Burch v. State

WILNER, Judge.

In the early morning hours of March 19, 1995, appellant broke into the home of Robert and Cleo Davis, an elderly couple in their 70’s, for the purpose of stealing property that he could eventually sell in order to buy cocaine. When confronted by the Davises, he savagely attacked them and then stole some guns, some money, and Mr. Davis’s truck. Mr. and Mrs. Davis died as a result of the injuries inflicted by appellant.

A jury in the Circuit Court for Prince George’s County found appellant guilty of multiple offenses, including, as to each of the victims, premeditated first degree murder and three counts of felony murder, based, respectively, on the underlying felonies of burglary, robbery, and robbery with a deadly weapon. The same jury then decided that his sentence should be death, whereupon the court imposed two death sentences—one with respect to each victim. Appellant does not deny that he broke into the Davis home and killed Mr. and Mrs. Davis. He does, however, present 12 reasons why we should reverse his convictions and sentence. We find partial merit in one of his complaints and, as a result, shall vacate one of the two death sentences he received. Otherwise, we shall affirm.

I. UNDERLYING FACTS

The crimes were discovered by Franklin Weaver, a family friend of the Davises, who went to their home around noon on March 20 and found the front door ajar. Upon entering, he saw Mrs. Davis lying on the living room couch, with blood spattered all over her and on the floor. On the couch also was a bloody telephone receiver. Mrs. Davis was alive and asked for water. Weaver got some water from the refrigerator, noticing blood on the kitchen walls as well. He discovered *260Mr. Davis in the bedroom, lying dead on his back by the side of the bed. Weaver said that it appeared as if someone had thrown “a whole bucket of blood on him, ... and blood splattered all over.” He promptly called 911 and waited for the police to arrive.

Mr. Weave! testified that Mr. Davis had a collection of rifles that he stored in two closets, one in the living room and one in the bedroom, ard a handgun that he kept on his bedroom night table. He also had a 1989 Chevrolet Blazer, which Weaver said was not at the house when he arrived.

Mr. Weaver’s description of the scene was confirmed by police officer Sophia Sheppard, who responded to the 911 call. Photographs of the scene taken by police technician William Greene and diagrams prepared by another police technician were placed into evidence. Based on what he observed and his knowledge of low and high velocity blood spatter, Greene concluded that a struggle involving Mr. Davis began in the hallway outside the bedroom and continued into the bedroom. Mr. Davis was initially upright but, succumbing to his injuries as the struggle continued, he assumed a kneeling or prone position. He continued to flail about in the bedroom prior to his death.

Mr. Greene also described a trail of blood leading from the kitchen to the couch where Mrs. Davis was found. A large amount of blood was found beneath the kitchen telephone. The point of entry was a bathroom window, off the hallway.

Mrs. Davis was taken to the hospital, where she died on March 27. An autopsy of Mr. Davis revealed 33 wounds, of which 11 were stab wounds. The medical examiner opined that the stab wounds were caused by the blade of a scissor. Two stab wounds were in the upper chest, two in the middle chest, one in the neck, two in the back, one in the right shoulder, and one on a finger. Three of the chest wounds were potentially fatal—one that severed the aorta, one that penetrated three-and-a-half inches into both sides of the heart, and one that penetrated the right lung.

*261Mrs. Davis was 78 years old. She was five feet one inch tall and weighed 97 pounds. She had suffered both blunt and sharp force injuries; there were 10 impact sites on her body and 13 of her ribs, one ulnar bone, and one pubic bone were broken. The medical examiner testified that she died of blunt force injuries and complications resulting from them. He was aware that she had osteoporosis, emphysema, bronchitis, and other medical problems, and his conclusion took that into account.

Except in the context of some of the particular issues discussed later, it is not necessary to recite in detail the evidence linking appellant to these killings. It was substantial. Through counsel at trial and in a statement given to the police, he admitted being the person who entered the Davis home and killed the occupants. A boot found in his home matched a bloody footprint in the Davis home, and traces of Mr. and Mrs. Davis’s blood were found on clothing taken from appellant’s home. Appellant’s brother, Travis, testified that on March 19, he, appellant, and their parents lived within sight of the Davis home. In the early morning hours, appellant came to the door of their home and was admitted by Travis. Appellant said that he had killed two people. He had blood on his neck and on his hands and was in possession of a handgun, which he offered to Travis. He also gave his brother $80, keeping about $25 for himself.

As we indicated, appellant has raised 12 issues in this appeal, one relating to his motion to suppress certain statements made by him, several dealing with matters occurring during the trial of guilt or innocence, and others concerning the sentencing proceeding. We shall address his complaints in a somewhat different order than presented.

II. MOTION TO SUPPRESS APPELLANTS STATEMENTS

Seven hours after his arrest, appellant made a number of incriminating statements to Detective Steven Ricker. He moved to suppress those statements on the ground that they *262were induced by violence or the threat of violence. The court denied the motion, and the statements were admitted into evidence.

Appellant was arrested at his home at about 7:00 on the morning of March 24, 1995, pursuant to a warrant issued in connection with another case—a burglary. Although he was then a suspect in the Davis killings, the arrest was solely by virtue of the unrelated burglary.

Entry into the home and the arrest were effected by a special squad of police officers—an emergency services response team. They quickly secured the home, following which Detective Ricker, who was waiting outside, entered and took charge. The challenge to appellant’s statements is based entirely on what allegedly occurred during that brief period, estimated by Detective Ricker as being between two and five minutes, prior to Ricker’s entry into the house.

Appellant claimed that he was asleep when the police entered, that he awoke to the sound of a conversation in the hallway to find flashlights shining on him and a gun in his face. An officer “yanked” him off the bed, handcuffed him, and asked his name, which he gave. At that point, one of the officers kicked him “a couple of times” in the shoulder and hip and “stomped” on his feet. He then picked appellant up to take him out of the bedroom and, in the process, tried to ram appellant’s head into the frame of the doorway. Appellant was able to swerve his head the first time but, on a second try, the officer succeeded. Appellant was taken to the kitchen where another officer, he said, kicked him in the chest twice. He was then turned over to Detective Ricker and taken to the police station.

Appellant’s mother testified that the police came into her bedroom, pulled her husband out of bed, and hit him in the eye. She then saw police officers bringing appellant, handcuffed, out of his room. One of them pushed appellant’s head into the wall and then took him away. She gave no testimony regarding any incident in the kitchen.

None of the officers from the emergency services response team testified. Detective Ricker said, however, that he en*263tered the house as soon as he was informed that it was secure, that he saw appellant handcuffed on the floor of the bedroom, that he did not appear to be hurt or fighting, and that, when being led out of the bedroom, he was not “manhandled” and was not banged into the wall. Ricker testified that he saw no one strike or kick appellant, push him into the wall, or grab his neck, and that appellant never made any complaint to him about any abuse suffered at the hands of the arresting officers. He said that the response team took appellant swiftly outside where Ricker and another officer put him into a police car and took him to the station. He was never seated in the kitchen.

Appellant arrived at the station at about 7:30 and was put in an interview room. Ricker got some background information from him, then left to speak with appellant’s brother, Travis, and another detective. At 9:15, he reentered the interview room and gave appellant the standard Miranda warnings. Appellant initialed responses to the questions and signed the written form at the bottom. In doing so, he acknowledged that he had not been offered any reward or been threatened in order to get him to make a statement, that he was not then under the influence of any drugs or alcohol, and that he was willing to make a statement without consulting a lawyer. At 9:25, Detective Ricker brought appellant a soda, which appellant had requested, and then left him alone in the room to write a statement. The focus of the statement was not on the Davis case, which had not yet been mentioned, but on other burglaries.

When Ricker returned about an hour later, appellant had written a three-page statement. Ricker then questioned him about one particular burglary—identified as the Cargill burglary. He observed that appellant had some cuts and scrapes on his arm and neck and asked about them. Appellant responded that he cut his arm going through Cargill’s window and may have scraped his neck sleeping in the woods. Just before noon, a police photographer took pictures of appellant’s cuts and scrapes, some of which appeared to be fresh, others that were healing. Appellant said that he also had bruises on *264his shoulder, hip, and left ankle, which he asked be photographed, but no pictures were taken of those bruises. Ricker responded that appellant never complained to him about any such injuries, that he observed none, and that appellant never asked that photographs be taken of any injuries.

At 1:30, Ricker began questioning appellant about other burglaries, including the Davis break-in. Appellant’s first response was that he had heard about the Davis burglary and was informed that an old man was killed, but he denied responsibility. When Detective Ricker suggested that someone saw appellant in the Davis truck, appellant acknowledged that he had been in the truck—that someone had asked him “to get rid of it.” Ricker requested that he write a statement about that and left the room so he could do so. After consulting with Detective Burns, who had been questioning appellant’s brother, Ricker had another brief conversation with appellant and then left him to write a statement about the Davis house.

