OPINION OF THE COURT
Kahn, J.On this appeal, we are asked to decide whether the judgment convicting defendant of burglary in the second degree (the burglary conviction), following a jury trial, should be vacated on the grounds that the verdict was unsupported by legally sufficient evidence, or that the verdict did not comport with the weight of the evidence, or that defendant was deprived of his right of confrontation at trial. Should we answer that question in the affirmative, we are further asked to determine whether the judgment convicting defendant, upon his plea of guilty, of various counts in a separate indictment (the plea conviction), should also be vacated on the ground that defendant’s guilty plea was induced by a promise that his sentences for the burglary and the plea convictions would run concurrently. Additionally, we are asked to decide whether the sentences imposed for both convictions were excessive. For the reasons that follow, we hold that both judgments should be affirmed and that the sentences imposed were not excessive.
I. Burglary Conviction
A. Legal Insufficiency and Weight of the Evidence Claims
The verdict was supported by legally sufficient evidence and was not against the weight of the evidence (see People v Danielson, 9 NY3d 342, 348-349 [2007]). Defendant’s identity as the burglar was strongly established by the match of his known DNA to the DNA found on wire cutters that had been stored within the glass enclosure on the victim’s rooftop deck but were found tucked between cushions on the sofa in her apartment after the burglary (see People v Harrison, 22 AD3d 236, 236 [1st Dept 2005] [rejecting sufficiency and weight claims where “(t)he proof connecting defendant with the crime *238consisted almost entirely of DNA evidence,” which “was particularly powerful and established defendant’s identity beyond a reasonable doubt”], lv denied 6 NY3d 754 [2005]).
B. Confrontation Clause Claim
1. Defendant’s Contention
Defendant claims that he was deprived of his Sixth Amendment right of confrontation under the Federal and State Constitutions by the introduction into evidence at trial of laboratory reports of DNA testing linking him to the crime based solely upon the testimony of Melissa Huyck, a criminalist from the New York City Office of the Chief Medical Examiner (OCME) who was not among the analysts who performed, witnessed or supervised the testing. Defendant’s Confrontation Clause claim is unpreserved, and we decline to review it in the interest of justice. As an alternative holding, we reject it. However, we find that an extended discussion of the merits is warranted.
2. Legal Standards
As the accused in a criminal prosecution, a defendant has the right to be confronted with the witnesses who bear testimony against him (Crawford v Washington, 541 US 36, 51 [2004]). Therefore, “[a]s a rule, if an out-of-court statement is testimonial in nature, it may not be introduced against the accused at trial unless the witness who made the statement is unavailable and the accused has had a prior opportunity to confront that witness” (Bullcoming v New Mexico, 564 US 647, 657 [2011]).
“[A] statement will be treated as testimonial only if it was ‘procured with a primary purpose of creating an out-of-court substitute for trial testimony’ ” (People v Pealer, 20 NY3d 447, 453 [2013], cert denied 571 US —, 134 S Ct 105 [2013], quoting Michigan v Bryant, 562 US 344, 358 [2011]; see Davis v Washington, 547 US 813, 822 [2006] [“(Statements) are testimonial when the circumstances objectively indicate that . . . the primary purpose ... is to establish or prove past events potentially relevant to later criminal prosecution”]).
Our Court of Appeals has set forth a test to be used in determining whether a report was prepared for such a “primary purpose” and is, therefore, testimonial. The “primary purpose” test consists of four factors:
“ ‘(1) whether the agency that produced the record is independent of law enforcement; (2) whether it *239reflects objective facts at the time of their recording; (3) whether the report has been biased in favor of law enforcement; and (4) whether the report accuses the defendant by directly linking him or her to the crime’ ” (People v Pealer, 20 NY3d at 454, quoting People v Brown, 13 NY3d 332, 339-340 [2009]; see People v Freycinet, 11 NY3d 38, 41 [2008]).
