Defendant was convicted, following a jury trial, of four counts of first-degree criminal sexual conduct, MCL 750.520b(l)(a); MSA28.788(2)(l)(a), and two counts of child sexually abusive activity, MCL 750.145c(2); MSA 28.342a(2). He was sentenced to concurrent terms of eighteen to thirty years for each criminal sexual conduct conviction and seven to twenty years for each child sexually abusive activity conviction. He now appeals and we affirm.
Defendant first argues that he could not be convicted of criminal sexual conduct because of the age of the victims and the nature of the conduct. We disagree. Defendant’s convictions arise out of the videotaping of a three-year-old female victim who was forced to perform fellatio on her one-year-old male cousin. Defendant was seventeen at the time of the offense and there were four other individuals involved, two aged sixteen, one aged fifteen, and one aged twenty.1 Defendant argues that he could only be considered an aider and abettor to the two children, because they were the only ones engaged in sexual activity, and because they are under seven, neither could be a principal. Absent a guilty principal, defendant argues, he cannot be guilty as an aider and abettor.
*303The inherent flaw in defendant’s argument is that one of the children, presumably the three-year-old girl, would have to be considered a principal and that defendant’s guilt must arise, if at all, as an accessory to that principal. In fact, defendant is guilty as a principal. Under MCL 750.520b(l)(a); MSA 28.788 (2)(l)(a), a person is guilty of first-degree criminal sexual conduct if the person engages in sexual penetration with another person and the victim is under the age of thirteen. Defendant did so here, namely, by causing the three-year-old girl to perform fellatio on the one-year-old boy. Where a defendant uses another person to accomplish a crime on his behalf, he is guilty as a principal:
If D coerces X to commit a theft by threatening Xs life, X will be acquitted of larceny on the ground of duress. Today, and according to common law principles, D may be convicted of larceny. X was D’s innocent instrumentality. Therefore, at common law, D was the principal in the first degree of the offense. Conceptually, D’s guilt is not founded on accomplice-liability principles. Instead, D is directly liable for committing the crime through the instrumentality; D’s guilt is not derived from another culpable person. Xs acquittal, therefore, presents no bar to the conviction of the only culpable party. [Dressier, Understanding Criminal Law, 2d ed, § 30.06(B)(1), p 446.]
Likewise in the case at bar, defendant’s culpability is direct, not derivative. His guilt is not dependent, as the dissent argues, on whether the minor child can be considered criminally culpable. Rather, each child is merely the instrumentality by which defendant was able to achieve a sexual penetration (fellatio).
Indeed, Professor Dressier gives a specific example involving rape:
*304Suppose that a culpable secondary party assists a primary party to commit a wrongful act, but the primary actor is acquitted because he lacked the requisite mens rea. For example, consider Regina v Cogan and Leak [(1976) 1 QB 217]. Leak convinced Cogan to have sexual intercourse with Leak’s wife by falsely telling him that she would agree to the intercourse. In fact, Leak compelled his wife to submit to Cogan. Cogan was acquitted of rape on the basis of the Morgan [Regina v Morgan, (1976) AC 182; 2 All E R 347] principle that his unreasonable mistake of fact regarding the wife’s consent negated the mens rea of the offense.
In light of Cogan’s acquittal, was Leak guilty of rape? The court answered the question affirmatively, providing two alternative theories. First, since Leak caused Cogan to misunderstand the attendant circumstances, Cogan was Leak’s innocent instrumentality. Thus, Leak was the principal in the first degree who used Cogan’s “body as the instrument for the necessary physical act.” [Dressier, supra, § 30.06(B)(3)(a), p 447.]
Again, this principle applies equally to the case at bar. Defendant is not guilty because he aided and abetted one child in committing a sexual penetration with the other, but as a principal for using one child as the instrumentality to perform a sexual penetration with the other. The fact that the children, due to their age, lack mens rea is of no moment to the case at hand.2
Defendant next argues that he could not be charged with the crime of child sexually abusive activity because he lacked the intent to produce and distribute the videotape as required by the statute. We disagree.
*305The statute under which defendant was convicted provides in pertinent part:
A person who persuades, induces, entices, coerces, causes, or knowingly allows a child to engage in a child sexually abusive activity for the purpose of producing any child sexually abusive material ... is guilty of a felony. [MCL 750.145c(2); MSA 28.342a(2).]
