Commonwealth v. Vitello
Commonwealth v. Vitello
Opinion of the Court
The defendant was indicted for armed robbery, G. L. c. 265, § 17, and was found guilty after a jury trial. He appealed under the provisions of G. L. c. 278, §§ 33A-33G. We transferred the case here from the Appeals Court on our own motion. G. L. c. 211A, § 10 (A).
Considering only those assignments of error that have not been waived for failure to brief the arguments adequately, see Commonwealth v. Martin, 358 Mass. 282, 290 (1970), we are presented with two issues. First, did the trial judge err in allowing testimony regarding a polygraph examination unfavorable to the defendant to be introduced during the Commonwealth’s case in chief? Second, should the judge have granted the defendant’s motions for directed verdict made after the Commonwealth’s case in chief and at the completion of all the evidence?
1. Admissibility of polygraph evidence not favorable to the defendant. Prior to trial, the defendant moved that he be allowed to take a polygraph examination, at the expense of the Commonwealth, "for the purpose of intro
After the jury had been empanelled but before the opening statements, the defendant’s counsel asked the judge at a bench conference whether the polygraph evidence would be limited to impeaching the defendant’s credibility should he take the stand, or whether it would be admissible as “substantive” evidence. The judge answered that, should he find the examiner to be qualified, the polygraph evidence would be admissible as part of the Commonwealth’s case in chief. The judge also decided that the prosecutor could advise the jury during his opening of the polygraph evidence he expected to introduce. The defendant took exception to this ruling. After the prosecutor completed his opening statement in which he stated that the prosecution would offer testimony by the polygraph examiner that the defendant was untruthful in his responses of denial that he had committed the robbery, the defendant moved for a mistrial. The motion was denied and the defendant excepted.
Following a voir dire hearing, the judge found that the examiner was qualified as an expert on polygraphy and could testify. Over the objection and exception of the defendant, the examiner took the stand as part of the Commonwealth’s case in chief. The examiner stated that, in his opinion, the examination did not support the truthfulness of the defendant’s denials of involvement in the robbery. The defendant assigns as error the admission of this testimony. We agree that this testimony was improperly admitted.
We begin our discussion with a consideration of our prior decisions on the admissibility of polygraph evidence. In Commonwealth v. A Juvenile, 365 Mass. 421 (1974), we deviated from our earlier view that the results of a polygraph examination were not admissible as evi
In A Juvenile, the issue presented was whether the trial judge had erred in denying the juvenile’s pretrial motion for admission of polygraph test results. The juvenile, in his appeal, argued that developments in the field of polygraph testing since Fatalo, as well as the acceptance of polygraph results as evidence by a few trial courts, justified a conclusion that the "general acceptance” standard of Fatalo had been satisfied. We concluded that "[although ... scientific and legal developments indicate that the polygraph is making progress in a hoped for evolution toward complete evidentiary recognition, we nevertheless are unwilling to say at this time that the standard in the Fatalo case has been met.” 365 Mass, at 425.
Despite our conclusion in A Juvenile that polygraph test results should not be generally admissible in evidence, a majority of the court recognized that a properly conducted test had potential value "as an aid to determining whether an individual is telling the truth.” Id. at 429. Emphasizing that we intended to take "but a cautious first step toward the acceptance of polygraph testing,” id. at 432, we held that the technique "has advanced to the point where it could prove to be of significant value to the
Although we emphasized in A Juvenile our general intention "not to overrule Commonwealth v. Fatalo ..., and not to make polygraphic evidence generally admissible,” id. at 433 n.ll, we did not attempt to indicate in any precise manner what evidentiary purposes could be accomplished by the admission of evidence as to polygraph test results. Contemplating that more detailed and comprehensive guidelines would be forthcoming in future decisions, id. at 432-433, we left a number of questions unanswered. See id. at 448-450 (Quirico, J., dissenting); id. at 452-453 (Kaplan, J., dissenting). It is thus understandable that one trial judge, relying on A Juvenile, could conclude that favorable polygraph evidence is admissible only to corroborate the defendant’s testimony, see Commonwealth v. Moynihan, post 468 (1978), while another trial judge could conclude in this case that unfavorable polygraph evidence is admissible as part of the Commonwealth’s case in chief.
Although the instant case and the Moynihan case indicate that the time has come to elaborate on the holding of A Juvenile, we emphasize that this is not an appropriate occasion to reexamine the type of factual questions
(a) The polygraph method. A great deal has been written concerning the theoretical and practical aspects of the polygraph method, and numerous authorities have analyzed and debated its impact on the judicial process. We take note of the various authorities and treatises on the subject not as a substitute for evidence as to the reliability or limitations of the polygraph method but rather to recognize the views of various courts and authors on the subject. We limit our inquiry primarily to those aspects of the polygraph method that shed light on its evidentiary nature and capacity. In particular, we highlight the role of the polygraph examiner in administering, analyzing, and describing
The polygraph method consists of a complex, and incompletely understood, series of interactions among (1) the subject, (2) the polygraph machine, and (3) the examiner. Each of these three facets of the "lie detection”
The activities of the examiner in administering and analyzing the polygraph examination constitute the most controversial facet of the polygraph method. We have already acknowledged, in general terms, the crucial role played by the examiner, see Commonwealth v. A Juvenile, 365 Mass. 421, 427 (1974), and have emphasized the obligation of the trial judge to satisfy himself of the examiner’s qualifications, id. at 429-430. A more detailed perusal of the examiner’s role is warranted at this junc
Administration of the polygraph examination may be divided into four distinct phases: data collection, pretest interview, testing, and post-test interview. Abrams, at 98 (1977). See J. E. Reid & F. E. Inbau, Truth and Deception, at 11-63 (2d ed. 1977) (hereinafter cited as Reid & Inbau). During the data collection phase, it has been suggested that the examiner will read all available reports, talk with investigating officers, and talk with attorneys. He will investigate the subject’s medical, psychiatric, and educational history so that he will be aware of potential problems that might inhibit or preclude testing. Abrams, at 98. See note 4, supra. This initial phase of the examination provides the groundwork on which the second phase —the pretest interview — is based.
