We address once again an area of the law of evidence with which the bench and bar appear to have continuing difficulty: the so-called similar-acts rule.1
Defendant was convicted by a jury on May 6, 1977, of first-degree murder and sentenced to life imprisonment. The Court of Appeals affirmed the conviction in a published opinion,2 prompting the defendant to file a request for review.3 In response, by order dated November 2, 1979, this Court appointed counsel to prepare and file an application for leave to appeal.
The single issue meriting attention is whether the trial court erred in admitting evidence of a separate and uncharged crime. After careful consideration we have concluded that the admission of the evidence was prejudicially unfair to the defendant and, pursuant to GCR 1963, 853.2(4), in lieu of granting leave to appeal, we reverse the decision of the Court of Appeals.
On November 1, 1976, a neighbor found Donald Mitchell’s body in the den of Mitchell’s condominium in the City of Novi. A 49-year-old bachelor, Mitchell had been strangled with his own bathrobe tie. He had been seen alive by his employer on October 29, 1976. Several items were missing from *305the condominium including a barometer, Fisher stereo speakers, a checkbook, and a credit card. Mitchell’s 1976 yellow Lincoln Continental automobile was also gone. The house was not in disarray, there was no sign of a break-in, and the neighbor who discovered the body had to use a key to enter the premises.
On October 30, 1976, the defendant, Golochowicz, appeared in Detroit at the home of Paul O’Clare and his brother Dennis. Defendant was driving Mitchell’s yellow Lincoln Continental and was also in possession of a pair of Fisher stereo speakers, a barometer and a checkbook, all identified at trial as belonging to the victim. The defendant later sold the year-old Lincoln Continental for $175. He also sold the vehicle’s spare tire, the stereo tape deck from the vehicle, the Fisher speakers and the barometer. He wrote three personal checks on the victim’s account and used the victim’s credit card to purchase a clock-radio.
The O’Clares both testified that on October 30, 1976, the day of his visit to them, the defendant offered to sell a Quasar television set and a Fisher stereo set to the O’Clares if they would accompany him to obtain the items. Paul O’Clare testified that the defendant claimed the items were in a condominium in the "Pontiac-Novi” area. The O’Clares declined the invitation.
At the time Mitchell’s body was discovered, a Fisher stereo set and Quasar television set were in the condominium. There was expert opinion testimony at the trial that fingerprints found in Mitchell’s home were the defendant’s.
On the basis of the so-called similar-acts statute, MCL 768.27; MSA 28.1050, the Michigan Rules of Evidence not having been adopted at the time of the trial, the prosecutor was able to introduce, *306over defense objection, the following testimony of Dennis O’Clare: On about November 4, 1976, the defendant contacted O’Clare and inquired whether he was interested in purchasing a Sony television set. O’Clare said he was interested. That prompted numerous telephone calls from defendant through the course of the night, encouraging O’Clare to obtain transportation so that the two of them could go to a certain location to examine the television set. Finally, at about 5 a.m., O’Clare took his roommate’s car and drove to the defendant’s home, and the two proceeded to a house on Muirland Street in Detroit where the defendant claimed the television set was located. After parking the car in the garage at defendant’s direction, O’Clare followed defendant to the back door of the house. Defendant opened the door without a key and told O’Clare to sit down in the living room, not to touch anything, and not "to go roaming” about. Defendant then went upstairs.
O’Clare testified that he went into the kitchen, turned on a light and, looking into the basement, saw a pool of blood at the bottom of the stairs. He went downstairs and discovered a man’s body lying face down with an electrical cord "coming from either side of his neck”. O’Clare further testified:
"Uhmmm, I went back upstairs. I yelled for Jerry and he couldn’t hear me. He was up on the second floor. So, like, I met him on the staircase of the second floor, just off the second floor landing, and he was carrying some — he had some guns he had taken out of a gun rack. I told him to set them on the floor. I told him, 'Come here. I saw a man lying on the floor.’ I said, 'I see someone on the floor. Somebody’s been killed on the floor.’ He just looked at me. I said, 'Come on. Just leave the stuff. Come here. I want to show you.’ We went back down the staircase and went down. We got half*307way down the stairs and I leaned over to show him. You could see the man’s legs halfway down the stairway — that’s when I first noticed him — but you couldn’t see any further than the man’s legs. He leaned over and said, 'Oh, let’s get out of here.’ ”4
The pair did not leave the home immediately. At defendant’s insistence, he and O’Clare removed the television set, some guns and calculators, lamps, and a number of other items from the home and put them in their car before finally leaving.