Recently, in People v John (27 NY3d 294 [2016]), our Court of Appeals reaffirmed the centrality of the primary purpose test for Confrontation Clause purposes (id. at 307 [“(W)e have deemed the primary purpose test essential to determining whether particular evidence is testimonial hearsay requiring the declarant to be a live witness at trial”]).
3. Supreme Court’s Trial Rulings
Notably, at trial, before OCME criminalist Huyck testified concerning the DNA testing performed in this case, the People sought a ruling from the court on the scope of evidence it would permit them to introduce from the OCME and Huyck about the DNA testing. Defense counsel argued against the introduction of reports of conclusions reached by nontestifying examiners, and urged that the admissible evidence from OCME’s files should be limited to the pages of documents reflecting raw data that had been personally reviewed and initialed by Huyck.
Supreme Court’s ruling was as follows: “The raw data, the data concerning the [DNA] testing comes in. What [Huyck] did comes in. All the other stuff about police reports and other material is out.” Immediately after issuing that ruling, Supreme Court reiterated and clarified the ruling in the following manner: “So the raw data made by the people who actually did the test is admissible. As far as the data is concerned, what this witness [Huyck] did is admissible, not the other conclusions by these other individuals.”
Huyck then proceeded to testify concerning the testing of DNA material taken from the wire cutters and the development of the DNA profile of an unknown male donor denominated as Male Donor A. Later that same day, before Huyck testified as to the DNA testing of the buccal swabs taken from defendant, Supreme Court further explained and clarified its earlier ruling. So much of that clarification as is relevant here is as follows:
“[M]y intention is to permit only the raw data *240contained in these files so that ultimately Miss Huyck will ultimately use it to testify about her own comparisons to go before the jury. Only that data is to be considered evidence with respect to these files, and all extraneous material contained in the files, including . . . opinions of nontestifying examiners and experts [,] must be deleted.”
Supreme Court’s rulings were in keeping with the requirements of the Crawford rule as established under the case law in effect at that time. They adhered to federal constitutional standards by limiting the admission of statement evidence proffered in conjunction with Huyck’s testimony to relevant evidence that either “was not prepared for the primary purpose of accusing a targeted individual” (Williams v Illinois, 567 US 50, 83 [2012]) or consisted of “testimonial statements by [a] declarante ] [Huyck] who [was] . . . subject to cross-examination” (id. at 76). In this regard, Supreme Court’s rulings presaged People v John (27 NY3d 294 [2016], supra) by ensuring that Huyck’s testimony would pertain to her role as a criminalist “who used . . . her [own] independent analysis on the raw data, as opposed to a testifying analyst functioning as a conduit for the conclusions of others” (id. at 315).1 Moreover, John did nothing to change the standards set forth by Crawford and its progeny (see generally id. at 303-312).
4. The OCME Laboratory Reports
In this case, three OCME laboratory reports derived from DNA testing, accompanied by documents reflecting associated raw data, were introduced into evidence at trial. The first laboratory report concerned the DNA profile of an unknown male donor generated from DNA material extracted from the wire cutters found in the victim’s apartment. It was dated January 2, 2013 and Huyck is listed on it as “Analyst.” The second report discussed the generation of defendant’s DNA profile based upon buccal swabs taken from defendant once he was *241identified as the suspect. Huyck’s initials appear on the report as “Interpreting Analyst” and as the individual who checked the profile against the Local DNA Index System (LDIS) database. The third report, comparing the DNA profiles of the unknown male donor and defendant, was signed by Huyck as “Analyst,” and reported her own conclusion that the two DNA profiles reflected in the first and second reports were a match.