Perhaps the most critical aspects of the polygraph examination take place before the machine itself is turned on. “Although truth or deception are determined by the individual’s physiological responses, the polygraph procedure itself is primarily a psychological approach” (emphasis supplied). Abrams, at 99. It is essential to the entire polygraph process that the proper psychological framework be established during the pretest interview. Specifically, it is at that time that the examiner must instill in the subject a respect for the polygraph machine and a belief that the truth cannot be hidden from the machine and the examiner. The reinforcement of these attitudes continues during the testing phase.
Statements and actions of the examiner directed at establishing the infallibility of the polygraph process are thus essential prerequisites to eliciting physiological responses of noticeably distinctive character. These are not, however, the only instances of psychological or behavioral learning applied by the polygraph examiner. A crucial part of the testing phase — that period when the polygraph machine is actually attached to the subject — has nothing to do with the operation of the machine. Rather, the examiner is instructed to observe carefully the behav
The examiner will also question the subject to learn how his responses compare to preconceived norms. For example: "A [rape] suspect may be asked: 'Have you ever thought about forcing a girl to have sexual intercourse with you? Now if you did, that wouldn’t mean you did it. But if you did think about doing it, say so, in order that you will have it off your mind during the test.’ The truthful person’s characteristic answer is an immediate 'no.’ The rapist, on the other hand, will usually respond, after some hesitation and obvious concern, by saying: 'Yes, ev
Although the examiner is warned that no "final conclusions” should be drawn from the above described "indications of probable deception or truthfulness,” those indicators are portrayed as "very helpful as factors to be considered in the ultimate decision to be made of truthfulness or deception.” Id, at 23. In fact, assessment of the behavioral and psychological clues will often determine whether to administer a series of tests beyond the basic tests, id. at 44, whether one or another of the polygraph machine’s physiological sensors should be ignored or discounted,
The last of the four phases of the examination process involves the analysis of the polygraph chart and the post-test interview with the subject. Abrams, at 104. The analysis of the chart is complicated considerably by the need to take into account unusual physiological responses due to anxiety, anger, generalized guilt feelings,
Having concluded a review of the polygraph technique —with emphasis on how it is applied by the qualified and competent examiner — we are in a position to make some specific observations to complement our conclusion in A Juvenile that "[ejqual to the importance of the machine itself is the competence, experience, and education of the test examiner.” Commonwealth v. A Juvenile, 365 Mass. 421, 427 (1974).
First, the polygraph machine and the recordings it produces are merely tools in the hands of the examiner; the machine is not independently capable of discerning truth from deception. "As a scientific instrument ... all that can legitimately be claimed for the polygraph is that through physiological responses it may provide clues to
Second, the successful use of the polygraph method is highly dependent on the mental attitude and beliefs of the subject at the time the test is administered. If the subject does not believe in the infallibility of the process, or is unconcerned or fatalistic about the outcome, the efficacy of the procedure is seriously compromised. A similar problem may be presented by a subject who has successfully rationalized and justified his actions, or who has cleared his conscience by confessing to a clergyman prior to the test, and who does not respond to the examiner’s efforts to arouse the subject’s emotions. Reid & Inbau, at 228.
Third, behavioral clues constitute a substantial factor in the examiner’s intermediate decisions — such as the choice of tests to administer and questions to ask — as well as in the examiner’s ultimate conclusion with regard to truth or deception. These behavioral clues are employed according to the examiner’s empirically based beliefs and intuitions regarding the psychological aspects of lying and of the examination process.
(b) Evidentiary considerations. In order to assess more clearly the proper role of the polygraph in the criminal trial context, it is helpful to return briefly to basic evidentiary principles. We start with the concept of "relevancy.” Evidence is relevant if it renders the desired inference more probable than it would be without the evidence. Poirier v. Plymouth, 374 Mass. 206, 210 (1978). Green v. Richmond, 369 Mass. 47, 59 (1975). Cf. Fed. R. Evid. 401. The general rule in this Commonwealth is that all relevant evidence is admissible unless barred by an exclusionary rule. Poirier, supra at 210. Cf. Fed. R. Evid. 402.
Additional fundamental considerations are involved with regard to the offering of the testimonial evidence of "experts.” Here, the concept of "competency” is also at play, invoking the notion that a minimum level of reliability must be observed in a rational system of proof making. See K. B. Hughes, Evidence § 281, at 334 (1961). Although most rules of competency are directed at the capacity of prospective witness to take the stand, the rules
When the expert’s opinion is grounded on a newly developed body of scientific or expert knowledge, there is an additional question of reliability involved; in effect, the "competency” of the body of knowledge is implicated. Leach & Liacos, at 94-95. Cf. Commonwealth v. Devlin, 365 Mass. 149, 155 (1974). The question presented is "whether there is a consensus of expert opinion which the court can accept as creating a valid basis for expert testimony.” Leach & Liacos, at 94. This concern was clearly articulated in Frye v. United States, 293 F. 1013 (D.C. Cir. 1923), a case involving a predecessor of the modern polygraph machine.
Our approach to the admissibility of polygraph evidence thus far has been firmly grounded on practical concerns and policy considerations such as are advanced by the concept of "legal” relevancy. See note 14, supra. We have already noted that the controversial nature of the polygraph method invites "the danger that on the introduction of such evidence a trial could descend into a battle of experts on the probative value of the polygraph test rather than a determination of the guilt or innocence of a defendant. The end result, in all likelihood, would be confusion instead of enlightenment.” Commonwealth v. Fatalo, supra at 269. See Commonwealth v. Lykus, supra at 197. See part 1 (c) i, infra. Other policy considerations may also be identified.