Appellant began writing the statement at 2:05 p.m. Ricker returned forty minutes later and began questioning him about the statement. In the one-page statement, appellant admitted acting as a lookout for a friend, who actually broke into the house. When appellant entered the house, he saw the Davises “all bloody,” at which point he became frightened and fled. For a while, he continued to maintain that he was merely a lookout and that his friend, Black, had apparently killed the Davises, although he added that he took a .22 caliber handgun from the house and that Black took three guns and the Davis truck, which they traded for some crack cocaine. At the end of the questioning, appellant admitted that he had not been telling the truth, whereupon he wrote another statement, that:

“I went to Mr. Davis’s house expecting to get a few odds and ends to sell for crack, and while inside the house, I was approach by Mr. Davis holding a 22 revolver. I quickly grabbed a pair of scissors, and just reacted the best I knew how which resulted in the stabbing of him while so his wife tried to call the police, and I stabbed her[.] I knew she wasn’t dead but my high was coming down and I started to *265re[a]lize what I was doing so I hurried up and got the keys and money out of his pants, and left.”

In further questioning, appellant admitted that he was alone and that there was no “Black.” He said he stabbed Mr. Davis with a scissor and then stabbed Mrs. Davis while she was attempting to call the police. He took two rifles, a shotgun, and a .22 caliber handgun.

Appellant acknowledged that at no time did Detective Rick-er abuse or threaten him in any way. Nor did anyone else abuse or threaten him after he left his home. As we indicated, the sole basis of the claim that his statement (along with the waiver of his Miranda rights) was involuntary was the alleged abuse he received at the hands of the emergency services response team at the time of the arrest.

There was, obviously, a clear conflict in the evidence of what occurred during and immediately following appellant’s apprehension. The circuit court declined to resolve that conflict, declaring, instead, that, even if appellant’s version of the event was true, neither the waiver of the Miranda rights nor the ensuing statements were coerced or involuntary. Relying largely on Jackson v. State, 209 Md. 390, 121 A.2d 242 (1956), appellant maintains that abuse inflicted prior to an otherwise proper interrogation can cause a defendant to linger under the fear of a repetition and therefore fatally taint the resulting statement.

In Hof v. State, 337 Md. 581, 597, 655 A.2d 370, 378 (1995), we confirmed that a defendant’s confession is admissible in a Maryland court only if it is “(1) voluntary under Maryland nonconstitutional law, (2) voluntary under the Due Process Clause of the Fourteenth Amendment of the United States Constitution and Article 22 of the Maryland Declaration of Rights, and (3) elicited in conformance with the mandates of Miranda ” (quoting from Hoey v. State, 311 Md. 473, 480, 536 A.2d 622, 625 (1988)). There is no complaint in this appeal that appellant’s statements were not elicited in conformance with the mandates of Miranda; the complaint is that they were coerced, in contravention of both Maryland common law and the two aforecited Constitutional provisions.

*266Under State common law, a confession or other significantly incriminating remark may not be used as evidence against a defendant unless, in the metaphoric words of Hillard v. State, 286 Md. 145, 150, 406 A.2d 415, 418 (1979), it is “shown to be free of any coercive barnacles that may have attached by improper means to prevent the expression from being voluntary.” In plain English, that means that, “under the totality of all of the attendant circumstances, the statement was given freely and voluntarily.” Gilliam v. State, 320 Md. 637, 650, 579 A.2d 744, 750 (1990), cert. denied, 498 U.S. 1110, 111 S.Ct. 1024, 112 L.Ed.2d 1106 (1991), quoting Lodowski v. State, 307 Md. 233, 254, 513 A.2d 299, 310 (1986); Hof, supra, 337 Md. at 595, 655 A.2d at 377. The “totality of the circumstances” test also governs the analysis of voluntariness under the State and Federal Constitutional provisions. Reynolds v. State, 327 Md. 494, 503, 610 A.2d 782, 786 (1992), cert. denied, 506 U.S. 1054, 113 S.Ct. 981, 122 L.Ed.2d 134 (1993).

Because the circuit court did not resolve the conflict in the evidence as to what occurred in appellant’s home, we must assume, as that court did, that appellant’s version is the correct one. The question, then, is whether, applying the “totality of the circumstances” test, we must conclude that the abuse allegedly suffered by appellant as he was being escorted from his home sufficed to make both his denial of having been threatened and his ensuing statements involuntary. As noted, appellant relies on Jackson, supra, 209 Md. 390, 121 A.2d 242, to support his claim that the earlier abuse was a motivating factor in his ultimate statements.

In Jackson, the defendant, a black man accused of raping and stabbing a 12-year-old white child, was arrested shortly after the incident. He was placed in a police car, stripped, covered only with a blanket, and asked about the incident. When he declined to respond, one of the officers hit him, causing his nose to bleed. The officer then began hitting him on the head with a blackjack. After they arrived at the police station, another officer tried to hit Jackson’s head against the wall and trampled on his toes. Jackson was examined by a *267doctor at the jail. Two days later, he was interviewed by two officers, one of whom was the officer who had beaten him in the police car. Jackson gave a statement to the other officer in the presence of a court reporter, who recalled that Jackson appeared calm and composed.

When the statement was challenged in court, the State more or less conceded that the abuse had occurred but argued that, as the officer taking the statement had done nothing wrong and as Jackson was calm when he made the statement, the abuse had nothing to do with the statement. This Court rejected that argument, noting that involuntariness can come not just from the physical abuse itself but also from the fear of it being repeated. Given the circumstances in that case, including the fact that the abuse had continued at the police station and that the culpable officer was in the room when the statement was elicited and made, we held that “the inference is clear that the prisoner was influenced to some extent by the violence, which the State virtually concedes, or a reasonable fear of its repetition.” Id. at 395, 121 A.2d at 245.

Responding to the State’s argument that the inference was rebutted by a combination of the court reporter’s observation that Jackson was composed when he made the statement and Jackson’s later acknowledgment to the State’s Attorney that he decided to talk to the officer because “I had it on my chest, so I just might as well tell it and get it over with,” we noted that his composure may well have resulted from the fact that, having decided to confess, he no longer feared repetition of the abuse. Id. at 393, 396, 121 A.2d at 243, 245. In that regard, we distinguished McCleary v. State, 122 Md. 394, 89 A. 1100 (1914), on the ground that, in that case, the alleged threats occurred in Washington, D.C., whereas the confession was given two days later in Hagerstown to different officers, thereby attenuating any causal connection. With respect to Jackson, we observed that “the same officers who had applied the coercion still had him in charge, and the potential threat of repetition was still present when he confessed, despite his statements to the State’s Attorney a short time later.” Id. at 396, 121 A.2d at 245.

*268In the case now before us, the trial judge applied a totality of the circumstances standard. The abuse that allegedly occurred as appellant was being arrested and escorted out of his house was, of course, wholly inappropriate. There is no indication that it was in any way directed at inducing appellant to make a statement, however. It was supposedly committed by members of the emergency services response team and ended when they turned appellant over to Detective Ricker. Ricker did not participate in that abuse and did nothing inappropriate on his own to induce a statement. Unlike in Jackson, the statement was given in a secure environment solely to Detective Ricker. None of the abusing officers were present or, so far as this record reveals, were likely to have any further contact with appellant. Apart from the dispute over whether appellant asked to have various bruises photographed, he made no complaint to Ricker, or anyone else, about the abuse allegedly inflicted on him earlier and did not appear to be suffering from or under the influence of it.

It goes without saying that the police run a grave risk of having statements and other evidence ruled inadmissible whenever they abuse an accused in their custody. Jackson remains good law, and the State does have the burden of establishing that a confession is free of those “coercive barnacles” spoken of in Hillard, Hoey, and Hof. Abuse of an accused by the police is, at least presumptively, such a “barnacle.” In this case, however, considering all of the circumstances, we are convinced that nothing that may have occurred at appellant’s home in any way induced the statements appellant later made to Detective Ricker. There was no direct evidence and no basis for any inference that appellant feared a repetition of the earlier abuse or that he had any reason for such a fear. See Reynolds, supra, 327 Md. 494, 610 A.2d 782.

III. TRIAL ISSUES

A. Testimony That Appellant “Got A Girl And Had Sex”

Appellant’s brother, Travis, was a somewhat reluctant witness for the State. He had given a written statement to the *269police on March 24 and later testified before the grand jury, and when, at trial, he gave answers inconsistent with those statements or asserted a lapse of memory, he was confronted with his earlier assertions and confirmed their accuracy, Travis testified that he and appellant had “got high” together earlier on the evening of March 18, asserting that appellant had been using cocaine, PCP, liquor, and beer. He acknowledged, however, that he never mentioned that in his statement to the police, his separate statement to the prosecutor, or in his testimony before the grand jury.1

Between 1:30 and 2:00 on the morning of March 19, appellant knocked on the kitchen door, and Travis let him in. Appellant was calm. In his testimony, Travis said that appellant did not appear to be sober, although he acknowledged having made no such assertion before the grand jury. Appellant had blood on his neck and hands and told Travis that he had killed two people. Travis said that appellant had a .22 caliber handgun and about $100 in cash; he offered Travis the gun and gave him $80. Travis noticed a dark truck parked outside. After about 10 to 15 minutes, appellant got into the truck and left.

