellant’s Br. at 50.  Defendant argues that his absence  and  the  absence
of his attorneys violated his right to be present at all  “critical  stages”
of his trial and entitles him to reversal of his convictions.

      Defendant cites to  three  different  sources  for  his  right  to  be
present:  the  Sixth  and  Fourteenth  Amendments  to  the   United   States
Constitution and Article 1, § 13, of the Indiana  Constitution.   In  Ridley
v. State,  we  clarified  that  these  constitutional  sources  guarantee  a
defendant’s right to be present  but  that  they  are  not  identical.   690
N.E.2d 177, 180 (Ind. 1997).  As such, we discuss each separately.

                                      A

      Defendant first contends that he was denied his  constitutional  right
to be present under the federal and state constitutions when the  judge  and
the prosecutor met with each other in Defendant and  Defendant’s  attorney’s
absence without notice.

       The  pertinent  facts  surrounding  the  judge-prosecutor  ex   parte
conference indicate that during the trial on January  2,  1997,  prosecutors
met with the trial judge in the judge’s  office,  outside  the  presence  of
Defendant and his attorneys.  Immediately thereafter, counsel on both  sides
participated in an in camera hearing in which the  State  requested  a  one-
week  continuance  and  the  temporary  tolling  of  discovery  obligations.
Defendant objected to any continuance but had no  basis  for  the  objection
simply because neither the prosecutor nor the judge  disclosed  the  subject
matter of the ex  parte  communication.   Defendant  demanded  to  know  the
nature of  the  communication  but  the  judge  denied  this  request.   The
prosecutor  argued,  without  legal  authority,  that  the  information  was
“privileged and confidential.” (R. at 19,814.)  Defendant  sought,  but  was
denied, a mistrial.

      On January 6, the judge  made  a  written  account  of  the  ex  parte
communication with the prosecutor.  According to  the  judge’s  report,  the
prosecutor divulged that a person  other  than  Defendant  had  admitted  to
shooting the  Tylers  and  Southard.   At  this  time,  the  State  supplied
Defendant with two supplemental case reports disclosing the results  of  its
investigation.   The  reports  revealed  that  Officer  Heilman  learned  on
December 27, 1996, that Robert Smith told Vanderburgh County Police that  he
overheard someone else confess  to  the  murders  for  which  Defendant  was
currently  being  tried.   Smith  also  suggested  that  the  murders   were
committed in retaliation for a drug debt owed to  Herschel  Seifert  by  the
Southard’s fiancé, Troy Napier.

      The essence of Defendant’s argument is that if  he  had  been  present
during the ex parte proceeding, Smith’s story would have been  disclosed  to
him and he could have presented a “meaningful argument at a meaningful  time
. . . against the continuance” requested by the State.  Appellant’s  Br.  at
54.   Defendant  also  maintains  that  “[t]he  subject  of  this  ex  parte
proceeding was  information  about  a  person  who  overheard  someone  else
confess to the killings for which  [he]  was  on  trial.   That  information
directly contradicted the story told  by  Funk,  and  provided  the  missing
motive behind the killings.  Keeping this information from [him]  ultimately
hampered his defense.” Id. at 55.


      We agree with Defendant that he was entitled to know  the  reason  the
prosecutor requested the continuance.  It was not appropriate for the  trial
court to place  Defendant  in  a  position  of  having  to  respond  to  the
requested continuance when the reason for it was  secret.[24]   However,  we
find the trial court’s error in this regard to be harmless.   We  also  hold
that no violation occurred under either
the Sixth Amendment or Due Process Clause of the Fourteenth Amendment.

      Defendant was entitled to any information in  the  State’s  possession
concerning another’s confession to  the  murders  for  which  Defendant  was
being tried.  However, Defendant has not shown how  his  inability  to  have
this  information  in  order  to  oppose  the  State’s  continuance  request
adversely affected his  substantial  rights.   See  Fleener  v.  State,  656
N.E.2d 1140, 1142 (Ind. 1995) (ruling that  errors  in  the  application  of
state evidentiary  or  procedural  law  will  be  found  harmless  if  their
probable impact is sufficiently minor so as not to  affect  the  substantial
rights of the parties).  Defendant acknowledges that  only  one  week  after
the ex parte communication, the State made available two  supplemental  case
reports disclosing the details of Smith’s story.  See Appellant’s Br. at  53
(citing R. at 2,513, 3,647-48, Appendix 30-31.)   The  judge  then  properly
granted Defendant a continuance allowing him sufficient time to review  this
newly discovered information, and to  “pursue  any  avenues  raised  by  its
disclosure and to adjust its  strategy  accordingly.”   Dye  v.  State,  717
N.E.2d 5, 12 (Ind. 1999), cert. denied, __U.S.__ , 121 S.  Ct.  379  (2000).
The record further indicates that defense counsel deposed Smith  before  the
trial reconvened and that counsel read  aloud  Smith’s  sworn  testimony  in
front of the jury.  As such, the  jury  did  hear  Smith’s  testimony  which
directly contradicted Funk’s inculpatory testimony  against  Defendant.   We
conclude that the impact of the  ex  parte  communication  was  sufficiently
minor so as not to have affected the substantial rights of Defendant.


      Defendant also contends that the ex parte communication  violated  his
constitutional rights in several respects.


      First, Defendant claims his Sixth Amendment right to be present in the
courtroom at every stage of his trial was violated.  This  right  is  rooted
in the Confrontation Clause.  Ridley, 690 N.E.2d at 180 (citing Illinois  v.
Allen, 397 U.S. 337 (1970)).  A Confrontation Clause violation  occurs  when
witnesses or hearsay evidence are presented in the defendant’s absence  that
affect the defendant’s opportunity for cross-examination.  See  Kentucky  v.
Stincer, 482 U.S. 730, 737-38 (1987).   In  the  present  case,  the  judge-
prosecutor ex parte  communication  did  not  involve  the  presentation  of
witnesses or  evidence  against  Defendant.   Defendant’s  right  to  cross-
examine witnesses under the Confrontation Clause was not implicated  because
no witnesses were present during the meeting held  in  Defendant’s  absence.
See id.  Accordingly, we find that there was no Sixth  Amendment  violation.



      Second, Defendant raises an argument under the Due Process  Clause  of
the Fourteenth Amendment, contending  that  the  State  failed  to  disclose
Smith’s story about the alleged confession which was in direct violation  of
Brady v. Maryland, 373 U.S. 83 (1963).  See Appellant’s Br. at 54, 56.   Due
process requires the State to disclose to the defendant  favorable  evidence
which is material to either his guilt or punishment.  See  Brady,  373  U.S.
at 87; Kyles v. Whitley, 514 U.S. 419, 432 (1995).   Under Brady,  favorable
evidence is material “only if there is a reasonable  probability  that,  had
the evidence been disclosed to the defense, the  result  of  the  proceeding
would have been different.  A  ‘reasonable  probability’  is  a  probability
sufficient to  undermine  confidence  in  the  outcome.”  United  States  v.
Bagley, 473 U.S. 667, 682 (1985) (analyzing Brady).  In this case,  we  find
that no Brady violation occurred because  Smith’s  story  was  disclosed  to
Defendant only a week following the ex parte communication and became  known
to the jury before the conclusion of the trial.  See Williams v. State,  714
N.E.2d 644, 648-49 (Ind. 1999) (recognizing that if the  favorable  evidence
becomes known to the defendant before or  during  the  course  of  a  trial,
Brady is not implicated) (citing United States v. Agurs, 427  U.S.  97,  103
(1976)), cert. denied, ___ U.S. ___,  120  S.  Ct.  1195  (2000);  Dye,  717
N.E.2d at 12 (same); Braswell v. State, 550 N.E.2d 1280,  1283  (Ind.  1990)
(same).