Thus, notwithstanding the potential probative value of polygraph evidence, the general acceptance standard of admissibility stated in Frye, Fatalo, and A Juvenile recognizes practical concerns and serves as well to protect the fairness and integrity of the trial process. Nonetheless, we recognized in A Juvenile that failure to achieve the standard of general acceptance need not freeze the evidentiary development of the polygraph in view of its unique potential as a tool of justice. Instead, we took a "cautious first step” in the further balancing of those policy considerations which are evoked by the use of poly
(c) Policy considerations. Starting from the proposition that logically relevant evidence is presumptively admissible, the following considerations of general applicability must then be taken into account in order to arrive at a fair and workable scheme for the use of polygraph evidence:
ii. Intrusion into jury function. A related, but distinct, concern is that use of polygraph evidence may usurp the jury’s historic role of determining the credibility of witnesses, and finding facts. See, e.g., Commonwealth v. Lykus, supra at 197; A Juvenile, supra at 447 (Quirico, J., dissenting); United States v. DeBetham, 348 F. Supp. 1377,1390 (S.D. Cal.), aff'd per curiam, 470 F.2d 1367 (9th Cir. 1972), cert, denied, 412 U.S. 907 (1973). In our view, this concern goes beyond the possibility that a jury will, in fact, be so influenced by polygraph evidence that it effectively abnegates its responsibilities as independent fact finder. What is here at stake is the appearance of justice and the preservation of the perception that conviction rests on the judgment of one’s peers. See Note, Polygraphy: Short Circuit to Truth? 29 U. Fla. L. Rev. 286,298 (1977). As has been stated in a somewhat different context: "The issue before us is whether we are to abandon our traditional system of adversary litigation with emphasis upon dignity for 'scientific’ trial with emphasis upon truth.” Silving, Testing of the Unconscious in Criminal Cases, 69 Harv. L. Rev. 683, 702 (1956).
A second, related consideration is the inordinately large burden that indiscriminate requests for admission of polygraph evidence would place on the trial judge. We
(d) Precedent in other jurisdictions. Similar policy considerations, sometimes stated but more often not,
The first group is made up of those cases which invoke notions of "estoppel” or "fairness” to develop and explain their results. See Annot., 53 A.L.R.3d 1005, 1011-1014 (1973). Under the estoppel theory, a defendant who stipulates beforehand that the designated polygraph operator is qualified and that the procedure is accurate and reliable will not be heard to complain in the event that the test results are unfavorable. See, e.g., Robinson v. Wilson, 44 Cal. App. 3d 92, 106-107 (1974); People v. Houser, 85 Cal. App. 2d 686, 694-695 (1948); State v. McNamara, 252 Iowa 19, 29 (1960); State v. Fields, 434 S.W.2d 507, 512-514 (Mo. 1968).
The mere invocation of the term "estoppel” is perceived as providing sufficient justification for admission in most of those cases. It has also been asserted, however, that prior stipulations or agreements "imbue” the polygraph test with reliability and probative value where such qualities are otherwise lacking. State v. Mick, 546 S.W.2d 508, 509 (Mo. App. 1976), Such fanciful notions cannot, of course, be credited.
The second group of cases occupying intermediate positions is characterized by the imposition of certain conditions on admissibility notwithstanding prior stipulation or agreement by the parties. The seminal case is State v. Valdez, 91 Ariz. 274 (1962). The court held that polygraph evidence would be admissible on stipulation by the government and the defendant "to corroborate other evi
The Valdez formulation has been adopted or adapted in a number of other jurisdictions. See, e.g., State v. Galloway, 167 N.W.2d 89 (Iowa 1969); State v. Lassley, 218 Kan. 758, 760 (1976); State v. McDavitt, 62 N.J. 36, 44-47 (1972); State v. Souel, 53 Ohio St. 2d 123, 133 (1978); State v. Stanislawski, 62 Wis. 2d 730, 741 (1974).
The Valdez formulation avoids what we perceive to be the more serious shortcomings of the first group of cases. We do not wholly adopt the Valdez approach, however, for reasons that will be developed in the next section.
(e) The role of polygraph evidence in criminal cases. In the instant case, the prosecution was allowed to introduce polygraph evidence unfavorable to the defendant as independent evidence of guilt during the Commonwealth’s case in chief. In Commonwealth v. Moynihan, post 468 (1978), the circumstances of which are discussed here for convenience, the judge held that polygraph evidence favorable to the defendant was not admissible as independent evidence to refute the prosecution’s evidence of guilt but could be admitted only to corroborate the defendant’s testimony in the event he took the stand. We hold the judge in the instant case to have been in error; conversely, we agree with the ruling of the judge in Moynihan. We state our reasons.
i. Use of unfavorable polygraph evidence to prove guilt. As should be clear from our prior discussion, the issue to be addressed here is not whether unfavorable polygraph evidence has some probative value on the question of
In view of the substantial impact that unfavorable polygraph evidence would have if admitted as independent evidence, the "costs” of admission, and the limited probative value of such evidence, we hold that, in cases such as the present one,
ii. Use of favorable polygraph evidence to prove innocence. Many of the factors which entered the balance in considering the use of unfavorable polygraph evidence to prove guilt apply in the same measure to the use of favorable polygraph evidence to prove innocence. Additional considerations may also be brought to bear: First, the scope of effective rebuttal is limited in the case of exculpatory polygraph evidence. See Note, Problems Remaining for the "Generally Accepted” Polygraph, 53 B.U.L. Rev. 375, 377 & n.14 (1973). As to the test in issue, the prosecutor must take the questions of the polygraph examiner and the responses of the subject in the form they were recorded at the time of the test. The prosecutor cannot pursue a line of questioning or open up new areas that he might have asked if he had been present during the polygraph examination. The prosecutor could produce an expert to question the conclusion reached by the examiner based on the way the test was conducted or on the examiner’s interpretation of the polygraph charts, but the effectiveness of this alternative is substantially undercut by the large part that subjective evaluations of the subject’s behavior and responses play in the polygraph method.
