State v. Beck

Per Curiam.

— One of the judges of this court disqualified himself from participating in the decision of this case. The eight remaining judges, after numerous conferences, are equally divided in their decision for the reasons appearing in the opinions filed.

There being no majority for affirmance or reversal, the judgment of the trial court stands.

It is so ordered.

Hill, J.

— This is an appeal from a judgment and sentence entered upon a verdict of guilty to a charge of grand larceny by embezzlement. Twenty-nine assignments of error raise a multiplicity of issues.

The trial itself, divorced from the prominence of the defendant, presents a very simple factual issue.

The state’s evidence showed that the defendant had possession of a 1952 Cadillac automobile, belonging to the Western Conference of Teamsters; that he authorized its sale; *475that it was sold for nineteen hundred dollars, and the proceeds of the sale were deposited in one of his personal accounts over which he had exclusive control; that the Western Conference of Teamsters never received any part of the nineteen hundred dollars.

To meet this evidence in support of the charge that he did
“. . wilfully, unlawfully and feloniously secrete, withhold or appropriate the said $1,900 to his own use with intent to deprive and defraud the owner thereof;”

there was testimony that the defendant thought the car was sold while he was out of the city; that when he returned and found that the car had been sold and the purchase price had been deposited in his account, he delivered nineteen hundred dollars to a bookkeeper and told him to apply it to the account of either the Western Conference of Teamsters or the Joint Council of Teamsters, whichever owned the car. It was patently a defense that could be contrived to meet the exigencies of the case.

The state’s case was clear and unchallenged. The basic issue for the determination of the jury was whether or not it believed the explanation presented by the defense. The verdict of guilty was the jury’s answer to that issue.

We shall adopt the appellant’s ten divisions for the consideration of the twenty-nine assignments of error.

I. Grand Jury Proceedings. This is the longest section of appellant’s brief (some 66 pages).

We disagree completely with the appellant as to the function of a grand jury in this state. In the period when an indictment by a grand jury was a prerequisite to a prosecution for a felony, it was said (and the appellant seems to have assumed its present day applicability) that a grand jury was meant to be a shield between the defendant and the zeal of the prosecutor. For the most part, the cases upon which the appellant relies come either from the time when a grand jury indictment was necessary, or from jurisdictions where it is still a requisite.

The grand jury in this state is not and was not intended *476to be a shield for the accused. Our state constitution provides that,

“. . . Offenses heretofore required to be prosecuted by indictment may be prosecuted by information, or by indictment, as shall be prescribed by law.” Art. I, § 25, Washington state constitution.

Furthermore,

“ . . . No grand jury shall be drawn or summoned in any county, except the superior judge thereof shall so order.” Art. I, § 26, Washington state constitution.

The prosecutor’s information has become the standard means of bringing charges in this state, as in all other states which authorize its use. It has long been settled that there is no denial of Federal constitutional rights involved in the substitution of the prosecutor’s information for the grand jury’s indictment. Hurtado v. People of California (1884), 110 U. S. 516, 4 S. Ct. 111; State v. Nordstrom (1893), 7 Wash. 506, 35 Pac. 382; affirmed 164 U. S. 705.

The grand jury is now used not as a shield against the zealous prosecutor, as in times past, but to replace, on occasion, the prosecutor who is not sufficiently zealous (for whatever reason), and, more often, as presently, as a valuable but expensive weapon (hence, used sparingly) to assist a prosecutor in investigating conditions and people insulated from investigation by the usual procedures. It has been said that,

“The inquisitorial power of the grand jury is the most valuable function which it possesses to-day and, far more than any supposed protection which it gives to the accused, justifies its survival as an institution. As an engine of discovery against organized and far-reaching crime, it has no counterpart. . . . ” In re Grand Jury Proceedings, 4 F. Supp. 283, 284 (E. D. Pa. 1933).

It must be accepted for what it is: an inquisitorial body, an accusing body, and not a trial court. Its functions are investigative and not judicial. It is not concerned that the evidence, then available, establish the commission of crime beyond a reasonable doubt. State v. Lawler (1936), 221 Wis. 423, 267 N. W. 65, 105 A. L. R. 568. The end result *477of a grand jury’s deliberations is not a judgment and sentence, but merely a charge; consequently, the concepts of procedural due process do not apply to the grand jury, except as they may be necessary to prevent prejudice to an accused or a witness in subsequent proceedings; thus, a grand jury may not deny the constitutional privilege against self incrimination, and it may not impair the constitutional protection against unreasonable searches and seizures.

The grand jury is “the voice of the community accusing its members,” (Judge Learned Hand in In re Kittle, 180 Fed. 946, 947 (S. D. N. Y. 1910)), and it may properly reflect the sentiment of the community. It

“. . . breathes the spirit of a community into the enforcement of law. Its effect as an institution for investigation of all, no matter how highly placed, creates the elan of democracy. . . .” United States v. Smyth, 104 F. Supp. 279, 291 (N. D. Cal. S. D. 1952).

The appellant, on the other hand, suggests that the grand jurors were disqualified because they presumably reflected the sentiment of the community from which they came. The inference from the appellant’s argument is that a person who can secure a large amount of adverse publicity from newspapers, radio, and television, thereby becomes immune from grand jury investigation; the more notoriety he achieves, the more reason he should not be investigated.

Investigative agencies — city, county, state, or federal— do not wait for the hue and cry to die down before they begin to investigate or to file a charge against an accused. Nor do we see why a grand jury investigation should be handicapped or delayed because of publicity of whatever kind or character. Because a grand jury merely makes the accusation and does not try the accused, the general rule is that, barring statutory provisions to the contrary, bias or prejudice on the part of one or more of the grand jurors is not a ground for quashing the indictment. In United States v. Knowles, 147 F. Supp. 19, 21 (D. C. 1957), it was said,

“The basic theory of the functions of a grand jury, does not require that grand jurors should be impartial and unbiased. In this respect, their position is entirely different *478from that of petit jurors. The Sixth Amendment to the Constitution of the United States expressly provides that the trial jury in a criminal case must be ‘impartial’. No such requirement in respect to grand juries is found in the Fifth Amendment, which contains the guaranty against prosecutions for infamous crimes unless on a presentment or indictment of a grand jury. It is hardly necessary to be reminded that each of these Amendments was adopted at the same time as a part of the group consisting of the first ten Amendments. A grand jury does not pass on the guilt or innocence of the defendant, but merely determines whether he should be brought to trial. It is purely an accusatory body. This view can be demonstrated by the fact that a grand jury may undertake an investigation on its own initiative, or at the behest of one of its members. In such event, the grand juror who instigated the proceeding that may result in an indictment, obviously can hardly be deemed to be impartial, but he is not disqualified for that reason.”

In Coblenz v. State (1933), 164 Md. 558, 166 Atl. 45, 88 A. L. R. 886, 894, 895, it is said:

“ . . . we find no ground for imposing a requirement that they must be unprejudiced, as the objection demands. On the contrary, such a requirement would seem inconsistent with their freedom to accuse upon their own knowledge, for persons who come with knowledge sufficient to serve as a basis of indictment are likely to come with the conclusion and prejudice to which that knowledge leads. They must act upon their own convictions, after conferring secretly and without any interference; but they are not required to come without any prejudice. ...”

