State v. Allen
State v. Allen
Opinion of the Court
¶1 Petitioner Bryan Allen challenges his felony harassment conviction, raising three issues. The primary issue involves whether the trial court erred by not instructing the jury on the potential fallibility of cross-racial eyewitness identification. Based on the facts of this case, Allen cannot show the trial court violated his constitutional rights by refusing to give the cautionary instruction. A second issue involves whether the “true threat” requirement is an essential element of a harassment statute that must be pleaded in the information and included in the to-convict instruction. A third issue involves prosecutorial misconduct. The Court of Appeals rejected the arguments raised. We affirm the Court of Appeals.
Facts
¶2 Gerald Kovacs, who is white, was walking near the University of Washington at dusk when he was approached
¶3 During the 911 call, Kovacs described the man with the gun as an African American in his mid-20s, wearing a black hooded sweatshirt, a hat, and big, gold-framed sunglasses. Kovacs also described the man as being around 5'9" and between 210-220 pounds. He described the other man as an African American in his teens, around 5'5", wearing a “red kind of shirt,” though he could not remember the color exactly. VRP (Oct. 22, 2009) at 4. Several minutes later, based on Kovacs’ description, a University of Washington patrol officer attempted to stop two African American men near the scene of the crime. One of the men, wearing a white T-shirt, fled. The other, Bryan Allen, did not. Seattle City Police detained Allen and Kovacs was transported to the location of the arrest for a showup identification procedure. Though Allen matched Kovacs’ description of the man with the gun as to race, clothing, hat, and sunglasses, physically he was larger at 6'1" and 280 pounds. Kovacs identified Allen as the man who threatened him. The police searched Allen incident to arrest but found no gun, marijuana, or cash.
¶4 The State charged Allen with felony harassment. Prior to trial, Allen requested the court to instruct the jury regarding cross-racial identifications.
¶5 Later, in rebuttal closing argument, the prosecutor made several comments regarding Kovacs’ character:
So, what’s most important here is whether or not you accept Mr. Kovacs. I would point out to you from the evidence Mr. Kovacs is not a flake. He’s not some derelict. The evidence would show he is a teacher, very passionate about his work. Not only is he a teacher he is a special education] teacher.
VRP (Oct. 21, 2009) at 105-06. Allen objected to this argument on the basis that the State was vouching for Kovacs’ credibility, but the court overruled the objection. The jury found Allen guilty.
¶6 On appeal, Allen argued the trial court’s failure to instruct the jury on the fallibility of cross-racial identifica
Issues
¶7 1. Whether the trial court erred in failing to instruct the jury on the fallibility of cross-racial eyewitness identifications.
¶8 2. Whether the “true threat” requirement of an antiharassment statute is an essential element of the offense that must be pleaded in the information and included in the to-convict instruction.
¶9 3. Whether the prosecutor’s comments on Kovacs character were impermissible and denied Allen a fair trial.
Analysis
1. Cross-Racial Identification Instruction
¶10 Concerns and discussions over the reliability of eyewitness identifications, and more specifically cross-racial eyewitness identifications, have arisen in cases for some time. The United States Supreme Court focused on eyewitness identification problems in United States v. Wade, 388 U.S. 218, 228, 87 S. Ct. 1926, 18 L. Ed. 2d 1149 (1967), noting that the “vagaries of eyewitness identification are well-known; the annals of criminal law are rife with instances of mistaken identification.” The United States District Court for the District of Columbia, in United States v. Telfaire, 152 U.S. App. D.C. 146, 469 F.2d 552 (1972), cited to Wade and discussed the importance of, and need for, a special instruction on the issue of identification in order to
¶11 After Telfaire, jurisdictions have developed three general approaches to address the problems perceived to be inherent in eyewitness identification testimony. Some have accepted the rationale underlying Telfaire and have required or encouraged a particularized instruction to be given. See People v. Wright, 45 Cal. 3d 1126, 755 P.2d 1049, 248 Cal. Rptr. 600 (1988) (approving a condensed Telfairetype instruction and requiring that such an instruction be given when requested in a case in which identification is a central issue and there is little corroborative evidence); State v. Warren, 230 Kan. 385, 635 P.2d 1236 (1981) (holding that where eyewitness identification is a critical part of the prosecution’s case and there is serious doubt about the reliability of the identification, a cautionary instruction should be given); State v. Henderson, 208 N.J. 208, 27 A.3d 872 (2011) (requiring that an instruction on cross-racial identification be given whenever cross-racial identification is an issue at trial).
¶13 The final approach adopted by some jurisdictions has been to reject outright a requirement for Telfaire-like instructions. The courts in these jurisdictions have held that the other general instructions on witness credibility and the government’s burden of proof are adequate and/or that the identification instructions impermissibly comment on the evidence. See State v. Valencia, 118 Ariz. 136, 575 P.2d 335 (Ct. App. 1977) (finding that the instruction on credibility of witnesses was sufficient and that part of Telfaire-type instruction constituted a comment on the evidence); Nevius v. State, 101 Nev. 238, 699 P.2d 1053 (1985) (holding that specific eyewitness identification instruction is duplicitous of general instructions on credibility of witnesses and proof beyond a reasonable doubt); State v. Classen, 31 Or. App. 683, 571 P.2d 527 (1977) (holding that specific Telfaire-type instruction overemphasized the identification issue and amounted to a comment on the evidence), rev’d on other grounds, 285 Or. 221, 590 P.2d 1198 (1979).