O’Clare testified further that the next day, while he and the defendant were driving to a pawn shop to sell some of the stolen goods, the defendant admitted that he had killed the man on Muirland Street and described how he had done so by beating the man over the head and then strangling him with an electrical cord from a coffee pot. Then, almost immediately, according to O’Clare, defendant denied that he had done it.
I
The question presented is whether the trial court committed reversible error in allowing into evidence Dennis O’Clare’s testimony concerning the Muirland Street homicide and related events, including defendant’s admission. The prosecutor offered this testimony pursuant to MCL 768.27; MSA 28.1050, which provides:
"In any criminal case where the defendant’s motive, intent, the absence of, mistake or accident on his part, or the defendant’s scheme, plan or system in doing an act, is material, any like acts or other acts of the defendant which may tend to show his motive, intent, the absence of, mistake or accident on his part, or the defendant’s scheme, plan or system in doing the act, in *308question, may be proved, whether they are contemporaneous with or prior or subsequent thereto; notwithstanding that such proof may show or tend to show the commission of another or prior or subsequent crime by the defendant.”
At the outset it should be recognized that this statute and its successor, MRE 404(b), stand as exceptions to the general rule of inadmissibility of evidence of a defendant’s other crimes. The policy consideration underlying genéral exclusion of similar bad-acts evidence for substantive purposes is the desire to avoid the danger of conviction based upon a defendant’s history of other misconduct rather than upon the evidence of his conduct in the case in issue.5
Given the potential for prejudice which inheres in the admission against a defendant of evidence of similar uncharged bad acts, the statutory and decisional exceptions to the general rule of exclusion of such evidence have been confined to a few narrowly defined circumstances and are required to meet a number of evidentiary safeguards to warrant proper admission into evidence. Those *309safeguards, accurately summarized by the Court of Appeals in People v Wilkins, 82 Mich App 260; 266 NW2d 781 (1978), and adequately supported by citation to precedent from this Court, required at the time of trial that before evidence of the defendant’s other misconduct may be admitted: (1) there must be substantial evidence that the defendant actually perpetrated the bad act sought to be introduced;6 (2) there must be some special quality or circumstance of the bad act tending to prove the defendant’s identity or the motive, intent, absence of mistake or accident, scheme, plan or system in doing the act and, in light of the slightly different language of MRE 404(b) we add, opportunity, preparation and knowledge; (3) one or more of these factors must be material to the determination of the defendant’s guilt of the charged offense; and (4) the probative value of the evidence sought to be introduced must not be substantially outweighed by the danger of unfair prejudice.
A
Applying the first of these safeguards to the present case, we find that there was substantial evidence that defendant killed the man found at the Muirland address. Testimony concerning the defendant’s familiarity with the premises, the fact that he was aware that he could enter the Muir-land home without a key, his instructions to witness Dennis O’Clare not to touch anything and not to roam about the house, his reaction upon being confronted with the fact that a dead man was lying in the basement, the subsequent removal of *310the deceased’s possessions, and finally the defendant’s admission, all combine to create a strong inference that defendant had previously been on the premises and had killed the man found in the basement.
B
The second and third of the safeguards described above present a more difficult problem.
The "special circumstance” of the second requirement refers to the relationship between the charged and uncharged offenses which supplies the link between them and assures thereby that evidence of the separate offense is probative of some fact other than the defendant’s bad character. Here, that fact is the identity of Mitchell’s killer, and the link is said to be the alleged uncommon similarity of the facts and circumstances surrounding the manner in which the two victims were killed, including the facts relating to the defendant’s access to the two residences and his theft and disposition of the victims’ property.