And in United States v. Rintelen, 235 Fed. 787 (S. D. N. Y. 1916), Judge Augustus N. Hand said (p. 789),

“ . . . An intelligent grand juror can hardly be found who has not decided opinions derived from his general knowledge as to any case of public notoriety. He may have even passionate feelings on the subject, which in general affect and actuate him. The question is not what his feelings were, but whether he voted for an indictment honestly and upon competent evidence. That an indictment can be quashed because the grand jurors had personal prejudices, even ill-founded ones, would leave every indictment in an important case, irrespective of the evidence on which it was found, open to attack. ...”

*479We reitérate, as the quoted authorities establish, that the general rule is that, barring statutory provisions to the contrary, bias or prejudice on the part of one or more of the grand jurors is not a ground for a quashing of a grand jury indictment, or for setting aside the judgment based on the verdict of a petit jury after a trial on such an indictment. The appellant says our consideration of this case must be based upon the premise that he, as a matter of law, was entitled to an impartial and unprejudiced grand jury.

If we assume that the premise is correct, we are confronted with the fact that there is no showing that any member of the grand jury was biased or prejudiced against the appellant. His contention is that some or all of the members of the grand jury must be biased or prejudiced against him because of the unfavorable publicity which he had received. Jury verdicts will not be set aside on such unsupported suppositions.

However, the premise is not correct unless, as the appellant urges, our 1854 grand jury statute requires that grand jurors be impartial and unprejudiced. The only support for the suggestion that there is such a statutory requirement is contained in one section which relates to the long-gone situation where a grand jury met for the purpose of considering whether persons then in custody or released on bail and “held to answer for an offense” should be indicted or released. Such a person might challenge the panel because it was not drawn properly (RCW 10.28.010), or might challenge individual grand jurors

“ . . . for reason of want of qualification to sit as such juror; and when, in the opinion of the court, a state of mind exists in the juror, such as would render him unable to act impartially and without prejudice.” RCW 10.28.030.

There was a reason for such a challenge by a “person in custody or held to answer for an offense,” but the appellant was not such a person. When a modern grand jury starts its investigative process it seems ridiculous to suggest that as each new personality comes under scrutiny the proceedings must stop until it can be determined whether any member of the grand jury is biased or prejudiced against him; *480and, if a grand juror is so biased or prejudiced, the investigation is at an end. Such a situation was not contemplated, even in territorial days, for our statute provides that a grand juror must testify of his own knowledge of offenses committed, and this testimony may initiate such investigation as would lead to an indictment. RCW 10.28.130. A grand juror so testifying is disqualified from joining in the deliberations and voting. RCW 10.28.140. Both sections assume that a grand juror so testifying is properly a member of the panel, and, as stated in Coblenz v. State, supra, any requirement that such grand juror be completely unprejudiced is inconsistent with his right and obligation to share his information with the grand jury.

To summarize this phase of the case:

1. We are unable to conclude that because a statute gave “any person in custody or held to answer for an offense” the right to challenge a grand juror for prejudice, there is a statutory or any other requirement that grand jurors be without bias or prejudice against any one indicted by them. Persons for whose benefit that statute was enacted are of course entitled to its protection.

2. That, absent such statutory requirement, bias or prejudice on the part of one or more of the grand jurors is not a ground for setting aside a judgment based on a verdict of guilty returned by a petit jury.

3. There is no showing of bias or prejudice.

The charge to the grand jury is criticized and said to constitute prejudicial error. As we have indicated, a grand jury in this state is convened only for a special purpose. It was not necessary to leave to the clairvoyant powers of this grand jury the determination that they had not been called to investigate all of the persons then held in the King county jail on felony charges, as RCW 10.28.010 and 10.28-.030 seem to contemplate; and it was proper to advise them they had been called for a special purpose.

It is stated, as a general rule, that the court has a wide discretion in calling matters of concern to the attention of the grand jury. 24 Am. Jur. 864, Grand Jury, § 45; 38 C. J. S. 1012, Grand Juries, § 21(b) . Some courts have said *481that the court’s charge to the grand jury is not subject to judicial review. United States v. Smyth, supra; Bethel v. State (1924), 162 Ark. 76, 257 S. W. 740, 31 A. L. R. 402; State v. Lawler, supra. As Judge James Alger Fee said in his opinion in United States v. Smyth, supra, in discussing the subject of grand jury instructions (p. 292),

. . . He [the court] may give instructions which do not constitute precedents and which cannot be controlled or corrected by appellate courts. These may be political manifestoes. They may be entirely erroneous. These may include cautions and admonitions to fit local conditions and guard against dangers which the judge believes exist at the moment. . . . ”

and, in a footnote (36), he says,

“There has. never been an instance where instruction to a grand jury was held error by an appellate court. If the indictment is good and the trial fair, that ends the matter, irrespective of what the judge may have said to the grand jury.”

It must be remembered that it was not only the prerogative but the duty of the superior court to direct the grand jury’s attention to those matters which the superior court judges, who had called the grand jury, believed to merit investigation by it. In so doing, it was proper for the court to make note of facts publicly known and allegations publicly heard, as a frame of reference from which the grand jury should begin its investigation.

Chief Justice Vanderbilt, speaking for the supreme court of New Jersey, has said,

“While the grand jury is an independent body in investigating the facts and in making presentments and indictments, it necessarily looks to the judge presiding in the county not only for instructions on the law to govern its deliberations in particular matters but also as to the matters of crime or of public concern that should receive its attention. Any unusual matter such as the conditions in the Camden County Jail manifestly calls for specific instructions, if the criminal law is to be adequately enforced and if the public interest in the efficient administration of public institutions is to be maintained. . . . ” In re Camden *482County Grand Jury (1952), 10 N. J. 23, 34, 89 A. (2d) 416, 423.

The extent of our review of the charge, if we have any right to review it, is clearly limited, as stated in the opinion in Wheeler v. State (1953), 219 Miss. 129, 63 So. (2d) 517, to whether or not the (p. 144)

“ . . . language in the judge’s charge had the effect of dictating to or coercing the grand jury into returning an indictment against the appellant. . . . ”

We are unable to see any element of dictation or coercion in the charge to the grand jury in this case. The court did only what it should have done in directing the grand jury’s attention to the reason why it was called.

We turn now to the claimed misconduct of the prosecutor before the grand jury. The appellant attempts to apply the standards of a trial to a grand jury investigation.

Of course, the grand jury must be free from all outside interference and influence during its deliberations and voting, and this requires that no parties other than the grand jurors themselves be present at such time. Cases such as Attorney General v. Pelletier (1922), 240 Mass. 264, 134 N. E. 407; Williams v. State (1919), 188 Ind. 283, 123 N. E. 209; United States v. Wells, 163 Fed. 313 (D. C. Idaho 1908), are decided upon this principle of protection of the grand jury’s deliberations, and they have no bearing on the present case.

The appellant quotes from United States v. Wells, supra. It is interesting to note that Judge Hand in United States v. Rintelen, supra, in discussing claimed misconduct of the district attorney, said of that case (p. 792),

“The case relied upon by the defendants is United States v. Wells, 163 Fed. 313. There the district attorney not only gave the grand jury a list of the defendants and commented on the weight of the evidence, but before the indictment was signed was requested to leave the room by one of the jurors, so that there could be discussion, and refused to go, said that no discussion could be had until the indictment was - signed, directed the foreman to sign the indictment without permitting further consideration or reading of the *483indictment, and withheld various documents from the inspection of the grand jury, the contents of which they were obliged to take from the statements of the district attorney only. It is manifest that the facts of that case were utterly different from those of the case at bar. The indictment there was evidently controlled by the district attorney, was not the finding of the grand jury, and consequently the plea in abatement was there properly sustained. I am referred to no other decision than United States v. Wells, supra, where an indictment has been held bad by reason of the conduct of a district attorney before the grand jury.”