The events leading to the development of the DNA profile of the unknown male donor, which were the subject of the first laboratory report, began when a pair of wire cutters was found in the couch of the burglary victim’s living room by the police, who vouchered it in a sealed plastic bag for DNA testing. It was sent to the OCME laboratory, where its handles were swabbed for DNA material. The DNA material was then tested using polymerase chain reaction (PCR) DNA typing. PCR DNA typing involves four steps: “extraction (to release the DNA from any cells), quantitation (to determine how much DNA was present), amplification (to make millions of copies of the specific locations, or loci of the DNA, to be tested)” and electrophoresis, in which “the analyst uses an electrophoresis instrument and a sophisticated software program ... to produce an electro-pherogram, which graphically depicts the peaks of the DNA analysis” (John, 27 NY3d at 300). Forensic analysts then review and routinely edit the machine-generated profiles by removing false peaks appearing in the data (People v Rawlins, 10 NY3d 136, 145 [2008], cert denied 557 US 934 [2009]).2 From this testing, a DNA profile of an unknown single male donor of DNA material, “Male Donor A,” was developed. There followed the first OCME laboratory report, which discussed the generation of the profile of Male Donor A and its suitability for uploading into state and local DNA databanks, such as LDIS, and ap*242pended documents reflecting the raw data generated by OCME analysts.
A review of the first laboratory report through the lens of the four-factor PealerlBrown “primary purpose” test demonstrates the nontestimonial nature of the laboratory report on the DNA profile of Male Donor A.
With respect to the first PealerlBrown factor, independence of the reporting agency from law enforcement, according to Huyck, the testifying criminalist who is listed on that report as “Analyst,” OCME, her agency, is not affiliated with the New York Police Department or the Office of the New York County District Attorney. Rather, it is affiliated with the New York City Department of Health and Mental Hygiene. Moreover, the degree of OCME’s independence from law enforcement in each given case is appropriately measured by the function the agency performs in that case. For example, in People v John, where evidence recovered at a crime scene was submitted to OCME for performance of DNA testing in furtherance of the prosecution of a known suspect in a pending criminal action, OCME’s role was not independent of the police and prosecutors (27 NY3d at 308 n 5). Here, by contrast, OCME’s role at that point was that of a scientific agency performing DNA testing on physical evidence at a time when there was neither an identified suspect nor a pending criminal action. Thus, under the circumstances presented in this case, OCME acted independently of law enforcement.
With respect to the second PealerlBrown factor, a review of the report in question reveals that it reflects objective facts at the time of their recording. Indeed, the fact that the report consists of “merely machine-generated graphs, charts and numerical data” presented without subjective analysis is an indication that the report is not testimonial in nature (see People v Brown, 13 NY3d at 340).
With regard to the third factor of the PealerlBrown test, because the report does not name defendant or any other suspect, it is not biased in favor of law enforcement.
Concerning the fourth PealerlBrown factor, because the DNA profile of Male Donor A was developed at a time when no suspect had been identified, the report names neither defendant nor any other suspect, and it does not accuse defendant by directly linking him to the crime (see People v Freycinet, 11 NY3d at 42 [report not testimonial where it “did not directly link defendant to the crime”]). Thus, the DNA profile of Male *243Donor A is analogous to “the original DNA profiles in Brown and Meekins,” which, as the John Court observed, “would not be considered testimonial hearsay . . . when the suspect was unknown and the defendant was later identified on a ‘cold hit’ from the CODIS [Combined DNA Index System] database” (People v John, 27 NY3d at 310). Therefore, the report on the DNA profile of Male Donor A was not prepared for the “primary purpose of creating an out-of-court substitute for trial testimony” and is nontestimonial in nature (Pealer, 20 NY3d at 453-454; Brown, 13 NY3d at 339-340; see People v Alcivar, 140 AD3d 425, 427 [1st Dept 2016], lv denied 28 NY3d 1070 [2016] [DNA testing report not testimonial where “ ‘test results, standing alone, shed no light on the guilt of the accused,’ . . . notwithstanding that they provided circumstantial evidence of guilt in light of other evidence” (citation omitted)], quoting Rawlins, 10 NY3d at 159).