¶14 Our cases suggest we have aligned somewhere between the second and third categories mentioned above. In State v. Laureano, 101 Wn.2d 745, 682 P.2d 889 (1984), overruled on other grounds by State v. Brown, 111 Wn.2d 124, 132-33, 761 P.2d 588 (1988), adhered to on recons., 113 Wn.2d 520, 529, 782 P.2d 1013, 787 P.2d 906 (1989), we discussed, albeit briefly, a challenge to the trial court’s
¶15 In Jordan, the Court of Appeals reviewed a Telfairetype instruction and held the trial judge did not err in rejecting the instruction. In that case the court recognized “the focus and ‘emphasis’ of the instruction is upon the credibility of identification witnesses.. . . Witness credibility is more properly tested ‘by examination and cross-examination in the forum of the trial court.’ ” Jordan, 17 Wn. App. at 545 (quoting State v. Johnson, 12 Wn. App. 40, 45, 527 P.2d 1324 (1974)). Similarly, in Edwards, the Court of Appeals held the trial judge did not err in refusing an instruction charging the jury that it must “ ‘be satisfied beyond a reasonable doubt of the accuracy of the identification of defendant as the person who committed the offense before you may convict him.’ ” Edwards, 23 Wn. App. at 896. Although the instruction was not so “impermissibly slanted” as the Telfaire-type instruction rejected in Jordan, the court held “it nonetheless calls into question the credibility of particular witnesses.” Edwards, 23 Wn. App. at 896.
¶16 After Laureano, the Court of Appeals continued to reject the requirement for a Telfaire-type instruction on eyewitness identification. In State v. Hall, 40 Wn. App. 162, 697 P.2d 597 (1985), the court noted that although this court has not ruled on whether a cautionary instruction on eyewitness identification testimony is always inappropriate, such instructions have been considered comments on the credibility of the identification witness and, in any case, the “court’s general instructions on the ‘beyond a reasonable doubt’ standard enabled the defendant to argue his theory of the case and to attack the credibility of eyewitnesses.” Hall, 40 Wn. App. at 167; see also State v. Watkins,
¶17 Allen argues our case law, i.e., Laureano and the cases that preceded and followed it, is outdated. He argues the scientific data regarding the unreliability of eyewitness identification, and of cross-racial eyewitness identification in particular, is now irrefutable. He submits that since Telfaire, research and studies exposing problems inherent in eyewitness identification testimony have gained wide acceptance.
¶19 For example, a defendant has a right to effective assistance of counsel, who can expose the unreliability in eyewitness’ testimony during cross-examination and focus the jury’s attention on the fallibility of eyewitness identification during opening and closing arguments. Allen’s counsel did just that. On cross-examination he questioned Kovacs regarding his mental state during the encounter, regarding the time of day the encounter took place (dusk), and regarding the discrepancy between Allen’s actual height and weight, and the description Kovacs gave the 911 dispatcher. Allen’s counsel also questioned Officer Bennett regarding the potential suggestiveness of showup identifi
¶20 The requirement that the State prove a defendant’s guilt beyond a reasonable doubt also protects against convictions based on dubious identification evidence. The jury in Allen’s case was instructed on the State’s burden of proof and on witness credibility generally.
¶21 Allen notes that in Perry, the Supreme Court identified eyewitness instructions, adopted by many federal and state courts, as one safeguard of several that can help focus the jury’s attention on the fallibility of eyewitness testimony. Yet the Supreme Court has never required such an instruction. Nor have any of the jurisdictions we have aligned with on this issue reversed a conviction on due process grounds for failure to so instruct. Adopting a rule of general application, as Allen requests, would take us far afield from our jurisprudence and require us to revisit Laureano and the cases following it. Laureano does not support a rule of general application, but neither does it support a rigid prohibition against the giving of a cautionary cross-racial identification instruction. Indeed, such a prohibition would be inconsistent with the abuse of discretion standard, which we applied in Laureano, and which the Court of Appeals has applied in the cases following Laureano.
¶22 Applying that standard, we find no abuse of discretion here. Providing a cautionary cross-racial identification instruction would not have added to the safeguards operating in Allen’s case, a case involving an eyewitness identification based on general physique, apparel, and sunglasses, and not on facial features. During the 911 call, Kovacs described the man with the gun by approximate age, height, and weight. Beyond these general characteristics, Kovacs’
[the police officer] asked me to identify a gentleman standing on the street... with some officers and some other people, and point him out. . . .
He was wearing the exact same clothes that he had on earlier, he was wearing the baseball hat, the black hood[ie], and he had the glasses. . . . And I said, yeah, definitely, that is one hundred percent him.
VRP (Oct. 21, 2009) at 16. Kovacs did not make an in-court identification of Allen. In fact, Kovacs testified Allen looked different at trial because he was not wearing the same clothes. Thus, Kovacs did not base the identification on facial features, specific physical characteristics, or merely the fact that Allen is African American.