Judge Hand then emphasized that the independence and freedom from coercion on the part of the grand jurors is the thing to be protected, and said (pp. 794, 795),

“ . . . A plea based on the conduct of the district attorney before the grand jury should be adjudged insufficient unless it clearly shows prejudice to the defendant and indicates that the alleged irregularities affected the action of the grand jury. That this is the proper rule appears from various decisions. Agnew v. United States, 165 U. S. 36, 17 Sup. Ct. 235, 41 L. Ed. 624; United States v. American Tobacco Co., 177 Fed. 774; United States v. Nevin, 199 Fed. 833; United States v. Gradwell, 227 Fed. 243. The dictum in United States v. Wells, supra, so far as it is not in accord with the rule I have laid down, does not follow the weight of authority.”

He said, also, that if

“ ... a. comment by the district attorney, on the testimony were held-in itself to invalidate an indictment, the opportunity for technical motions and dilatory pleas in criminal cases would be greatly enlarged.”

Where the prosecutor is properly in attendance during the examination of witnesses, we find a significant lack of precedents concerning judicial review or control of his conduct of such examinations. The conclusion must be that the examination of witnesses before a grand jury has never been intended to be a matter of judicial control as in the examination of witnesses before a petit jury.

Nor does this constitute any surprising gap in the framework of our system of criminal justice. Beyond enforcing the requirements that the grand jurors be so drawn and *484impaneled as to be representative of the community from which they come (State ex rel. Murphy v. Superior Court (1914), 82 Wash. 284, 144 Pac. 32), and that they be given the opportunity to deliberate in secrecy and in freedom from any compulsion, we find very little control exercised over what goes on in the grand jury room. No case is known in which due process considerations have been applied to the procedures by which a grand jury reaches an indictment.

Judge Learned Hand gives the reason in these words,

“One purpose of the secrecy of the grand jury’s doings is to insure against this kind of judicial control. They are the voice of the community accusing its members, and the only protection from such accusation is in the conscience of that tribunal. Therefore, except in sporadic and ill-considered instances, the courts have never taken supervision over what evidence shall come before them, and, with certain not very well-defined exceptions, they remain what the Grand Assize originally was, and what the petit jury has ceased to be, an irresponsible utterance of the community at large, answerable only to the general body of citizens, from whom they come at random, and with whom they are again at once merged. A court shows no punctilious respect for the Constitution in regulating their conduct. We took the institution as we found it in our English inheritance, and he best serves the Constitution who most faithfully follows its historical significance, not he who by a verbal pedantry tries a priori to formulate its limitations and its extent. . . . ” In re Kittle, supra.

In conclusion, we would emphasize again that the grand jury makes accusations; that it does not determine guilt or innocence. The trial courts then take over, and it becomes the burden of the state to prove the guilt of the person indicted.

Were we in a jurisdiction in which a grand jury was mandatory, we would be compelled to hold that there had been no violation of the defendant’s right to a grand jury in the present case. If we assume, arguendo, that there are sufficient irregularities in the present case to require such a jurisdiction to quash the indictment, then, since there is no constitutional or statutory right to a grand jury *485in this state, we are unable to understand how such irregularities could be of prejudice to the appellant. We find no violation of appellant’s constitutional, statutory, or common-law rights in the present grand jury proceedings.

II. Motions for a Continuance and a Change of Venue.

A. Continuance:

The indictment was returned by the grand jury on July 12, 1957. The trial began five months, lacking ten days (December 2, 1957), later. The trial had originally been set for October 28, 1957, but was continued for more than a month on the representation that additional time was necessary for the appellant to prepare his defense.

There is no undue haste here, and no claim that there was not adequate time for the preparation of a defense. The appellant wanted further continuances on the ground that the inflammatory publicity concerning appellant had created an atmosphere in which it was impossible for him to obtain a fair trial.

The only statutory ground for a continuance is found in RCW 10.46.080, which has to do with the absence of material evidence, and it has no significance here. We have, however, reviewed orders denying a continuance on grounds similar to those urged here. See State v. Collins (1957), 50 Wn. (2d) 740, 743, 314 P. (2d) 660. In the Collins case we said that the granting of the requested continuance was discretionary with the trial court. We find no abuse of discretion here.

The appellant tries to apply the ex post facto test of the number on the jury panel who admitted prejudice. Appellant fails to make clear that all such prospective jurors were excused, and that thirteen jurors were selected and accepted by both sides within a very reasonable time. All of the fifty-five people who were examined on voir dire as prospective jurors had, of course, heard of the case either through television, radio, or the newspapers, but only nineteen were excused for prejudice.

*486It is-the law of this state that the fact that a prospective juror “has formed or expressed an opinion upon what he may have heard or read,” shall not disqualify him; and to excuse a prospective juror for “cause”

“. . . the court must be satisfied, from all the circumstances, that the juror cannot disregard such opinion and try the issue impartially.” RCW 4.44.190.

As Judge Geraghty said in State v. Patterson (1935), 183 Wash. 239, 245, 48 P. (2d) 193,

“. . . It is reasonable to suppose that it was difficult to select a panel of twelve men and women who had not heard or read about the case and formed some opinion or received some impression concerning the event. Under present-day conditions, to select a jury with minds free from some such tentative opinion or impression would be possible only by drawing the panel from hermits or illiterates, and even these would not be isolated from information conveyed by the radio.”

In that case, we held that the proper test to be applied to a prospective juror is not whether or not he has an opinion, but whether he can, notwithstanding an opinion, disregard it and render a fair and impartial verdict according to the evidence.

The record of the voir dire examination of those called as prospective jurors negates any contention that a continuance was necessary to insure the appellant a fair trial, and justifies the statement of Judge Malcolm Douglas (on November 26, 1957), in denying the motion for a continuance:

“ . . . I am not at all impressed with your contention that Dave Beck, Sr., cannot have a fair trial in this community at this time. I believe arguments such as these do poor credit to the intelligence and fairness of the high-calibered jurors that we have in this community, and I am satisfied from observing the trial of cases for many years here and observing the type and quality of jurors that we have had . . . that it is possible to find 12 jurors who can give a defendant, including this defendant, just as fair a trial in December as one could be found to give him in May. . .”

*487B. Change of Venue:

The appellant urges that it was prejudicial error to refuse his application for a change of venue to Snohomish or What-com county.

The procedure for a change of venue is set forth in RCW 10.25.070, which reads as follows:

“The defendant may show to the court, by affidavit, that he believes he cannot receive a fair trial in the county where the action is pending, owing to the prejudice of the judge, or to excitement or prejudice against the defendant in the county or some part thereof, and may thereupon demand to be tried in another county. The application shall not be granted on the ground of excitement or prejudice other than prejudice of the judge, unless the affidavit of the defendant be supported by other evidence, nor in any case unless the judge is satisfied the ground upon which the application is made does exist.”