In order to determine whether defendant’s actions fit within this definition, we must determine the meaning of the word “produce” as used in the statute. Unless defined in the statute, every word or phrase therein should be accorded its plain and ordinary meaning, taking into account the context in which the words are used. MCL 8.3a; MSA 2.212(1), People v Lee, 447 Mich 552, 557-558; 526 NW2d 882 (1994). Although the statute here is unambiguous, and thus does not require interpretation, it is nonetheless proper to consult dictionary definitions to ascertain the meaning of words used in the statute. Id. The Random House College Dictionary, Revised Edition (1984), p 1056, defines “produce” as “to bring into existence,” or “to create.”
Here, it is undisputed, indeed defendant admits, that a videotape of the children performing acts of a sexual nature was created. Accordingly, any argument that defendant did not “produce” child sexually abusive material is wholly without merit.
Further, such a holding is not contrary to the intent of the Legislature. We find no requirement within the statute that defendant must intend to distribute the material in order to be convicted of this crime. To the contrary, the Legislature enacted this statute, in part, to protect children. See People v Ward, 206 Mich App *30638, 42-43; 520 NW2d 363 (1994). Thus, convictions for the mere production of this type of material fit well within the intent of the Legislature. Accordingly, we conclude that defendant was properly charged with these crimes.
Defendant next argues that his double jeopardy rights were violated with his two convictions for child sexually abusive activity when only one videotape of the two children existed. We disagree.
To determine what constitutes a single crime or offense under the statute, we must again examine legislative intent. People v Wakeford, 418 Mich 95, 107-108; 341 NW2d 68 (1983). The first place this Court searches to determine that intent is the specific language of the statute, and we will not speculate regarding probable intent when the statute is clear. Lorencz v Ford Motor Co, 439 Mich 370, 376; 483 NW2d 844 (1992).
The portion of the statute under which defendant was charged and convicted provides that a person commits a felony when, inter alia, he induces “a child” to engage in “child sexually abusive activities.” MCL 750.145c(2); MSA 28.342a(2). We find this language to clearly provide that a felony has been committed when a person induces one child to perform prohibited acts. Because it is undisputed that two children were involved in this case, we conclude defendant was properly charged with and convicted of two counts of this crime.
This Court’s opinion in People v Smith, 205 Mich App 69; 517 NW2d 255 (1994), aff’d 450 Mich 349; 537 NW2d 857 (1995), does not compel a different result. In Smith, this Court determined that the defendant could only be convicted once for multiple photo*307graphs taken of the same victim at one time. Here, however, we are dealing with multiple acts committed against two victims. Accordingly, this Court’s opinion in Smith does not govern the outcome of this case.
We conclude that defendant’s rights against double jeopardy were not violated.
Defendant next argues that the trial court erred in refusing to give requested instructions on the lesser offenses of gross indecency and criminal sexual conduct in the second degree. We disagree. Turning first to the issue of an instruction on gross indecency, gross indecency and criminal sexual conduct are cognate offenses inasmuch as they share some elements, but the lesser offense has additional elements not found in the greater offense. People v Hendricks, 446 Mich 435, 443; 521 NW2d 546 (1994). However, defendant is entitled to an instruction on gross indecency only if it has an “inherent relationship” to first-degree criminal sexual conduct. Id. at 444. This “inherent relationship” is established if there is a common purpose between the statutes that protect the same societal interest. Id. at 445.
We are not persuaded that there is an inherent relationship between gross indecency and criminal sexual conduct. While both obviously involve sex offenses, they protect different societal interests. The focus of the criminal sexual conduct statute is the prevention of sexual assaults. Ward, supra at 42. Gross indecency, on the other hand, punishes sexual conduct that society considers indecent and improper. See People v Jones, 75 Mich App 261, 272; 254 NW2d 863 (1977). Indeed, gross indecency does not require an assault, and may even occur between consenting par*308ticipants. See, e.g., People v Lino, 447 Mich 567; 527 NW2d 434 (1994). Because these statutes address different purposes, there is no inherent relationship between the two. Accordingly, the trial court properly declined to give an instruction regarding gross indecency.