The events resulting in the development of the DNA profile of defendant, which was the subject of the second OCME laboratory report, began when the DNA profile of Male Donor A was uploaded into the local OCME DNA databank, which detected a possible match with a DNA profile already recorded in that databank. The profile of Male Donor A was then sent to the New York State Department of Criminal Justice Services, which provided defendant’s name as that of the person whose DNA profile apparently matched that of Male Donor A. This information led to defendant’s arrest, after which the People moved for leave to perform buccal swab DNA testing of defendant, which Supreme Court granted. Buccal swabs were then taken from defendant and the DNA material was tested using four-step PCR DNA typing. A DNA profile of defendant was generated from those swabs. The second laboratory report followed. That report concerns the generation of the DNA profile of the known defendant, and appended documents reflecting raw data generated by the testing analysts, each page of which was reviewed by Huyck.
On appeal, defendant does not challenge the second laboratory report on Confrontation Clause grounds or with regard to the manner in which the DNA testing of the buccal swab samples taken from him was performed by OCME. Accordingly, the situation presented in this case is completely different from that presented in Williams v Illinois, as referenced in John, because in this case the proof that the buccal swab samples were taken from defendant was unchallenged (see *244John, 27 NY3d at 306, citing Williams v Illinois, 567 US at 57-58). Furthermore, the John Court distinguished Williams from cases such as Bullcoming v New Mexico (564 US 647 [2011]) and Melendez-Diaz v Massachusetts (557 US 305 [2009]), where, as here, “the forensic reports of the nontestifying analysts were introduced into evidence for the truth of the matter asserted” (John, 27 NY3d at 306).3 In fact, the second report does not purport to establish defendant’s involvement in criminal activity (see Davis v Washington, 547 US at 822).
The third OCME laboratory report, which was prepared by Huyck and lists her as the analyst, reports Huyck’s review and comparison of the DNA profiles of Male Donor A and defendant and states her conclusion that the two profiles are a match.
Applying the four-factor Pealer/Brown test to the third report, at the time it was generated, OCME was acting in the role of assisting the police and prosecutors in developing evidence for use at trial. A review of this report reveals that it does not reflect objective facts at the time of its recording, but instead reflects Huyck’s conclusions upon review of the raw data associated with the testing leading to the development of the two DNA profiles. By matching the DNA profile of Male Donor A with that of defendant, this report, in effect, accuses defendant of the burglary, and therefore is biased in favor of law enforcement. Further, the report could have served as “an out-of-court substitute for trial testimony” (Pealer, 20 NY3d at 453-454 [internal quotation marks omitted]). Therefore, this report is testimonial in nature. The report was, nevertheless, admissible, because Huyck was the analyst who prepared it, and she appeared at trial and was subject to cross-examination (see Williams v Illinois, 567 US at 75).
With respect to any evidentiary concerns, hearsay analysis does not bar admission of the OCME reports. Huyck testified that all DNA analysis done at the OCME laboratory, which would include the analysis performed in this case, is documented and recorded. She further testified that the OCME laboratory has a business duty to keep such records, that the notes and reports of the observations of DNA testing analysts are recorded contemporaneously with the making of the observations, and that the notes and reports are made and *245kept by the OCME laboratory in the ordinary course of business. Thus, the DNA reports in question in this case were admissible as business records (see CPLR 4518; Brown, 13 NY3d 332, 341 [2009]).
We are mindful of the John Court’s warning of the danger of admitting scientific reports as business records because such records may be sufficiently formal, even though not provided under oath, to be deemed testimonial, and, therefore, constitutionally inadmissible on Confrontation Clause grounds (see People v John, 27 NY3d at 312). In this case, however, both the report on the profile of Male Donor A and the report on the possible match of Male Donor A with a profile in the CODIS database were prepared before defendant was suspected of or charged with the crime. Thus, neither of those reports was sufficiently accusatorial and formal to be deemed testimonial. Although the third report, concerning the match of those two DNA profiles, is testimonial in nature, it was, nonetheless, admissible for the reasons we have already stated.