Appellant returned the next day, about 12:30 p.m., and he and Travis had another conversation. During that conversation, appellant said that, after leaving Travis the previous evening, he went to Bell’s liquor store and “got a girl and had sex.” Appellant now asserts that that statement constituted inadmissible evidence of another crime or a prior bad act.

In Travis’s statement to the police, he said that appellant told him that, after leaving, “he went by Bell’s Liquor and got a trick and had sex with her all night.” In his grand jury testimony, Travis quoted appellant as having said that he “went and got a girl and was, you know, having sex with her all night.” When the question first arose as to the admissibility of those documents, in an in limine proceeding, appellant *270objected to the reference in the written statement to getting the girl or “trick” and having sex, on the ground that it constituted “other crimes” evidence. That objection was overruled, although the court made clear that the documents could not be admitted unless a proper foundation was laid.

When the admissibility of that part of Travis’s statement and testimony arose again, appellant expanded his objection to add that the statement was not true, that it was irrelevant, that it was being offered in bad faith, and that it was unduly prejudicial. The State argued that the statement was relevant to show appellant’s state of mind—essentially, that he was not as intoxicated as he claimed and that he was not in urgent need to sell the stolen goods in order to purchase drugs. Again, the court overruled the objection, concluding, first, that the statement did not constitute “other crimes” evidence and that, even if it did, it had a probative value as to appellant’s state of mind that outweighed any prejudice to him.

Following this second ruling, Travis was permitted to testify, over objection, that appellant had told him that, after leaving Travis on the 19th, he “went and had a girl and had sex.” After consulting his statement, he added that appellant had gone to Bell’s Liquors and “got a girl and had sex.”

Treating that testimony as evidence that he solicited a woman for prostitution, appellant presses his attack that this constituted improper evidence of “other crimes” or a prior bad act, that it was irrelevant, and that it was unduly prejudicial. Throughout his brief, he characterizes the evidence as indicating that he had sex with a prostitute, which, he says, is not probative of his state of sobriety, as even an intoxicated person can engage in sexual activity with a prostitute, but simply tars him as being an immoral person.

We note initially that, although solicitation for purposes of prostitution is a misdemeanor in Maryland (Maryland Code (1996 Repl.Vol.) § 15(e) of art. 27), Travis’s testimony does not state that appellant engaged in that conduct. He said only that appellant claimed that he had “got a girl and had sex,” which, considering that appellant was not married, does not *271constitute a crime in this State. Nor, in the absence of any evidence that the “girl” was not a willing partner, does it necessarily constitute a “bad act.”

Apart from that, the statement did have a special relevance. Appellant’s story was that he was still intoxicated when he arrived back home after the killings and that he needed to dispose of the stolen merchandise in order to purchase more cocaine. Evidence that he instead sought out a sexual partner and engaged in sex with her for the balance of the evening suggests strongly that (1) he was not as intoxicated as he asserted, and (2) he was not in immediate need of money or more drugs.

Appellant’s complaint that even intoxicated people can engage in sexual activity misses the point; it is not just the sex itself that is significant. Taken in conjunction with Travis’s observation that appellant was calm and composed, it is rather the fact that appellant would make a deliberate decision to seek out a sexual partner, succeed in finding one, and then spend the balance of the evening having sex with her that permits an inference that he was not as intoxicated as he later claimed to be. Moreover, when coupled with the evidence that appellant offered Travis the handgun and most of the money he had stolen, it allows a fair inference that he was not in any dire need to sell the stolen property in order to buy additional drugs. That would be particularly true if the woman was a prostitute, for whatever he paid her would have been unavailable to purchase drugs.

Even if we were to conclude that this snippet of evidence was improperly admitted, which we do not, we would have no hesitation in holding, beyond any reasonable doubt, that the error was harmless. Appellant never denied breaking into the Davis home, killing Mr. Davis, and leaving Mrs. Davis for dead; he admitted as much to his brother and there was overwhelming evidence corroborating that admission. He was an acknowledged user of unlawful drugs. We reject as absurd the suggestion that the jury’s verdicts were influenced, in the *272slightest, by a belief that appellant was a bad or immoral person because he “got a girl and had sex.”

B. Sufficiency of Evidence as to Mrs. Davis

Appellant claims that the evidence was insufficient to show an intent to kill Mrs. Davis or that the killing was premeditated. The standard that we apply to such an argument is whether, after viewing the evidence in a light most favorable to the State, any rational trier of fact could have found these elements beyond a reasonable doubt. Jackson v. Virginia, 443 U.S. 307, 319, 99 S.Ct. 2781, 2789, 61 L.Ed.2d 560, 573 (1979); State v. Albrecht, 336 Md. 475, 478, 649 A.2d 336, 337 (1994).

In his statement to Detective Ricker, appellant said that, while he was stabbing Mr. Davis, Mrs. Davis tried to call the police, “and I stabbed her[.] I knew she wasn’t dead but my high was coming down and I started to re[a]lize what I was doing so I hurried up and got the keys and money out of his pants, and left.” This statement, he says, shows that he stabbed Mrs. Davis only to stop her from calling the police, that he left her alive in the house, and that, if he wanted to kill her, he easily could have done so. He also looks at Travis’s several recollections of what appellant later told him. In his initial testimony, Travis said that, when appellant appeared at his house after the killings, he told Travis that he had killed “somebody,” which appellant takes as meaning one person. Appellant acknowledges that, in his final testimony, with his recollection refreshed by his earlier statements, Travis recalled appellant saying that he had killed “two people.” Travis also testified that appellant had told him that he thought Mrs. Davis was dead before he left. Appellant dismisses that as simply a mistake on his part, which was not indicative of an intent to kill.

Finally, he turns his attention to the evidence of the pummeling of Mrs. Davis, a frail 78-year old woman. As to this he argues that “[a]lthough death is clearly one possible consequence of striking a seventy-eight year old woman in the torso and upper and lower extremities with an appreciable amount *273of blunt force, death is not a sufficiently probable result to provide the sole support for an inference of an intent to kill.” We would remind appellant that the “amount of blunt force” used by him was appreciable enough to crack 13 of Mrs. Davis’s ribs, her elbow bone, and a pubic bone, that, in addition to the blunt force wounds, there were sharp force injuries as well, and, based on the scene as described by Mr. Weaver and Mr. Greene, that Mrs. Davis apparently lost a lot of blood.

Travis said at one point that appellant had told him that, following his attack on Mr. and Mrs. Davis, he reentered the Davis home in order to collect the guns, and that, upon his reentry, Mrs. Davis called out the name “Rick,” indicating that she could not see him and did not know who he was. From this, appellant asserts that, as Mrs. Davis could not identify him, he had no reason to kill her. Apart from the fact that Travis also gave an alternative version of appellant’s statement, in which there was no mention of reentering the house or Mrs. Davis calling out the name “Rick,” appellant conveniently overlooks the even more probable inference that, whatever may have been her cognitive ability after the assault, when he attacked her as she was calling the police, she may have known precisely who he was, and that is why he attacked her.2

An intent to kill often must be proved by circumstantial evidence and found by inference. Absent an admission by the accused, it rarely can be proved directly. State v. Earp, 319 Md. 156, 167, 571 A.2d 1227, 1232-33 (1990). The evidence here was more than enough to permit an inference that *274appellant attacked Mrs. Davis with the intent to kill her. It also sufficed to establish premeditation. Appellant traveled down the hallway from where he was stabbing Mr. Davis in order to attack Mrs. Davis in the kitchen. He stabbed her and he hit her 10 times with a blunt instrument. That shows deliberation. Willey v. State, 328 Md. 126, 613 A.2d 956 (1992).

C. Instruction on Depraved Heart Murder

(1) Mrs. Davis

Murder is a single crime in Maryland that is divided, by statute, into two degrees. Murder committed (1) by poison, lying in wait, or any kind of wilful, deliberate, and premeditated killing, or (2) in the perpetration of certain statutorily enumerated felonies, including robbery and burglary, is murder in the first degree. Md.Code art. 27, §§ 407—410. All other murder is murder in the second degree. Id. at § 411.