To conform to the statutory requirement where the motion is based on “excitement or prejudice against the defendant,” the affidavit of the defendant must be “supported by other evidence,” and such a motion will not be granted “unless the judge is satisfied the ground on which the application is made does exist.”

The affidavit of the appellant was not supported by evh dence other than newspaper headlines and stories. The affidavit in support of the motion was based on an alleged belief that the hostility and prejudice against him was less extreme and less intense in the counties of Whatcom and Snohomish than it was in King county.

Appellant refers to this as an uncontroverted affidavit. The state could not well controvert what appellant believed.

The only case in which we have reversed a conviction for failure to grant a change of venue was State v. Hillman (1906), 42 Wash. 615, 85 Pac. 63. There, the affidavit set forth the content of inflammatory newspaper articles and alleged (p. 618):

“. . . that there was an organization known as the ‘Hillman Victim Association,’ composed of a large number of people, organized for the purpose of creating public sen*488timent against appellants, and particularly against appellant Hillman, which said association by means of public meetings and individual efforts, and by mailing postal cards reflecting upon the character of said Hillman, had done much to arouse prejudice against these appellants . . . ”

Also the opinion points out that (p. 618),

“ . . . There was one affidavit signed by something over thirty residents of King county, wherein the affiants stated that they had read the unfavorable comments in the newspapers, and had heard them discussed by large numbers of people; that said articles and discussion dealt with the innocence or guilt of the defendants, and that the same were most always unfavorable to defendants; that the comments caused by said publications had been so widely spread' that the public mind, in their opinion, was prejudiced to such an extent that a fair trial could not be had in the county; that they had heard of the organization formed for the purpose of harassing said Hillman in the courts, and elsewhere, and that the efforts of said association were reported to be very injurious to said Hillman.”

In the Hillman case we have allegations of fact, which, if not true, could have been controverted. Here we have only legal conclusions based upon information and belief, not capable of contravention.

Even where the alleged offenses have been accompanied by a great deal of public indignation and prejudice against the accused, the appellate court will not disturb a determination by the trial court that a change of venue should not be granted in the absence of a showing of a manifest abuse of discretion. State v. Guthrie (1936), 185 Wash. 464, 56 P. (2d) 160; State v. Schneider (1930), 158 Wash. 504, 291 Pac. 1093, 72 A. L. R. 571; State v. Schafer (1930), 156 Wash. 240, 286 Pac. 833; State v. Lindberg (1923), 125 Wash. 51, 215 Pac. 41; State v. Wright (1917), 97 Wash. 304, 166 Pac. 645; State v. Welty (1911), 65 Wash. 244, 118 Pac. 9.

■ In the Lindberg case, the accused was a director of a bank which had failed. It had a great many stockholders and many more depositors, and the failure was a matter of great public interest and concern. The court there said (p. 54),

“. . . This affidavit is uncontroverted and contains recitals from which it can be inferred that prejudice to some *489extent existed in certain parts of the county against the officers generally of the particular bank, and were the question one on which this court could exercise an independent judgment, we are free to say that it would be permissible to reach a conclusion different from that reached by the trial court. But the question is not one of the first instance in this court. By the express provisions of the statute (Rem. Comp. Stat. §§ 2018, 2019) [P. C. §§ 9397, 9398], the question is vested in the first instance in the discretion of the trial court, and we can review its ruling only for gross abuse. ...”

The court then used a long quotation from State v. Welty, supra, which has been repeated enough times to fill twenty pages of our reports. (We adopt it but do not repeat it.) Our conclusion in the Lindberg case was that we found nothing warranting a holding that the trial court grossly abused its discretion, and then said (p. 55),

“ . . . The purpose of a change of venue is to secure to the accused a trial before an impartial jury, and if the record does not disclose affirmatively that the accused did not have such a trial, it is very persuasive of the fact that the trial court did not err in denying the change. ...”

We find, in the present case, no abuse of discretion by the trial court in denying the motion for a change of venue; and this is bolstered by our conclusion, after having studied the entire record, that the defendant did, in fact, have a fair trial.

III. Right to Use of Grand Jury Transcript.

William F. Devin, one of the special deputy prosecuting attorneys before the grand jury, testified concerning certain statements made by the appellant in his testimony before the grand jury. Mr. Devin was testifying not from any document or transcript, but from his recollection of answers given by appellant.

The appellant urges that he was entitled to a transcript of his entire testimony before the grand jury to facilitate his cross-examination of Mr. Devin. He cites no authorities in support of such a proposition. He passes but lightly on the fact that the trial court did make available to appel*490lant’s attorneys that portion of appellant’s testimony before the grand jury which varied from Mr. Devin’s recollection thereof.

A defendant is not entitled, as a matter of right, to a copy of the transcript of his testimony before a grand jury; and the extent to which such a transcript will be made available to him is within the sound discretion of the trial court. State v. Ingels (1940), 4 Wn. (2d) 676, 104 P. (2d) 944; State v. Morrison (1933), 175 Wash. 656, 27 P. (2d) 1065. This is likewise the rule in the federal courts. Pittsburgh Plate Glass Co. v. United States (1959), 360 U. S. 395, 3 L. Ed. (2d) 1323, 79 S. Ct. 1237.

The appellant has cited cases such as Jencks v. United States (1957), 353 U. S. 657, 1 L. Ed. (2d) 1103, 77 S. Ct. 1007, and Powell v. Superior Court (1957), 48 Cal. (2d) 704, 312 P. (2d) 698, which have to do with the making available to a defendant the written statements by witnesses or confessions of the defendant in the possession of the prosecution.

The United States Supreme Court has recently (June 22, 1959) ruled that the Jencks decision does not encompass grand jury minutes. In Pittsburgh Plate Glass Co. v. United States, supra, the trial judge refused the defense the right to inspect grand jury testimony of a key government witness. The supreme court held that the determination of such an issue was committed to the sound discretion of the trial judge; and that the defendant was entitled to such a disclosure only where the ends of justice required setting aside the public policy of maintaining the secrecy of the grand jury proceedings. The burden is on the defendant to show a particularized need for it. United States v. Proctor & Gamble Co. (1958), 356 U. S. 677, 2 L. Ed. (2d) 1077, 78 S. Ct. 983.

We have recently explored the whole area covered by the Jencks case in State v. Thompson (1959), 54 Wn. (2d) 100, 338 P. (2d) 319, and concluded that it was a matter in the discretion of the trial court whose action will not be disturbed on appeal unless there is a manifest abuse of that discretion. We are convinced that the trial court prop*491erly exercised its discretion in allowing the defendant only limited access to the transcript of his testimony before the grand jury.

IV. The Propriety of the Prosecution's Conduct Toward Defense Witnesses.

The gist of four assignments of error is that the claimed prejudicial conduct of the prosecuting attorney toward appellant and his witness Marcella Guiry entitled him to a new trial. The claim is that in each instance “the prosecution attempted to influence the jury by improper tactics relating to the right against self-incrimination.”

We will consider the situations separately. The witness Marcella Guiry was the appellant’s secretary. Before the grand jury she had invoked the fifth amendment and declined to testify as to certain matters, but at the trial she did testify as to those matters.