Where, as in this case, the only conceivable justification for admission of such similar-acts evidence is to prove the identity of the perpetrator, the link is forged with sufficient strength to justify admission of evidence of the separate offense only where the circumstances and manner in which the two crimes were committed are "[s]o nearly identical in method as to earmark [the charged offense] as the handiwork of the accused. Here much more is demanded than the mere repeated commission of crimes of the same class, such as repeated burglaries or thefts. The [commonality of circumstances] must be so unusual and distinctive as to *311be like a signature.” McCormick, Evidence (2d ed), § 190, p 449.7
It is because of the combined value of those two factors, the unique and uncommonly distinctive style employed by the defendant in committing the "substantially proved” uncharged similar oifense, and the same distinctive modus operandi employed in the charged oifense, that the jury is permitted to infer, if it believes the evidence, that both crimes were the handiwork of the same person, the defendant.8
It will not suffice that the "like act” be simply another crime of the same general category or even of the same specific character. It will not do simply to show, for example, that the defendant committed another murder. That information is likely to be used by an ordinarily reasonable juror for the very purpose for which evidence of bad character is required to be excluded, to show that *312the accused is a bad person who has murdered before and to invite the inference that he probably did so in this case. It is the uniqueness and the distinctiveness with which both crimes were committed, combined with the proof that the defendant committed the "like act”, that is the key. On that point this Court recently stated:
"It is the distinguishing characteristics which constitute the acts as similar within the meaning of MCL 768.27 and MRE 40403), not the fact that all constitute the same crime or are violative of the same statute. The distinguishing, peculiar or special characteristics which are common to the acts and thus personalize them are said to be the defendant’s 'signature’ which identifies him as the perpetrator * * *.” People v Major, 407 Mich 394, 398-399; 285 NW2d 660 (1979).
Consequently, if the trial court determines that there is substantial evidence that the defendant in fact committed the other or uncharged crime, it must then turn to the task of determining whether the manners or systems employed by the perpetrator of the uncharged crime and the crime in question were sufficiently "like” or "similar” and involved such distinctive, unique, peculiar or special characteristics as to justify an ordinarily reasonable juror to infer that both were the handiwork of the same person. If the trial court concludes the evidence is of that character, it may be admitted. If not, it is excluded. This is the essence of the second requirement of Wilkins, supra. We turn now to determine whether that requirement was met in this case.
Here a word is in order concerning the requirement that one or more of the distinctly different purposes named in the statute and evidence rule for the admission of similar-acts evidence must be *313material to assist, it is hoped, the bench an«i bar in understanding the analytical process which should inform the decision to admit or reject such evidence.
MCL 768.27; MSA 28.1050, now supplanted by MRE 404(b), declares that
"like acts or other acts of the defendant which may tend to show his motive, intent, the absence of, mistake or accident on his part, or the defendant’s scheme, plan or system in doing the act, in question, may be proved [in any criminal case in which one or more of those factors, are material].”
The now applicable Michigan Rule of Evidence, 404(b), is somewhat different and adds to the foregoing factors four more: "opportunity”, "preparation”, "knowledge”, and "identity”.
The comparable Federal Rule of Evidence, 404(b), is still different. It lists most of the factors stated in our statute and evidence rule except that it refers only to "plan” instead of "scheme, plan or system in doing an act”.
Of the factors listed in our statute, rule, and decisions, it should be understood that not all are on the same plane.
As noted in Stone, The Rule of Exclusion of Similar Fact Evidence: America, 51 Harv L Rev 988, 1026, fn 190 (1938):
"Intent, absence of mistake, and identity are facts in issue — facta probanda. Motive, plan, or scheme are facta probantia, and may tend to show any facta probanda.”
Thus it becomes clearer that while evidence of similar acts might be offered to prove intent, absence of mistake or accident, or identity directly, *314evidence of plan, scheme or system in doing an act might be directly in issue or might be provable as the threshold evidence from which could be inferred the identity of the perpetrator as the ultimate point to be proved.
No conceptual template can be constructed by any appellate court by which trial courts and counsel can mechanically test which, if any, of the purposes described above are material within the meaning of our statute or rule. It is for the trial judge, upon close inquiry of counsel, in the absence of the jury, to satisfy himself, and, in the process, create an appellate record, that one or more of the named factors are material.
When requesting admission for substantive purposes of evidence of other misconduct by the defendant, the prosecutor’s first duty is to identify, with specificity, the purpose for which such evidence is admissible by identifying which of the purposes named in MRE 404(b) justifies admission of such evidence as "material”. While in some instances the evidence might be admissible for more than a single purpose, ordinarily that is not the case. Usually, only one among the several purposes described in the rule is material to the case and justifies admission of such evidence. Consequently, if the prosecutor does not announce the purpose for which the evidence is offered, the trial judge should require the prosecutor to identify the specific basis in the rule justifying its admission: to show motive, opportunity, knowledge, preparation, intent, the absence of mistake or accident on the part of the defendant, or to prove the defendant’s scheme, plan or system in doing an act, or because scheme is itself directly material, or because it tends to prove the defendant’s identity as the perpetrator of the crime in question.