Second degree murder embraces a killing accompanied by any of at least three alternative mentes reae: killing another person (other than by poison or lying in wait) with the intent to kill, but without the deliberation and premeditation required for first degree murder; killing another person with the intent to inflict such serious bodily harm that death would be the likely result; and what has become known as depraved heart murder—a killing resulting from “the deliberate perpetration of a knowingly dangerous act with reckless and wanton unconcern and indifference as to whether anyone is harmed or not.” Robinson v. State, 307 Md. 738, 744, 517 A.2d 94, 97 (1986), quoting from DeBettencourt v. State, 48 Md.App. 522, 530, 428 A.2d 479, 484 (1981).3

*275As Judge Moylan pointed out in DeBettencourt and later in Glenn v. State, 68 Md.App. 379, 511 A.2d 1110 (1986), the intent to inflict serious bodily harm and the recklessness required for depraved heart murder have been regarded as a form of malice, sufficiently blameworthy in the eyes of the law to cause the homicidal conduct to constitute murder. In Robinson, supra, 307 Md. at 745, 517 A.2d at 98, we observed that, in the depraved heart variety of second degree murder, the element of recklessness or indifference has reference to the result of the conduct, not the conduct itself. Thus, we held that

“when injury is intentionally inflicted, without intent to kill, and the victim subsequently dies as the result of the injury, the assailant may be guilty of ‘depraved heart’ murder, if no excuse, justification, or mitigation is present, and if the circumstances are such as to demonstrate the requisite element of depravity.”

Id. at 746, 517 A.2d at 98. See also Alston v. State, 339 Md. 306, 662 A.2d 247 (1995).

The court below instructed the jury on premeditated first degree murder, felony murder, and the intent to kill and intent to do serious bodily harm varieties of second degree murder but refused to give appellant’s requested instruction on depraved heart murder as to Mrs. Davis. That requested instruction would have allowed the jury to convict of second degree murder if the State proved that appellant’s conduct caused the death of Mrs. Davis, that the conduct created a very high degree of risk to life, and that appellant, conscious of such risk, acted with extreme disregard of the life-endangering consequences. Without elaboration, appellant objected to the court’s refusal to give the depraved heart instruction, arguing only that the instruction “is warranted by the evidence in the case.”

*276The argument on appeal, of course, is more elaborate. Coupling the fact that Mrs. Davis was alive when he left the house with the fact that he clearly could have killed her instantly if he had chosen, appellant contends that the jury could permissibly have found that his mental state was not an intent to kill or even an intent to do great bodily harm, but merely wanton recklessness and indifference to whether she lived or died. The jury, he adds, could have doubted the force of his blows to her body and found, instead, that her bones were broken because they were weakened by her osteoporosis. This constitutes the basis for his contention that the evidence supported a depraved heart murder instruction.

The asserted legal error in refusing the instruction arises from appellant’s construction of Hook v. State, 315 Md. 25, 553 A.2d 233 (1989), and Fairbanks v. State, 318 Md. 22, 566 A.2d 764 (1989). We do not agree with his interpretation of those cases.

In Hook, the defendant was charged with first degree premeditated and felony murder. He shot and killed two people in the course of a robbery. Hook admitted the killings but contended that he was intoxicated at the time. At the close of the State’s case, the State, over Hook’s objection, nol prossed the lesser included charge of second degree murder, leaving the jury to consider only the first degree murder counts and the accompanying armed robbery and handgun charges. The court also refused to instruct the jury on second degree murder or allow defense counsel to suggest such a verdict to the jury. Hook was convicted of first degree murder, both premeditated and felony murder.

Relying largely on Keeble v. United States, 412 U.S. 205, 93 S.Ct. 1993, 36 L.Ed.2d 844 (1973), Beck v. Alabama, 447 U.S. 625, 100 S.Ct. 2382, 65 L.Ed.2d 392 (1980), and Spaziano v. Florida, 468 U.S. 447, 104 S.Ct. 3154, 82 L.Ed.2d 340 (1984), we held that the court erred, under the circumstances of that case, in withdrawing second degree murder from the jury’s consideration. We noted that, while voluntary intoxication is not generally a defense to murder, it may, if sufficiently *277severe, negate the wilfulness, deliberation, and premeditation required for that variety of first degree murder and negate as well the specific intent required for robbery, thereby reducing the murder to second degree. 315 Md. at 30, 553 A.2d at 235-36. We iterated the concern expressed initially by Justice Brennan in Keeble, supra, 412 U.S. at 212-13, 93 S.Ct. at 1997-98, 36 L.Ed.2d at 850, and repeated in Beck, supra, 447 U.S. at 634, 100 S.Ct. at 2388, 65 L.Ed.2d at 400-01, that when presented with an “all-or-nothing” choice and “[wjhere one of the elements of the offense charged remains in doubt, but the defendant is plainly guilty of some offense, the jury is likely to resolve its doubts in favor of conviction,” 315 Md. at 39, 553 A.2d at 241, and announced the view, at 43-44, 553 A.2d at 243:

“When the defendant is plainly guilty of some offense, and the evidence is legally sufficient for the trier of fact to convict him of either the greater offense or a lesser included offense, it is fundamentally unfair under Maryland common law for the State, over the defendant’s objection, to not pros the lesser included offense____ In short, it is simply offensive to fundamental fairness, in such circumstances, to deprive the trier of fact, over the defendant’s objection, of the third option of convicting the defendant of a lesser included offense.”

With more particular reference to the refusal of the court to instruct the jury on second degree murder, we announced the rule that “in a capital case, at the request of the defendant, the court shall instruct the jury regarding a lesser included offense when the evidence warrants such an instruction, that is, when the offense is fairly supported by the evidence.” 315 Md. at 41, 553 A.2d at 241. We observed that, but for the nol pros, the jury might have found from the evidence that Hook was so intoxicated as to lack the capacity to form either the specific intent required for premeditated first degree murder or that required for robbery—the predicate felony supporting the charge of felony murder-—in which event, we continued, “[t]he first degree murder then would be lowered to second degree murder.” Id., at 41, 553 A.2d at 242.

*278We applied the principles set forth in Hook in Fairbanks, supra, 318 Md. 22, 566 A.2d 764, to like effect. The evidence there showed that the defendant had broken into a home and stolen certain property. He was charged with common law burglary, felonious daytime housebreaking, and two misdemeanors—statutory breaking and entering and theft. Over his objection, the State nol prossed the misdemeanor breaking charge, although the evidence clearly supported that charge, leaving the jury the choice of convicting of the felony or acquitting. Fairbanks was convicted of burglary and, as in Hook, we reversed.

We revisited the Hook principles in Jackson v. State, 322 Md. 117, 586 A.2d 6 (1991), and Burrell v. State, 340 Md. 426, 667 A.2d 161 (1995). Jackson was charged with possession of cocaine, possession with intent to distribute cocaine, conspiracy to possess, conspiracy to distribute, and conspiracy to possess with intent to distribute. Those charges were founded upon observations by a drug enforcement team of Jackson and a confederate standing on a corner conversing, being approached by persons exhibiting the characteristics of drug addicts, Jackson accepting money from the customers, the confederate obtaining small objects from a plastic bag located on a nearby lot, returning and handing the customer a small baggie containing a white substance, and the customer then leaving. At the conclusion of the case, the State, without entering a formal nol pros, effectively withdrew the simple possession and conspiracy to possess counts from the jury, over the defendant’s objection. Jackson was convicted of the remaining charges.

Jackson’s argument on appeal was that, because there was legally sufficient evidence to support a conviction of the lesser included offenses, it was error under Hook and Fairbanks for the court to allow those charges to be withdrawn. We rejected that analysis, pointing out that the test was not simply the existence of legally sufficient evidence. Rather:

“Even when there is evidence that would support a finding of guilt of the lesser included offense, the State is not precluded from entering a nolle prosequi of that offense if, *279under the particular facts of the case, there exists no rational basis by which the jury could conclude that the defendant is guilty of the lesser included offense but not guilty of the greater offense.”

322 Md. at 117, 586 A.2d at 11.

That, we concluded, was precisely the situation with Mr. Jackson. Given the evidence, there was no rational basis upon which the jury could have concluded that he was guilty of possession but not guilty of possession with intent to distribute.

We applied that same principle in Burrell. Mr. Burrell was part of a group that robbed a gas station. He was charged with armed robbery, robbery, theft over $300, theft under $300, and two handgun counts. His defense was that he did not participate in the robbery but was simply in the wrong place at the wrong time. At the conclusion of the case, the State nol prossed the robbery and misdemeanor theft charges. Burrell was convicted of armed robbery, felony theft, and the handgun charges and complained on appeal about the nol pros of the robbery charge.

We affirmed. We observed that the purpose of the Hook test was to prevent jurors from convicting a defendant of the greater offense “when they want to convict the defendant of some crime and they have no lesser option,” adding that “[t]he jurors’ presumed emotional response to want to convict a defendant who is ‘plainly guilty’ of something is tempered by having an array of plausible verdicts from which to choose, including the verdict which the evidence most clearly supports.” 340 Md. at 432, 667 A.2d at 164 (emphasis added). We construed Jackson as making clear that the test is not whether there is sufficient evidence to convict of the lesser included offense but whether the evidence is such “that the jury could rationally convict only on the lesser included offense.” Id. at 434, 667 A.2d at 164-65. In Burrell’s case, we held that it was not possible for the jury, rationally, to convict only of simple robbery, for the undisputed evidence was that a gun was used. If the jury believed that Burrell was a *280participant, it would have to convict of armed robbery; otherwise, it would have to acquit.