¶23 The central premise of cross-race bias, the impetus for giving a cross-racial identification instruction, is that people are better able to remember faces of their own race than those of a different race.
2. True Threat
¶25 “The First Amendment, applicable to the States through the Fourteenth Amendment, provides that ‘Congress shall make no law . . . abridging the freedom of speech.’ ” Virginia v. Black, 538 U.S. 343, 358, 123 S. Ct. 1536, 155 L. Ed. 2d 535 (2003) (alteration in original) (quoting U.S. Const, amend. I). While the scope of the First Amendment is broad, it does not extend to unprotected speech, one category of which is “true threats.” A “true threat” is “ ‘a statement made in a context or under such circumstances wherein a reasonable person would foresee that the statement would be interpreted ... as a serious expression of intention to inflict bodily harm upon or to take the life’ of another person.” State v. Kilburn, 151 Wn.2d 36, 43, 84 P.3d 1215 (2004) (alteration in original) (internal quotation marks omitted) (quoting State v. Williams, 144 Wn.2d 197, 207-08, 26 P.3d 890 (2001)). Accordingly, we interpret statutes criminalizing threatening language as proscribing only unprotected true threats.
¶26 Allen was charged in this case with felony harassment.
That the defendant BRYAN EDWARD ALLEN in King County, Washington, on or about August 6, 2009, knowingly and without lawful authority, did threaten to cause bodily injury immediately or in the future to Gerald Kovacs, by threatening to kill Gerald Kovacs, and the words or conduct did place said person in reasonable fear that the threat would be carried out.
Clerk’s Papers (CP) at 1. The to-convict instruction required the jury to find the following elements beyond a reasonable doubt to convict Allen of the crime of felony harassment:
(1) That on or about August 6,2009, the defendant knowingly threatened to kill Gerald Kovacs immediately or in the future;
(2) That the words or conduct of the defendant placed Gerald Kovacs in reasonable fear that the threat to kill would be carried out;
(3) That the defendant acted without lawful authority; and
(4) That the threat was made or received in the State of Washington.
CP at 21. While the true threat requirement was not included in the information or to-convict instruction, the jury was given a separate instruction defining “true threat”:
*628 Threat means to communicate, directly or indirectly, the intent to cause bodily injury in the future to the person threatened or to any other person;
To be a threat, a statement or act must occur in a context or under such circumstances where a reasonable person, in the position of the speaker, would foresee that the statement or act would be interpreted as a serious expression of intention to carry out the threat rather than as something said in jest or idle talk.
CP at 20.
¶27 We have never held the true threat requirement to be an essential element of a harassment statute. In State v. Johnston, 156 Wn.2d 355, 127 P.3d 707 (2006), we found that Washington’s bomb threat statute, RCW 9.61.160, reached a substantial amount of protected speech. We therefore construed the statute to avoid an overbreadth problem by limiting it to true threats. We held the trial court erred by giving an instruction that defined “true threat” in terms of the reasonable-listener-based standard, rather than the reasonable-speaker-based standard we adopted in Kilburn. Johnston, 156 Wn.2d at 364. By so holding, we implied a properjury instruction defining “true threat” would have been constitutionally sufficient.
128 In State v. Schaler, 169 Wn.2d 274, 236 P.3d 858 (2010), the defendant, charged under the same statute as was Allen, successfully requested a jury instruction requiring the jury to find he subjectively intended to communicate a threat. No true threat instruction was given. Instead, the jury was instructed that “ £ “threat” means to communicate, directly or indirectly, the intent to cause bodily injury immediately or in the future to the person threatened or to any other person.’ ” Schaler, 169 Wn.2d at 285 (quoting CP at 26, 28 (paralleling RCW 9A.04.110(27)(a))). The jury was further instructed that “ £[a] person threatens “knowingly” when the person subjectively intends to communicate a threat.’ ” Schaler, 169 Wn.2d at 285 (quoting CP at 26, 40, 55-56). Thus, under the instructions given, the
¶29 Moreover, the Court of Appeals has repeatedly held the true threat requirement is not an essential element of harassment statutes. In State v. Tellez, 141 Wn. App. 479, 170 P.3d 75 (2007), the defendant, charged with felony telephone harassment based on a threat to kill, claimed the information and to-convict instruction were deficient be
¶30 In this case, Allen argued the First Amendment for the first time on appeal. Under the circumstances, no manifest error affecting a constitutional right occurred. The jury was instructed as to the true threat requirement and Allen’s First Amendment rights were protected. Based on Johnston, Schaler, Tellez, and Atkins, we hold failure to include the true threat requirement in the information and to-convict instruction was not error.
3. Prosecutorial Misconduct
¶31 Allen contends the prosecutor committed misconduct by inappropriately vouching for Kovacs’ credibility in closing arguments. In rebuttal closing argument, the prosecutor stated:
So what’s most important here is whether or not you accept Mr. Kovacs. I would point out to you from the evidence Mr. Kovacs is not a flake. He’s not some derelict. The evidence*631 would show he is a teacher, very passionate about his work. Not only is he a teacher he is a special education] teacher.