      Finally, Defendant argues that his right to be present at every  stage
of a criminal proceeding under Article 1, § 13, of the Indiana  Constitution
was violated.  But that right only applies to situations  where  the  jury’s
presence is required.  As the jury’s presence was not  required  during  the
judge-prosecutor communication, the Indiana constitution was  not  violated.
See Ridley, 690 N.E.2d at 181 n.4.
                                      B


      Defendant also contends that the trial court erred  in  violating  his
“federal and state constitutional rights to  be  present  and  be  heard  in
person and by counsel at all stages of his trial,” when “the jury and  judge
exchanged written communications” during jury deliberations  in  the  guilt-
determination phase.  Appellant’s Br. at  51.   For  this  ex  parte  claim,
Defendant relies upon two sources for his right to  be  present:  the  Sixth
Amendment under the United States Constitution and Article 1, § 13,  of  the
Indiana Constitution.

      After retiring for deliberations, the jury sent a written note to  the
bailiff who in turn handed  the  note  to  the  judge.   The  note  read  as
follows: “We would like to listen to [Defendant’s] tape  4810.  Can  we  see
the depositions of Brian M. & Dale Funk?”  (R. at 3,725.)  The  trial  court
“advised the [b]ailiff to tell the jury that the  court  could  not  provide
the items requested [by] them.”  (R. at 3,842.) The  trial  court  reported,
“The [j]ury then continued its deliberations and no  further  requests  were
received prior to  reaching  their  verdicts.”   (Id.)   Both  parties  were
advised of the judge-jury communication sometime later.[25]
      Case law recognizes state constitutional protection for a  defendant’s
right to be present when a jury makes a request for any additional  guidance
during deliberations.  See Pendergrass v.  State,  702  N.E.2d  716,  718-20
(Ind. 1998).  This Court has repeatedly laid out the  procedural  guidelines
for a trial court to follow when confronted with such a situation.  See  id.
at 718-20; Bouye v. State, 699 N.E.2d 620,  628  (Ind.  1998).   Under  this
procedure, trial court should
      “notify the parties so they may be present in court  and  informed  of
      the court’s proposed response  to  the  jury  before  the  judge  ever
      communicates with the jury.  When this procedure is not  followed,  it
      is an ex parte communication and such communications between the judge
      and the jury without informing the defendant are forbidden.   However,
      although an ex parte communication creates  a  presumption  of  error,
      such presumption is rebuttable and does not constitute per se  grounds
      for reversal.  When a trial judge responds to the  jury’s  request  by
      denying it, any inference of  prejudice  is  rebutted  and  any  error
      deemed harmless.”


Pendergrass, 702 N.E.2d  at  719-20  (quoting  Bouye,  699  N.E.2d  at  628)
(emphases in original) (citations omitted).


      In the instant case, the  trial  judge  erred  in  not  notifying  the
parties before communicating to the jury.  However, the judge merely  denied
the jury’s request to listen to Defendant’s taped  statement  for  a  second
time and to  review  depositions  that  were  already  read  into  evidence;
therefore, any error resulting from this communication  was  harmless.   See
Marsillett v. State, 495 N.E.2d 699, 709 (Ind. 1986) (holding that a  judge-
jury communication outside the  defendant’s  presence  constituted  harmless
error where the judge merely denied the jury’s request to replay part  of  a
transcript); see also Brewer v. State,  605  N.E.2d  181,  184  (Ind.  1993)
(ruling that where a trial court simply denied a  jury’s  request  for  more
information in the defendant’s absence, such communication  did  not  result
in prejudice to the defendant and any error was harmless).

      Defendant also contends that his absence “prevented [him]  from  being
heard by counsel as to the importance of allowing the jury to listen to  the
taped statement.” Appellant’s Br.  at  59.   He  argues  that  the  “subject
matter  [of  the  jury’s  note]  was  some  of  the  most  crucial  evidence
presented,” and that “[i]t would be  reasonable  to  conclude  jurors  might
need  to  refresh  their  recollections  about  the  most  pivotal  evidence
presented.”  Id.  As we stated in response to an almost identical  assertion
in Bouye, “[c]ontrary to the defendant’s argument, the  prohibition  against
ex parte communication is not designed to give the defendant an  opportunity
to provide the jury with more information that might benefit his  case,  but
rather it is designed to prevent the jury from being  improperly  influenced
by the judge. The defendant’s contention fails.”  699 N.E.2d at 628-9.

      With respect to Defendant’s other argument on the right to be present,
he contends that the “federal constitutional right[] to be heard by  counsel
and to have counsel’s assistance [is] implicated  by  .  .  .  an  ex  parte
communication  even  where  the  judge  ultimately  refuses  communication.”
Appellant’s Br. at  59.   However,  Defendant  merely  cites  to  the  Sixth
Amendment[26] without developing the argument further.  See  Ind.  Appellate
Rule 8.3(A)(7).


                                      C

      Finally, Defendant argues that the jury’s view of the crime scene was
illegally conducted outside his and his counsel’s presence.

      Over Defendant’s  objection,  the  trial  court  granted  the  State’s
request for the jury to view various locations pursuant to  Indiana  Code  §
35-37-2-5, which allows a “jury to have a view of the  place  in  which  any
material fact occurred.”  In particular, the bailiff  accompanied  the  jury
to see Mossberger’s home; the railroad crossing on Red Brush Road;  Napier’s
mobile home where the burglary  occurred  prior  to  the  murders;  and  the
intersection of Youngblood and  Eble  Roads  where  the  commission  of  the
murders took place.  Before the  viewing,  the  trial  court’s  instructions
advised the jury that the “various locations of the jury viewing [were]  not
to be considered as evidence,” (R. at 31,543), and to “remain on bus and  on
public right of way at all times,” (R. at 31,545).   Both parties agreed  to
these instructions.

      Defendant specifically argues on appeal that the places viewed by  the
jury in Defendant’s absence  constituted  “evidence.”   Defendant  maintains
that because he was absent during “presentation of evidence,” his  right  to
be present was in violation of the Sixth and Fourteenth  Amendments  of  the
United  States  Constitution,  and  Article  1,  §  13,   of   the   Indiana
Constitution.  Appellant’s Br. at 57-58. Defendant did not  make  a  request
to the trial court to accompany the jury during the viewing  and  was  never
barred from doing so.  Thus, he cannot now claim error on  appellate  review
that he was denied his constitutional rights to be  present.   Nevertheless,
it is well settled Indiana law that a jury’s  view  of  a  location  is  not
evidence, but rather it  is  intended  to  aid  a  jury’s  understanding  of
evidence presented at trial.  See Jackson v.  State,  597  N.E.2d  950,  962
(Ind. 1992), cert. denied, 507  U.S.  976  (1993);  Johnson  v.  State,  472
N.E.2d 892, 909 (Ind. 1985);  Mears  v.  State,  455  N.E.2d  603,605  (Ind.
1983).   Because  neither  evidence  nor   witnesses   were   presented   in
Defendant’s or his counsel’s absence, his  rights  under  the  Confrontation
Clause of the Sixth Amendment were not implicated.  See part VIII.A,  supra.
  Furthermore, Defendant merely cites to the Indiana  constitution  and  the
Fourteenth Amendment and did not  develop  the  argument  further.  App.  R.
8.3(A)(7).

                                     IX

      Defendant contends that the trial court  erred  by  admitting  several
autopsy photographs of the victims’ internal organs  because  the  cause  of
death was  uncontested  and  the  photographs  depicted  the  bodies  in  an
“altered”  condition  and  therefore  unduly  prejudiced  the   jury.    See
Appellant’s Br. at 66.  He argues that the  photographic  evidence  had  “no
real probative value” and that they only served to inflame the  emotions  of
the jury.  See id. at 70.