Although we are not dealing here with a nol pros, as such, the issue is the same. By not instructing on depraved heart murder, the court effectively withdrew from the jury the possibility of convicting of that lesser included offense. There was no error in that decision, however, because, as in Jackson and Burrell, there was no rational basis for the jury to convict only of that offense.

As we have indicated, appellant pummelled a 78-year old, 97-pound frail woman, apparently with a telephone receiver, with such force as to break 13 ribs and two other bones and cause extensive bleeding. Neither the fact that he could have done even more damage and thus ended her life even quicker nor the fact that the victim was still alive when he left the house detracts, in the least, from the compelling inference that the beating he did administer must have been with the intent either to kill or to do such serious bodily harm that death would be the likely result. Under appellant’s theory, virtually any murder committed by beating or that does not involve instantaneous death could qualify as depraved heart murder. That is not the law. See Robinson, supra, 307 Md. 738, 517 A.2d 94.

This is not a case like Hook or Fairbanks. The jury was not left with an all-or-nothing option. It was instructed on the two varieties of second degree murder upon which a plausible verdict could have been returned. It is simply beyond the realm of reasonableness to suppose that any rational jury could find that appellant administered the beating to Mrs. Davis with mere recklessness or indifference as to the result.4

*281(2) Mr. Davis

Appellant also asked for a depraved heart murder instruction with respect to Mr. Davis, offering no basis for such an instruction. In his brief, he posits only his statement that, upon being confronted by Mr. Davis, he “grabbed a pair of scissors, and just reacted the best I knew how which resulted in the stabbing of him.” From this, he argues that his action was “self-protective” and done only to “incapacitate Mr. Davis, all without regard to whether Mr. Davis lived or died.”

What appellant conveniently overlooks, of course, is that he stabbed Mr. Davis at least 11 times, once severing the aorta, once plunging more than three inches into his heart, and once penetrating the lung. That is hardly conduct engaged in “without regard to whether Mr. Davis lived or died.” For the reasons set forth in the discussion concerning Mrs. Davis, it is clear that there was no basis for a depraved heart murder instruction as to Mr. Davis.

D. Instruction on Imperfect Self-Defense

In his statement to Detective Ricker, appellant asserted that, after he broke into the Davis home, Mr. Davis confronted him with a gun and that his attack was in response to that confrontation. Based on that evidence, the court instructed the jury, with respect to the killing of Mr. Davis, on both traditional self-defense and what has become known as “imperfect” or “partial” self-defense. It first explained that the doctrine of self-defense requires that the defendant not have been the aggressor—that he be free from fault as to the *282inception of the incident—and, thus, that, if the jury found that appellant initiated the incident that led to Mr. Davis’s death, he could not avail himself of the doctrine of self-defense as legal justification for his action. No complaint is made by appellant as to that instruction.

The court then instructed on partial self-defense. It said, in that regard:

“If the defendant actually believed that he was in immediate and imminent danger of death or serious bodily harm when he committed the acts which caused the death of [Mr. Davis] ... and also actually believed that he could not safely retreat, as the law requires him to do, when confronted by an owner who has the right to defend with reasonable force a dwelling ovmed by him, even though a reasonable person would not have so believed, the defendant’s actual, though unreasonable, belief is a partial self defense, and in that instance the verdict should be guilty of voluntary manslaughter rather than murder.”

(Emphasis added.)5

Appellant complains here only about the italicized language in the instruction, asserting that imperfect or partial self-defense does not require an actual belief that safe retreat is not possible. He is wrong.

In State v. Faulkner, 301 Md. 482, 500, 483 A.2d 759, 768-69 (1984), we adopted the concept of imperfect self-defense set forth by the Court of Special Appeals in that case:

“Perfect self-defense requires not only that the killer subjectively believed that his actions were necessary for his safety but, objectively, that a reasonable [person] would so consider them. Imperfect self-defense, however, requires no more than a subjective honest belief on the part of the killer that his actions were necessary for his safety, even *283though, on an objective appraisal by a reasonable [person], they would not be found so. If established, the killer remains culpable and his [or her] actions are excused only to the extent that mitigation is invoked.”

(Quoting from Faulkner v. State, 54 Md.App. 113, 115, 458 A.2d 81, 82 (1983), aff'd, 301 Md. 482, 483 A.2d 759 (1984)).

Appellant’s theory is drawn from the absence in this formulation of any reference to a duty to retreat or a belief that retreat is not safely possible. Because there is no mention of a duty to retreat in that language, he assumes that no such duty exists. That is not the case.

Imperfect self-defense, as the Court of Special Appeals noted in Cunningham v. State, 58 Md.App. 249, 254, 473 A.2d 40, 43, cert. denied, 300 Md. 316, 477 A.2d 1195 (1984), “stands in the shadow of perfect self-defense.” As is clear from our pronouncements in Faulkner, supra, Dykes v. State, 319 Md. 206, 571 A.2d 1251 (1990), and State v. Martin, 329 Md. 351, 619 A.2d 992, cert. denied, 510 U.S. 855, 114 S.Ct. 161, 126 L.Ed.2d 122 (1993), the only substantive difference between the two doctrines, other than their consequences, is that, in perfect self-defense, the defendant’s belief that he was in immediate danger of death of serious bodily harm or that the force he used was necessary must be objectively reasonable. In all other respects, the elements of the two doctrines are the same. See Corbin v. State, 94 Md.App. 21, 25, 614 A.2d 1329, 1331 (1992).

One of the elements of the defense of self-defense is “the duty of the defendant to retreat or avoid danger if such means were within his power and consistent with his safety.” Bruce v. State, 218 Md. 87, 97, 145 A.2d 428, 433 (1958); see also DeVaughn v. State, 232 Md. 447, 194 A.2d 109 (1963), cert. denied, 376 U.S. 927, 84 S.Ct. 693, 11 L.Ed.2d 623 (1964); Corbin, supra, 94 Md.App. 21, 614 A.2d 1329. There is an exception to that requirement, which we enunciated in Crawford v. State, 231 Md. 354, 361, 190 A.2d 538, 541 (1963), that “a man faced with the danger of an attack upon his dwelling need not retreat from his home to escape the danger, but *284instead may stand his ground and, if necessary to repel the attack, may kill the attacker.” See also Gainer v. State, 40 Md.App. 382, 391 A.2d 856, cert. denied, 284 Md. 743 (1978); Barton v. State, 46 Md.App. 616, 420 A.2d 1009 (1980).

That exception obviously applied to Mr. Davis, who was defending himself and his home from the intrusion by appellant, but it certainly does not apply to appellant. Accordingly, that part of the court’s instruction challenged by appellant was entirely correct. Mr. Davis—the owner—had “the right to defend with reasonable force [the] dwelling owned by him.” Appellant, conversely, was required by the law to retreat when confronted by Mr. Davis unless he could not safely do so. Because the instruction dealt with imperfect self-defense, it was only necessary that appellant subjectively believe that retreat was not safe, and that is what the jury was told.6

IV. SENTENCING ISSUES

A. Separate Sentencing Proceedings

Special procedures applicable to death penalty cases are set forth in Md.Code art. 27, §§ 412 and 413, and in Md. Rule 4-343. Section 412(b) provides, in relevant part, that a death sentence may not be imposed unless the State has given the *285defendant written notice at least 30 days prior to trial that it intends to seek a sentence of death and has informed the defendant of each aggravating circumstance upon which it intends to rely.

Section 413(a) provides that, if the defendant is convicted of first degree murder and the State has given the requisite notice, a separate sentencing proceeding shall be conducted. In that proceeding, the jury (or the court, if a jury is waived by the defendant) must first consider whether the defendant was a principal in the first degree in the murder, for only such a principal is eligible for the death penalty. If the jury answers that question in the affirmative, it must then consider whether, beyond a reasonable doubt, any of 10 enumerated aggravating factors exist. If it finds one or more such factors, it must then determine, by a preponderance of the evidence, whether any of seven enumerated mitigating circumstances, or any other fact which the jury finds as a mitigating circumstance, exist. If the jury finds one or more such mitigating circumstances, it then determines, by a preponderance of the evidence, whether the aggravating circumstances that it has found outweigh the mitigating circumstances. If it finds that to be the case, the sentence must be death.

Appellant was charged in separate counts—one and four, respectively—with the premeditated murder of Mr. and Mrs. Davis. On July 12, 1995, the State served appellant with written notice that, upon conviction “in the above-captioned case for the crime of first degree murder,” the State intended to seek “the sentence of death.” The notice further advised (1) that the State intended to rely on two aggravating factors—that appellant committed “the murder” while committing or attempting to commit a robbery and that he “committed more than one offense of murder in the First Degree arising out of the same incident”—and (2) that the notice “applies to all murder victims named in the above-captioned indictment.”