VRP (Oct. 21, 2009) at 105-06. Allen objected but was overruled. The prosecutor then continued:
The evidence will show that he teaches kids that have disabilities. The evidence will show that Kovacs has two master’s degrees. This is a person that was walking on the street minding his own business and within a matter of minutes he’s threatened with death.
VRP (Oct. 21,2009) at 106. It is misconduct for a prosecutor to state a personal belief as to the credibility of a witness. However, prosecutors have wide latitude to argue reasonable inferences from the facts concerning witness credibility, and prejudicial error will not be found unless it is clear and unmistakable that counsel is expressing a personal opinion. State v. Warren, 165 Wn.2d 17, 30, 195 P.3d 940 (2008) (citing State v. Brett, 126 Wn.2d 136, 175, 892 P.2d 29 (1995); State v. Stenson, 132 Wn.2d 668, 727, 940 P.2d 1239 (1997)).
¶32 The Court of Appeals held the trial court did not abuse its discretion in permitting the comments by the prosecutor in this case. We agree. Here, the prosecutor’s argument was based on evidence introduced at trial: Kovacs testified he was a special education teacher; he testified he had a master’s degree in teaching from the University of Washington and a master’s degree in special education teaching from Pacific Lutheran University; and he testified he served four years in the Army National Guard and had two adopted children. VRP (Oct. 21, 2009) at 5-13. The prosecutor did not rely on information not presented to the jury. Instead he drew an inference from the evidence as to why the jury would want to believe Kovacs. The inference was reasonable, based on Kovacs’ testimony, and the statement was not a clear and unmistakable expression of the prosecutor’s personal opinion. The jury was instructed that it was the sole judge of the credibility of each witness, and
Conclusion
¶33 Based on the facts of this case, we hold the trial court did not err by failing to provide a cross-racial identification instruction. We further hold that the true threat requirement is not an essential element of felony harassment and that the instruction defining “true threat” in this case safeguarded Allen’s First Amendment rights. Finally, we hold the prosecutor did not commit misconduct in closing argument.
Allen proposed two identification instructions. The first stated:
“ ‘In this case, the identifying witness is of a different race than the defendant. In the experience of many, it is more difficult to identify members of a different race than members of one’s own. Psychological studies support this impression. In addition, laboratory studies reveal that even people with no prejudice against other races and substantial contact with persons of other races still experience*615 difficulty in accurately identifying members of a different race. Quite often people do not recognize this difficulty in themselves. You should consider these facts in evaluating the witness’s testimony, but you must also consider whether there are other factors present in this case that overcome any such difficulty of identification.’ ” Clerk’s Papers (CP) at 61.
The second proposed instruction mirrored an instruction endorsed by the American Bar Association and stated:
“ ‘In this case, the defendant, Bryan [Allen], is of a different race than Gerald Kovacs, the witness who has identified him. You may consider, if you think it is appropriate to do so, whether the fact that the defendant is of a different race than the witness has affected the accuracy of the witness’ original perception or the accuracy of a later identification. You should consider that in ordinary human experience, some people may have greater difficulty in accurately identifying members of a different race than they do in identifying members of their own race. You may also consider whether there are other factors present in this case which overcome any such difficulty of identification.’ ” CP at 61-62.
The Telfaire instruction asks the jury to consider whether the witness had the capacity and opportunity to observe the offender, whether the identification made by the witness subsequent to the offense was the product of his or her own recollection, whether the witness made an inconsistent identification, and the credibility of the witness. Telfaire, 469 F.2d at 558-59.
The instruction to be given in New Jersey, following Henderson, tells the jury that human memory is not foolproof and that “[i]n deciding what weight, if any, to give to the identification testimony, you should consider the following factors that are related to the witness, the alleged perpetrator, and the criminal incident itself”: (1) the witness’s opportunity to view and degree of attention, considering factors of stress, duration, weapon focus, distance, lighting, intoxication, and
The instruction given in California states:
“Eyewitness testimony has been received in this trial for the purpose of identifying the defendant as the perpetrator of the crime [s] charged. In determining the weight to be given eyewitness identification testimony, you should consider the believability of the eyewitness as well as other factors which bear upon the accuracy of the witness’ identification of the defendant, including, but not limited to, any of the following:
“[The opportunity of the witness to observe the alleged criminal act and the perpetrator of the act;]
“[The stress, if any, to which the witness was subjected at the time of the observation;]
“[The witness’ ability, following the observation, to provide a description of the perpetrator of the act;]
“[The extent to which the defendant either fits or does not fit the description of the perpetrator previously given by the witness;]
“[The cross-racial or ethnic nature of the identification;]
“[The witness’ capacity to make an identification;]
“[Evidence relating to the witness’ ability to identify other alleged perpetrators of the criminal act;]
“[Whether the witness was able to identify the alleged perpetrator in a photographic or physical lineup;]
“[The period of time between the alleged criminal act and the witness’ identification;]
“[Whether the witness had prior contacts with the alleged perpetrator;]
“[The extent to which the witness is either certain or uncertain of the identification;]
“[Whether the witness’ identification is in fact the product of his own recollection;]
“Any other evidence relating to the witness’ ability to make an identification.” Wright, 755 P.2d at 1067 (alterations in original).