*315Experience in the trial courtroom and review of trial records on appeal suggests rather incontrovertibly that, when asked by the trial judge to specify the grounds for admission of similar-acts evidence, prosecutors often loose a "shotgun” fusillade of reasons which typically include most, if not all, of the purposes named in the statute.9 Such a response hints, of course, if it does not demonstrate, that the prosecutor has an inadequate understanding of the correct application of the rule and is unclear as to precisely why the evidence is or is not admissible.
Similarly, trial judges, when admitting evidence of other crimes, should avoid doing so with the vague justification that "I’ll let it in for what it is worth”, or "I’ll allow it to show plan, scheme or system” when that is the basis suggested by the prosecutor, without requiring a showing by the prosecutor as to how such evidence is relevant to show plan, scheme or system, or how plan, scheme or system is material to the case, or, most importantly, whether the evidence, if indeed relevant and material, is not more unfairly prejudicial than probative of the proposition for which it is offered.
As we have said before, evidence of other misconduct is not admissible in this state to negate mistake or accident, to prove motive, to show intent, to demonstrate the defendant’s plan, *316scheme or system, or to prove his identity, unless one or more of those factors are genuinely in issue —not "in issue” in the sense that criminal intent, identity, motive, lack of accident or some criminal plan are nearly always in issue to some greater or lesser degree in every case, but in issue or "material” in the sense that they are genuinely controverted matters. A genuine controversy exists concerning such matters when the defendant, either by counsel’s opening statement, a motion in limine, the nature of cross-examination by the defense, or evidence offered by the defense, has made one or more of them an issue actually disputed in the case.
In the case at bar, a motion for mistrial was made by defense counsel because the prosecutor, in his opening statement, detailed the evidence he intended to introduce concerning the defendant’s alleged guilt of the Muirland Street killing. When the mistrial motion was denied, defense counsel objected to the admission of evidence of the killing and the activities relating to the theft and sale of that victim’s property.
The prosecutor insisted, however, that the evidence was admissible under the "similar-acts statute”. In the course of his argument in support of the mistrial motion, defense counsel stated:
"I would like to know before we proceed further what the materiality and what particular fact [the prosecutor] is trying to prove”.
The prosecutor, in answer, named virtually all of the purposes which appear in the statute as well as the separate purpose of proving identification:
’’[The Prosecutor]: All right. Under 766.27 [sic], the *317people are allowed to use, from want of a better term, similar acts. Under that statute—
"The Court: It’s the same as 728.1050 [sic]?
’[The Prosecutor]: I have the MCLA cite. It states you can use that to show motive and intent.
"We have an open murder charge and the court is well aware of the definition of murder, arid it is the intention of killing another human being with malice aforethought. The Detroit homicide tends to be relevant as to justiñcation or accident, and also the defendant’s plan, scheme or system in doing an act.
"Here we have the defendant going to another home in Detroit and removing property from the home in Detroit with a Mr. O’Clare, and we return to our crime, the instant crime before the court. We do not have an eyewitness, but a homicide by ligature strangulation by the same kind found in Detroit, and the defendant is found with various items of personal property of the deceased. I state that goes to the plan or system of committing this crime. ” (Emphasis added.)
and,
"Once again we can use this pattern in Detroit to establish identification of the Novi homicide because once again the Novi, we have no eyewitness. We have circumstantial identification and we can use the plan or system as used in the Detroit homicide to establish identiñcation of the perpetrator of the Novi homicide.” (Emphasis added.)
Despite the prosecutor’s protestations that the evidence was admissible "to show motive and intent” and that the "Detroit homicide tends to be relevant as to justification or accident”, there was no basis whatever for admission of the evidence to prove motive or intent or to show justification or accident. There was no issue raised on the evidence in the case concerning the defendant’s intent to justify admission of the similar-crime evi*318dence on that ground. He did not, for example, claim accident, self-defense, insanity, or some other state of mind which suggests an innocent killing.
As the prosecutor appears ultimately to have recognized, the evidence of the Muirland Street killing could be admissible, if at all, only as tending to prove the identity of the killer of the deceased, Mitchell.