The jury returned its initial verdicts on March 22,1996. As noted, it found appellant guilty of both premeditated and *286felony murder of Mr. and Mrs. Davis. Under our rulings in Evans v. State, 304 Md. 487, 499 A.2d 1261 (1985), cert. denied, 478 U.S. 1010, 106 S.Ct. 3310, 92 L.Ed.2d 722 (1986), and Grandison v. State, 305 Md. 685, 506 A.2d 580, cert. denied, 479 U.S. 873, 107 S.Ct. 38, 93 L.Ed.2d 174 (1986), appellant was therefore subject to having two death sentences imposed—one as to each victim—and the question arose of how to present the matter to the jury. The court opined that the statutorily required findings needed to be made with respect to each victim, separately, and asked counsel to confer and attempt to develop an agreed-upon verdict sheet. The verdict sheet form set forth in Md. Rule 4-343 uses singular nouns—the murder, the victim—and thus envisions only one murder and one victim; the task was to convert that form to one that could be used in a multi-victim case.

The presentation of evidence at the sentencing proceeding lasted two days. At the conclusion, a verdict sheet had been prepared and was discussed by counsel and the court. With two principal exceptions, it was essentially in the form prescribed in Md. Rule 4-343 for use with respect to a single victim. The court excised certain questions as not being generated by the evidence and modified Section I to require a separate determination of whether the State had proven beyond a reasonable doubt that appellant was a principal in the first degree to the murder of each victim. In all other respects, the form was cast in the singular; like the form set forth in Rule 4-343, it spoke of “the victim” and “the murder” and asked, at the end, for the jury to determine “the sentence.” Although the court had earlier considered the possibility of having the form recite all of the questions separately with respect to each victim, neither the State nor appellant insisted on that approach or complained that, except in Section I, it lumped both murders together, spoke in the singular, and called for a single sentence.

In the absence of any such objection, the court submitted that form of verdict sheet to the jury. In Section I, the jury found that appellant was a principal in the first degree to the murder of each victim. Section II asked the jury to determine *287whether any of the 10 statutory aggravating factors had been proved beyond a reasonable doubt. The State, as noted, was relying on only two—that appellant committed more than one offense of murder in the first degree arising out of the same incident and that he committed the murder while committing or attempting to commit robbery, arson, rape in the first degree, or sexual offense in the first degree—and the jury found that both of those factors existed. It is obvious from the underlying convictions and the evidence that the second of those factors necessarily was based on a finding that the murder was committed while appellant was committing or attempting to commit robbery. There was no evidence to support any of the other listed offenses.

Section III asked the jury to determine which, if any, mitigating circumstances existed. The jury unanimously found one such circumstance—that appellant had not previously been found guilty, entered a plea of nolo contendere, or been granted probation without judgment with respect to a crime of violence. It unanimously found that five other possible mitigating circumstances did not exist, thus concluding that (1) the victim was not a participant in and did not consent to the act causing the victim’s death, (2) appellant did not act under substantial duress, domination, or provocation of another person, (3) he was not of “a youthful age” at the time of the crime, (4) his act was the sole proximate cause of the victim’s death, and (5) it was not unlikely that appellant would engage in further criminal activity that would constitute a continuing threat to society. One or more, but fewer than all, of the jurors found that the murder was committed while appellant’s capacity to appreciate the criminality of his conduct or to conform that conduct to the requirements of law was substantially impaired as the result of mental incapacity, mental disorder, or emotional disturbance. Finally, one or more, but fewer than all, of the jurors listed as an additional mitigating factor “Mercy, lack of moral/social training, dysfunctional family, under educated, alcohol/drug abuse, witness to or victim of physical, mental + or substance abuse, child abuse.”

*288Section IV directed each individual juror to weigh the aggravating factors found unanimously to exist against any mitigating factors found unanimously or by the juror individually to exist. In response, the jury unanimously found that the aggravating factors outweighed the mitigating factors. As a result of that determination, the jury unanimously found, in Section V, that “the sentence” was to be death.

When court convened the next day, defense counsel pointed out that the jury had not indicated whether the sentence of death was applicable to the murder of Mr. Davis or Mrs. Davis. He suggested “that only one death penalty can be imposed and that it has to be imposed as to one or the other but not both” and that, as to one of the two murder counts, “one of the sentences has to be a life sentence.” The court rejected that argument, noting that it was clear to the jury that they were considering two murders, and the court therefore imposed a death sentence on both Count One, dealing with Mr. Davis, and Count Four, dealing with Mrs. Davis.

Appellant now complains that, even though he made no such request below, he was entitled to have the jury go through the multi-step procedure separately with respect to each victim and to make separate findings as to each murder. He also asserts, in direct contrast to the position he took below, that, because the jury returned only one death sentence with respect to both murders, both death sentences imposed by the court must be vacated; it is not permissible, he now argues, for even one of those sentences to stand.

The problem with the approach used, he urges, is that, by the jury being asked to impose one sentence for two murders, that single sentence, in the jury’s mind, “had to be sufficiently severe to punish two murders.” If required to make a separate sentencing determination for each murder, he posits, the jury may have decided that two sentences of life without parole would be sufficient. In support of that hypothesis, he refers us to several instances where, in multiple murder situations, life sentences were, in fact, imposed by judges or juries. Taking his point one step further, he suggests that, if *289the jury had concluded that life without parole was appropriate for even one of the murders, one or more of the jurors may have been persuaded not to impose the death penalty for the other murder.

The State’s initial response to this argument is that it has not been preserved for appellate review. Not only did appellant not object to the form, but, once the jury’s determination was made, his only objection was to the imposition of two death sentences. Citing Bowman v. State, 314 Md. 725, 552 A.2d 1303 (1989), and Walczak v. State, 302 Md. 422, 488 A.2d 949 (1985), appellant replies that, because of the allegedly flawed procedure, the sentences were not permitted by law and therefore may be challenged on appeal notwithstanding, the lack of objection below.

In Walczak and in a host of cases decided after Walczak, we held that “when the trial court has allegedly imposed a sentence not permitted by law, the issue should ordinarily be reviewed on direct appeal even if no objection was made in the trial court.” Walczak, supra, 302 Md. at 427, 488 A.2d at 951. See also Wilkins v. State, 343 Md. 444, 447, 682 A.2d 247, 248 (1996). Walczak has a limited scope. Not every procedural irregularity, even in a capital sentencing proceeding, results in “a sentence not permitted by law.” Defendants, including those in death penalty cases, will ordinarily not be permitted to “sandbag” trial judges by expressly, or even tacitly, agreeing to a proposed procedure and then seeking reversal when the judge employs that procedure; nor will they freely be allowed to assert one position at trial and another, inconsistent position on appeal.

Nonetheless, we have been reluctant to avoid addressing issues going directly to the propriety of the penalty itself. See Johnson v. State, 292 Md. 405, 439 A.2d 542 (1982). Art. 27, § 414(a) and (e) requires this Court, when the death penalty has been imposed, to “review the sentence on the record” and “consider the imposition of the death sentence.” The issue raised here is a novel and important one and calls for some guidance. We therefore shall consider it. Md. Rule 8-131.

*290Md. Rule 4-343(e) requires that, in a death penalty sentencing proceeding, the findings and determinations shall be made in the form set forth in the rule. As we have indicated, that form is cast in the singular, as though there was but one victim and thus one murder. Obviously, as the court below recognized, it cannot be used singularly, without some modification, in a multiple murder case where the defendant, under the holdings in Evans and Grandison, supra, faces the prospect of more than one death sentence.

Both the State and the defendant are entitled to have a sentence determined, in accordance with the statute, for each crime subject to the death penalty, and, if the defendant has elected to have a jury determine those sentences, it is the jury that must do so. It is the court’s function to develop a form that enables the jury to make the requisite findings with respect to each crime—whether the defendant was a principal in the first degree, which, if any, aggravating factors exist, which, if any, mitigating factors exist, whether the aggravating factors outweigh the mitigating factors, and what the sentence should be. In the absence of an alternative form in Rule 4-343 usable in multiple-murder situations, the court may discharge that function by using a separate form for each murder or by devising, preferably with the assistance of counsel, one comprehensive form, whichever appears more appropriate and easy for the jury to understand.7

The form used in this case, which was consistent with the instructions given to the jury, was inappropriate and, indeed, unnecessarily engendered the very issue we are now facing. At the very least, it permitted appellate counsel to engage in the speculations set forth in the brief. At worst, had there been any prospect of either an aggravating or a mitigating factor peculiar to one victim but not the other or anything that could reasonably have caused the jury to reach a different balance in the weighing process, from one victim to *291another, it would have required that we vacate both death sentences and remand for resentencing. On this record, however, we are convinced, beyond any reasonable doubt, that the error does not require the vacation of both death sentences.

The jury determined that appellant was a principal in the first degree as to both murders.8 The two aggravating factors that it found necessarily applied to both victims; there was no basis for it to have found that either factor applied to one victim (or murder) but not the other. The one mitigating factor that the jury found to exist necessarily applied with respect to both murders; the five mitigating factors it found, unanimously, not to exist applied to both victims or murders; and the one interlineated group of mitigating factors that one or more but fewer than all jurors found to exist was peculiar to appellant and therefore necessarily applied to both victims or murders.