We received briefs in this case from amici curiae College and University-Professors Jennifer Devenport, Jennifer E. Dysart, Geoffrey Loftus, Steven D. Penrod, Nancy K. Steblay, and Gary L. Wells; American Civil Liberties Union of Washington Foundation, Washington Association of Criminal Defense Lawyers, and Washington Defender Association; Fred T. Korematsu Center for Law and Equality; and The Innocence Network all in support of Allen’s position. The briefs contain a summary of the research and evidence demonstrating the inherent unreliability of eyewitness identification generally and of cross-racial eyewitness identification specifically.
On a separate note, we address here the Innocence Network’s motion to reconsider our grant of the State’s motion to strike a portion of the Innocence Network’s amicus brief. The relevant portion of the brief argued for a separate due process analysis under the Washington Constitution. We were entirely within our discretion to strike the argument, which was not raised in the Court of Appeals or made to this court by any party to the case.
The jury instruction on witness credibility, part of the general instructions given at the conclusion of trial, stated:
‘You are the sole judges of the credibility of each witness. You are also the sole judges of the value or weight to be given to the testimony of each witness. In considering a witness’s testimony, you may consider these things: the opportunity of the witness to observe or know the things he or she testifies about; the ability of the witness to observe accurately; the quality of a witness’s memory while testifying; the manner of the witness while testifying; any personal interest that the witness might have in the outcome [of] the issues; any bias or prejudice that the witness may have shown; the reasonableness of the witness’s statements in the context of all of the other evidence; and any other factors that affect your evaluation or belief of a witness or your evaluation of his or her testimony.” CP at 11-12.
The instruction on the State’s burden stated:
“The defendant has entered a plea of not guilty. That plea puts in issue every element of the crime charged. The State is the plaintiff and has the burden of proving each element of the crime beyond a reasonable doubt. The defendant has no burden of proving that a reasonable doubt exists as to these elements.
“A defendant is presumed innocent. This presumption continues throughout the entire trial unless during your deliberations you find it has been overcome by the evidence beyond a reasonable doubt.
“A reasonable doubt is one for which a reason exists and may arise from the evidence or lack of evidence. It is such a doubt as would exist in the mind of a reasonable person after fully, fairly, and carefully considering all of the evidence or lack of evidence.” CP at 14.
Allen did not use expert evidence regarding the reliability of eyewitness testimony or cross-racial identification, though such evidence is available to defendants in Washington. See State v. Cheatam, 150 Wn.2d 626, 646, 81 P.3d 830 (2003). While we recognize that the use of expert evidence may be limited due to cost and/or availability, there is no evidence its use was so limited in this case.
The State argues a cross-racial identification instruction, or any eyewitness identification instruction for that matter, is prohibited as an unconstitutional comment on the evidence. We rejected a similar argument in State v. Carothers, 84 Wn.2d 256, 267-68, 525 P.2d 731 (1974), and conclude the rationale applied in Carothers applies in equal force to a cautionary cross-racial identification instruction.
See Br. of Amici Curiae College and University Professors at 8-9.
In pertinent part, the felony harassment statute reads:
“(1) A person is guilty of harassment if:
“(a) Without lawful authority, the person knowingly threatens:
“(i) To cause bodily injury immediately or in the future to the person threatened or to any other person; [and]
“(b) The person by words or conduct places the person threatened in reasonable fear that the threat will be carried out. . . .
*627 “[(2)](b) A person who harasses another is guilty of a class C felony if. . . the person harasses another person under subsection (l)(a)(i) of this section by threatening to kill the person threatened . . . .” RCW 9A.46.020.
The United States and Washington Constitutions require that all “essential elements” of the crime — whether statutory or nonstatutory — be pleaded in the information and proved beyond a reasonable doubt. State v. Vangerpen, 125 Wn.2d 782, 787, 888 P.2d 1177 (1995). The to-convict instruction must also contain all essential elements, State v. Smith, 131 Wn.2d 258, 263, 930 P.2d 917 (1997), and “a reviewing court may not rely on other instructions to supply the element missing from the ‘to convict’ instruction.” State v. DeRyke, 149 Wn.2d 906, 910, 73 P.3d 1000 (2003).
Ultimately, in Schaler we left open the question of whether the required mens rea is an “essential element” of a felony harassment charge such that it needs to be included in the information and to-convict instructions. (“Whether the constitutionally required mens rea is an ‘element’ of a felony harassment charge is a question that we need not decide.” Schaler, 169 Wn.2d at 288 n.6.) However, we also looked at the definition of “knowingly” given in the instructions in that case — “‘A person threatens “knowingly when the person subjectively intends to communicate a threat’ ” — and noted that had “ ‘knowingly threaten’ ” been left to its ordinary meaning, “it could be understood to require that the speaker be aware that his words or actions frightened the hearer — after all, how can one knowingly threaten without knowing that what one says is threatening to another?” Schaler, 169 Wn.2d at 285 (quoting CP at 26, 40, 55-56), 286. Thus, left to its ordinary meaning, “knowingly threaten” satisfies the mens rea element as to the result, so long as threat is defined consistent with the true threat standard. See Schaler, 169 Wn.2d at 287-88.