       Photographs,  including  those  that  are  gruesome  in  nature,  are
admissible if they act as interpretive aids for the  jury  and  have  strong
probative value.  Spencer v. State,  703  N.E.2d  1053,  1057  (Ind.  1999);
Wright v. State, 730 N.E.2d 713, 720 (Ind. 2000) (citing Harrison v.  State,
699 N.E.2d 645, 647 (Ind. 1998)).  Relevant evidence is  evidence  that  has
“any tendency to make the existence of any fact that is  of  consequence  to
the determination of the action more  probable  or  less  probable  than  it
would be without  the  evidence.”   Ind.  Evidence  Rule  401.   To  exclude
photographs from evidence on relevancy  grounds,  the  defendant  must  show
that their improper influence on the  jury  substantially  outweighed  their
probative value to the extent that they were unduly prejudicial.   See  Ind.
Evidence Rule 403; Spencer, 703 N.E.2d  at  1057;  Mitchell  v.  State,  726
N.E.2d 1228, 1237 (Ind. 2000), reh’g denied.  We review  the  trial  court’s
admission of photographic evidence for an abuse of discretion.   See  Cutter
v. State, 725 N.E.2d 401, 406 (Ind. 2000), reh’g denied.

      In this case, Defendant attacks the admission of the  following  three
photographs of Brandy Southard:  State’s Exhibit No. 2995 depicted  the  rib
cage and muscles; Exhibit No 2998 viewed the inside of the chest  after  the
rib cage and breast bone were removed; and Exhibit 3003 displayed the  heart
and aorta.  Defendant also challenges the admission of the  following  three
photographs of Kathy Tyler:  (1) Exhibit No. 2906 showed Kathy Tyler’s  left
lung; (2) Exhibit No. 3072 revealed  a  windpipe  and  voice  box;  and  (3)
Exhibit No.3036 pictured the inside of the chest wall after the  organs  had
been removed.  Finally, Defendant takes issue  with  the  admission  of  the
following photographs of John  “Jay”  Tyler:   Exhibit  No.  3124  and  3127
displayed lungs; Exhibit No. 3148 showed a heart; Exhibit No. 3148  depicted
ribs and a breast bone; Exhibit No. 3154  displayed  a  liver;  Exhibit  No.
3146 viewed a chest cavity after the chest  organs  had  been  removed;  and
Exhibit No. 3151 depicted  a lower jaw.

      Defendant argues that  “none  of  these  photos  depict  the  victims’
bodies in their natural state after [their] deaths,” but instead “show  [the
victims’] appearance after the pathologist has done his work.”   Appellant’s
Br. at 70.  He correctly points out that photographs  showing  the  victim’s
body in an “altered condition,” e.g., during or after an  autopsy  has  been
performed, are generally inadmissible because they may impute  the  work  of
the pathologist to the defendant.  See Turben v.  State,  726  N.E.2d  1245,
1247 (Ind. 2000); Fentress v. State, 702 N.E.2d 721, 722 (Ind. 1998);  Allen
v. State, 686 N.E.2d 760, 776 (Ind.  1997),  cert.  denied,  525  U.S.  1073
(1999); Loy v. State, 436 N.E.2d  1125,  1128  (Ind.  1982);  Warrenburg  v.
State, 260 Ind. 572, 574-76, 298 N.E.2d 434, 435-6 (1973); c.f.,  Kiefer  v.
State, 239 Ind. 103, 116-18, 153 N.E.2d 899, 904-05 (1958).


      We do consider these close-up photographs viewing multiple gunshot and
stab wounds to the victims’ internal organs to be gruesome if  not  ghastly.
But “‘[e]ven gory and revolting photographs may be  admissible  as  long  as
they are relevant to some material issue  or  show  scenes  that  a  witness
could describe orally.’”   Mitchell, 726 N.E.2d at  1237  (quoting  Amburgey
v. State, 696 N.E.2d 44, 45 (Ind. 1998)).


      The photographic evidence complemented the pathologist’s testimony  as
well as other evidence introduced at trial and  was  relevant  in  rebutting
Defendant’s contention that he neither shot the victims multiple times  with
his SKS assault rifle nor stabbed the victims  with  a  knife.   First,  the
photograph  evidence  was  illustrative  of  the   pathologist’s   testimony
concerning the cause of the victims’ death.  For instance,  the  pathologist
testified that the “high powered rifle” bullets used to commit the  multiple
killings penetrated the rear of the truck, struck the victims, and  traveled
through their  bodies.   The  pathologist  also  testified  that  all  three
victims were shot and then subsequently stabbed by  their  assailant.   This
determination  corroborated  Funk’s   account   of   the   timing   of   the
circumstances surrounding the murders.  Although Defendant did  not  contest
the cause of death, the photographs helped to illustrate  the  pathologist’s
testimony describing the chest wound from a knife causing Brandy  Southard’s
death and the projection and path of the fatal bullets from a  high  powered
rifle causing the deaths of Kathy  Tyler  and  John  Tyler.   Second,  other
evidence introduced at trial suggested that Defendant owned a knife  similar
to the one used to inflict multiple stab wounds on  the  victims.   Further,
forensic testing proved that the bullets found in the victims’  bodies  came
from the same SKS assault rifle owned by Defendant.  And Defendant was  seen
shooting his rifle shortly before the murders  occurred.   The  post-autopsy
photographs complemented this evidence as well as Funk’s testimony.


      As previously stated, we agree with Defendant  that  the  post-autopsy
photographs were gruesome.  Thus, we presume that  they  had  a  prejudicial
effect when shown to the jury.  However, the prejudicial effect was  not  so
substantial as to outweigh their  probative  value.   Accordingly,  we  find
that the trial court did not  abuse  its  discretion  in  finding  that  the
probative value of the photographs outweighed any prejudicial effect on  the
jury.[27]  See, e.g., Wright, 730 N.E.2d at 720 (holding no abuse  of  trial
court discretion in allowing photographs at issue  establish  the  cause  of
death and the manner in which the crime was committed and the  evidence  was
particularly probative inasmuch as  the  defendant  attempted  to  establish
that he was not the perpetrator); Fentress, 702 N.E.2d at  722  (holding  no
abuse of discretion where trial  court  allowed  the  admission  of  autopsy
photographs depicting the victim’s shattered skull with the  hair  and  skin
pulled back because the photos showed the force of the blow, which in  turn,
bore on the intent to kill); Elliot v. State,  630  N.E.2d  202,  204  (Ind.
1994) (holding  no  abuse  of  discretion  where  trial  court  allowed  the
admission of autopsy  photos  of  victim’s  heart  which  was  probative  to
overcome the defendant’s claim of accidental killing); Jackson,  597  N.E.2d
at 963 (ruling that the trial  court  properly  admitted  photographs  taken
during the autopsy showing view of victim’s skull  and  brain  because  they
were probative to illustrate trauma caused by the  blows  to  her  head  and
they also served to aide the pathologist’s testimony).

                                      X


      Defendant next contends that  the  evidence  presented  at  trial  was
insufficient to  support  his  convictions  because  Mossberger  and  Funk’s
testimony on the events surrounding the murders  was  “incredibly  dubious.”
Defendant also claims that the State’s case lacked  motive  and  that  there
was  no  circumstantial  evidence  connecting  him  to  the  murders.    See
Appellant’s Br. at 9, 29, 31.  He further directs  our  attention  to  alibi
witnesses who  placed  him  at  their  home  around  the  time  the  murders
occurred, see id. at 9, 29,  and  to  other  witnesses  who  suggested  that
another person had allegedly confessed involvement in the murders,  see  id.
at 29-30.  All of this, Defendant’s argument  continues,  demonstrates  that
the State failed to establish the “substantial evidence” of probative  value
required to support a conclusion of guilt beyond a  reasonable  doubt.   See
id. at 31.


      When reviewing a sufficiency of the evidence claim, we neither reweigh
the evidence nor assess the  credibility  of  witnesses.   See  Williams  v.
State, 669 N.E.2d 1372, 1387  (Ind.  1996),  cert.  denied,  520  U.S.  1232
(1997). We only consider the evidence most favorable to the jury’s  verdict,
along with all reasonable inferences to be drawn therefrom, and will  affirm
a conviction if the probative evidence and reasonable inferences drawn  from
the evidence could have led the jury to find a  defendant  guilty  beyond  a
reasonable doubt.  See id.; Davis v. State,  598  N.E.2d  1041,  1045  (Ind.
1992), cert. denied, 510 U.S. 948 (1993).