The only factor that conceivably, though tenuously, could have been peculiar to one murder was that the murder was committed while appellant’s capacity to appreciate the criminality of his conduct or to conform his conduct to the requirements of law was impaired—a factor found by one or more but fewer than all of the jurors. But even the juror or jurors who found that factor to exist, whether as to one or both of the murders, also found that the aggravating factors outweighed all of the mitigating factors and therefore found death to be the appropriate sentence.

On this record, there can be no question but that all 12 jurors, after weighing the aggravating and mitigating factors that they found to exist, concluded that appellant should be put to death for at least one, if not both, of the murders. The *292notions asserted in appellant’s brief that the jury may have returned two life sentences had it used separate forms to record its decisions have utterly no basis in fact and are no more than unsupported conjecture and speculation.

While multiple death sentences are permissible, obviously only one can be carried out. As both sentences are otherwise unimpeachable, we believe that the appropriate remedy here, in light of the jury’s determination that “the sentence” shall be death, is to vacate one of the sentences in favor of life imprisonment9 but to allow the other sentence to remain undisturbed. Such a remedy is not arbitrary or capricious, as claimed by appellant, but rather effectuates the clear intent and determination of the jury. Because the jury found appellant eligible for the death sentence as to both murders and declared unanimously that the death sentence should be imposed, it makes no difference which sentence we vacate. We shall affirm the sentence imposed on Count One—the murder of Mr. Davis—vacate the death sentence imposed on Count Four, and, in accordance with § 414(f) of article 27, remand that count for entry of a sentence of life imprisonment.

B. Voir Dire Examination

Among the questions submitted by appellant for voir dire examination were five concerning child abuse. They asked, among other things, what rights parents have in being able to discipline their children, whether a parent had the right to use corporal punishment, and how the juror defined child abuse. The fourth question in the series was:

“In considering whether to impose a life sentence with or without the possibility of parole or a death sentence, would you be able [to] consider as mitigating the fact that [appellant] was abused as a child?”

*293The court declined to ask any of the questions concerning child abuse on the ground that “they are either in the form of jury instructions or they are so general as to not be appropriate.” The court had included in its own voir dire questions whether, if evidence was presented at the sentencing hearing of appellant’s family background and social history, the jurors would be able to weigh it fairly with all other evidence presented. The court informed counsel that, if any juror answered that question in the negative, it would allow followup questions to that juror, but it would not allow follow-up questions to a juror responding in the affirmative. In fact, five jurors answered “no” to the court’s question, and all were stricken.

Appellant now complains that the court’s question was inadequate and that it was error for the court to decline to ask the fourth question he submitted. Though acknowledging that the scope and content of voir dire examination is largely within the discretion of the trial court, he avers that his question was framed to identify jurors “with a bias that is cause for disqualification” and that, as a result of the court’s refusal to ask it, “one or more of the jurors may have refused even to consider, as a mitigating factor, evidence that [appellant] was abused as a child.”

The issue raised by appellant is controlled by the confluence of three well-established principles. The first is that the scope of voir dire and the form of the questions asked indeed “rests firmly within the discretion of the trial judge.” Davis v. State, 333 Md. 27, 34, 633 A.2d 867, 870 (1993); see also Hill v. State, 339 Md. 275, 279, 661 A.2d 1164, 1166 (1995). The second is that the sole purpose for the inquiry is to establish cause for disqualification. Questions “which are speculative, inquisitorial, catechising or ‘fishing’, asked in the aid of deciding on peremptory challenges” may be refused by the court, in its discretion. Davis, supra, 333 Md. at 34-35, 38, 633 A.2d at 871. Finally, in the same manner as instructions to the jury under Md. Rule 4-325(c), the court need not ordinarily grant a particular requested instruction “if the matter is fairly covered by instructions actually given.” See Davis, supra, 93 Md.App. *29489, 111-12, 611 A.2d 1008, 1018-20 (1992), aff'd, 333 Md. 27, 633 A.2d 867 (1993); Carter v. State, 66 Md.App. 567, 577, 505 A.2d 545, 550 (1986).

Appellant’s conclusion that his proposed question sought to identify a disqualifying bias follows from the premise that the sentencer may not refuse to consider as a mitigating factor “any relevant aspect of the defendant’s character or record ... that the defendant proffers as a basis for a sentence less than death.” Grandison, supra, 341 Md. at 245, 670 A.2d at 431. His syllogism seems to be: (1) questions seeking to discover a cause for disqualification must be allowed; (2) the jury may not refuse to consider, as a mitigating factor, any relevant aspect of his record; (3) the fact that he was a victim of child abuse is a relevant aspect of his record and therefore may be considered as a mitigating factor; (4) any juror who would refuse to consider child abuse as a mitigating factor would be disqualified for bias; therefore (5) his question sought to discover a cause for disqualification and thus had to be allowed.

It is a neat syllogism, but it overlooks one critical consideration. As Grandison points out, jurors in a capital sentencing proceeding are permitted to consider, as a mitigating factor, “any relevant aspect of the defendant’s character or record and any of the circumstances of the offense that the defendant proffers as a basis for a sentence less than death.” Id. That is not license, however, to question prospective jurors, on voir dire, as to their views on each and every aspect of the defendant’s character or each and every circumstance of the offense that the defendant may decide, at some point in the trial or sentencing proceeding, to present. Those kinds of considerations are best left to the court’s instructions.

We touched on this in Evans, supra, 333 Md. 660, 637 A.2d 117, where the defendant complained, among other things, about the court’s refusal to ask jurors whether the fact that he had been convicted of two first degree murders would cause them to vote automatically for the death penalty, regardless of the facts. In finding no error, we observed, at 676, 637 A.2d *295at 125, that, in presenting an important aggravating factor in a voir dire question, Evans had “stepped beyond a standard bias inquiry and essentially asked that the prospective jurors provide advance clues as to how they would vote based on the facts of this case.” That, we held, was “beyond the scope of proper voir dire.” Id.

The same principle applies here. A defendant has no right to question prospective jurors, under the guise of searching for disqualifying bias, to see who might be receptive to any of the myriad of potential mitigating factors he or she may choose to present. Cf. Hunt v. State, 321 Md. 387, 417-18, 583 A.2d 218, 232-33 (1990). Appellant was assured, through the question the court did ask, that the jurors would be able to weigh fairly, along with the other evidence, his family background and social history, and that was sufficient for the purpose.

C. Continuance

The jury returned its verdicts of guilty just before 4:00 p.m. on Friday, March 22,1996, and was excused until the following Wednesday, March 27. Two weeks earlier, on March 8, defense counsel obtained a copy of the pre-sentence investigation report prepared by the Division of Parole and Probation but had received from the State no other material with respect to sentencing. The court directed the State to provide whatever documents it intended to use by the afternoon of March 22, and, with one exception, it did so. It turned over to defense counsel seven victim impact letters written by various members of the Davis family.10 On March 25, it gave counsel an additional three-page victim impact statement.

When court resumed its session on Tuesday, March 26, to consider various motions, defense counsel again complained *296about receiving the victim impact statements so late and requested a continuance. After some discussion, the court resolved the issue by precluding the State from offering any of the letters, allowing it to call one witness, the Davises’s granddaughter, Patricia Bradfield, and limiting her testimony to the life of the victims and the impact of the crimes on her and her family. That, indeed, is what occurred. The next day, March 27, Ms. Bradfield testified briefly about her age, marital and family status, that her grandfather was a decorated war hero and later a firefighter for 27 years, about the kind of persons he and his wife were, about their relationship with Ms. Bradfield’s mother and siblings, and the impact their deaths had on the family. She was not cross-examined, and her entire testimony consumed less than 12 pages of transcript.

Appellant now complains that the denial of his request for continuance was an abuse of discretion because it left his attorney no time to “integrate” Ms. Bradfield’s testimony into his defense or to converse with the other family members who had written letters. We find no such abuse in the court’s handling of the matter.

D. Presumption as to Appropriate Punishment

Appellant sought the following instruction at the sentencing proceeding, which the court refused to give:

“As in [a] criminal prosecution where the defendant is presumed innocent unless proven guilty beyond a reasonable doubt, there is a presumption in a capital murder case that the appropriate punishment is life imprisonment rather than death. Unless and until that presumption is overcome by the State’s evidence of an aggravating circumstance, you should enter a sentence of life imprisonment.”

In attempting to analogize the sentence in a death penalty case with the presumption of innocence, appellant relies on Williams v. State, 322 Md. 35, 585 A.2d 209 (1991). His posited analogy is devoid of merit.

*297In Williams, the court explained to the jury that the State had the burden of proving the defendant’s guilt beyond a reasonable doubt but, in light of that instruction, refused to tell the jury that the defendant was presumed to be innocent. We reversed. Relying in part on Taylor v. Kentucky, 436 U.S. 478, 98 S.Ct. 1930, 56 L.Ed.2d 468 (1978), we concluded that, because the notion of that “presumption” is such a core part of our jurisprudence and serves to introduce or help explain the State’s burden of proof, it should be given, upon request.