The view of our dissenting colleagues is that the admissibility of the DNA reports in this case would require the testimony of at least one analyst who had direct personal knowledge of the DNA testing used to prepare each of these reports. Among the phases of the DNA testing performed in this case was CODIS’s identification of the DNA profile of the unknown suspect developed by the OCME laboratory, Male Donor A, as a possible match with a DNA profile maintained by CODIS. Thus, the logical consequence of the dissenters’ view would be that, in this case and in all such cases, CODIS analysts with personal knowledge of that phase of the DNA testing would be required to testify as to how CODIS determined that there was a possible match of the DNA profile of the unknown suspect with a DNA profile in the CODIS database. The dissenters’ view that any “analyst who actually did the testing” must testify would impose further restrictions on such evidence far beyond those contemplated by the Court of Appeals in John, requiring the testimony of any laboratory analyst anywhere in the country who had at any time developed and transmitted a DNA profile to CODIS for matching purposes. As the John Court explained, however, imposing such a requirement in all such cases would prove impracticable and unwieldy (27 NY3d at 312-313 [“Clearly, not every person who comes in contact with the evidence . . . must be produced”]). Rather, the standard could be met if “an analyst who witnessed, performed or *246supervised the generation of defendant’s DNA profile, or who used his or her independent analysis on the raw data, as opposed to a testifying analyst functioning as a conduit for the conclusions of others, [were] available to testify” (id. at 315 [emphasis added]).
5. Huyck Conducted an Independent Review and Drew Her Own Conclusions, in Contrast with John
Huyck’s role in this case was that of a criminalist who performed an independent review of the raw data generated by the testing analysts (see John at 315). Thus, in this case the respective roles of the analysts who performed the DNA testing and final stage editing and the testifying criminalist who reviewed the resulting raw data differ greatly from those of the analysts and reviewing criminalist under the circumstances presented in John. In contrast with the situation in John, here, Huyck herself conducted an independent review of the raw data derived from the testing of the DNA material derived from both the physical evidence and from defendant’s person, and was not merely “functioning as a conduit for the conclusions of others” (id. at 315). Put otherwise, in this case, as in Brown, and in contrast to John, Huyck, the expert witness, “testified that any conclusions or opinions she reached from the raw data . . . were her own” and were not merely conclusions of others with whom she agreed (id. at 310, citing Brown, 13 NY3d at 337). Upon her own examination of the machine-generated graphs and raw data in this case, Huyck concluded that the two DNA profiles were a match. Her conclusion, based upon her own “separate, independent and unbiased analysis of the raw data,” was reflected in the OCME laboratory report bearing her name as analyst as well as in her own testimony at trial (see id. at 311). Here, in contrast to her testimony in John, Huyck did not base her testimony “solely on the reports of the nontestifying analysts [which were then] admitted into evidence for their truth” (id. at 310).
Additionally, in this case, the role played by the Criminalist I analysts who edited the machine-generated electrophero-grams was merely to perform the routine function of editing out any false peaks that may have appeared. Thus, in contrast with John, in this case, as in Brown, the function performed by the editing analysts was merely ministerial in nature, similar to that of a court clerk who routinely rejects an unsigned affidavit. This is a function that any trained clerk is equipped to undertake and does not involve “application of expertise or *247judgment” or “skilled interpretation of . . . data” (27 NY3d at 311). And here, in contrast with John, Huyck’s role as a higher ranking criminalist was to conduct an independent review of a report “consist [ing] of merely machine-generated graphs, charts and numerical data” (Brown, 13 NY3d at 340). Like the report in Brown, the raw data reviewed by Huyck in this case was devoid of any “conclusions, interpretations or comparisons . . . since the technicians’ use of the typing machine would not have entailed any such subjective analysis” (id.). And, here, as in Brown, Huyck “interpreted the profile of the data represented in the machine-generated graphs; and she made the critical determination linking defendant to this crime” (id.). Thus, in this case, as in Brown, the only apparent subjective analysis made of the raw data and DNA profiles provided by the analysts was that of Huyck, who compared the two sets of raw data and DNA profiles and made the determination linking defendant to the crime.
Notably, although defense counsel had ample opportunity to object that Huyck’s testimony veered beyond the scope of Supreme Court’s ruling, she never did so. This further indicates that the People’s evidence was well within the bounds of Supreme Court’s ruling, and, accordingly, the applicable constitutional standards. Moreover, defense counsel had a full and fair opportunity to cross-examine Huyck, and did so.