      Defendant first attacks the credibility  of  Funk  and  Mossberger  by
arguing that both witnesses had “motives  to  lie”  in  order  to  implicate
Defendant as the perpetrator who killed the three victims and  to  exonerate
themselves.   See  Appellant’s  Br.  at  10.   We   considered   a   similar
credibility issue questioning testimony  of  a  witness  who  was  with  the
defendant when the crime occurred in  the  capital  case  of  Timberlake  v.
State, 690 N.E.2d 243 (Ind. 1997),  cert.  denied,  525  U.S.  1073  (1999).
There we determined that even though the State did not  charge  the  witness
to the crime as  an  accomplice,  the  “potentially  self-serving  testimony
[was] similar  to  that  of  one  accomplice  testifying  against  another,”
because “[b]oth situations contain the same credibility concerns.”   Id.  at
252.   Here,  the  most  incriminating  evidence  against   Defendant   came
primarily from the testimony of Funk and Mossberger.  Like  the  witness  in
Timberlake, neither Funk nor Mossberger was charged as an accomplice.   Funk
admitted he was present throughout the crime spree of burglarizing  Napier’s
mobile home and during the commission of the murders.  And  Defendant  lists
other examples claiming  that  Funk  had  a  motive  to  fabricate:   Funk’s
shoeprint was found underneath the broken window of  Napier’s  mobile  home;
Funk admitted that he did not want to  go  to  jail;  Funk  was  jealous  of
Defendant’s friendship with one Kathy Morreira, whom Funk had  been  dating;
Funk  told  his  roommate,  Kenny  Jennings,  that   he   would   “cut   out
[Defendant’s] liver” (R. at 29,386, 29,431); and Funk told Morreira that  he
implicated Defendant for “all the wrong reasons”  (R.  at  30,101-02).   See
Appellant’s  Br.  at  11.   Defendant  also  puts  at   issue   Mossberger’s
credibility and his motivation to lie.  In particular,  he  emphasizes  that
Mossberger had possession of the murder weapon after  the  murders  occurred
and that Mossberger hid the weapon along with the ammunition in the woods.


      Having said that, the testimony of an accomplice is  subject  to  high
scrutiny.  We have also concluded that such testimony  is  alone  sufficient
to sustain a conviction.  See  Timberlake,  690  N.E.2d  at  252;  see  also
Thompson v.  State,  671  N.E.2d  1165,  1167  (Ind.  1996),  reh’g  denied;
Garrison v. State, 589 N.E.2d 1156, 1159 (Ind. 1992); Douglas v. State,  520
N.E.2d 427, 428 (Ind. 1988).  We have further stated, “[t]he fact  that  the
accomplice may  not  be  completely  trustworthy  goes  to  the  weight  and
credibility of the witness’ testimony, something that is  completely  within
the province of the [jury] and cannot be reviewed on  appeal.”   Timberlake,
690 N.E.2d at 252.


      In this case, the jury was  made  aware  of  Funk’s  and  Mossberger’s
involvement  before  and  after  the  murders  occurred  and  heard  witness
testimony which, Defendant urges, indicated that  Funk  had  other  possible
motives to fabricate.  But it was still the jury’s  prerogative  as  to  how
much weight and credibility to give to Funk’s  and  Mossberger’s  testimony.
See Griffin v. State, 493 N.E.2d 439, 443  (Ind.  1986)  (“When  a  jury  is
aware of a witness’ possible  motives  or  bias,  [the  jury]  can  use  the
information to assess the witness’ credibility.”) (citing Shields v.  State,
490 N.E.2d 292  (Ind.  1986),  reh’g  denied.).   Furthermore,  contrary  to
Defendant’s  contention,[28]   the   record   indicates   that   there   was
circumstantial evidence connecting Defendant  to  the  shooting.   Defendant
had possession of the murder weapon before the murders  occurred.   Forensic
testing established that the fatal bullets matched those fired from the  SKS
assault rifle owned by Defendant.  And the  spent  shell  casings  retrieved
from the crime scene and the recovered  ammunition  were  similar  to  those
discovered in Southard’s  and  Napier’s  mobile  home  where  Defendant  had
earlier confiscated ammunition on the day of the murders.


      Defendant further challenges the testimony of Funk and  Mossberger  by
focusing  on  several  inconsistencies  between  their  testimony,  and   by
highlighting inconsistencies between their  previous  individual  statements
to  police  and  trial  testimony.   He  specifically   argues   that   such
inconsistencies make the testimony “incredible.”   However,  inconsistencies
in the testimony of two or more witnesses go to the weight of  the  evidence
and credibility of each individual witnesses’ testimony,  see  Dobbins,  721
N.E.2d at 875; Timberlake, 690 N.E.2d at 252, and  such  inconsistencies  do
not make the evidence “incredible” as a matter of law, see Kappos v.  State,
465 N.E.2d 1092, 1096 (Ind. 1984).  Here, the jury  was  fully  apprised  of
these  inconsistencies  and  had  the  opportunity   to   make   credibility
determinations.  “[J]udging  the  credibility  of  witnesses  lies  squarely
within the province of the jury and we will  not  reassess  its  credibility
determinations.”  Ellis v. State, 707 N.E.2d 797, 801  (Ind.  1999)  (citing
Gee v. State, 526 N.E.2d 1152,  1153  (Ind.1988)).   We  find  no  basis  to
reassess the jury’s credibility determinations here.


      Defendant argues that the “incredible dubiosity” rule should apply  in
his case because his convictions  were  based  on  Funk’s  and  Mossberger’s
testimony  which  was  “highly   improbable,”   as   well   as   “equivocal,
vacillating, and contradictory.”  Appellant’s Br. at 14,  20,  22.   “‘Under
this rule, a court will impinge on the jury’s responsibility  to  judge  the
credibility  of  the  witness  only  when  it  has   confronted   inherently
improbable testimony or coerced, equivocal, wholly uncorroborated  testimony
of incredible dubiosity.’”  White v. State,  706  N.E.2d  1078,  1079  (Ind.
1999) (quoting Tillman v. State, 642 N.E.2d 221, 223 (Ind.  1994)  (internal
quotation omitted)).  “When a sole witness  presents  inherently  improbable
testimony and there  is  a  complete  lack  of  circumstantial  evidence,  a
defendant’s conviction may be  reversed.”   Id.   We  have  recognized  that
application of this rule is rare and that the  standard  to  be  applied  is
whether “‘the testimony is so incredibly dubious  or  inherently  improbable
that no reasonable person  could  believe  it.’”   Bradford  v.  State,  675
N.E.2d 296, 300 (Ind. 1996) (quoting Pardue v. State, 502  N.E.2d  897,  898
(Ind. 1987), reh’g denied.), reh’g denied.


      There is no dispute that Funk was the State’s sole eyewitness  to  the
burglary at Napier’s mobile home and  to  the  commission  of  the  murders.
Although there were discrepancies among Funk’s statements  made  to  police,
his statements  made  in  depositions,  and  his  trial  testimony,  witness
testimony that contradicts witness’s earlier statements does not  make  such
testimony “incredibly dubious.”  See Davenport v. State,  689  N.E.2d  1226,
1230 (Ind. 1997), reh’g granted  in  part,  696  N.E.2d  870  (1998).   Funk
unequivocally identified Defendant as the perpetrator  who  shot  the  three
victims and he did not waver in his identification  of  Defendant’s  assault
rifle used  to  commit  the  killings.   This  part  of  his  testimony  was
supported  by  circumstantial  evidence.   Furthermore,   Funk’s   testimony
regarding the circumstances before and after the murders  was  corroborative
of Mossberger’s testimony as well as other witness testimony.