The “presumption” of innocence is essentially the mirror image of the State’s burden to prove guilt beyond a reasonable doubt. There is no analogy between that and the determination of an appropriate sentence in a death penalty case. The State does not have to prove beyond a reasonable doubt that the death penalty should be imposed. It has to prove, beyond a reasonable doubt, one or more qualifying aggravating factors, but once it does so, the defendant must then establish, by a preponderance of evidence, one or more mitigating factors against which the aggravating factors are to be weighed. There is no presumption in favor of life imprisonment.

E. Judge Selection Process

At some point in the past, former Chief Judge Murphy apparently requested of the various circuit administrative judges that death penalty cases not be assigned to circuit court judges who had not taken a special course offered by the Maryland Judicial Institute in the handling of such cases. The request, no doubt, stemmed from a recognition of both the importance and complexity of these kinds of cases and a desire that, to the extent practicable, judges trying them be alerted to some of the special problems and procedures they likely will encounter. The request was never in the form of an administrative order or binding directive and has not been universally followed. The course offered by the Judicial Institute is not intended—and there is no evidence that it is effective—to make judges who take it more prone to favor or *298impose capital punishment; its purpose is strictly educational, to assist judges in avoiding the commission of reversible error in these procedure-laden, hard-fought cases. Appellant finds a nefarious purpose in that laudable goal. We do not.

This case was initially assigned to Judge Thomas P. Smith. In July, 1995, Judge Smith informed the administrative judge that he had not taken the special course and asked that the case be reassigned. That was done; in August, the case was assigned to Judge Platt, who had taken the course.

On September 29, 1995, appellant filed a number of motions to strike the State’s notice of intent to seek the death penalty, which had been filed on July 13, 1995, along with a memorandum of law supporting those motions. Nothing was said, in either the motions or the memorandum, about the reassignment of the case to Judge Platt or about Chief Judge Murphy’s request that death penalty cases be assigned only to judges who had taken the special Judicial Institute course.

On March 13, 1996, for the first time, defense counsel asserted that, of the 20 circuit court judges in Prince George’s County, only six had taken the course and, without any evidence to support the proposition, expressed his personal belief that those six judges, because they volunteered to take the course, “are more inclined to have a personal affinity toward the implementation of the death penalty sentence____” That, he asserted, inhibited appellant in his choice of whether to have a jury or a non-jury trial. In response, Judge Platt, going well beyond what was necessary, subjected himself to the same voir dire questions that he allowed be asked of the prospective jurors.11 The answers revealed no predilection toward imposing the death penalty, and no request was made to have the case assigned to any other judge. The motion to *299strike the notice of intent to seek the death penalty was denied.

Appellant complains to us that “[t]he effect of making death penalty training a prerequisite to presiding in a death penalty case is the creation of an unrepresentative group that systematically tilts a defendant’s election away from choosing a judge as senteneer.” There is absolutely nothing in this record to support such a statement. Even if we were to regard Chief Judge Murphy’s request as a “prerequisite,” which, as noted, it is not, there is no evidence that an “unrepresentative group” has been created or that it has “systematically tilt[ed]” a defendant’s election between a court or jury trial.

F. Unconstitutionality of Death Penalty Statute

Appellant’s final argument is that the Maryland death penalty law is unconstitutional because (1) it requires the defendant to establish mitigating circumstances, (2) it requires defendants to establish that non-enumerated mitigating circumstances are, in fact, mitigating, and (3) requires the State to prove that the aggravating circumstances outweigh the mitigating circumstances by only a preponderance of the evidence, rather than by clear and convincing evidence. We considered and rejected those same arguments on a number of earlier occasions, most recently in Perry v. State, 344 Md. 204, 686 A.2d 274 (1996), cert. denied, -— U.S. -, 117 S.Ct. 1318, 137 L.Ed.2d 480 (1997). See also Grandison, supra, 341 Md. 175, 670 A.2d 398.

JUDGMENTS OF CONVICTION AFFIRMED; SENTENCE OF DEATH ON COUNT ONE AFFIRMED; SENTENCE OF DEATH ON COUNT FOUR VACATED; CASE REMANDED FOR ENTRY OF SENTENCE ON COUNT FOUR OF LIFE IMPRISONMENT.

BELL, C.J., dissents.

CHASNOW, J., concurs and dissents.

. Defense counsel later asserted that Travis did not mention getting high in his testimony before the grand jury because he was never asked about it.

. No evidence was presented as to whether the victims knew appellant. In preparation for the sentencing proceeding, the State obtained certain written victim impact statements from members of the victims’ family which, according to the prosecutor, indicated that the victims did know appellant and that appellant often visited the victims’ home. Those written statements contained other material that the court found objectionable, however, and they were excluded from evidence. The only victim impact evidence allowed was testimony from the Davises’ granddaughter. She was not asked and did not volunteer whether the Davises knew appellant.

. We have never definitively ruled on whether, under existing Maryland common law, a murder committed in the perpetration of a felony other than one qualifying as a basis for first degree murder constitutes a separate method of committing second degree murder, and we have no occasion to do so here. See, however, Hook v. State, 315 Md. 25, 43 n. 21, 553 A.2d 233, 242 n. 21 (1989); Campbell v. State, 293 Md. 438, 444 A.2d 1034 (1982); Jackson v. State, 286 Md. 430, 408 A.2d 711 (1979); *275Glenn v. State, 68 Md.App. 379, 386, 511 A.2d 1110, 1114, cert. denied, 307 Md. 599, 516 A.2d 569 (1986).

. In a normal felony murder case, there may be no occasion for a second degree murder instruction of any kind because all murder committed in the course of one of the enumerated felonies is first degree murder. See Goodall v. United States, 180 F.2d 397, 400 (D.C.Cir.), cert. denied, 339 U.S. 987, 70 S.Ct. 1009, 94 L.Ed. 1389 (1950). That principle would not necessarily apply, however, when a defense is generated to the underlying felony, including, for example, evidence of intoxication sufficient to negate a requisite intent. See *281Government of Virgin Islands v. Carmona, 422 F.2d 95, 100 (3d Cir. 1970), Jackson v. United States, 313 F.2d 572, 572 (D.C.Cir.1962), People v. Paul, 395 Mich. 444, 236 N.W.2d 486, 488 (1975). In those situations, instructions on lesser degrees of murder, or even manslaughter, may be appropriate.

We need not determine here whether Burch was entitled to a second degree instruction because he received one. He also received an instruction on an intoxication defense. We simply hold that, under the evidence in this case, he was not entitled to a depraved heart instruction.

. The court added that, if appellant used greater force than a reasonable person would have used, but he actually believed that the force used was necessary, his actual, though unreasonable, belief also is a partial self-defense. That part of the instruction is not in issue in this appeal.

. By addressing the issue raised by appellant, we are not suggesting, much less holding, that, as a burglar, appellant had any right even to claim self-defense—of either the traditional or partial variety. As Crawford, supra, makes clear, a homeowner confronted with an attack upon his or her dwelling has the right to use deadly force against the intruder if necessary to repel the attack. If there is the right to kill under that circumstance, it is certainly arguable that there cannot be a right by the intruder to use deadly force in response. There is some authority for the proposition that, if the intruder unmistakably withdraws from the encounter and effectively communicates the intent to do so, the homeowner may not thereafter use deadly force, for there is no longer an attack to repel. Rollin M. Perkins, Perkins on Criminal Law 1006 (2d ed.1969). That circumstance is not presented in this case, however, for there is no evidence indicating that appellant ever attempted or communicated an intent to withdraw when confronted by Mr. Davis. He did, nonetheless, receive self-defense instructions; our only concern is with the challenged language used in the partial self-defense instruction, and that is all we intend to address.

. With the filing of this Opinion, we request the Court's Standing Committee on Rules of Practice and Procedure to attempt to develop and propose for our consideration a form usable in such situations.

. The court instructed the jury that, in order to determine that the death sentence should be imposed, it must find that appellant was a principal in the first degree as to both murders. That was erroneous. If appellant was a principal in the first degree with respect to either murder, he would have been eligible for the death penalty as to that murder. The error, however, is clearly harmless as to appellant; he got more, not less, than was his due.

. Section 414(f) of article 27 permits only three options with respect to our review of a death sentence: affirm the sentence, set it aside and remand for the conduct of a new sentencing proceeding, or set it aside “and remand for modification of the sentence to imprisonment for life."

. The court actually directed the State to turn the material over by 4:15. Defense counsel later complained that some of it was not delivered to his office until about 6:30. That complaint is not pursued in this appeal.

. Confirming the view expressed in Matthews v. Evatt, 105 F.3d 907, 922 (4th Cir.1997), "[w]e are aware of no authority, federal or state, that requires a trial judge to submit to voir dire examination.” See also State v. Matthews, 296 S.C. 379, 373 S.E.2d 587, 590 (1988), cert. denied, 489 U.S. 1091, 109 S.Ct. 1559, 103 L.Ed.2d 861 (1989).