She was asked, on cross-examination, if her answer to certain questions before the grand jury were the same as her answers in court. The appellant’s claim was that she either had to say “no,” or disclose the fact that she had invoked the fifth amendment, and that either would be prejudicial. She was never placed in that position because an objection was sustained to the question. Appellant urges, however, that the asking of the question was prejudicial error; and relies on State v. Emmanuel (1953), 42 Wn. (2d) 1, 253 P. (2d) 386, and State v. Carr (1930), 160 Wash. 83, 294 Pac. 1016. These were cases of persistent misconduct and are not applicable here. There was, here, no effort to pursue the matter further after the objection was sustained.

In such a situation as this, the judgment of the trial court in passing upon the motion for a new trial must be accorded great weight. The trial judge is able to observe any reaction of the jurors unfavorable to appellant by reason of misconduct of counsel, and is in a much better position than is this court to determine whether it has been prejudicial, Discargar v. Seattle (1948), 30 Wn. (2d) 461, 191 P. (2d) 870; State v. Van Luven (1945), 24 Wn. (2d) 241, 163 P. (2d) *492600; O’Neil v. Crampton (1943), 18 Wn. (2d) 579, 140 P. (2d) 308; Marlowe v. Patrick (1935), 181 Wash. 647, 44 P. (2d) 776. The trial court did not see any prejudicial, misconduct in the asking of the question to which an objection was ‘sustained; and we find no abuse of discretion in his refusal to grant a new trial in consequence of the claimed misconduct.

We turn now to the appellant’s contention, regarding his own examination. When he took the stand, he limited his testimony rather rigidly to matters concerning his official position with various labor organizations, such as the International Brotherhood of Teamsters, the Western Conference of Teamsters, and the Joint Council of Teamsters; the location of his offices in Washington, D. C., and Seattle; his employment of the accountancy firm of Friedman, Lobe & Block for his personal financial books and records. He did not testify with respect to the transaction, which was the basis of the indictment.

No objection was made during the appellant’s cross-examination, except that the matter inquired about was immaterial, irrelevant, and beyond the scope of the direct examination. (There is one exception concerning which we will make special reference.)

He testified, over objection, that Mrs. Marcella Guiry took care of his books so far as the B & B Investment Company was concerned; that he could not identify her handwriting on certain exhibits; that certain accounts seemed to be in connection with his business; that there was a sale of property with Callahan, but he did not recall the details; that he authorized the sale of a Cadillac, and the amount received was nineteen hundred dollars; that the money was deposited in the B & B Investment Company account.

All of which was entirely consistent with the appellant’s theory of the case.

Objections were sustained to questions as to whether he drove the 1952 Cadillac; when the final payment was made on the sale of the Beck-Callahan property; and whether appellant was in town when the proceeds of the sale were deposited in the B & B Investment Company account.

*493When the question of “who sold the car, do you know?” was asked, counsel for appellant asked that the jury be excused, and stated to the court in the absence of the jury,

“That question being outside the scope of the direct examination and having been .asked by Counsel, and since it is in effect a comment on the defendant’s failure to testify with respect to the car and violates his constitutional rights, I move for a mistrial.”

The motion was denied, and the objection sustained on the ground that it went beyond the scope of the direct examination.

Appellant urges that the rule is that the cross-examination of a defendant who takes the stand, is limited to subjects to which the defendant testified, and that examination beyond the scope of the direct examination, in such cases, constitutes a violation of the defendant’s right against self incrimination.

When a defendant takes the stand in his own behalf he is subject to the same rules on cross-examination as other witnesses. State v. Putzell (1952), 40 Wn. (2d) 174, 242 P. (2d) 180; State v. Jeane (1950), 35 Wn. (2d) 423, 213 P. (2d) 633; State v. Ternan (1949), 32 Wn. (2d) 584, 203 P. (2d) 342; and, if he opens up a subject on direct examination, he can be cross-examined thereon. State v. Johnson (1935), 180 Wash. 401, 40 P. (2d) 159; State v. DeGaston (1940), 5 Wn. (2d) 73, 104 P. (2d) 756.

The latitude to be allowed on cross-examination is within the sound discretion of the trial court. State v. Schneider, supra; State v. Jeane, supra. The trial court adequately protected the appellant.

The appellant is urging, as in the case of Mrs. Guiry, that, even though objections were sustained, the asking of the questions in itself constituted prejudicial error.

Appellant again relies on State v. Emmanuel, supra, together with State v. Carr, supra; but the circumstances which warranted reversal in those cases are readily distinguishable from those with which we are here concerned.

We fail to find any indication that appellant’s right against *494self-incrimination was violated, or that the court abused its discretion in its handling of his cross-examination.

V. Admission of State’s Exhibits Nos. 17 and 18.

The issues raised by the appellant’s objections to state’s exhibits Nos. 17 and 18 must be examined against the background of the circumstances, and the position of the state and the appellant with reference to them.

It is not disputed that the nineteen hundred dollars, which the appellant is charged with having embezzled, was deposited February 3, 1956, in a bank acount of which he was the sole owner, the account being in the name of the “B & B Investment Co.”

How this nineteen-hundred-dollar item was entered in the records of the “B & B Investment Co.” became the subject of controversy. The state insisted that the nineteen-hundred-dollar item was entered in the “B & B Investment Co.” records as the proceeds of the sale of Beck-Callahan property. This would support an inference of an intention to conceal the real source of the nineteen hundred dollars.

It is conceded that the “B & B Investment Co.” was disposing of real property known as the Beck-Callahan property, and $16,900 had been received by the “B & B Investment Co.” from that source in January of 1956.

The state’s evidence in support of its position was exhibit No. 17, a photostatic copy of a work sheet prepared in March, 1957, by Carl E, Houston, an accountant employed by the accounting firm which was preparing the appellant’s 1956 income tax return. Taking his information from the “B & B Investment Co.” ledger sheet or journal (a loose-leaf record) , he entered on his work sheet under, “Sales of real estate and other assets Beck/Callahan $16,900,00,” as part of the January, 1956, ...receipts and “Beck/Callahan $19,-000.00,” as part of the February receipts. He discovered his error as to the latter amount, and changed it to $1,900.00.

The defense was urging that Houston had made a mistake, and that the actual entry in the “B & B Investment Co.” ledger sheet or journal for February, 1956, was “Sale Cadillac Auto $1,900.00,” as shown by defendant’s exhibit No. *49522, .which the defense claimed to be the ledger sheet or journal from which Houston secured his information.

If Houston did make a mistake, it was not discovered until after he had testified before the grand jury, and his work sheet had been before that body and had been photo-stated. State’s exhibit No. 17 was the photostatic copy of that work sheet. The actual work sheet remained in the possession of the accounting firm until produced at the trial. At that time it appeared that the nineteen hundred dollar item had been moved from “Sales of real estate and other assets Beck/Callahan” to a new heading of “Sale of Auto.” With this change, the original work sheet was admitted as state’s exhibit No. 18.

Houston testified that it was as a result of the grand jury investigation that the accountants first discovered that the nineteen hundred dollar item came from the sale of an automobile. After his testimony before the grand jury, he did not again examine the “B & B Investment Co.” ledger sheet or journal until in August or September, 1957. On his reexamination he found the entry “Sale Cadillac Auto $1,-900.00,” as shown in defendant’s exhibit No. 22, and then made the change, to which we have referred, on state’s exhibit No. 18.