      Defendant also contends that Funk’s testimony was a product of Officer
Heilman’s suggestions given when the Officer  first  questioned  Funk  about
the crimes.  See Appellant’s Br. at 24-6 (citing R.  at  24,410-11,  24,453-
55.)   Defendant  complains,  “Funk’s  admissions   of   susceptibility   to
suggestion and guessing reveal a lack of authenticity for his  story.”   Id.
at 11. However, there is no evidence in the record to  suggest  that  Funk’s
testimony was coerced.  During defense counsel’s cross-examination of  Funk,
the jury heard the nature of Officer Heilman’s initial questioning of  Funk.
 We find that a reasonable person could have believed Funk’s testimony,  and
reiterate that “‘[i]t is the province of the  jury  to  hear  the  testimony
given by the witnesses  and  to  assess  the  truth  and  veracity  of  each
witness.’”  White, 706 N.E.2d at 1080 (quoting Wear  v.  State,  593  N.E.2d
1179, 1179 (Ind. 1992)); Davis v. State, 658 N.E.2d 896,  898  (Ind.  1995),
cert. denied, 516 U.S. 1178 (1996).


      Finally, to further support his contention that the  State  failed  to
establish the requisite “substantial evidence” to support  a  conclusion  of
guilt, Defendant focuses on the testimony of  alibi  witnesses  and  witness
testimony  suggesting  that  other  persons  admitted  involvement  in   the
murders.  See Appellant’s Br. at 28-31.


      “The State is not required to rebut directly a defendant’s alibi.   It
may disprove the alibi by proving its own case in chief beyond a  reasonable
doubt.”  Lott v. State, 690 N.E.2d 204, 209 (Ind.  1997).   Here,  Defendant
directs us to his presentation of alibi witnesses who  testified  that  they
saw Defendant just after 10:00 p.m. on the night of  the  murders.   One  of
these witnesses claimed that  she  had  spoken  to  Defendant.  [29]    Such
testimony directly conflicted with Funk’s and  Mossberger’s  testimony  that
Funk and Defendant left Mossberger’s house during the 10 o’clock news.   The
alibi testimony also contradicted the testimony of  Funk’s  roommate,  Kenny
Jennings.  Jennings testified that on the night in question,  Defendant  and
Funk arrived at Funk’s apartment during  the  sitcom  “Cheers”  which  aired
between  10:00  and  10:30   p.m.    Additionally,   the   alibi   testimony
contradicted Defendant’s  initial  alibi  given  to  police  officers.   Our
review of the record indicates that on March 30, 1996, just two  days  after
the murders occurred,  Defendant  voluntarily  gave  a  taped  statement  to
police officers which was later played for the  jury.   In  this  statement,
Defendant admitted that he saw and briefly talked to Jay, Kathy, and  Brandy
at a local Circle S store between 9:30 and  10:00  p.m.  on  the  night  the
murders.  Defendant also stated that after seeing the victims,  he  went  to
Mossberger’s house and drank wine, and then went straight home.   Thus,  the
jury was made aware of such inconsistencies between Defendant’s own  stories
regarding his whereabouts on the night in question.  We  find  that  it  was
within the jury’s purview to believe the testimony of  Mossberger  and  Funk
over the testimony of alibi witnesses tending to exculpate  Defendant.   See
Carr v. State, 728 N.E.2d 125 (Ind. 2000) (“A jury may choose to  disbelieve
alibi  witnesses  if   the   State’s   evidence   renders   such   disbelief
reasonable.”) (citing Lambert v. State,  516  N.E.2d  16,  19  (Ind.  1987),
reh’g denied.).  We will not disturb the jury’s  prerogative  to  weigh  the
credibility of witnesses and to weigh the evidence.


      Defendant also points to other witnesses’  testimony  implicating  one
Guy James Knight, rather than Defendant, as the  person  who  committed  the
murders.  See Appellant’s Br. at 28,  29.   One  defense  witness  testified
that Brandy Southard told her that Napier owed Knight  money,  and  that  if
Knight was not paid, he was “going to put a  bullet  in  [Southard’s]  ass.”
(R. at 29,536.)  Another defense witness, Allen Fletcher, testified that  he
shared a jail cell with Knight in Vanderburgh County, and stated,  “[Knight]
told me that he was the one, after the  firing  was  over,  that  cut  their
throats and stabbed them.”  (R. at 29,704.)  Police  questioned  Knight  who
said he worked for a local landlord and drug dealer named Herschel  Seifert.
 Knight told police that he was at home with his girlfriend at the time  the
murders  had  occurred  and  denied  ever  threatening  Southard.   Knight’s
girlfriend, however, confirmed one threat made against Southard.


      Defendant presented additional evidence along these lines establishing
the possibility that the killings  occurred  as  a  result  of  a  drug  hit
ordered  by  Seifert.   However,  a  jury  is  entitled  to  disbelieve  the
defendant’s evidence and to believe the  State’s  evidence.   See  Bradford,
675  N.E.2d  at  299  (determining  that  where  conflicting  evidence   was
presented, the jury was not required to believe  the  defendant’s  evidence,
and that the jury had every right to believe the State’s evidence  instead);
see also Harris v. State, 617 N.E.2d 912, 915 (Ind. 1993) (recognizing  that
a jury was entitled to believe or disbelieve  evidence  presented  by  State
and the defendant in a  criminal  trial),  overruled  on  other  grounds  by
Wright v. State, 690 N.E.2d  1098  (Ind.  1997).   The  evidence  concerning
Knight was presented to the jury.  It was well within the jury’s ability  as
well as its province to assess the witnesses’ relative  credibility  and  to
believe the State’s  evidence  over  Defendant’s  evidence  suggesting  that
Knight confessed to the murders.  Again, we find no reason to  reassess  the
jury’s credibility determinations.


      After considering all the evidence most favorable to  the  verdict  as
well as drawing all reasonable inferences therefrom, we  conclude  that  the
jury  could  have  reasonably  concluded  beyond  a  reasonable  doubt  that
Defendant committed the burglary and the three murders.   We  also  find  no
basis to impinge on the  jury’s  credibility  determinations  and  therefore
decline to apply the incredible dubiosity rule.


                                     XI

      We now review whether Defendant’s  death  sentences  are  appropriate.
The Indiana Constitution provides that “[t]he Supreme Court shall  have,  in
all appeals of criminal cases, the power to review and revise  the  sentence
imposed.”  Ind. Const. art. VII, § 4.   Although  our  rules  for  appellate
review of sentences require that deference be given to the judgment  of  the
trial court where  the  sentence  is  death,  those  rules  “stand  more  as
guideposts for our appellate review than as immovable pillars  supporting  a
sentence decision.”  Spranger v. State, 498 N.E.2d 931, 947 n.2  (Ind.1986),
cert. denied, 481 U.S. 1033  (1987).   Moreover,  “this  Court’s  review  of
capital cases  under  article  7  is  part  and  parcel  of  the  sentencing
process.”  Cooper v. State, 540 N.E.2d 1216, 1218 (Ind.1989).


      This special review of death sentences  is  grounded  in  the  Indiana
Constitution, our state’s death penalty statute, and federal  death  penalty
jurisprudence.  Harrison v. State, 644 N.E.2d 1243, 1260 (Ind. 1995),  cert.
denied, 519  U.S.  933  (1996).    The  United  States  Supreme  Court  “has
repeatedly said that under the Eighth Amendment ‘the qualitative  difference
of death from all  other  punishments  requires  a  correspondingly  greater
degree of scrutiny of the capital sentencing  determination.’”  Caldwell  v.
Mississippi, 472 U.S. 320, 329 (1985)  (quoting  California  v.  Ramos,  463
U.S. 992, 998-99 (1983)).   Meaningful appellate review of  death  sentences
plays a crucial role in ensuring that  the  death  penalty  is  not  imposed
arbitrarily or irrationally.  Parker v. Dugger, 498 U.S. 308, 321 (1991).