C
No eyewitnesses were able to place the defendant at the scene of the homicide in Novi at the time the deceased was killed. There was no direct evidence that the defendant was the killer. The identity of the killer was a critical element of the prosecution’s case. The only evidence pertaining to the defendant as the guilty party was entirely circumstantial: fingerprints of the defendant taken from the deceased’s residence, evidence of recent possession by the accused of the deceased’s property, sale of the property, use of the deceased’s credit cards, and the cashing by the defendant of three of the deceased’s checks. While, cumulatively, that was damaging circumstantial evidence pointing rather convincingly toward the accused as the killer and sufficient perhaps to sustain the conviction, it was such as to leave the identity of the killer the most doubtful element of the case and, consequently, a fact very much in issue. It was a point genuinely controverted, particularly in view of the defense counsel’s extensive and probing cross-examination of the fingerprint interpretation expert witnesses, whose testimony sought to place the accused at the scene of the killing, although whether before, during, or after the killing was not clear.
*319Clearly then, because the identity of Mitchell’s killer was material in the sense that it was a matter genuinely controverted, the issue of the applicability of the similar-acts statute was introduced into the case. Thus, the third safeguard was satisfied.
D
However, the fact that the killer’s identity was genuinely in issue and therefore material was not, of itself, a ticket for admission of evidence of the Muirland Street homicide and the circumstances surrounding it as proof of identity.
It was required, in addition, as we have indicated, that the court find from the evidence that the circumstances of the commission of the crime in question and that to which it was being compared as "like” or "similar”, both bore such unique, uncommon, and distinctive characteristics as to suggest the handiwork or signature of a single actor, the defendant.
In the case before us, we think distinctiveness of that quality was not shown.
Certainly there are features of commonality in the crimes, and with effort one can construct a list of similarities both as to what occurred and what did not occur.10
*320In both of the homicides, the victims were found dead with household items left wrapped around their necks, suggesting strangulation. In both cases, the defendant was seen in possession of the decedent’s personal property shortly after the homicide. In both cases, the defendant offered for sale a television set located at the premises of the deceased which would have to be retrieved with the help of another person. In both cases, other possessions of the deceased were offered for sale or stored at the same location. These are indeed similarities in the circumstances of the two homicides.
There are differences, however.
The defendant was on trial for murder. While the overall circumstances surrounding the commission of both crimes are relevant as bearing upon a common system in their commission, particularly the theft and subsequent sale of the deceased’s personalty, we look first to determine the degree of similarity and the uniquely distinguishing characteristics of the manner of commission of the crime charged — the homicide.
The evidence shows that the deceased, Mitchell, was bloodlessly garroted with the belt from his bathrobe. The cause of death, according to the medical examiner, was "asphyxia due to ligature strangulation”.
The deceased whose body was found at the Muirland Street address was discovered lying in "quite a bit” of blood. He had been severely beaten. According to the witness, O’Clare, the defendant stated:
*321'' 'Yeah, I hit him, you know. I hit him. I kept hitting him and, finally, he fell down and he wouldn’t lay there. I kept beating him and I had to run upstairs — I grabbed an electrical cord from a coffee pot and knelt on the back of his head or stood.’ He was holding him from behind the head and strangled him from behind, he said.”
While a factfinder would be warranted in concluding that both of the victims were strangled, the defendant’s statement to O’Clare does not describe the bloodless strangulation which the medical examiner described as the cause of Mitchell’s death.
While in both instances a television set and stereo equipment were stolen from the residence of the deceased, a very considerable amount of other personal property of various kinds was stolen from the two residences ranging from an automobile, a barometer, a credit card and blank checks from the Mitchell residence to lamps, rifle, shotguns, a desk calculator and slide projector from the Muir-land Street residence. The essential similarity between the two crimes then is in the theft and disposition of personal property from the homes of recently deceased bachelors, but there is nothing in the way the two crimes were committed, save the fact that both persons were strangled, although one had first been beaten and the other had not, which necessarily suggests the employment of a special, peculiar, or unique method so distinctive as to mark the killer of both victims as the same person. ,
It is, of course, a matter of judgment whether the fact that two unmarried male victims were both strangled, one bloodlessly and one after a beating, and their personal property of various kinds ranging from an automobile to a desk calcu*322lator stolen from their residences and later sold to friends of the defendant, is evidence of the existence of such distinctive characteristics common to both events as to suggest a personalized modus operandi. We think there was not the requisite "distinguishing, peculiar or special characteristics” of which we spoke in Major, supra. It is a close question, however, and close questions arising from the trial judge’s exercise of discretion on matters concerning the admission of evidence do not call for appellate reversal because the reviewing justices would have ruled differently. Reversal is warranted only if the resolution of the question by the trial court amounted to an abuse of discretion. The decision upon a close evidentiary question by definition ordinarily cannot be an abuse of discretion.11
*323Nevertheless, we conclude without hesitancy that admission of the evidence of the Muirland Street homicide was reversibly erroneous, not because we find an abuse of discretion in the determination that the two crimes were of the requisite similarity and bore the requisite distinctive "signature” of a single actor, but because we are persuaded that the evidence of the uncharged homicide was so unfairly prejudicial when weighed against its limited and tenuous probative worth that, in its admission, the defendant was denied a fair trial.