A second reason for excluding exculpatory polygraph evidence during the defendant’s case in chief is the possible destabilizing influence that admissibility would have on the reliability of polygraph results. With increased use of the polygraph at trial, it may be expected that levels of understanding and sophistication regarding the poly
Although some of these factors will be present irrespective of the evidentiary role that is assigned the polygraph, the potential negative impact is greatest where the polygraph evidence is offered as tending to prove the innocence of the defendant. A proper balancing of policy considerations therefore requires that such offers of evidence be rejected.
iii. Use of polygraph evidence to impeach or corroborate the defendant’s testimony. Although we have concluded that polygraph evidence cannot be admitted as independent evidence of guilt or innocence, different considerations apply with regard to the use of the same evidence for the limited purposes of impeaching or corroborating the defendant’s testimony. While we have expressed our reservations regarding the distortions to the trial process that could result from full admissibility of polygraph evidence, we do not think it wise to bar the polygraph completely from the judicial arena. To the contrary, the experience gained by trial participants through the limited and controlled use of polygraph evidence could eventual
One of the accepted methods of impeaching the credibility of a witness in this Commonwealth is by attacking his reputation for truthfulness and veracity. Leach & Liacos, at 121-122. Evidence to rehabilitate the witness is then admissible. K. B. Hughes, Evidence § 244 (1961). Use of this type of "character” evidence is analogous, but not perfectly so, to the admission of polygraph evidence for the purpose of impeaching or corroborating the defendant’s testimony.
On the other side of the coin, it may happen that an innocent defendant will be determined erroneously by the polygraph examiner to have lied. In that case, the defendant may protect himself against this very damaging evidence by forfeiting his right to testify, a solution that undeniably compromises important goals of the judicial process, but one which we think achieves the optimum balance of policy considerations as they exist at this time. Cf. United States v. Ridling, 350 F. Supp. 90, 98 (E.D. Mich. 1972); United States v. DeBetham, 348 F. Supp. 1377, 1390 n.58 (S.D. Cal.), aff'd per curium, 470 F.2d 1367 (9th Cir. 1972), cert, denied, 412 U.S. 907 (1973); Kaplan, The Lie Detector: An Analysis of its Place in the Law of Evidence, 10 Wayne L. Rev. 381, 401 (1964). To the extent that a prior criminal record would, in any event, have deterred the defendant from taking the stand, there will be no cost to the defendant of avoiding introduction
The defendant can also move, prior to the opening of the main case, or prior to his taking the stand, as the situation warrants, that a voir dire hearing be held on the questions of the potential polygraph witness’s qualifications, the propriety of the test questions, and the propriety of the test conditions and procedure. In this manner, the situation can be avoided in which the defendant takes the stand in the expectation that favorable polygraph evidence will be introduced to corroborate his testimony, and then finds that the evidence is excluded for one of the reasons within the discretion of the judge. In a case in which the polygraph evidence is unfavorable , a hearing prior to the prosecutor’s opening statement will prevent unnecessary prejudicial references to the test results in the event that the evidence is ruled inadmissible or the defendant makes known his good faith intention not to take the stand.
(f) The use of polygraph evidence in the instant case. The judge in the instant case allowed the prosecution to introduce polygraph evidence unfavorable to the defendant as independent evidence of guilt during the Commonwealth’s case in chief. This was error, as our discussion in part 1 (e) i, supra, indicates. In view of the other evidence presented in this case, we cannot say that admission of the polygraph evidence was harmless beyond a reasonable doubt, see Commonwealth v. Graves, 363 Mass. 863 (1973). The judgment must therefore be reversed and a new trial ordered.
We consider the second contention raised by the defendant, as the issues it raises are likely to reoccur in a new trial.
2. Motions for directed verdict. The defendant assigns as error the judge’s denial of motions for directed verdict made after the Commonwealth’s case in chief and at the completion of all the evidence. We set out the facts necessary for a determination of the issues raised by this assignment of error.
The essential facts are not disputed. During the evening of December 4,1975, Edward Johnson was working as an attendant at a gasoline station in Everett. Johnson was alone at the station when, shortly after 10 p.m., a car pulled in. The driver, who was alone in the vehicle, demanded money. When Johnson refused, the driver got out of the car, hit Johnson, and pulled out a knife. After Johnson had handed over some money, the robber returned to his car and drove away. There was a light directly above the area in which the robbery occurred. Johnson noted that there were permanent pockmarks on the side of the robber’s face. Johnson further described his assailant as being of medium build, about six feet tall, and having brown or black hair that was worn back. The robber had been wearing a brown suede coat with a big
A day or two after the robbery, Johnson went to the Everett police station and looked through a large number of photographs, perhaps over 200, but was unable to make an identification. On December 14, an Everett police officer brought to Johnson a group of about fifteen photographs. Johnson selected one of the photographs as being that of the robber. He was "positive” of the accuracy of the identification.
At the trial, Johnson was shown the same group of photographs and he identified the same photograph as being that of the robber. He testified that he was certain of the photographic identification and reiterated that he "wasn’t going to forget [the robber’s] face.” When Johnson was asked, however, if he could identify anyone in the court room as the robber, he said that he could not. When the defendant was pointed out to him, Johnson said that he was positive that the defendant was not the robber. A police officer subsequently testified that the man in the photograph chosen by Johnson was the defendant.
Of particular concern to the present issue is the admission and weight of the following evidence: The identification of a picture by Johnson as being that of the robber; and the identification by the police officer of the picture as being that of the defendant.
An extrajudicial identification made by a witness may be offered in evidence for three possible purposes: (1) for corroboration; (2) for impeachment; or (3) as substantive evidence of an identification, having probative value. Commonwealth v. Swenson, 368 Mass. 268, 272 (1975). The extrajudicial identification may be used substantively even when the witness is unable or unwilling to make an in-court identification. Id. at 272, n.3. See Commonwealth v. Fitzgerald, ante 402,408 (1978); Commonwealth v. Torres, 367 Mass. 737, 739 (1975). Cf. Fed. R. Evid. 801 (d) ("A statement is not hearsay if — (1) Prior statement by witness. The declarant testifies at the trial or hearing and
The present case presents a closely analogous situation. The witness, Johnson, made a positive identification of the photograph soon after the robbery when the robber’s image was fresh in his mind.