      Defendant challenges  the  appropriateness  of  his  death  sentences,
contending  that  the  one  aggravator  did  not  outweigh  the   mitigating
circumstance of the “residual doubt” of his guilt.  See Dye  v.  State,  717
N.E.2d 5, 21 (Ind. 1999) (citing  generally  Miller  v.  State,  702  N.E.2d
1053, 1069 (Ind. 1998) (describing residual doubt as “[w]hen a jury finds  a
defendant guilty beyond a reasonable doubt, there still may be a measure  or
residuum of doubt about the defendant’s  guilt”),  cert.  denied,  528  U.S.
1083 (2000)), cert. denied, ___ U.S. ___, 121 S. Ct. 379  (2000).  Defendant
specifically argues that residual doubt exists in his case because  two  key
State witnesses, Funk and Mossberger, had “compelling reasons to  lie;”  the
State’s lack of physical evidence connecting him to  the  murders;  and  the
fact that his “defense was supported by four alibi witnesses.”   Appellant’s
Br. at 78-79. Based upon the residual doubt,  he  asks  this  Court  to  set
aside his death sentences and to enter sentences of life without parole.

      Our death penalty statute guides our  review  of  death  sentences  by
providing standards for governing the  trial  court’s  imposition  of  death
sentences.  Following the completion of  the  guilt-determination  phase  of
the trial  and  the  rendering  of  the  jury’s  verdict,  the  trial  court
reconvenes for the penalty phase.  Before a death sentence can  be  imposed,
our death penalty statute requires the State to prove  beyond  a  reasonable
doubt at least one aggravating circumstance  listed  in  subsections  (b)(1)
through (b)(16) of the statute.[30]  See Ind. Code § 35-50-2-9  (1998).   In
this case, the State supported its request for the death  penalty  with  the
following  aggravating  circumstances:   (1)  that  Defendant  intentionally
discharged a firearm from a vehicle, see  Ind.  Code  §  35-50-2-9(b)(14)(B)
(Supp. 1995); (2) that Defendant committed at least one of  the  murders  by
lying in wait, see id. §  35-50-2-9-(b)(3);  and  (3)  that  Defendant  “has
committed another murder, at any time, regardless of whether  the  defendant
has been convicted of that other murder,” see  id.  §  35-50-2-9(b)(8).   To
prove the existence of these aggravating circumstances, the State  presented
no additional witnesses at this stage, but rather relied upon evidence  from
the guilt-determination phase of the trial.

      The death penalty statute requires that any  mitigating  circumstances
be weighed  against  any  properly  proven  aggravating  circumstances.   In
addition to Defendant’s mitigating circumstances presented during the guilt-
determination phase (the Defendant’s four alibi  witnesses  testifying  that
they saw Defendant around the time the murders had occurred and  Defendant’s
witnesses testifying that they overheard Knight admit to involvement in  the
murders), Defendant offered the testimony of  one  witness  at  the  penalty
phase,  Pam  Patterson,  a  public  information  officer  at   the   Indiana
Department of Correction.  She testified that the vast majority of  multiple
murder offenders held in Indiana jails have not  been  sentenced  to  death,
but instead were serving  either  a  term  of  years  or  life  imprisonment
without parole.[31]  The jury found that the State did not meet  its  burden
in proving beyond a reasonable doubt that Defendant committed the first  two
alleged aggravators; however, the  jury  did  find  that  the  State  proved
beyond a reasonable doubt that Defendant murdered Jay  Tyler,  Kathy  Tyler,
and Brandy Southard.  The jury further determined that this  one  aggravator
outweighed any mitigating factors, and recommended that the  death  sentence
be imposed.

      Once the jury has made its recommendation, the jury is dismissed,  and
the trial court has the duty of making the  final  sentencing  determination
at the sentencing hearing.  First, the trial court must find that the  State
has proven beyond a reasonable doubt that at least one  of  the  aggravating
circumstances listed in the death penalty statute exists.  See Ind.  Code  §
35-50-2-9(k)(1)  (1998).   Second,  the  trial  court  must  find  that  any
mitigating circumstances  that  exist  are  outweighed  by  the  aggravating
circumstance or circumstances.  See id. §  35-50-2-9(k)(2).   Third,  before
making the final  determination  of  the  sentence,  the  trial  court  must
consider the jury’s recommendation.  See  id.  §  35-50-2-9(e).   The  trial
court must make a record of its reasons for selecting the sentence  that  it
imposes.  See id. § 35-38-1-3.

      In imposing the death sentences in the instant case, the  trial  court
found  that  the  State  proved  beyond  a  reasonable  doubt  one  of   the
aggravating circumstances  listed  in  the  death  penalty  statute  —  that
Defendant committed multiple murders.  (R. at 32,436-48.)   The  record  and
the law support this finding.

       At  the  sentencing  hearing,  Defendant  presented  one   additional
witness, Sister Helen Prejean, who testified  to  her  personal  account  of
past experiences in consoling death row inmates and also provided  testimony
relating to  her  religious  beliefs  which  underpinned  her  view  against
capital punishment.  After hearing Sister Helen’s testimony and  considering
Defendant’s final argument to the trial court, the trial  court  issued  its
sentencing order.   In the  sentencing  order,  the  trial  court  primarily
reflected upon Funk’s account of  the  events  leading  up  to  the  murder,
including the Napier mobile home burglary and Defendant’s car chase  of  the
victim’s truck throughout Warrick County’s  rural  roads.   The  court  also
recounted the substance  of  Funk’s  testimony  on  the  commission  of  the
murders: that when the Tyler truck had stopped, Defendant  grabbed  his  SKS
rifle and began to fire as soon as Jay Tyler opened his door; that when  the
shooting stopped, Defendant got  back  in  his  car,  drove  some  fifty  to
seventy-five feet, stopped the car, and got out; that a few  minutes  later,
Defendant returned to the car and told Funk, “You breathe  a  word  of  this
and I’ll kill you.”   The  trial  court  then  acknowledged  that  Defendant
“effectively” attacked Funk’s veracity “on many points.”   (R.  at  32,441.)
The trial court also considered the testimony of alibi witnesses as well  as
the testimony of other witnesses indicating  that  another  person  admitted
involvement in the crimes.  However, based upon Funk’s testimony  and  other
evidence introduced during the guilt-determination phase,  the  trial  court
concluded that the State proved beyond a  reasonable  doubt  that  Defendant
committed three separate murders in a single incident.  See Ind. Code §  35-
50-2-9(b)(8).

      The trial  court  found  three  non-statutory  mitigating  factors[32]
which were listed in the  presentence  report:  (i)  in  1995,  the  Indiana
legislature  offered  a  sentence  of  Life  Without  Parole  as  an   equal
alternative to the death penalty; (ii) the majority  of  offenders  held  in
Indiana prisons who have committed multiple murders were  not  sentenced  to
death; and (iii) Defendant demonstrated that he could safely  be  imprisoned
if a sentence of Life Without Parole were imposed.  (R.  at  32,444-45;  see
also Defendant’s Presentence  Report  at  5-6.)   The  court  assigned  “low
weight” to these three mitigation factors. (R. at 32,444.)  The trial  court
also showed “great respect” for Sister Helen Prejean’s position against  the
death penalty, and even acknowledged that the “vast  majority  of  religious
organizations in  the  Unites  States  favor  the  abolition  of  the  death
penalty” (R. at 32,444), but declined  to  consider  the  “very  significant
moral issue as a mitigation circumstance in the sentencing  process,”  (id).