Defendant also argues that he was entitled to an instruction on second-degree criminal sexual conduct, also a cognate lesser-included offense of first-degree criminal sexual conduct. However, there was no evidence presented of a sexual contact for a sexual purpose, a necessary element of second-degree criminal sexual conduct, but not first-degree criminal sexual conduct. Accordingly, the trial court was not obligated to give an instruction on second-degree criminal sexual conduct.
Defendant next argues that the trial court erred in admitting the videotape that forms the basis of the child sexually abusive activity convictions because an inadequate foundation to admit the evidence existed. We disagree.
We review a trial court’s decision to admit or deny evidence for an abuse of discretion. People v McMillan, 213 Mich App 134, 137; 539 NW2d 553 (1995). Our Supreme Court has determined that whether the proper foundation has been laid to admit evidence must be determined in light of MRE 901. People v Berkey, 437 Mich 40, 50; 467 NW2d 6 (1991). That rule of evidence provides:
The requirement of authentication or identification as a condition precedent to admissibility is satisfied by evidence sufficient to support a finding that the matter in question is what its proponent claims. [MRE 901(a).]
*309Although defendant recognizes that this rule generally applies to the authentication of evidence, he claims that because the videotape here formed the basis of his convictions of child sexually abusive activity, it was incumbent on the prosecutor to prove not merely that the videotape depicted what was claimed, but rather that what is depicted on the tape actually occurred on the date in question. In other words, defendant argues that different standards of authentication are required depending on the importance of the evidence.
An examination of the rules of evidence and case law reveals no support for defendant’s position. First, nowhere in the language of MRE 901 can we discern a limitation to its applicability depending on the importance of the evidence. Further, in Berkey, supra, our Supreme Court held the rule applicable to the admission of audio tapes that made up the only demonstrative evidence to indicate that the defendant committed the crime. The evidence was obviously critical in obtaining a conviction against the defendant. Also, in People v White, 208 Mich App 126; 527 NW2d 34 (1994), this Court applied the rule to test the authenticity of the cocaine the defendant was accused of possessing. Like the videotape here, the cocaine in White formed the basis of the defendant’s conviction. Accordingly, we reject defendant’s assertion that a different rule of authenticity applies to the videotape.
Thus, we must determine whether the videotape was properly admitted under MRE 901. We must also determine whether some other evidentiary bar to the evidence exists. Berkey, supra at 53. On the basis of *310the record below, we conclude that the tape was properly authenticated and admitted.
The mother of the female victim testified that she knew that defendant and his friends were videotaping on the day in question, that she watched the video twice on that day and at least once after it was repaired by the police, that she observed the tape being broken, and that she brought that tape to the authorities. She testified that she recognized various events on the tape that she observed during the day in question. She also stated that other than small differences in the two versions of the tape, they were essentially the same.
In addition, Chip Kinzler testified that he was present on the day the videotaping occurred, that he could identify portions of the videotape from his own personal knowledge, and that the video reflected events he saw on the day in question.
On the basis of this evidence, we conclude that the trial court did not abuse its discretion in finding the videotape to be properly authenticated as required by MRE 901.
We also conclude that no other evidentiary rule bars the admission of the videotape. We do not agree with defendant that his due process rights were violated because of an alleged ambiguity regarding whether one or two instances of child sexually abusive activity occurred. Contrary to defendant’s argument in his appellate brief, his two convictions of child sexually abusive activity arose out of the fact that two victims existed, not out of the fact that two separate instances were alleged.3 Accordingly, even if *311the ambiguity existed, it would not have affected the number of his convictions.
We next address defendant’s argument that the trial court erred in denying defendant’s request for a change of venue where prejudicial pretrial publicity existed. We find no error in the trial court’s ruling.
We review a trial court’s determination whether to grant a request for a change of venue for an abuse of discretion. People v Passeno, 195 Mich App 91, 98; 489 NW2d 152 (1992). In order to justify a change of venue, it is not enough for a defendant to merely demonstrate that pretrial publicity existed. Id. Rather, defendant has the burden of proving either (1) strong community feelings against him and that the publicity is so extensive that jurors could not remain impartial when exposed to it or (2) that the jury was actually prejudiced or the atmosphere surrounding the trial was such as would create a probability of prejudice. Id. Further, if a juror states that she has formed an opinion from media coverage, but swears she can set that opinion aside and try the case impartially, and the trial court is satisfied, then the juror is competent to try the case. Id. at 98-99.