Concurring Opinion
¶34 (concurring) — I agree with the lead opinion that State v. Laureano, 101 Wn.2d 745, 682 P.2d 889 (1984), overruled on other grounds by State v. Brown, 113 Wn.2d 520, 782 P.2d 1013 (1989), and subsequent Court of Appeals’ decisions have rejected the categorical use of a Telfaire
¶35 I write separately because I believe in a hypothetical case where a victim makes a cross-racial identification based on a suspect’s facial features, hair, or other physical characteristic implicating race, a trial judge likely would abuse his or her discretion if he or she refused to provide a cross-racial identification instruction. The dissent properly recognizes that cross-examination, expert testimony, and
¶36 However, the dissent’s concerns are misplaced in this case. The identification here simply did not implicate the type of physical characteristics that give rise to erroneous cross-racial identifications or the need for an instruction. Besides reporting the suspect to be African American, Kovacs described the man in race-neutral terms: mid-20s; about 5'9" in height and 210-220 pounds; wearing a black hooded sweatshirt, dark blue jeans, big gold-framed sunglasses, and a dark baseball cap; and possessing a gun. When asked by the 911 operator if the man had any facial hair, Kovacs responded vaguely, “Not that I remember,” signaling a lack of attention to facial features. I Verbatim Report of Proceedings (Oct. 22, 2009) at 5. At trial, when Kovacs described how he identified Allen as the man who had threatened him, he referred to Allen’s hat, clothes, and sunglasses. Indeed, Kovacs did not even mention Allen’s facial features, hair, or other physical characteristics. While one might infer from Kovacs’ estimate of the older suspect’s age and the lengthy encounter between Kovacs and both suspects that Kovacs must have considered facial features at some point, this would be purely speculative. Instead, the record in this case supports the lead opinion’s conclusion that the identification here was based primarily on race-neutral factors.
¶37 Therefore, I agree with the lead opinion that the trial court did not abuse its discretion when it refused to give an instruction on cross-racial identification in this case.
¶38 (concurring in result) — I concur with much in the well reasoned dissent. The cross-racial instruction is correct and will be necessary from time to time to instruct the jury on the dangers of cross-racial identification. However, I join the lead opinion in result because I also agree with Chief Justice Madsen that under the facts of this case we cannot say the trial judge abused her discretion in declining to give the instruction. I also agree with the lead opinion that “true threat” need not be pleaded in the information and included in the “to convict” instruction, though of course the jury must be properly instructed on its meaning.
¶39 I write separately to stress that the lead opinion holds, and I agree, that expert testimony on the weakness of cross-racial identification is admissible when relevant and helpful. Lead opinion at 624 n.6 (citing State v. Cheatam, 150 Wn.2d 626, 646, 81 P.3d 830 (2003)); see also State v. Jaime, 168 Wn.2d 857, 869, 233 P.3d 554 (2010) (Sanders, J., concurring). The recognition that expert testimony is admissible is very important to our justice system, which for so long has relied so heavily upon eyewitness identification to convict and sentence. The American Bar Association reports that “[approximately three-quarters of the more than 200 wrongful convictions in the United States overturned through DNA [deoxyribonucleic acid] testing resulted from eyewitness misidentifications. Of that 77 percent, where race is known, 48 percent of the cases involved cross-racial eyewitness identifications.” Am. BarAss’n, Criminal Justice Section, Report to the House of Delegates 6 (Aug. 2008) (ABA Report)
¶40 Unfortunately, the value of any expert testimony will be diluted without an instruction to guide the jury in bringing the expert’s testimony into their deliberations in a reasoned way. We now know that such instructions are necessary to ensure a fair trial. See ABA Report (discussing the need for such an instruction). Indeed, the better practice may be to instruct whenever cross-racial identification is implicated. State v. Henderson4 208 N.J. 208, 27 A.3d 872 (2011) (requiring such instructions). At the very least, I concur with the dissent that trial courts should be required to give the instruction where eyewitness identification is a central issue in a case, there is little evidence corroborating the identification, and the defendant specifically requests the instruction. Dissent at 637. I also stress that we have long rejected the contention that such instructions function as unconstitutional comments on the evidence. State v. Carothers, 84 Wn.2d 256, 267-68, 525 P.2d 731 (1974).
¶41 We must learn from our mistakes; both liberty and justice depends upon it. Given the demonstrated weakness of eye witness testimony in general and cross-racial eyewitness identification in particular, in my view, expert testimony and instruction to the jury on the weakness of cross-racial identifications should be the standard in our courtrooms whenever it would be helpful. I respectfully concur in result.
United States v. Telfaire, 152 U.S. App. D.C. 146, 469 F.2d 552 (1972).
Justice Tom Chambers is serving as a justice pro tempore of the Supreme Court pursuant to Washington Constitution article IV, section 2(a).
Available at http://www.americanbar.org/content/dam/aba/publishing/criminal_ justice_section_newsletter/crimjust_policy_eyewitness.authcheckdam.pdf.
Dissenting Opinion
¶42 (dissenting) — The most important lesson of this case is that every member of this court would
¶43 Given the unanimous fundamental agreement of this court that cross-racial instructions are appropriate at least some of the time, trial courts and counsel should consider the appropriateness of a cross-racial instruction in any case involving a cross-racial identification.