      In accordance with our death penalty statute, the  trial  court  found
that the non-statutory  mitigating  circumstances  were  outweighed  by  the
multiple murder aggravator for all three counts of murder.  The trial  court
also gave  consideration  to  the  jury’s  recommendation,  the  presentence
report, and Defendant’s independent report.  We find that the trial  court’s
sentencing order  complies  with  the  requirements  imposed  by  the  death
penalty statute and case law.
      Based on our review of the record and  the  law,  we  agree  with  the
trial court’s conclusion that the State proved  beyond  a  reasonable  doubt
the  (b)(8)  aggravating  circumstance  promulgated  in  the  death  penalty
statute.  As discussed in Part IX,  supra,  during  the  guilt-determination
phase of the trial, Defendant repeatedly attacked  the  veracity  of  Funk’s
and Mossberger’s testimony, presented  testimony  that  someone  else  could
have committed  the  murders,  and  offered  the  testimony  of  four  alibi
witnesses.  Yet both the jury and the trial court  found  the  testimony  of
Funk and Mossbeger to be more credible than the  Defendant’s  witnesses  and
other exculpatory evidence.  The witness testimony offered by Defendant  and
the inconsistencies in Funk’s testimony persuaded neither  the  trial  court
nor the jury of Defendant’s innocence.   We  are  also  not  persuaded.   We
agree with the trial court that the aggravating circumstance  outweighs  the
non-statutory mitigating circumstances.   We find that residual  doubt  does
not provide a basis for  revising  Defendant’s  sentences  to  life  without
parole, and therefore conclude that the death  penalty  is  appropriate  for
Defendant’s murder of John “Jay” Tyler, Kathy Tyler, and Brandy Southard.

                                 Conclusion

      We affirm Defendant’s convictions and  the  imposition  of  the  death
sentences.

SHEPARD, C.J., and DICKSON, BOEHM, and RUCKER, JJ., concur.




-----------------------
      [1] Ind. Code § 35-43-2-1 (1993).

      [2] Id. § 35-43-4-2(a).

      [3] Id. § 35-42-1-1(1).

      [4] Id. § 35-50-2-9(b)(14)(B) (Supp.  1995).   In  1996,  the  Indiana
legislature re-designated  subsection  (b)(14)  to  subsection  (b)(15)  for
crimes committed after June 30, 1996.  See P.L. 228-1996 § 1.

      [5] Id. § 35-50-2-9(b)(3).

      [6] Id. § 35-50-2-9(b)(8).
      [7] The jury determined that Defendant committed the  multiple  murder
aggravator  under  Indiana  Code  §  35-50-2-9(b)(8),   allowing   for   the
imposition of the death penalty.


      [8] A statement is not hearsay under Evid. R. 801(d)(1)(B)

      if [t]he declarant testifies at trial or hearing  and  is  subject  to
      cross-examination concerning the statement, and the statement is . . .
      consistent with the declarant’s testimony, offered to rebut an express
      or implied charge against  the  declarant  of  recent  fabrication  or
      improper influence or motive, and made before the motive to  fabricate
      arose.
Id.
      [9] On direct examination, Utzman testified to the  following  out-of-
court statements made by Dale Funk about the shooting:

      [Prosecutor]:          And on the way back [from Evansville], did  you
                       and Dale [Funk] have any conversation?
      [Utzman]:        Yes, we did.
      [Prosecutor]:          What did you talk about?
      [Utzman]:        Ah, he was looking scared and  nervous  about  ALCOA,
                       and I asked him what was wrong with him.
      [Prosecutor]:          Did he say he was looking  scared  and  nervous
      about
                       ALCOA?  I didn’t mean to interrupt you.
      [Utzman]:        And I asked him what was wrong, and he said  that  he
                       took the wrong ride.  And I really didn’t  understand
                       what he was saying at the time.  But I said, “What do
                       you mean,” you know, and he said, “Well, I  took  the
                       wrong ride.  I was there when it  happened.”   And  I
                       didn’t know what he was talking about.
      [Defense counsel]:     Show objection to  the  question,  Your  Honor.
                       It’s hearsay


(R. at 25,636-37) (emphases added).
      [10] This was the position of the five-justice majority  as  expressed
in an opinion written by Justice Kennedy and joined  by  Justices,  Stevens,
Scalia,  Souter,  and  Ginsburg.   Chief  Justice  Rehnquest,  and  Justices
O’Conner, and Thomas, and Breyer would have  allowed  “relevant”  consistent
out-of-court statements admitted even after the motive to  fabricate  arose.
Tome, 513 U.S. at 169 (Breyer, J. dissenting).
      [11] Defendant similarly  relies  upon  our  decisions  in  Bouye  and
Thompson to lend  support  to  his  argument  that  Funk,  as  an  “admitted
accomplice,” had an  improper  motive  to  fabricate  at  the  time  of  the
murders.  However, we also found that these two precedents do  not  “require
us to find a motive to fabricate,  automatically,  at  the  time  the  crime
occurred or where the  declarant  has  been  questioned  by  the  police  in
connection with the matter.”  Sturgeon, 719 N.E.2d at 1178.
      [12] Apparently, Juror Fox was a former reporter and wanted to use the
notebook as a “springboard for a creative writing project,” such as  a  book
or a journal.  (R. at 32,523, 32,535.)
      [13] The trial court held a post-trial hearing concerning Juror  Fox’s
notebook.  Fox testified before the  court  and  explained  that  after  the
trial had ended, he explored  the  circumstances  surrounding  the  case  by
reading newspaper  articles  and  interviewing  officers  who  testified  at
trial.  Fox stated that while pursuing his research  on  the  case,  he  had
destroyed “more  than  half”  of  the  original  notebook  by  updating  and
revising the notebook.  Fox testified that he did not have  a  copy  of  the
original notebook on file, saved on a floppy disk, or saved on his  computer
hard-drive.  Because the original notebook could  not  be  produced  or  re-
produced at the post-trial hearing,  the  notebook  admitted  at  the  trial
level and reviewed by this Court is not the same notebook  taken  into  jury
deliberation.

      [14] The principal concern addressed by theses cases was whether  note
taking  distracted  jurors  from  hearing  all  the  testimony  and   paying
attention to the credibility and  demeanor  of  witnesses  and  whether  the
jurors relied too much on their  notes  rather  than  their  memory.   These
cases held that at least limited or minor note taking could  serve  to  keep
the minds of jurors from wandering during trial.
      [15]  Indiana Evidence Rule 702  allows  testimony  by  experts  where
specialized knowledge will assist the  trier  of  fact  and  the  expert  is
qualified by knowledge, skill, experience, training or  education.   Whether
or not an expert witness meets these requirements and should be  allowed  to
testify is within the sound discretion of the trial  court.   See  Roach  v.
State, 695 N.E.2d 934, 939 (Ind.1998), reh’g granted on other  grounds,  711
N.E.2d 1237 (Ind. 1999).
      [16] According to  forensic  pathologist  Dr.  Heidingsfelder,  “rigor
mortis is the stiffening that takes place in  human  skeletal  muscle  after
death.  It actually begins at the time of death  [and]  becomes  perceivable
or noticeable at about five (5) or six  (6)  hours  after  death.”   (R.  at
22,449-50.)
      [17]  According  to  Mossberger’s   testimony,   Defendant   went   to
Mossberger’s house, held a knife by his (Defendant’s) face, and said,  “Jay,
Kathy, and Brandy  are  no  more.”   (R.  at  24,674-75.)   Mossberger  also
testified that Defendant instructed him to “[d]o  something  with  the  SKS;
get rid of it; make it gone.”  (R. at  24,678.)   Mossberger  said  that  he
complied  with  Defendant’s  demand  and  buried  the  assault   rifle   and
ammunition in the woods the next day.  (R.  at  24,752-53,  24,770,  24,798-
99.)

      [18] Indiana Evidence Rule 609(a) states:
      For the purpose of attacking the credibility of  a  witness,  evidence
      that the witness has been convicted of a crime  or  an  attempt  of  a
      crime shall be admitted but only if the crime committed  or  attempted
      is (1) murder, treason, rape, robbery,  kidnapping,  burglary,  arson,
      criminal confinement or perjury; or (2) a crime  involving  dishonesty
      or false imprisonment.
      [19] Defendant also claims that he was compelled to choose between his
constitutional right to a fair trial  and  his  constitutional  right  to  a
speedy trial.  However, he does not develop this claim  further.   See  Ind.
Appellate Rule 8.3(A)(7).