The defendant argues that the police officer should not have been allowed to testify that, in his opinion, the photograph selected by Johnson depicted the defendant. He relies on Commonwealth v. Nassar, 351 Mass. 37, 41-42 (1966), in which we stated the rule, quoting from Commonwealth v. Sturtivant, 117 Mass. 122, 137 (1875): "The competency of... [the opinion evidence of a nonexpert] rests upon two necessary conditions: first, that the subject matter to which the testimony relates cannot be re
Having concluded that the evidence linking the defendant to the extrajudicial identification by Johnson was admissible and carried independent probative value, we consider the question whether this evidence alone would be sufficient to withstand a motion for directed verdict. A motion for directed verdict raises the issue "whether there was sufficient evidence of the defendant’s guilt to warrant the submission of the [case] to a jury.” Commonwealth v. Baron, 356 Mass. 362, 365 (1969), quoting from Commonwealth v. Altenhaus, 317 Mass. 270, 271 (1944). Commonwealth v. Clifford, 374 Mass. 293, 296 (1978). As an appellate court, we consider "whether the evidence, read in a light most favorable to the Commonwealth, Commonwealth v. Flynn, 362 Mass. 455, 479 (1972), is sufficient so that the jury 'might properly draw infer
Although there is authority to the contrary, see People v. Gould, 54 Cal. 2d 621, 631 (1960), we think that an extrajudicial identification may in an appropriate case provide a jury with a sufficient basis upon which to find a defendant guilty beyond a reasonable doubt. This conclusion is consistent with our observation that identifications made soon after the event are generally more reliable than identifications made at a much later date. Commonwealth v. Swenson, supra at 272 n.3. The instant case presents a good illustration of this proposition. See Cousins v. State, 18 Md. App. 552, 557 (1973). Cf. Commonwealth v. Fitzgerald, supra at 410 n.5.
3. For the reasons stated in part 1, supra, the judgment of the Superior Court must be reversed, the verdict set aside, and a new trial ordered.
So ordered.
But cf. Commonwealth v. Stewart, 375 Mass. 380, 383-385 (1978) (person cannot be compelled to take polygraph examination); Commonwealth v. Howard, 367 Mass. 569 (1975) (in jury waived trial, appearance of fair trial compromised by willingness of judge to substitute results of polygraph test for his own judgment based on all the evidence); Commonwealth v. Chase, 372 Mass. 736, 751-752 (1977); Commonwealth v. Graziano, 371 Mass. 596 (1976); Commonwealth v. A Juvenile (No. 1), 370 Mass. 450 (1976); Commonwealth v. Patterson, 4 Mass. App. Ct. 70, 76-78 (1976).
In A Juvenile, we required that: (1) the defendant move that a polygraph test be conducted; (2) he agree in advance that the test result be admissible irrespective of its outcome; (3) the judge inform the defendant of his constitutional right against self-incrimination; and (4) the judge assure himself, and make appropriate written findings, that any waiver of such right is made voluntarily, knowingly, and intelligently. Id. at 431-432. Additionally, before admitting the results of the test, the judge must (1) conduct a voir dire inquiry to determine the qualifications of the examiner based on the examiner’s training, experience, and demonstrated ability; and (2) make appropriate findings. After these steps have been taken, the judge "may then, in his discretion, admit the examiner’s testimony concerning the test results as evidence to be considered with all other evidence.” Id. at 431.
Although we will use the term "examiner,” distinctions profitably could be made between the tasks of administering the test, performed by the "operator”; the task of examining the recording of physiological data, performed by the "examiner”; and the task of testifying in court as to the results of the test, performed by the "expert.” See Axelrod, The Use of Lie Detectors by Criminal Defense Attorneys, 3 Nat! J. Crim. Def. 107, 109 (1977) (hereinafter cited as Axelrod). The three roles are typically filled by one person.
"Lying can conceivably result in satisfaction, excitement, humor, boredom, sadness, hatred, as well as guilt, fear or anxiety. Not uncommon are pathological individuals who, for various reasons, believe in their lies or are unconcerned about them.” Skolnick, Scientific Theory and Scientific Evidence: An Analysis of Lie-Detection, 70 Yale L.J. 694, 700 (1961) (hereinafter cited as Skolnick). The measurement of physiological responses may be complicated by the "tension level” of the subject as well as the nonspecific "spontaneous” autonomic activity. Id. at 701. The following factors have also been suggested as bearing on the reliability of the physiological responses: uncomfortable room temperature, or instrument discomfort; abnormal blood pressure, obesity, or heart or respiratory irregularities; mental incompetence, psychopathy, or schizophrenia; fatigue or intoxication; lack of concern, rationalization, yoga-like abstraction, or extreme nervousness; controlled breathing, hidden muscular contractions, or self-inflicted pain. Note, Polygraphy: Short Circuit to Truth? 29 U. Fla. L. Rev. 286, 296-297 (1977), and sources cited therein. Other concerns are noted in Axelrod, supra at 123-125, and sources cited therein.
Proponents of the polygraph, although admitting that complete
The mechanical and electrical operations of the polygraph are described in Reid & Inbau, at 5-6. That authority also describes research conducted with the goal of improving existing sensing devices. Id. at 375-385. The potential for future research is indicated, noting the possible utility of "other physiological parameters such as instantaneous pulse rate (cardiotach), electroencephalic (brainwaves), or electromyographic (electrical changes in muscles) recordings.” Id. at 385. The potential use of computers to "standardize examiner interpretation” of polygraph charts is also noted. However, at least one such attempt to "computerize” the output of the polygraph has failed. Axelrod, supra at 129.
One of several "stimulation” techniques employed by the examiner is the "card test.” The subject is given seven cards and told to take one card, look at it, and put it back in the group without showing it to the examiner. While attached to the polygraph machine, the subject is directed to answer, "No,” when asked whether each of the seven cards was the one chosen, thereby producing one "lie.” The examiner looks at the polygraph chart and tells the subject which card produced the lie. The examiner then says: "Now we know the lie detector ... is adjusted properly to you. We have a clear picture of what it looks like when you are not telling the truth.” Reid & Inbau, at 43. In fact, the
The authors also noted that a properly conducted pretest interview, in addition to "stimulating the lethargic liar into displaying Polygraphic responsiveness,” should have the effects of "allaying the apprehensions of the truthful subject [and] nullifying the hostility of the hostile one.” Reid & Inbau, at 24. Should the subject continue to harbor doubts and skepticism about the polygraph, it might be deduced that a lying subject would less likely be detected, and a truthful or angry subject would more likely be branded dishonest because anxiety or anger would be mistaken for deception. An analogy to "trial by ordeal” is not inappropriate since in both circumstances "the subject must believe in the efficacy of the diagnostic instrument in order for it to achieve maximum response.” Skolnick, at 705.