The dissenters’ concern with Huyck’s failure to personally witness OCME’s employment of safeguards in conducting DNA testing in this case, such as gowning up with mask, hairnet, gloves and lab coat and cleaning the bench top and utensils to be used in the examination with bleach and ethanol, is misplaced. Such considerations do not implicate Confrontation Clause concerns, since they are not testimonial statements against the accused; they merely affect the weight to be given by the jury to the evidence in question, not its constitutional admissibility.
Thus, defendant was not deprived of his right of confrontation by the trial testimony or by the introduction into evidence of the laboratory reports of the OCME criminalist who conducted a “separate, independent and unbiased analysis of the raw data” (John at 311). Accordingly, reversal on this ground is not warranted.
II. Plea Conviction
In view of our conclusion that defendant’s claims in the burglary conviction case do not warrant reversal, defendant’s *248alternative argument in the plea conviction case that this Court should also afford him the opportunity to withdraw his guilty plea because it was induced by a promise that the aggregate sentence imposed for that conviction would run concurrently with his sentence for the burglary conviction, is without merit (cf. People v Fuggazzatto, 62 NY2d 862, 863 [1984] [vacating plea because it was “induced by the understanding that the sentence would be concurrent with the sentence imposed for (another) conviction”]).
III. Excessive Sentence Claims
Defendant also claims that the sentences imposed for his convictions were excessive. There is no basis for a reduction of the sentences, since the mitigating factors cited by defendant are outweighed by the seriousness of the instant offenses and defendant’s criminal record.
Accordingly, the judgment of the Supreme Court, New York County (Richard D. Carruthers, J.), rendered March 19, 2014, convicting defendant, after a jury trial, of burglary in the second degree, and sentencing him, as a persistent violent felony offender, to a term of 20 years to life, and the judgment of the same court and Justice, rendered May 12, 2013, as amended May 20, 2014, convicting defendant, upon his plea of guilty, of burglary in the first degree (five counts), robbery in the first degree (five counts), robbery in the second degree (two counts), kidnapping in the second degree (six counts), and endangering the welfare of a child (two counts), and sentencing him to a concurrent aggregate term of 25 years to life, should be affirmed.
. “OCME places criminalists in four grades, from level 1 for the least experienced to level 4 for full-time supervisors” (People v Corey, 52 Misc 3d 987, 989 n 2 [Sup Ct, NY County, June 27, 2016]). In this case, Huyck, who had been a Criminalist II when she testified in John (see 27 NY3d at 300) but had become a Criminalist III by the time of the DNA testing in this case, independently reviewed every page of the raw data she received, including the machine-generated graphs and the edit sheets, as evidenced by the appearance of her initials on every such page, and made her own determinations as to the validity of the raw data generated by the less experienced Criminalist I analysts.
. False peaks may, as in this case, include “stutter,” “a common ‘echo’ effect appearing on the DNA profile — usually one allele before its true allele, or less frequently, just after” (People v Collins, 49 Misc 3d 595, 606 [Sup Ct, Kings County, July 2, 2015]), or “pull-ups,” which are caused by the failure of an improperly calibrated machine to distinguish among dye colors, in an effort to ensure that the software did not mistakenly remove true alleles (see John M. Butler, Fundamentals of Forensic DNA Typing at 213 [2010], cited in John, 27 NY3d at 298).
The editing process, which, according to Huyck, was, at the time of the editing in this case, undertaken solely by analysts whose titles are Criminalist I (see n 1, supra), involves a routine manual inspection of machine-generated graphs and elimination from those graphs of any false peaks, including stutters and pull-ups.
. People v Goldstein (6 NY3d 119 [2005]), cited in John (27 NY3d at 306), is unlike this case, in that there the foundational facts upon which the expert testimony was based were not admitted into evidence (see Goldstein, 6 NY3d at 127-129).