I. The lead opinion overlooks a number of critical facts in concluding that an explanatory instruction was not proper
¶45 When all relevant facts are taken into account, it is plain that this is precisely the factual scenario calling for a jury instruction on the dangers of cross-racial identification. Consider the facts:
1. The case involved a cross-racial identification of a black suspect by a white victim, the racial combination accounting for most identification errors. See John P. Rutledge, They All Look Alike: The Inaccuracy of Cross-Racial Identifications, 28 Am. J. Crim. L. 207, 211 (2001) (citingPeople v. McDonald, 37 Cal. 3d 351, 690 P.2d 709, 720, 208 Cal. Rptr. 236 (1984), overruled on other grounds by People v. Mendoza, 23 Cal. 4th 896, 4 P.3d 265, 98 Cal. Rptr. 2d 431 (2000)).
2. There is barely any evidence corroborating the identification of the State’s witness, Gerald Kovacs:
a. The person who was with Bryan Allen when he was stopped did not match the description of the armed suspect’s companion.
b. Allen himself did not match Kovacs’ description, being four or five inches taller and 60 pounds heavier than Kovacs’ description.
c. No gun, weapon, or other item that could be mistaken for a gun was found on Allen.
*638 d. No drugs or other evidence were recovered on Allen to corroborate Kovacs’ claim that Allen was selling drugs.
3. The identification occurred under circumstances calling its accuracy into question.
a. The incident occurred at dusk, limiting Kovacs’ ability to identify the suspect.
b. A weapon was involved, making it harder for Kovacs to accurately identify the suspect due to “weapon focus.” Gary L. Wells & Deah S. Quinlivan, Suggestive Eyewitness Identification Procedures and the Supreme Court’s Reliability Test in Light of Eyewitness Science: 30 Years Later, 33 Law & Hum. Behav. 1, 11 (2009).
c. The suspect wore a cap and sunglasses. The use of disguises compromises identification accuracy. Richard A. Wise et al., How to Analyze the Accuracy of Eyewitness Testimony in a Criminal Case, 42 Conn. L. Rev. 435, 456 (2009).
d. The identification was based in part on the cap and sunglasses, which the police required Allen to wear for the showup so that he more closely resembled the suspect. The police also instructed Allen to pull his cap low over his face before the showup.
4. A jury instruction would have been especially helpful in this case given that there was already misinformation about eyewitness testimony in evidence. The State’s chief law enforcement witness claimed that eyewitness evidence is not made more reliable by corroborating evidence and also claimed that the “most reliable” identification is “shortly after a crime has been committed and there is a showup.” Report of Proceedings (Oct. 21, 2009) at 54, 56. Both of these claims are contradicted by prevailing authority. See Nat’l Inst, of Justice, U.S. Dep’t of Justice, Eyewitness Evidence: A Guide for Law Enforcement 27 (1999)
*639 (discussing shortcomings of eyewitness identification testimony and the “inherent suggestiveness” of show-up identifications in particular), available at https:// www.ncjrs.gov/pdffiles l/nij/178240.pdf.
The lead opinion is correct that the jury instruction Allen requested would be most helpful where identification was based solely on facial-feature recognition. But the contra-positive does not follow. This case demonstrates that even where identification is not facially oriented, cross-racial identification is fraught with peril and can be highly inaccurate.
II. Cross-racial identification is unreliable
¶46 There is a large body of persuasive scientific research concluding that eyewitness testimony is frequently unreliable. Nearly 80 percent of all wrongful convictions exonerated by DNA (deoxyribonucleic acid) evidence were founded on faulty eyewitness testimony. State v. Riofta, 166 Wn.2d 358, 371, 209 P.3d 467 (2009). Research shows jurors are unable to correctly distinguish between reliable and unreliable eyewitness identification testimony, and jurors consistently over-believe such testimony. Gary L. Wells & Elizabeth A. Olson, Eyewitness Testimony, 54 Ann. Rev. Psychol. 277, 284-85 (2003).
¶47 We also know that the problem is most dramatic when the identifying witness and the suspect are of different races: 40 percent of wrongful convictions exonerated by DNA involve faulty cross-racial identifications, and 36 percent involve whites mistakenly identifying blacks. James M. Doyle, Discounting the Error Costs: Cross-Racial False Alarms in the Culture of Contemporary Criminal Justice, 7 Psychol. Pub. Pol’y & L. 253 (2001). In these cases, a witness’s ability to accurately identify a suspect is severely undermined by the cross-racial effect. Rutledge, supra, at 211. Eyewitnesses are 1.56 times more likely to misidentify a suspect when the identification is cross-racial. See Christian A. Meissner & John C. Brigham, Thirty Years of
¶48 The cross-racial identification problem creates a racial disparity at the entry point into the criminal justice system, eventually leading to racial disparity throughout the system. I do not take the lead opinion as disagreeing with the basic premise of this dissent; it is almost beyond dispute that cross-racial identification is problematic. That is not where the lead opinion goes wrong. Instead, the lead opinion makes two faulty assumptions leading it to conclude that no instruction was proper and that we should reject a rule requiring an instruction in certain cases. Both assumptions are unsupported and so is the lead opinion’s position.