Behavioral observations are not limited to the testing phase; the examiner and his associates are encouraged to note the behavior of the subject from the moment he arrives for the examination to the moment he departs. Reid & Inbau, at 292. The observations of a secretary or receptionist regarding the subject’s reactions to polygraph reading material in the examiner’s waiting room are seriously weighed by the examiner. Skolnick, at 704. Note, Polygraphy: Short Circuit to Truth? 29 U. Fla. L. Rev. 286, 301-302 (1977).
The examiner’s subjective determination of whether the subject is "intelligent” or "educated” may have a substantial effect on how the examiner will read the polygraph records. In the case of an intelligent and educated subject, the examiner is warned that changes in blood pressure and pulse "are not dependable as true deception responses” unless accompanied by respiration changes. Reid & Inbau, at 60. More reliable is the respiration tracing alone. Id. In contrast, "[I]n cases involving unintelligent, uneducated subjects, their deception may be revealed in blood pressure-pulse changes alone, without any accompanying changes or irregularities in respiration.” Id.
Reid and Inbau emphasize that "whereas a subject’s behavior may be very helpful in the overall diagnosis of deception there are, as is true in most general rules, some exceptions” such as are presented by distraught, neurotic, or apprehensive subjects. "The percentage of truthful subjects within these groups is small, however, and the problem presented is relatively minor. Nevertheless, sole or even major reliance should not be placed upon behavior symptoms; they should be considered only in the context of the entire Polygraph examination.” Reid & Inbau, at 296.
Other aspects of interpreting the chart recordings in which the examiner must exercise care and judgment include: determining pen movement threshold levels; establishing timing between stimulations and responses; correlating the responses of the separate physiological sensors; and accounting for idiosyncracies of the subject. Note, Polygraphy: Short Circuit to Truth? 29 U. Fla. L. Rev. 286, 299-300 (1977). The examiner must also be aware of the "halo effect” — the tendency for unconscious bias to be introduced into the examiner’s evaluations. Id. at 300. Skolnick, at 711-714.
Various studies have reported the startling statistics that confessions are achieved in between 60% to 85% of those polygraph examinations in which the subject was believed to have exercised deception. See Axelrod, at 133; State v. Green, 271 Or. 153, 167 n.7 (1975).
One commentator has observed that "[ajpart from keen personal insight, the [polygraph] process demands familiarity with several medical specialties, plus an understanding of clinical and social psychology. At present, most lie-detector examiners have a professional police background, and much less formal scientific training than cardiologists and psychiatrists.” Skolnick, at 707. Reid and Inbau maintain that a training period of six months is sufficient, and describe the training program offered at the Reid College of the Detection of Deception in Chicago. The first three months of the program consist of specialized instruction in "interviewing techniques; behavior symptoms; question formulation; test procedures; instrument operation; the physiological, psychological and legal aspect of the technique; and
The distinction is sometimes made between "logical” relevancy and "legal” relevancy. See Trautman, Logical or Legal Relevancy — A Conflict in Theory, 5 Vand. L. Rev. 385 (1952). Compare the following formulation: "[I]t would seem that the legal concept of relevancy is made up of a blend of (1) inherent probative worth; (2) materiality; (3) the discretionary application of safeguards against confusion, unfairness, undue consumption of time, and prejudice. To this blend must be added certain exclusionary rules.” W.B. Leach & P.J. Liacos, Massachusetts Evidence, at 296 (4th ed. 1967) (hereinafter cited as Leach & Liacos). See K.B. Hughes, Evidence § 284 (1961). Cf. Fed. R. Evid. 403. It is also the case that "[t]he concept of relevancy, or inherent probative worth, is as much practical as legal.” Leach & Liacos, at 294. See J.B. Thayer, A Preliminary Treatise on Evidence, at 269 (1898).
"Just when a scientific principle or discovery crosses the line between the experimental and demonstrable stages is difficult to define. Somewhere in this twilight zone the evidential force of the principle must be recognized, and while courts will go a long way in admitting expert testimony deduced from a well-recognized scientific principle or discovery, the thing from which the deduction is made must be sufficiently established to have gained general acceptance in the particular field in which it belongs.” Frye v. United States, 293 F. 1013, 1014 (D.C. Cir. 1923).
See 9 Suffolk U.L. Rev. 886, 892 (1975). Cf. Note, Polygraphy: Short Circuit to Truth? 29 U. Fla. L. Rev. 286, 294 (1977).
McCormick maintains that " '[gjeneral scientific acceptance’ is a proper condition for taking judicial notice of scientific facts, but not a criterion for the admissibility of scientific evidence. Any relevant conclusions which are supported by a qualified expert witness should be received unless there are other reasons for exclusion. Particularly, probative value may be overborne by the familiar dangers of prejudicing or misleading the jury, and undue consumption of time” (footnotes omitted). McCormick, Evidence § 203, at 491 (2d ed. 1972) (hereinafter cited as McCormick). See McCormick, Deception-Tests and the Law of Evidence, 15 Cal. L. Rev. 484, 500 (1927); United States v. DeBetham, 348 F. Supp. 1377, 1384 (S.D. Cal.), aff'd per curiam, 470 F.2d 1367 (9th Cir. 1972), cert, denied, 412 U.S. 907 (1973); Worley v. State, 263 So. 2d 613, 615 (Dist. Ct. App. Fla. 1972) (Mager, J., concurring); Kaplan, The Lie Detector: An Analysis of its Place in the Law of Evidence, 10 Wayne L. Rev. 381, 392 (1964). We believe that the application we have made of the general acceptance test is not so far removed in theory or in practice from the approach espoused by McCormick. The test is accurately described as "strict,” Kaplan, supra at 392, for its purpose is to counterbalance the usual presumption that probative evidence is admissible. It is a rule of exclusion, giving general effect to policy considerations such as those mentioned by McCormick. As such it is to be distinguished from evidentiary considerations to be applied at the discretion of the judge or fact-finder. Cf. Commonwealth v. Lykus, supra at 203-204. Arising as it does from practical concerns, the general acceptance test is amenable to adaptation to meet practical needs. Thus, in A Juvenile, we held fast to the test — often applied as a strict bar to admission — while accepting the utility of admitting polygraph evidence in limited circumstances. Cf. Commonwealth v. Gilbert, 366 Mass. 18, 24-25 (1974); Commonwealth v. Devlin, 365 Mass. 149, 154-155 (1974). Our task here is to define those limited circumstances for this and future cases. This approach is to be distinguished from the view that polygraph evidence, assumedly falling short of achieving judicial notice of the efficacy of its underlying theory, should then be admissible under general relevancy standards. Kaplan, supra at 392.