Here, we find no error in the trial court’s ruling. First, all the jurors who stated that they had seen some of the pretrial publicity also stated that they could hear the case impartially on the basis of the facts presented. Second, we conclude that defendant failed to carry his burden that the pretrial publicity was so extensive or biased against him that the jurors could not remain impartial. See People v Lee, 212 Mich App 228, 253; 537 NW2d 233 (1995). We find further support for this conclusion from the fact that defendant’s trial counsel indicated satisfaction with *312the jury panel at the close of the jury selection proceedings.
Accordingly, we find that the trial court did not abuse its discretion in denying defendant’s motion.
Defendant next argues that because of the pretrial publicity and the potential of a biased jury, the trial court also erred in failing to grant defendant’s request for a waiver of jury trial over the prosecutor’s objection. MCL 763.3(1); MSA 28.856(1); MCR 6.401. Because we have already concluded that defendant’s jury was not biased, we find no error in the trial court’s ruling.
Finally, we consider defendant’s argument that the sentencing guidelines were erroneously scored. Defendant challenges the scoring of Offense Variables (ov) 2, 5, 9, and 13. The total score on the offense variables was eighty, which exceeds the fifty points necessary to achieve the highest offense severity level by thirty points. Thus, any corrections to the offense variable scoring must exceed thirty points for the corrections to be meaningful. That can be achieved only if we agree that ov 2 was misscored as well as either ov 5 or ov 9.4
We will uphold the trial court’s scoring of the guidelines if there is evidence to support it. People v Hernandez, 443 Mich 1, 16; 503 NW2d 629 (1993). Because the scoring of ov 2 is an admittedly close question, we will first consider whether either ov 5 or ov 9 should be rescored. If neither need to be *313rescored, then we need not consider OV 2. Ov 5 was scored at fifteen points, which is appropriate under the guidelines’ instructions where the victim “was moved to another place of greater danger or to a situation of greater danger, or was held captive significantly beyond that which was necessary to commit the offense.” The trial court upheld this scoring on the basis of testimony that the children were moved to a different area of the house, a bedroom, and away from the girl’s mother. The mother testified that she could not see into the bedroom and did know what was happening in the bedroom. The trial court could conclude from that testimony that the victims were in greater danger by being removed from the presence of the girl’s mother. Accordingly, there was evidence to support the trial court’s scoring of ov 5.
Ten points may be scored for ov 9 where the defendant is the leader in a multiple offender situation. Although this was clearly a multiple offender situation, defendant argues that the evidence did not clearly establish that he was the leader. In upholding the scoring on this variable, the trial court pointed to defendant’s conduct and comments on the videotape of the events. Additionally, the evidence established that defendant brought the male victim into the bedroom before the first incident and both victims into the room before the second incident. There was also testimony that it was defendant who forced the female victim’s head between the male victim’s legs, as well as it being defendant who held both victims during a separate incident. It was also defendant who encouraged the children during each of the two episodes in question and it was defendant who called the others into the bedroom before the second episode. *314In short, there was evidence to support the trial court’s scoring on ov 9.
Because the scoring of ov 5 and ov 9 was justified, those scores, along with the uncontested scores for ov 6 and ov 7, yield fifty points, placing defendant at the highest offense severity level, Level IV. Accordingly, we need not consider whether ov 2 and ov 13 were correctly scored because it would not affect the recommendations of the guidelines. See People v Johnson, 202 Mich App 281, 290; 508 NW2d 509 (1993).
Affirmed.
There was also another sixteen-year-old present at the time, but he was not charged.
We do not disagree with the dissent’s position that a child under seven years of age is incapable of criminal culpability. See Burhans v Witbeck, 375 Mich 253, 255; 134 NW2d 225 (1965). Rather, unlike the dissent, we do not find it necessary for the victims here to be capable of criminal culpability as a predicate to defendant’s own criminal culpability. That is, defendant is a principal, not an aider and abettor.
Defendant admitted at trial that at least one of the instances occurred.
Whether ov 13 was correctly scored is immaterial. Reducing the scores of ov 5, ov 9, and ov 13 all to zero would not change the recommendations of the guidelines, nor would reducing ov 2 and ov 13 to zero. It is only by reducing both ov 2 and ov 5 to zero or by reducing both ov 2 and ov 9 to zero that the guidelines are affected.