One can believe that Houston made a mistake in March, 1957, and that exhibit No. 22 is the original and only ledger sheet or journal; or he can believe that Houston copied correctly what he saw in March, 1957, and that Marcella Guiry prepared a new ledger or journal sheet and substituted it for the original after the grand jury investigation and before the trial. All entries on exhibit No. 22 are in her handwriting, and such a substitution would have been possible.

It must be remembered that the ledger sheet or journal of the “B & B Investment Co.” was a part of the books and records of the appellant, which the state could not subpoena or demand that he produce for the reason that it was beyond the power of the court to enforce the demand. State v. Morden (1915), 87 Wash. 465, 151 Pac. 832; State v. McCauley (1897), 17 Wash. 88, 49 Pac. 221. To make such a demand in the presence of the jury would be error warranting a *496reversal. State v. Jackson (1915), 83 Wash. 514, 145 Pac. 470.

We are satisfied that the state’s exhibits Nos. 17 and 18 were admissible as secondary evidence, and the best available to the state of what the appellant’s records showed as to the source of the nineteen hundred dollars. Hartzog v. United States (1954), (4th C. A.) 217 F. (2d) 706; Lisansky v. United States (1929), (4th C. A.) 31 F. (2d) 846, 67 A. L. R. 67. Its weight was for the jury.

The defense urged that when it offered the ledger or journal sheet (defendant’s exhibit No. 22), it was the best evidence, and secondary evidence was not admissible. That, of course, assumed the authenticity of exhibit No. 22. The state was not bound by, nor was the jury obliged to believe, Mrs. Guiry’s testimony that she had made the entry “Sale Cadillac Auto $1,900.00” in the first part of March, 1956; and that she had not seen the ledger or journal sheet in question since March, 1957, until she saw it in the court room. Unosawa v. Wright (1954), 44 Wn. (2d) 777, 270 P. (2d) 975.

Neither does Houston’s present opinion, that he made a mistake (based as it is on his assumption of the authenticity of exhibit No. 22), nullify the inference to be drawn from his original entry on his work sheet, which he believed to be correct at that time.

All of the evidence by both sides on the issue of how this nineteen hundred dollar item had been carried in the appellant’s records was before the jury. Whether or not Houston’s original entry on his work sheet was a correct one, or was an error, was for the jury. Burrill v. S. N. Wilcox Lbr. Co. (1887), 65 Mich. 571, 32 N. W. 824.

VI. Separation of the Jury.

The defendant invoked RCW 10.49.110, prohibiting the separation of jurors. He argues that the jurors were permitted to separate, and that prejudice to the defendant is conclusively presumed therefrom.

The specific instances referred to in plaintiff’s brief are four:

*4971. Juror No. 3 was observed talking with two nonjurors, a woman and an elderly man.

2. Juror Eleanor Eaken conversed with her husband.

3. On one visit by her husband to juror Eleanor Eaken, he was accompanied by their son.

4. Juror Frank Walton conversed with his wife.

In every instance, the claimed separation was no more than a communication with a nonjuror (wife, husband, or son of the juror) relative to family matters or the needs of the juror; it was, in each instance, in the presence of a bailiff, and there was no physical separation from the other jurors.

In our earlier decisions we placed a very narrow meaning on the word “separation.” In State v. Morden, supra, the state and the defendant had agreed that over a weekend the jurors in the charge of the bailiffs, might attend a church service and go to a theatre. On Sunday afternoon, eleven jurors, with one of the bailiffs, went to see a movie. The other juror, having (p. 475)

“ . . . conscientious scruples against attending places of amusement on Sunday, remained outside within the portico or porch of the theater building during that period. ...
“Affidavits of the juror and bailiff who remained outside the theater were produced to the effect that, during the period of separation, they had no conversation with any one. . . . ”

We held that this was a separation within the purview of the statute.

By 1918, we were questioning that interpretation; and in State v. Harris (1918), 99 Wash. 475, 477, 169 Pac. 971, we said,

“ . . . The statute making women eligible to jury service of itself necessitated, and was of itself, a change in the existing system relating to the separation of juries. In trials protracted over considerable periods of time, the rules of society, propriety, and common decency require that mixed juries be allowed to separate according to sexes at stated intervals during its progress.
“It may be questioned, moreover, whether the courts have not placed a too narrow construction on the word ‘separate’ *498as used in the statutes. The object and purpose of keeping them sequestered is, and has always been, to keep them from being influenced with reference to the matters given them in charge, by ulterior practices. This purpose is as well accomplished when the jury are kept singly under the charge of sworn officers of the court as it is when they are kept under like officers in a body.”

Later decisions have further deviated from the strict interpretation of the Morden case, and have permitted the physical separation of jurors in the custody of bailiffs, or under circumstances where no possible prejudice could result. State v. Hunter (1935), 183 Wash. 143, 48 P. (2d) 262; State v. Stratton (1933), 172 Wash. 378, 20 P. (2d) 596.

While conversations, such as occurred in this case at the open door of the jury dormitory and on one occasion on the street near the court house door as the jurors were going to dinner, should be avoided, they do not constitute a separation of the jury, but, rather, “Communication with or by jurors.” It was so categorized in State v. Rose (1953), 43 Wn. (2d) 553, 262 P. (2d) 194, where jury misconduct was discussed under three categories: (a) Entry of jury room by unauthorized person with a document for a juror; (b) Communications with or by jurors; (c) Separation of jury.

But, giving the appellant the benefit of the more rigid rules and the prima facie presumption of prejudice that follows upon a separation or upon a communication between a juror and a nonjuror, the burden is on the state to show that no prejudice actually resulted. State v. Rose, supra; State v. Smith (1953), 43 Wn. (2d) 307, 261 P. (2d) 109; State v. Amundsen (1950), 37 Wn. (2d) 356, 223 P. (2d) 1067, 21 A. L. R. (2d) 1082.

Here, the state did sustain that burden and established that every conversation between a juror and a nonjuror was in the presence of a bailiff, and that the subject matters of the conversations could not have been in any way prejudicial to the appellant. Under such circumstances, we will not disturb the order of the trial court in refusing to grant a new trial. State v. Smith, supra; State v. Carroll (1922), 119 Wash. 623, 206 Pac. 563; State v. White (1920), 113 Wash. 416, 194 Pac. 390.

*499VII. Deprivation of a Peremptory Challenge.

Appellant urges that Raymond Kraatz, contrary to his testimony on voir dire, was actually hostile to the Teamsters Union. The appellant was forced to use a peremptory challenge to keep Kraatz off of the jury.

Evidence of the prospective juror’s claimed duplicity was brought to the attention of the trial court for the first time in the motion for a new trial. It is the appellant’s contention that had the juror’s true attitude been known to the court during the voir dire examination of Kraatz, he would have been excused for cause; and appellant would have thus been saved a peremptory challenge.

The purpose of the voir dire examination is to enable the parties to learn the state of mind of the prospective juror, and to demonstrate, if possible, that the prospective juror is subject to a challenge for cause. The appellant does not contend that any basis was developed for a challenge for cause in the examination of Kraatz.

Had Kraatz served on the jury, and had it developed that the appellant had been deceived by his false answers to questions on voir dire, an entirely different question would be presented; but, even were that the claimed situation, the bias of the juror would have to be established by something more reliable than hearsay affidavits. Casey v. Williams (1955), 47 Wn. (2d) 255, 287 P. (2d) 343; State v. Maxfield (1955), 46 Wn. (2d) 822, 285 P. (2d) 887; State v. Patterson, supra; State v. Dalton (1930), 158 Wash. 144, 290 Pac. 989; State v. Simmons (1909), 52 Wash. 132, 100 Pac. 269; State v. Wilson (1906), 42 Wash. 56, 84 Pac. 409.