Cf. 55 B.U.L. Rev. 302, 309 (1975) (special problems in cross-examining and discrediting polygraph examiner). Contra, Cullin v. State, 565 P.2d 445, 458 (Wyo. 1977).
"Public confidence in the omniscience of'science’ is greater than the trust medieval men placed in torture as a method of eliciting truth. There can hardly be any doubt that as soon as expert testimony
Policy issues are "seldom if ever discussed by the courts due to their uncritical reliance on Frye v. United States, [293 F. 1013 (D.C. Cir. 1923) ].” United States v. DeBetham, 348 F. Supp. 1377, 1389 (S.D. Cal.), aff'd per curiam, 470 F.2d 1367 (9th Cir. 1972), cert, denied, 412 U.S. 907 (1973).
248 N.W.2d 398, 399 (1976).
The dissent correctly points out in this case that Vitello filed a motion to take a polygraph examination "for the purpose of introducing its results into evidence at his trial,” and certified thereon personally that "he agrees to allow the results of his polygraph examination to be admitted into evidence even if the results are unfavorable to him.” Nowhere in such "agreement” or motion is found an agreement
Perhaps the most disturbing deficiency inherent in the polygraph method is the potential for mistaking innocent anxiety and fear for guilty deception. See part 1 (a), supra. Limiting the admissibility of polygraph evidence may have the beneficial effect of reducing this problem: by relieving an innocent subject of the fear that failure to "pass” the test may result in very damaging independent evidence of guilt, anxiety is reduced and a serious misjudgment by the examiner may be averted.
This is not a case in which the defendant’s truthfulness is itself one of the ultimate issues. We reserve judgment on the use of polygraph evidence in such a case until one is before us. Cf. United States
It would be of no consequence if a defendant had agreed before the examination that the results could be admitted for any and all purposes. The evidentiary guidelines herein established are based on broad policy considerations that transcend the preferences of the individual parties to a criminal trial. See K.B. Hughes, Evidence § 4 (1961).
Proof that a witness has the character trait of untruthfulness must be presented in the form of that witness’s general reputation for truthfulness and veracity among those who know him, and not by evidence of particular acts of lying or by the private opinion of the impeaching witness. See K.B. Hughes, Evidence § 239 (1961), and cases cited; Leach & Liacos, at 121-123, and cases cited; Commonwealth v. Belton, 352 Mass. 263, 269, cert, denied, 389 U.S. 872 (1967); G. L. c. 233, § 21A. Cf. Fed. R. Evid. 608. In contrast, the polygraph examiner testifies as to his personal opinion based on the specific acts that he observed and that the polygraph machine recorded during the examination.
Another point of departure is the general rule that evidence to corroborate or sustain the credibility of a witness is not admissible until a direct attack has been made on that witness’s credibility. K. B. Hughes, Evidence, § 244 (1961). We do not think that this rule should be applied to the admission of polygraph evidence to corroborate the defendant’s testimony.
Compare the Valdez formulation: "[I]f such evidence is admitted the trial judge should instruct the jury that the examiner’s testimony does not tend to prove or disprove any element of the crime with which a defendant is charged but at most tends only to indicate that at the time of the examination defendant was not telling the truth. Further, the jury members should be instructed that it is for them to determine what corroborative weight and effect such testimony should be given.” State v. Valdez, 91 Ariz. 274, 283-284 (1962).
We have already noted that a trial judge may consider expert testimony prior to approving the administration of a polygraph test to a criminal defendant. Commonwealth v. Graziano, 371 Mass. 596, 599 n.3 (1976).
The defendant had moved to suppress the extrajudicial identification on the grounds that the photographic array was suggestive and that the manner of presenting the photographs was suggestive. After hearing, the motion was denied, the defendant excepted, and error was assigned. The issue is not briefed, however, and thus we consider it waived. S.J.C. Rule 1:13, as amended, 366 Mass. 853 (1975).
In Nassar we held it error to allow a prosecutor to state in his opening that a police officer thought that a photograph "looked like” a composite sketch of the defendant. We stated that "[s]ince the sketch and the photograph were in evidence, the opinion of the officer was inadmissible.” Id. at 42. In Commonwealth v. Locke, 338 Mass. 682 (1959), however, testimony by an eyewitness, unable to identify either defendant in the court room, that certain facial characteristics in a photograph of one defendant resembled the features of the man who drove the get away car was deemed appropriate, where the photograph was put in evidence. The facts of the present case more closely resemble those of Locke.
Concurring Opinion
(concurring in the result). In deciding the case of Commonwealth v. A Juvenile, 365 Mass. 421 (1974), this court with three Justices dissenting, said at 426 that "if a defendant agrees in advance to the admission of the results of a polygraph test regardless of their outcome, the trial judge, after a close and searching inquiry into the qualifications of the examiner, the fitness of the defendant for such examination, and the methods utilized in conducting the tests, may, in the proper exercise of his discretion, admit the results, not as binding or conclusive evidence, but to be considered with all other evidence as to innocence or guilt.”
Four of the Justices conclude that the judge committed error in admitting the evidence as part of the Commonwealth’s case in chief, and they conclude further that the test results would be admissible for the limited purpose of impeaching the defendant if he testified. That is the view expressed in the opinion by Justice Liacos. Justice Kaplan states his concurrence therewith in a separate opinion, but "with misgivings as to whether the analysis would not justify rather more stringent limitations.”