III. Existing safeguards against misidentification are inadequate
¶49 The lead opinion first incorrectly assumes that our criminal justice system incorporates adequate safeguards against the dangers of cross-racial identification. This is too optimistic. The lead opinion suggests that cross-examination, expert testimony, and closing argument sufficiently guard against the problem. But cross-examination is a useless tool for educating jurors about cross-racial bias. The very nature of the cross-racial problem is that witnesses are unaware of it; witnesses believe their identification is accurate, making traditional impeachment methods inadequate for ferreting out the truth. Timothy P O’Toole & Giovanna Shay, Manson v. Brathwaite Revisited: Towards a New Rule of Decision for Due Process Challenges to Eyewitness Identification Procedures, 41 Val. U. L. Rev. 109, 135
¶50 Nor is expert testimony a practical solution. Expert testimony seems like a natural way to educate jurors about cross-racial bias, except that it is far too costly. Experts are both scarce and expensive. See Douglas W. Vick, Poorhouse Justice: Underfunded Indigent Defense Services and Arbitrary Death Sentences, 43 Buff. L. Rev. 329, 375 & n.199 (1995). Most felony defendants in state court are indigent, and public defenders cannot afford to pay expert fees either. See Caroline Wolf Harlow, U.S. Dep’t of Justice, Defense Counsel in Criminal Cases 1 (2000) (“At the end of their case approximately . . . 82% of felony defendants in large State courts were represented by public defenders or assigned counsel.”), available at http://bjs.ojp.usdoj.gov/content/pub/ pdf/dccc.pdf. This being the case, expert testimony for all defendants is not a solution but a pipe dream.
¶51 Likewise, it is a hollow exercise to educate jurors about faulty cross-racial identification in closing argument where an attorney has been deprived of the raw materials integral to building an effective defense. Without evidence or some other form of authority, it is difficult to imagine why jurors would believe defense counsel’s unsupported assertions about cross-racial identification.
¶52 The lead opinion also argues that a reasonable doubt instruction safeguards against the dangers of cross-racial identification, but I do not see how this can be. See lead opinion at 623-24. The implication here seems to be that since the State’s burden of proof is so high in a criminal case, it is not harmful to permit the State to use inaccurate
¶53 The lead opinion is too quick to assume that our justice system contains adequate safeguards against inaccurate cross-racial identification.
IV. A jury instruction helps cure the cross-racial problem in certain cases
¶54 The lead opinion is also mistaken in assuming that a jury instruction on the inaccuracy of cross-racial identifications is unhelpful. Jury instructions are in many ways an ideal way to deal with this disparity; the heart of the problem is that jurors believe cross-racial identification is equally or more accurate than same-race identification, when in fact it is far less accurate. Thus, educating jurors is precisely what is called for. Consider the benefits of a jury instruction. First, it costs nothing. Second, jury instructions are focused, concise, and authoritative (jurors hear them from a trial judge, not from a witness called by one side). Third, a jury instruction avoids the problem of dueling experts and eliminates the risk of an expert invading the jury’s role or opining on an eyewitness’s credibility. Fourth, jurors may be more likely to discuss racial differences and the cross-racial problem in deliberation if bolstered by the credibility of an instruction.
¶55 There are benefits beyond the juror box as well. For the courts to recognize that cross-racial eyewitness identification is frequently erroneous would encourage police and prosecutors to approach these identifications cautiously when making charging and investigative decisions. Cf. State v. Martin, 101 Wn.2d 713, 723, 684 P.2d 651 (1984) (concluding same regarding hypnosis evidence). For example, law enforcement personnel might try to find more corroborating evidence where the only link between a suspect and a crime is a cross-racial identification. These
¶56 Once the lead opinion’s false assumptions are cleared away, little reason remains to reject the palliative measure proposed by the petitioners. I would embrace a version of the rule adopted in other jurisdictions, holding that a court must give the instruction where cross-racial eyewitness identification is a central issue in the case, where there is little corroborating evidence, and where the defendant asks for the instruction. See People v. Wright, 45 Cal. 3d 1126, 755 P.2d 1049, 1059, 248 Cal. Rptr. 600 (1988); see also State v. Long, 721 P2d 483, 492 (Utah 1986). In such cases, there is an impermissible risk of wrongful conviction that is best mitigated by an instruction.
¶57 Because this would be a new rule, I would adopt it on a prospective basis only. See Wood v. Morris, 87 Wn.2d 501, 514, 554 P.2d 1032 (1976). However, in Allen’s case, I would hold that the facts so strongly called for a curative instruction that the trial court committed reversible error by refusing it and that Allen is entitled to a new trial.
V. Conclusion
¶58 The evidence is irrefutable that cross-racial identification is often faulty. Unlike most problems of racial disparity, here we have a simple way to mitigate the damaging effects; a solution that is not only cost-free but also tested, other states having found it workable. We have every reason to adopt this rule and no reason not to. Where we can take simple steps to reduce racial disparity, we should do so rather than turning our backs on the problem.
¶59 I respectfully dissent.
State v. Laureano, 101 Wn.2d 745, 767-68, 682 P.2d 889 (1984), overruled on other grounds by State v. Brown, 111 Wn.2d 124, 761 P.2d 588 (1988).
Reference
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- The State of Washington v. Bryan Edward Allen
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