Here, Kraatz did not deceive the appellant; he was, in fact, excused. That, after all, is what peremptory challenges are for. The purpose of such challenges is to get off of the jury the person whose bias a party knows or suspects but can’t establish on his voir dire examination. If we assume the bias of Kraatz, it would be a new development in the field of criminal law to hold that a defendant, who had used all of his peremptory challenges, was entitled to a.new trial if he eoüld show, at some time before the motion for a new *500trial was argued, that one of the prospective jurors (excused by a peremptory challenge) had an actual bias.

Appellant has presented no authority for such a holding, and we are satisfied there is none.

VIII. There Was Insufficient Evidence to Convict.

The statute under which this prosecution is brought Is as follows:

“Every person who, with intent to deprive or defraud the owner thereof—
"...
“(3) Having any property in his possession, custody or control, as bailee, . . . agent, . . . trustee, . . . or officer of any . . . association or corporation, . . . shall secrete, withhold or appropriate the same to his own use . . .
"...
“Steals such property and shall be guilty of larceny.” RCW 9.54.010.

It is appellant’s contention that, at most, the state’s case showed receipt by him of the nineteen hundred dollars from the sale of the car, and a failure to account therefor; and, since the intent to appropriate the money and deprive the owner of it was not established, there was not sufficient evidence to prove embezzlement.

A similar contention was made in State v. Campbell (1918), 99 Wash. 502, 169 Pac. 968, where the prosecution was under the same statute. A syllabus in that case states the facts and applicable rule concisely:

“. . . In a prosecution ..for the embezzlement of the proceeds of a note and mortgage delivered to the accused for the purpose of collection, intent to deprive the owner of the property is sufficiently established by the fact that accused sold the note and mortgage to a third person and converted the proceeds to his own use.”

The following quotation from the opinion amplifies the reasoning summarized in the syllabus (pp. 504, 505):

“It is next urged that there was no direct and specific evidence tending to prove an intent on the part of appellant to deprive Mrs. Fuchs of her property. No instrument has yet been invented by means of which the inner workings *501of the human mind may be revealed; hence criminal intent, in the vast majority of cases, is not capable of direct and positive proof. In the absence of an express declaration thereof, a criminal purpose can only be established as an inference from action and conduct — the external manifestations of design. Since, in embezzlement, the necessary effect of the wrongful conversion is to deprive the owner of his property, the act of appropriation gives rise to the inference that the perpetrator intended the inevitable result of his conduct. In this case, the intent to defraud was evidenced by the act of the appellant in selling the note and mortgage to a third person and converting the proceeds to his own use or to the use of Colin Campbell Security Company, instead of faithfully executing his trust by collecting the amount secured by the mortgage and accounting therefor to Mrs. Fuchs. . . . ”

A stronger case for the appellant-defendant was made in State v. Jakubowski (1913), 77 Wash. 78, 87, 137 Pac. 448, where we said,

. . . In our statement of the case, we have detailed every salient feature of the evidence, and while it appears to this court as persuasively negativing a criminal intention on the appellant’s part, its weight and the credibility of the appellant and his witnesses were for the jury. As we have seen, there was adduced by the state competent evidence tending to prove every element of the crime as charged. The trial court denied the appellant’s motion in arrest of judgment and refused to grant a new trial upon conflicting evidence. In such a case, whatever our own opinion as to the weight or preponderance of the evidence, we cannot reverse the action of both the trial court and the jury. To do so would be to invade the province of both. It would be to substitute our judgment for that of the jury as to a question of fact upon conflicting evidence, and our discretion for that reposed by statute in the trial court.
“ ‘This court has heretofore announced that it will not disturb verdicts of this character, on the ground of alleged insufficiency of evidence, where there is evidence to support the verdict, although it may not be of the most convincing kind. Both the jury and the trial court have the opportunity to hear and see the several witnesses, to note their manner as to apparent candor and truthfulness, and are therefore better prepared to pass upon the credibility of their testimony than is this court with only a bare record of the words spoken by the witnesses. The weight of the evidence having *502been first passed upon by the jury, and next by the trial judge in denying the motion for new trial, we shall not undertake to say that they were wrong.’ State v. Ripley, 32 Wash. 182, 72 Pac. 1036.”

See, also, State v. Dudman (1922), 119 Wash. 522, 205 Pac. 848.

The court instructed the jury (and no error has been assigned to the instruction):

“I instruct you that the intent to deprive or defraud, which is one of the elements of the offense of grand larceny, as charged in the Indictment in this case, must be proved by competent evidence beyond a reasonable doubt. However, it need not be proved by direct and positive evidence, but the existence of such intent may be inferred from the acts of the parties and the facts and circumstances surrounding them.” Instruction No. 5.

It is unnecessary to again review the evidence in this case, nor is it our responsibility to weigh it. There was no doubt in the mind of the trial court, nor is their in ours, that the jury was entitled to infer the intent to deprive the Western Conference of Teamsters of the nineteen hundred dollars from the acts (which includes failure to act) of the appellant.

The evidence shows that the appellant knew as early as February, 1956, that the nineteen hundred dollars had been deposited in his bank account; that more than a year later it had not been paid over to the owner. The only semblance of an explanation came in the state’s case, through the testimony of William F. Devin, as to statements made by the appellant before the grand jury, i.e., that not knowing to whom the car belonged, he had given nineteen hundred dollars in cash to Fred Verschueren, Jr., with instructions to apply it to the proper account. The jury was not obligated to believe that explanation.

The appellant was clearly confronted with a prima facie case, and the defense presented did no more than suggest possibilities of what appellant might have done or might have intended to do with the nineteen hundred dollars, by way of explanation of why it had not been paid over to.its rightful owner.

*503There is no merit in the assignments of error raising the issue of the insufficiency of the evidence to sustain the verdict.

IX. Misconduct of the Deputy Prosecuting Attorney in Argument to the Jury.

Two statements made by the deputy prosecuting attorney, in the course of rebuttal argument, are urged as error.

The one of which appellant makes the most bitter complaint is (p. 1332),

“But now we get down to the point where everything is deadly serious. You have a tremendous responsibility. Counsel refers to all of this terrible publicity. It is true. The eyes of the entire world probably are upon you right now and the evidence that has been presented here against this, defendant has been widespread. There is no question about that. You should return a proper verdict, that is your responsibility. You are the ones that are going to have to look at yourselves the rest of your lives. You are the ones that are going to have to be with your neighbors and friends and hold your head up high and say, T did what my heart and mind told me.’ You are not to be influenced at all'by any sympathy or prejudice. Nothing at all can be considered by you except the evidence from this witness stand.”

The appellant says that the purpose of that statement was to remind the jury of the great amount of adverse publicity against him, and to remind them that they ought to take into account the public clamor and its desire that the appellant be convicted; and, further, to remind them that if they returned a verdict of not guilty, they would be held up to public disfavor and ridicule.