Two of the Justices who joined in the court’s opinion in Commonwealth v. A Juvenile, supra, dissent in the present case, expressing the view that the defendant, having stated in writing before taking the test "that he agrees to allow the results of his polygraph examination to be admitted into evidence even if the results are unfavorable to him, and he waives his right against self-incriminatian,” should be held bound by his agreement.
I concur with the conclusion that it was error for the judge to admit the. polygraph test results in evidence and with the order that judgment be reversed and a new trial ordered. However, I do not concur with the further conclusion that at any new trial the test results would be admissible even for the limited purpose of impeaching the defendant if he should testify. The reasons for my position are the same as those stated in my dissenting opinion, in which I was joined by Justices Reardon and Kaplan, in Commonwealth v. A Juvenile, supra at 441,
The door to the admissibility of evidence of polygraph test results was opened by this court, by a majority of one, in Commonwealth v. A Juvenile, supra, notwithstanding the following statement by the court, at 425 of that opinion: “In Commonwealth v. Fatalo, [346 Mass. 266 (1963)], we held that the results of polygraph tests were not admissible as evidence in a criminal case because the test had not yet achieved general acceptance by the scientific community as a reliable method for determining whether an individual is telling the truth. While not establishing universal scientific approval of a demonstration of infallibility as prerequisites to admissibility of polygraph test results, we felt that the results could not be admitted until the 'substantial doubts which presently revolve about the polygraph test’ were resolved. 346 Mass, at 270.... Although we acknowledge that... scientific and legal developments [since the Fatalo decision] indicate that the polygraph is making progress in a hoped for evolution toward complete evidentiary recognition, we nevertheless are unwilling to say at this time that the standard in the Fatalo case has been met and that the polygraph test results should henceforth be subject to the same rules of evidence applicable to other forms of acceptable expert scientific evidence.” Again, in deciding the present case, the court says, supra at 430-431, "Although the instant case and the Moynihan case indicate that the time has come to elaborate on the holding of A Juvenile, we emphasize that this is not an appropriate occasion to reexamine the type of factual questions presented to and considered by this court in Fatalo and A Juvenile. Specifically, no evidence has been submitted on the question of the scientific reliability or acceptability of the polygraph method. Rather, we accept as current and valid the finding of the court in A Juvenile that the 'general acceptance’ standard of Fatalo has not yet been achieved.”
The opinion by Justice Liacos contains a long and scholarly discussion of the limitations which should be placed on the use of this type of evidence. I do not disagree with the discussion, but I doubt its applicability to the present case in view of the total absence of evidence that the testimony in question meets the Fatalo test for admissibility. I am not content with simply limiting the purposes for which such evidence, if admitted, may be considered by the fact finders. I would (a) urge instead the reconsideration of our holding in A Juvenile, and (b) renew the suggestion that a study be undertaken by competent persons, under the auspices of the judiciary, the bar, the Legislature, or other appropriate bodies, to investigate and report on the question whether polygraph tests and the interpretation of the results thereof meet the Fatalo test, i.e., whether they have achieved general acceptance by the scientific community as a reliable method for determining whether an individual is telling the truth. Until that is attempted, I would not continue to hold out hope to defendants in criminal cases that there is any short cut to our approval of the use of polygraph test evidence, even for the limited purpose of impeachment or corroboration of testimony by the defendant.
Concurring Opinion
(concurring). When, in Commonwealth v. A Juvenile, 365 Mass. 421 (1974), the court was approving
Dissenting Opinion
(with whom Wilkins, J., joins, dissenting). In my view the defendant was fairly tried, and his conviction should be affirmed. I therefore dissent.
In Commonwealth v. A Juvenile, 365 Mass. 421, 426 (1974), we held that "if a defendant agrees in advance to the admission of the results of a polygraph test regardless of their outcome, the trial judge, after a close and searching inquiry into the qualifications of the examiner, the fitness of the defendant for such examination, and the methods utilized in conducting the tests, may, in the proper exercise of his discretion, admit the results, not as
Pursuant to that holding, the defendant moved that the Superior Court allow him to take a polygraph examination at the expense of the Commonwealth "for the purpose of introducing its results into evidence at this trial.” The defendant personally signed an agreement "to allow the results of his polygraph examination to be admitted into evidence even if the results are unfavorable to him,” and a waiver of "his right against self-incrimination.” The judge allowed the motion, and there is no contention that he did not make the required "close and searching inquiry.”
The defendant took the examination, and the results were unfavorable to him. Relying on our decision, the prosecutor offered the results in evidence, the judge exercised his discretion to admit them, and the jury found the defendant guilty. Now the court holds that we did not mean what we said, and that the defendant should be relieved of his agreement, largely on the basis of considerations advanced in the dissenting opinions in Commonwealth v. A Juvenile, supra.
My disagreement is on a narrow ground. I fully agree that there are often difficulties with the reliability of polygraphic evidence, as indeed there are with many of the types of evidence on which we customarily rely. If the trial judge had excluded the evidence, there would of course have been no appellate review, whatever the outcome of the trial. Likewise, if he had limited the evidence to impeachment of the defendant’s testimony, as the defendant requested, there would be no reversible error. But the judge did neither. In my view we act unwisely when we substitute our judgment for his on a matter that he understood far better than we can. Even more unwise is the substitution of an arbitrary rule for the exercise of sound judgment, particularly when the arbitrary rule rests on factual considerations of dubious standing, deduced from selected fragments of the highly controversial
Particularly troublesome is the implicit suggestion that the defendant, as matter of right, must be relieved of his agreement because the "limited probative value” of the evidence is outweighed by "confusion and prejudice of the jury; intrusion into jury function; and use of trial resources.” The evidence in question is evidence of the pretrial words, conduct, and condition of the defendant, relevant to his guilt. Such evidence is traditionally admissible against him on the issue of guilt or innocence, once he has waived his privilege not to be a witness against himself. It is not ordinarily the function of an appellate court to balance the probative value of the defendant’s relevant admissions against possibilities of confusion and the like in deciding whether evidence of the admissions is admissible. Such balancing on appeal is not only likely to produce confusion and uncertainty; it invades the province of the jury and the trial judge.
Reference
- Full Case Name
- Commonwealth vs. Peter Vitello
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