Because of the familiar rule that evidence of the accused’s uncharged misconduct is inadmissible for *324the unfair damage it is thought to do in most cases, the accused here was entitled to stand trial for the Mitchell killing alone, without introduction of evidence of a separate and uncharged homicide. He was presumptively entitled to have his guilt or innocence of the Mitchell killing determined by a jury evaluating evidence of that case alone, uninfluenced by the distracting, indeed horrifying, evidence of the defendant’s admission of a separate homicide unless, for compelling reasons, evidence of the other crime would be more helpful to assist the jury in determining the identity of the killer than it would be prejudicial to the defendant.
The identity of Mitchell’s killer was in doubt. The prosecutor was relying entirely upon circumstantial evidence that the defendant was guilty. The evidence had to be derived solely from inferences to be drawn from the accused’s unexplained recent possession of the deceased’s car and other items of personal property in circumstances strongly suggesting theft of them, plus the fingerprint expert’s opinion evidence of the defendant’s presence, at some time, inside the deceased’s condominium apartment. The result was that the identity of Mitchell’s killer was the weakest link in the prosecution’s case. For that reason, the prosecutor turned, and understandably so, to evidence of the Muirland Street killing to fortify, with further circumstantial evidence, his claim that the accused was Mitchell’s killer. We do not question the general proposition that similar-acts evidence may be properly admissible for such a purpose. But this case presents the classic example as to why trial courts should be
"stricter in applying [the] standards of relevancy when the ultimate purpose of the [evidence] is to prove identity or the doing by the accused of the criminal act *325charged than they are when the evidence is offered on the ultimate issue of knowledge, intent or other state of mind.” McCormick, Evidence (2d ed), § 190, p 452.
As a general rule, if the evidence of the accused’s identity as the perpetrator of the crime in question is strong or essentially uncontroverted, there is no need for evidence of other crimes to prove identity, which evidence is only circumstantial at best. On the other hand, if evidence of the identity of the criminal actor is weak or tenuous, revelation that he has committed an unrelated similar crime may, by reason of its tendency to distract the jury from the idéntification issue, tempt it to compromise or ignore that critical element of the case while focusing on the clearer proof of the defendant’s other misconduct. The dangerous result may well be, and indeed is likely to be, the jury’s conclusion that whatever the strength of the identification evidence in the case, the defendant is demonstrably a bad person and should be imprisoned anyway.
It is, at least in part, for those reasons that the trial court, when similar-acts evidence is offered to prove identity, should insist upon a showing of a high degree of similarity in the manner in which the crime in issue and the other crimes were committed. We regard the requirement to be a heavy burden upon the prosecution to show that the manner in which the crime charged and the other crimes were committed was marked with special characteristics so uncommon, peculiar and distinctive as to lead compellingly to the conclusion that all were the handiwork of the defendant because all bore his distinctive style or "touch”.