We do not so interpret the statement by the deputy prosecuting attorney. Comment on the matter of publicity was invited by the emphasis that appellant’s counsel placed on it in his argument in such statements as (p. 1266),

“ . . . the rumors and the gossip and the frenzied, insane propaganda that could have been created only by somebody with the insanity of a Goebels. . . . ”

and,

“. . . the tremendous amount of unfavorable publicity that has been circulated about Mr. Beck, almost to *504the point of saturation of the public press and the radio and the newspapers, repeated and repeated and repeated; the Nazi system.”

Even in the portion of the argument objected to, the deputy prosecuting attorney tells the jury,

“ . . . You are not to be influenced at all by any sympathy or prejudice. Nothing at all can be considered by you except the evidence from this witness stand.”

The other statement of the deputy prosecuting attorney, concerning which complaint is made, has to be placed in context to be understood.

Appellant’s counsel had been at some pains to explain to the jury why he did not call Fred Verschueren, Jr., as a witness. (Verschueren, Jr. was the person to whom appellant supposedly had given the nineteen hundred dollars to turn over to the owner of the 1952 Cadillac.) Commenting on counsel’s explanation, the deputy prosecuting attorney said (p. 1316),

“He tells us that he wants to protect Mr. Verschueren, Jr. Mr. Verschueren, Jr., you will recall, testified before the grand jury. There was testimony to that effect here. Mr. Beck testified before the grand jury and the grand jury wasn't made up of four ogres who were breathing down the neck of anybody. It was made up of seventeen people just like you, seventeen citizens selected to sit on that grand jury and seventeen people after they heard the testimony of Mr. Regal and Mr. Verschueren, Jr. returned an indictment and that is what you are trying here today.
“Now the question is, in Mr. Burdell’s strategy, should he take Mr. Beck and put him on the stand and have him explain this which he didn’t do and could he bring Mr. Verschueren, Jr. in to have'him explain this which he didn’t do, because he felt most likely, we can assume he felt this way, if I do that, I really am sunk, so what I have to do is to try to talk the jury into assuming things from these little bits of evidence that I can bring in with witnesses of some stature in the community.” (This is taken from the statement of facts. Italics are ours.)

Appellant complains of the italicized portion. (As quoted in appellant’s brief, Mr. Regal is changed to Mr. Beck in the next to the last line of the italicized portion; and we *505will assume, for present purposes, the change to be correct.) Appellant urges that the italicized portion of the argument throws the weight and prestige of the grand jury into the scale against him. Read in context, as an answer to the appellant’s explanation for not calling Fred Yerschueren, Jr. as a witness, it is a proper response. We have consistently held statements of a prosecuting attorney, which would ordinarily be improper, will not be regarded as prejudicial error where they are in answer to and are invited by the argument made by defense counsel. State v. Collins, supra; State v. Taylor (1955), 47 Wn. (2d) 213, 287 P. (2d) 298; State v. Harold (1954), 45 Wn. (2d) 505, 275 P. (2d) 895; State v. Van Luven, supra; State v. Wright, supra.

Appellant does not argue, under this division of his brief, his other claim of misconduct of counsel: that the prosecutor, by an illustration used in argument (i.e., that one who stole a bracelet before a court room full of people was entitled to the presumption of innocence if he went to trial), destroyed any effect of the presumption of innocence, and thereby denied him the benefit of that presumption.

We do not agree. Prosecutors have been using similar illustrations for many years, but it has never before been urged as a denial of due process.

Appellant argues this in his division X, but we have placed it with other claimed misconduct of counsel.

X. Instructions Given and Refused:

Up to this point, we have accepted, in substance, the headings which the appellant has given to the divisions in his brief. Appellant’s heading for division X, however, is, in effect, Denial of Due Process. He reargues briefly the errors already urged with reference to the grand jury proceeding, and asserts that the accumulative effect of the many errors constitutes a denial of due process. Having found no prejudicial error in divisions I to IX, we are not impressed with their cumulative effect.

We will, therefore, cover only the matters not heretofore urged. Appellant assigned error to instructions Nos. 2, 3,14, and 16, but argues only as to Nos. 3 and 16. Appellant *506assigned errors to the failure to give his requested instructions Nos. 10, 14, and 38.

It is urged that the trial court should not have given instruction No. 3, because it merely emphasized the most favorable aspects for the state — already adequately stated in instruction No. 2.

Instruction No. 2 was the comprehensive statement of all of the elements of the offense which the state must prove before the jury could convict.

Instruction No. 3 is a definition of the crime of grand larceny by embezzlement, substantially in the words of the statute. RCW 9.54.010(3); RCW 9.54.090(6).

Under the facts of this case it was not error to instruct in the language of the statute. State v. Sedam (1955), 46 Wn. (2d) 725, 284 P. (2d) 292; State v. Bixby (1947), 27 Wn. (2d) 144, 168, 177 P. (2d) 689; State v. Verbon (1932), 167 Wash. 140, 8 P. (2d) 1083.

Appellant points out no error in instruction No. 16 on presumption of innocence and reasonable doubt, but urges that his instruction No. 10 on that subject was preferable, particularly in view of the argument of the deputy prosecutor on the presumption of innocence. (The trial court had no way of knowing when the instructions were given what the deputy prosecutor’s argument would be.)

The trial court’s instruction was a proper statement of the law, and seems preferable to us to the much longer and more argumentive instruction proposed by the appellant. It certainly was not error to refuse a requested instruction where the principle of law stated therein was adequately covered by the instruction given. State v. Myers (1959), 53 Wn. (2d) 446, 334 P. (2d) 536, and numerous cases therein cited.

It is urged that, since the trial court gave instruction No. 3 (the statutory definition of grand larceny by embezzlement) , it should have given appellant’s proposed instruction No. 14 to the effect that the defendant could not be guilty unless there was a “definite intent to take the proceeds [of the sale of the Cadillac] from the Western Conference of Teamsters and deprive it of the money.”

*507The element of intent was stated in instruction No. 2, and emphasized and re-emphasized in instructions Nos. 5, 7, and 9.

The jury was more than adequately instructed on the necessity of intent, and the trial court did not err in refusing to give appellant’s proposed instruction No. 14. State v. Myers, supra.

Appellant’s proposed instruction No. 38, after stating the presumption of innocence, said,

“This must especially be kept in mind when any person has received unfavorable nation-wide publicity in nonjudicial proceedings which have the tendency to be one-sided because the party involved has no opportunity to make any adequate defense.”

In his brief, appellant says,

“Finally, the failure of the court to grant appellant’s instruction No. 38 . . . was certainly error in view of the fact no other instruction of the court told the jury to disregard the unprecedented publicity.”

No authority is cited, and there is no argument beyond the statement quoted from the brief. One could not refer to this as a slanted instruction, because it is practically perpendicular. There was no evidence in the case to which the instruction applied. The matter of unprecedented publicity was, as we have seen, injected into the case by appellant’s counsel in argument to the jury. The trial court properly refused to give such an instruction. State v. Hart (1946), 26 Wn. (2d) 776, 175 P. (2d) 944; State v. Powell (1927), 142 Wash. 463, 253 Pac. 645.

The length of the record (2,400 pages), and the number and novelty of many of the issues raised on the appeal, has unduly delayed the determination of this nineteen hundred dollar grand-larceny-by-embezzlement case.

We find ample evidence to sustain the verdict and no prejudicial error in the record. The judgment appealed from should be affirmed.

Weaver, C. J., Mallery, and Ott, JJ., concur.