      [20] Crim. R. 4(B)(1) provides:

      If any defendant held in jail on an indictment or an  affidavit  shall
      move for an early trial, he shall be  discharged  if  not  brought  to
      trial within seventy (70) calendar days from the date of such  motion,
      except where a continuance within said period is had on his motion, or
      the delay is otherwise caused by his  act,  or  where  there  was  not
      sufficient time to try him during  such  seventy  (70)  calendar  days
      because of the congestion of the court calendar.   Provided,  however,
      that in the  last-mentioned  circumstance,  the  prosecuting  attorney
      shall file a timely motion for continuance as set forth in subdivision
      (A) of this rule.  Provided further, that a trial court may take  note
      of congestion or an emergency without the necessity of a  motion,  and
      upon so finding may order a continuance.  Any continuance granted  due
      to a congested calendar or emergency shall be  reduced  to  an  order,
      which order shall also set the case  for  trial  within  a  reasonable
      time.

      [21] It is well established that when a motion  for  discharge  for  a
Criminal Rule 4 violation is made prematurely, it is properly  denied.   See
Bell v. State, 622 N.E.2d 450 (Ind. 1993); Perry v. State, 471  N.E.2d  270,
273 (Ind. 1984).  As such, the trial court  in  this  case  properly  denied
Defendant’s motion to dismiss which was prematurely filed 34 days  into  the
speedy trial period.


      [22] In his first motion  for  continuance,  Defendant  argued,  inter
alia, that as of July 19, 1996, the State had not allowed  Defendant  access
to the murder weapon.  Defendant further claimed that the State had  yet  to
complete its analysis of hair, blood,  and  fiber  samples  for  Defendant’s
independent review and inspection.  On July 24, 1996, Defendant requested  a
court order instructing the State to release the  murder  weapon  and  shell
casings for testing by a  defense  expert.   The  trial  court  granted  the
motion, ordering the State to either release such  evidence  to  Defendant’s
agents or make it available for  testing  at  the  Warrick  County  Security
Center.  The State promptly complied with the court order.
      [23] Defense counsel stated:


      We received additional information [on July 25th]  that  is  going  to
      require the re-deposing of at least two  (2)  witnesses,  and  perhaps
      three (3), based on information that was not  divulged  in  the  first
      deposition . . . I think the State is aware of what I’m speaking of  .
      . . it’s  not  something  that  [the  State]  contrived  or  done[sic]
      willfully . . . but [the depositions] just have to be done.  And we’re
      in a situation with that, trying then to move into a mode  to  prepare
      the final motions that are going to have to be . . . filed.
(R. at 8,541.)
      [24] We express no opinion on the amount of detail the prosecutor  was
required to disclose in support of the requested  continuance.   In  certain
continuances,  it  will  be  appropriate  for  a  party  when  requesting  a
continuance to ask the court to review supporting documentation in camera.
      [25] Our review of the record indicates that the  court  reporter  and
lead defense counsel engaged in a conversation in which the  court  reporter
informed counsel that the jury had requested Defendant’s taped statement  to
police.  (R.  at  3,772-73,  3,790,  3,808-09.)   However,  defense  counsel
neither objected nor asserted his concerns before the  trial  court.   (Id.)
The facts are  in  dispute,  however,  as  to  whether  the  court  reporter
informed counsel about the jury’s request for the depositions  of  Funk  and
Mossberger.  The court reporter provided a sworn affidavit  dated  September
4, 1997, which states in relevant part:

           That whenever Mr. Long returned to the  Courthouse  after  being
      notified that the Jury in the  above-captioned  cause  of  action  had
      reached a verdict, but before counsel for the State  had  arrived  and
      before the verdict was received from the Jury, [defense counsel] asked
      if the Jury had requested any exhibits during their  deliberation.   I
      advised him [that] the Jury had requested Defendant’s taped statement,
      and the depositions of Brian Mossberger and Dale Funk. . . .  [Defense
      counsel] stated he did not believe the State would  have  had  a  case
      without his client’s statement, and [defense counsel] did not indicate
      any objection to me or the judge as to the way the matter was handled.


(R. at 3,809) (emphases added).


      In contrast, Defendant claims that the court  reporter  only  informed
him of the jury’s request to listen to Defendant’s taped statement,  and  it
was only after he  read  the  State’s  response  to  Defendant’s  motion  to
correct  errors  that  he  learned  of  the  jury’s  request  to   see   the
depositions.  The record of proceedings is unclear as to  when  or  how  the
State was advised about the communication.
      [26] For a discussion of a defendant’s right to be present  under  the
Sixth and Fourteenth  Amendments  under  the  federal  constitution  in  the
context of a judge-jury ex parte communication, see Pendergrass, 702  N.E.2d
at 718-19 n.3.
      [27] Having found that, collectively, these  post-autopsy  photographs
were properly admitted during  the  guilt-determination  phase,  we  decline
Defendant’s invitation to address whether such evidence subsequently  unduly
prejudiced the jury during the penalty phase.  See  Appellant’s  Br.  at  68
(arguing that post-autopsy photographs  which  “depict  removed  organs  and
body parts should  be  reviewed  under  the  principles  of  proportionality
outlined” in Bivins v. State, 642 N.E.2d 928 (Ind. 1994), because  “evidence
from the guilt phase is incorporated into and considered by the jury in  the
penalty phase” (citing Ind. Code § 35-50-2-9(d)).
      [28] Defendant contends that  there  was  “absence  of  circumstantial
evidence” and no physical evidence connecting him to the murders because  no
blood, hair, or fiber,  was  found  in  his  car  or  on  his  clothes,  see
Appellant’s Br. at 27 (citing to R. at  27,298,  28,865,  28,935),  and  his
fingerprints were absent from the Tyler truck, the murder  weapon,  and  the
ammunition case, see id. (citing  R.  at  24,298,  21,498,  28,865,  28,775,
28,935).  Defendant also points  out  that  neither  shoe  prints  nor  tire
tracks placed him at the crime scene.  See id. (citing R. at 28,935.)
      [29] The alibi witnesses included Julie Girtman and Caroline  Pevelak,
and  their  mother,  Emily  Girtman.   Julie  and  Emily  offered  testimony
indicating that on the night the  murders,  they  were  watching  the  10:00
evening news on  television  when  Defendant  pulled  into  their  driveway.
Julie testified that she went outside to speak to  Defendant  for  about  25
minutes.  During this time, her sister, Cindy Pevelak, drove up and  noticed
Defendant and her sister Julie engaged in  conversation.   Julie  and  Emily
testified that when Julie returned from  talking  to  Defendant,  the  10:00
p.m. program had ended and the sitcom show “Cheers” came on.
      [30] We note that at the time  the  murders  occurred,  the  effective
statutory aggravators upon which Defendant  could  have  been  sentenced  to
death or life imprisonment without parole were listed in subsections  (b)(1)
through (b)(14).  See Ind. Code § 35-50-2-9 (Supp. 1995).   The  legislature
has since then promulgated two more statutory aggravators  under  subsection
(b).  See P.L. 228-1996, § 1; P.L. 261-1997 § 7.
      [31] The public information officer offered the following testimony:
[Defense Counsel]
      Q:    How many men on death row in the State of Indiana are  on  death
           row for committing multiple murder?
[Public information officer]
      A:    Twenty-three (23)
      Q:    . . . [H]ow many men are in our  state  prisons,  not  on  death
           row, who have committed multiple murder?
      A:    As of 5/14/97, there were one hundred eighty-five (185).
(R. at 31,859.)
[32] According to Indiana Code § 35-50-2-9(c)(8) (1998), a trial  court  may
find mitigating “[a]ny other circumstances appropriate  for  consideration.”