Even where evidence of that distinctiveness is produced, a trial court should be especially alert to the paramount consideration that ruling on the *326admission of such evidence is more a matter of a careful weighing process in the exercise of discretion than the mechanical application of a rule. The overriding policy is to protect the accused from unfair prejudice. That policy can be carried out only if the trial court is alertly sensitive to the need to balance the probative value of the proffered evidence against its prejudicial impact by weighing the likelihood that, as Professor McCormick put it, the jury will "be roused by the evidence to overmastering hostility”.12
In passing upon the admissibility of evidence of similar crimes for the purpose of proving identity especially, the manifest danger of unfairness suggests that the presumptive direction of the trial court’s exercise of discretion should be toward excluding the evidence. An ultimate decision in the opposite direction, to admit the evidence, should be taken only when thé trial court is convinced that the policy of the rule of exclusion will not be offended because, in view of the probative force of the evidence to prove identity, there is little or no danger that the jury, aided by a limiting instruction, will misconstrue the proper purpose of the evidence or, upon learning of the other crime, be stirred by "such passion * * * as to [be swept] beyond a rational consideration of [the defendant’s] guilt or innocence of the crime on trial”.13
In this case, the evidence of the manner of commission of the uncharged homicide, because of its manifest weakness to show the unique and distinctive hand of a single actor in both crimes, had limited probative force as proof of the defendant’s identity as Mitchell’s killer. The inevitable *327countereffect was to heighten the prejudicial impact of the evidence.
On hearing the testimony describing the defendant’s guilt of a separate and uncharged murder, the jurors can only have been deafened to the court’s instruction that the evidence might be considered only as another link in the chain of circumstantial evidence of the identity of Mitchell’s killer and not as a suggestion that the defendant was an admitted murderer and therefore probably guilty of the crime charged. As Justice Cardozo once said of comparably prejudicial evidence in another context, "[t]he reverberating clang of those accusatory words would drown all weaker sounds.” Shepard v United States, 290 US 96, 104; 54 S Ct 22; 78 L Ed 196 (1933).
For these reasons, we conclude that the evidence of the Muirland Street homicide was more unfairly prejudicial than probative of the identity of the deceased’s killer.
Consequently, we reverse the decision of the Court of Appeals, and remand for a new trial.
Kavanagh, Levin, and Fitzgerald, JJ., concurred with Ryan, J.MRE 404(b).
People v Golochowicz, 89 Mich App 57; 279 NW2d 576 (1979).
See Administrative Order 1977-4, 400 Mich lxvii.
Trial transcript, p 174.
"Evidence of other crimes is barred because it has been decided that whatever probative value such evidence has is outweighed by the disadvantage of diverting the trier of fact from an objective appraisal of the defendant’s guilt or innocence. 'This rule of law guards against convicting an accused person because he is a bad man. Barring such evidence prevents the trier of fact from inferring that the accused person is guilty of the charged offense because he has committed other similar acts or crimes.’ People v Matthews, 17 Mich App 48, 52; 169 NW2d 138 (1969).
"It also has been decided, however, that the probative value of such evidence may outweigh the disadvantages where the people seek to use such evidence to show the defendant’s 'motive, intent, the absence of, mistake or accident on his part, or the defendant’s scheme, plan or system in [doing] the act, in question.’ MCL 768.27; MSA 28.1050.” People v DerMartzex, 390 Mich 410, 413; 213 NW2d 97 (1973).
See also People v Dean, 253 Mich 434; 235 NW 211 (1931); People v Schweitzer, 23 Mich 301 (1871).
People v Davis, 343 Mich 348; 72 NW2d 269 (1955). The defendant’s commission of the other act need not be proved beyond a reasonable doubt. People v Duncan, 402 Mich 1; 260 NW2d 58 (1977); People v Allen, 351 Mich 535; 88 NW2d 433 (1958).
The principle is best illustrated by comparing People v Duncan, 402 Mich 1; 260 NW2d 58 (1977); People v Oliphant, 399 Mich 472; 250 NW2d 443 (1976); People v Allen, 351 Mich 535; 88 NW2d 433 (1958); People v Davis, 343 Mich 348; 72 NW2d 269 (1955); People v Morehouse, 328 Mich 689; 44 NW2d 830 (1950), and People v Kalder, 284 Mich 235; 279 NW 493 (1938), with People v Lundberg, 364 Mich 596; 111 NW2d 809 (1961); People v Padgett, 306 Mich 545; 11 NW2d 235 (1943); People v Locke, 275 Mich 333; 266 NW 370 (1936), and People v Dean, 253 Mich 434; 235 NW 211 (1931).
Identity is not one of the items explicitly recognized in the statute as capable of proof by evidence of a separate offense. It is now explicitly recognized as such an item by MRE 404(b), which was not effective at the time of trial. Nevertheless, use of similar-acts evidence to prove identity by proving a common plan or system earmarking the offense as the accused’s handiwork was judicially recognized prior to this trial, People v Oliphant, 399 Mich 472, 489; 250 NW2d 443 (1976); People v Kelly, 386 Mich 330; 192 NW2d 494 (1971), and is justified under the language of the statute in that the perpetrator’s plan or system in accomplishing the charged offense is offered to prove that it coincides with a distinctive system or plan used by the defendant to accomplish a similar offense and thereby tends to prove that the defendant was responsible for the charged offense.
In his opening statement to the jury, the prosecutor in this case stated:
"The reason for [the similar-acts evidence] is, once again, to show modus operandi, or plan or commission of a crime, to prove identification, to prove absence of mistake or justification for the Novi homicide.”
The only purposes named in the statute for admission of such evidence which the prosecutor failed to recite were motive and intent and absence of accident. Later, when arguing for admission of the evidence, the prosecutor added "motive and intent” to his earlier list of grounds for admission.
It is particularly easy, for example, and tempting, to compile a list of negative factors in the crimes being compared; that is, a litany of circumstances which did not obtain and events which did not occur with respect to either crime. It can be shown, for example, that neither house was in disarray, that in neither case was there evidence of forced entry, and that in neither case were other persons in the residence at the time of the crimes. Such a list can be extended endlessly, of course.
We are satisfied, from a careful examination of the whole record, that the trial judge did indeed exercise his discretion in determining the admissibility of evidence of the uncharged homicide, although the point is debatable.
After hearing argument from the prosecutor and the defense counsel concerning the admissibility of the evidence, the court stated:
"The Court: In view of the Oliphant case, it seems like almost anything is admissible. There is no question in the Oliphant case that the defendant was present with the three witnesses who were able to give evidence about those particular alleged crimes. In this case no one saw this man. No one knows how this crime was committed. There is going to be a great deal of testimony the man was beaten severely. Whether the man died by being beaten, which is quite different than what happened here because he had something around his neck, doesn’t mean he died as a result of being choked.”
Having given the impression, on the basis of the foregoing statement, of disinclination to admit the evidence of other misconduct by the accused, the trial judge suddenly declared:
"The Court: In view of the statute, and in view of People v Oliphant, this court’s opinion is that his testimony is permissible and the motion [to exclude the evidence] therefore is denied.”
Certainly the cryptic observation of the trial judge that "[i]n view of the Oliphant case, it seems like almost anything is admissible”, cannot be construed as necessarily demonstrating the failure to appreciate and apply the requirements that one of the specifically delineated statutory or decisional purposes for admission of similar-acts evidence be identified and a conclusion reached whether the evidence was more unfairly prejudicial than probative. A fair reading *323of the trial judge’s remarks suggests that he felt the evidence was "permissible”, despite his recognition of the differences between the facts of the uncharged homicide and the killing in issue "in view of the statute, and in view of People v Oliphant". The court’s remarks strongly suggest, however, that there was no careful evaluation of the four safeguards described above, no focusing upon a specific purpose for admission of the evidence, no determination that such purpose was material, and no careful weighing of the dangers of unfair prejudice against the relevancy of the evidence.
On the other hand, all of those considerations necessary to a proper evaluation of the proffer of the evidence may well have been in the trial court’s mind. It is not customary, after all, that the court verbalize for the record the mental processes involved in every evidentiary ruling.
As was pointed out by the Court of Appeals:
"First of all, the transcript does not reveal any formal recognition and exercise of discretion. Compare People v Strickland, 78 Mich App 40, 53; 259 NW2d 232, 238 (1977). However, the judge’s recognition of Oliphant as controlling authority is some indication that he knew of his duty to balance. Also, by concluding that the evidence was 'permissible’ the trial judge seemed to acknowledge that the similar acts statute is cast in permissive language.” (Citation omitted.) People v Golochowicz, 89 Mich App 57, 63; 279 NW2d 576 (1979).
Furthermore, defense counsel pointed out during discussion about the admissibility of this similar-acts testimony that the court had discretion on the question whether the witness’s testimony was sufficiently probative so as to outweigh prejudice:
"We don’t have an eyewitness to the one on Muirland. We have a statement from a man [referring to witness Dennis O’Clare] — of course, this is discretionary with the court to see if the probative value outweighs it — we have a man that said T ended up with all the materials out of the Muirland address.’ ”
McCormick, Evidence (2d ed), § 190, p 453.
Id., p 454.